Report of the city of Somerville 1903, Part 4

Author: Somerville (Mass.)
Publication date: 1903
Publisher: Somerville, Mass.
Number of Pages: 492


USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1903 > Part 4


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.


. July 1, 1899


2,608 to 2,611


4


July 1, 1914


$1,000


4,000


July 2, 1900


2,750 to 2,753


3}


July 1, 1914


1,000


4,000


July 1, 1901


2,862 to 2,865


3}


July 1, 1914


1,000


4,000


July 1, 1902


2,991 to 2,993


31


July 1, 1914


1,000


3,000


July 1, 1903


3,110 to 3,113


4


July 1, 1914


1,000


4,000


October 1, 1903


3,170 to 3,171


4


Oct. 1, 1914


1,000


2,000


July 1, 1895


2,045 to 2,057


4


July 1, 1915


1,000


13,000


July 1, 1896


2,209 to 2,215


4


July 1, 1915


1,000


7,000


July 1, 1897


2,353 to 2,356


4


July 1, 1915


1,000


4,000


July 1, 1898


2,496 to 2,500


4


July 1, 1915


1,000


5,000


July 1, 1899


2,612 to 2,614


4


July 1, 1915


1,000


3,000


July 2, 1900


2,754 to 2,757


3}


July 1, 1915


1,000


4,000


July 1, 1901


2,866 to 2,869


3₺


July 1, 1915


1,000


4,000


July 1, 1902


2,994 to 2,996


33


July 1, 1915


1,000


3,000


July 1, 1903


3,114 to 3,117


4


July 1, 1915


1,000


4,000


October 1, 1903


3,172 to 3,173


4


Oct. 1, 1915


1,000


2,000


July 1, 1896


2,216 to 2,222


4


July 1, 1916


1,000


7,000


July 1, 1897


2,357 to 2,360


4


July 1, 1916


1,000


4,000


July 1, 1898


2,501 to 2,505


4


July 1, 1916


1,000


5,000


July 1, 1899


2,615 to 2,617


4


July 1, 1916


1,000


3,000


July 2, 1900


2,758 to 2,761


31


July 1, 1916


1,000


4,000


July 1, 1901


2,870 to 2,873


3}


July 1, 1916


1,000


4,000


July 1, 1902


2,997 to 2,999


3}


July 1, 1916


1,000


3,000


July 1, 1903


3,118 to 3,121


4


July 1, 1916


1,000


4,000


October 1, 1903


3,174 to 3,175


4


Oct. 1, 1916


1,000


2,000


July 1, 1897


2,361 to 2,364


4


July 1, 1917


1,000


4,000


July 1, 1898


2,506 to 2,510


4


July 1, 1917


1,000


5,000


July 1, 1899


2,618 to 2,620


4


July 1, 1917


1,000


3,000


July 2, 1900


2,762 to 2,765


3}


July 1, 1917


1,000


4,000


July 1, 1901


2,874 to 2,877


3}


July 1, 1917


1,000


4,000


Amount


carried


forward


$1,011,500


$885,500


44.


ANNUAL REPORTS.


CITY LOAN BONDS .- Concluded.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


Amount


brought


forward .


$1,011,500


July 1, 1902


3,000 to 3,002


31


July 1, 1917


$1,000


3,000


July 1, 1903


3,122 to 3,125


4


July 1, 1917


1,000


4 000


October 1, 1903


3,176 to 3,177


4


Oct. 1, 1917


1,000


2,000


July 1, 1898


2,511 to 2,515


4


July 1, 1918


1,000


5,000


July 1, 1899


2,621 to 2,623


4


July 1, 1918


1,000


3,000


July 2, 1900


2,766 to 2,769


3}


July 1, 1918


1,000


4,000


July 1, 1901


2,878 to 2,881


3₺


July 1, 1918


1,000


4,000


July 1, 1902


3,003 to 3,005


31


July 1, 1918


1,000


3,000


July 1, 1903


3,126 to 3,129


4


July 1, 1918


1,000


4,000


October 1, 1903


3,178 to 3,179


4


Oct. 1, 1918


1,000


- 2,000


July 1, 1899


2,624 to 2,625


4


July 1, 1919


1,000


2,000


July 2, 1900


2,770 to 2,773


3₺


July 1, 1919


1,000


4,000


July 1, 1901


2 882 to 2,885


July 1, 1919


1,000


4,000


July 1, 1902


3,006 to 3,008


3₺


July 1, 1919


1,000


3,000


July 1, 1903


3,130 to 3,133


4


July 1, 1919


1,000


4,000


October 1, 1903


3,180 to 3,181


4


Oct. 1, 1919


1,000


2,000


July 2, 1900


2,774 to 2,777


3}


July 1, 1920


1,000


4,000


July-1, 1901


2,886 to 2,889


3}


July 1, 1920


1,000


4,000


July 1, 1902


3,009 to 3,011


31


July 1, 1920


1,000


3,000


July 1, 1903


3,134 to 3,137


4


July 1, 1920


1,000


4,000


October 1, 1903


3,182 to 3,183


4


Oct. 1, 1920


1,000


2,000


July 1, 1901


2,890 to 2,893


3}


July 1, 1921


1,000


4,000


July 1, 1901


3,012 to 3,014


3}


July 1, 1921


1,000


3,000


July 1, 1903


3,138 to 3,141


4


July 1, 1921


1,000


4,000


October 1, 1903


3.184 to 3,185


4


Oct. 1, 1921


1,000


2,000


July 1, 1901


3,015 to 3,016


33


July 1, 1922


1,000


2,000


July 1, 1903


3,142 to 3,145


4


July 1, 1922


1,000


4,000


October 1, 1903


3,186 to 3,187


4


Oct. 1, 1922


1,000


2,000


July 1, 1903


3,146 to 3,149


4


July 1, 1923


1,000


4,000


October 1, 1903


3,188 to 3,189


4


Oct. 1, 1923


1,000


2,000


Total amount


of City


Loan Bonds


$1,108,500


45


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


Sewer Loan Bonds.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


July 1, 1894


63


4


July 1, 1904


$1,000


$1,000


July 1, 1897


180


4


July 1, 1904


1,000


1,000


July 1, 1898


204


4


July 1, 1904


1,000


1,000


July 1, 1901


226


3}


July 1, 1904


1,000


1,000


July 1, 1902


255


3}


July 1, 1904


1,000


1,000


July 1, 1903


279


4


July 1, 1904


1,000


1,000


October 1, 1893


46


4}


Oct. 1, 1904


1,000


1,000


July 1, 1894


64


4


July 1, 1905


1,000


1,000


July 1, 1897


181


4


July 1, 1905


1,000


1,000


July 1, 1898


205


4


July 1, 1905


1,000


1,000


July 1, 1901


227


July 1, 1905


1,000


1,000


July 1, 1902


256


July 1, 1905


1,000


1,000


July 1, 1903


280


4


July 1, 1905


1,000


1,000


October 1, 1893


47


Oct. 1, 1905


1,000


1,000


July 1, 1894


65


4


July 1, 1906


1,000


1,000


July 1, 1897


182


4


July 1, 1906


1,000


1,000


July 1, 1898


206


4


July 1, 1906


1,000


1,000


July 1, 1901


228


32


July 1, 1906


1,000


1,000


July 1, 1902


257


33


July 1, 1906


1,000


1,000


July 1, 1903


281


4


July 1, 1906


1,000


1,000


October 1, 1893


48


66


4


July 1, 1907


1,000


1,000


July 1, 1897


183


4


July 1, 1907


1,000


1,000


July 1, 1898


207


4


July 1, 1907


1,000


1,000


July 1, 1901


229


32


July 1, 1907


1,000


1,000


July 1, 1902


258


3}


July 1, 1907


1,000


1,000


July 1, 1903


282


4


July 1, 1907


1,000


1,000


October 1, 1893


49


41


Oct. 1, 1907


1,000


1,000


July 1, 1894


67


4


July 1, 1908


1,000


1,000


July 1, 1897


184


4


July 1, 1908


1,000


1,000


July 1, 1898


208


4


July 1, 1908


1,000


1,000


Amount


carried


forward .


$31,000


Oct. 1, 1906


1,000


1,000


July 1, 1894


46


ANNUAL REPORTS.


SEWER LOAN BONDS .- Continued.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


Amount


brought


forward . .


$31,000


July 1, 1901


230


3}


July 1, 1908


$1,000


1,000


July 1, 1902


259


3₺


July 1, 1908


1,000


1,000


July 1, 1903


283


4


July 1, 1908


1,000


1,000


October 1, 1893


50


4₺


Oct. 1, 1908


1,000


1,000


July 1, 1894


68


4


July 1, 1909


1,000


1,000


July 1, 1897


185


4


July 1, 1909


1,000


1,000


July 1, 1898


209


4


July 1, 1909


1,000


1,000


July 1, 1901


231


3}


July 1, 1909


1,000


1,000


July 1, 1902


260


33


July 1, 1909


1,000


1,000


July 1, 1903


284


4


July 1, 1909


1,000


1,000


October 1, 1893


51


41


Oct. 1, 1909


1,000


1,000


July 1, 1894


69


4


July 1, 1910


1,000


1,000


July 1, 1897


186


4


July 1, 1910


1,000


1,000


July 1, 1898


210


4


July 1, 1910


1,000


1,000


July 1, 1901


232


July 1, 1910


1,000


1,000


July 1, 1902


261


3}


July 1, 1910


1,000


1,000


July 1, 1903


285


4


July 1, 1910


1,000


1,000


October 1, 1893


52


43


Oct. 1, 1910


1,000


1,000


July 1, 1894


70


4


July 1, 1911


1,000


1,000


July 1, 1897


187


4


July 1, 1911


1,000


1,000


July 1, 1898


211


4


July 1, 1911


1,000


1,000


July 1, 1901


233


3}


July 1, 1911


1,000


1,000


July 1, 1902


262


3}


July 1, 1911


1,000


1,000


July 1, 1903


286


4


July 1, 1911


1,000


1,000


October 1, 1893


53


4}


Oct. 1, 1911


1,000


1,000


July 1, 1894


71


4


July 1, 1912


1,000


1,000


July 1, 1897


188


4


July 1, 1912


1,000


1,000


July 1, 1898


212


4


July 1, 1912


1,000


1,000


July 1, 1901


234


3}


July 1, 1912


1,000


1,000


Amount


carried


forward


$60,000


-


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


47


SEWER LOAN BONDS .- Continued.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


Amount


brought


forward . .


$60,000


July 1, 1902


263


31/2


July 1, 1912


$1,000


1,000


July 1, 1903


287


4


July 1, 1912


1,000


1,000


July 1, 1894


72


4


July 1, 1913


1,000


1,000


July 1, 1897


189


4


July 1, 1913


1,000


1,000


July 1, 1898


213


4


July 1, 1913


1,000


1,000


July 1, 1901


235


31/2


July 1, 1913


1,000


1,000


July 1, 1902


264


31/2


July 1, 1913


1,000


1,000


July 1, 1903


288


4


July 1, 1913


1,000


1,000


July 1, 1894


73


4


July 1, 1914


1,000


1,000


July 1, 1897


190


4


July 1, 1914


1,000


1,000


July 1, 1898


214


4


July 1, 1914


1,000


1,000


July 1, 1901


23


31/2


July 1, 1914


1,000


1,000


July 1, 1902


265


31/2


July 1, 1914


1,000


1,000


July 1, 1903


289


4


July 1, 1914


1,000


1,000


July 1, 1897


191


4


July 1, 1915


1,000


1,000


July 1, 1898


215


4


July 1, 1915


1,000


1,000


July 1, 1901


237


31/2


July 1, 1915


1,000


1,000


July 1, 1902


266


31/2


July 1, 1915


1,000


1,000


July 1, 1903


290


4


July 1, 1915


1,000


1,000


July 1, 1897


192


4


July 1, 1916


1,000


1,000


July 1, 1898


216


4


July 1, 1916


1,000


1,000


July 1, 1901


238


31/2


July 1, 1916


1,000


1,000


July 1, 1902


267


31/2


July 1, 1916


1,000


1,000


July 1, 1903


291


4


July 1, 1916


1,000


1,000


July 1, 1897


193


4


July 1, 1917


1,000


1,000


July 1, 1898


217


4


July 1, 1917


1,000


1,000


July 1, 1901


239


31/2


July 1, 1917


1,000


1,000


July 1, 1902


268


31/2


July 1, 1917


1,000


1,000


Amount


carried


forward


$88,000


48


ANNUAL REPORTS.


SEWER LOAN BONDS .- Continued.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


Amount


brought


forward .


$88,000


July 1, 1903


292


4


July 1, 1917


$1,000


1,000


July 1, 1897


194


4


July 1, 1918


1,000


1,000


July 1, 1898


218


4


July 1, 1918


1,000


1,000


July 1, 1901


240


31/2


July 1, 1918


1,000


1,000


July 1, 1902


269


31/2


July 1, 1918


1,000


1,000


July 1, 1903


293


4


July 1, 1918


1,000


1,000


July 1, 1897


195


4


July 1, 1919


1,000


1,000


July 1, 1898


219


4


July 1, 1919


1,000


1,000


July 1, 1901


241


31/2


July 1, 1919


1,000


1,000


July 1, 1902


270


31/2


July 1, 1919


1,000


1,000


July 1, 1903


294


4


July 1, 1919


1,000


1,000


July 1, 1897


196


4


July 1, 1920


1,000


1,000


July 1, 1898


220


4


July 1, 1920


1,000


1,000


July 1, 1901


242


31/2


July 1, 1920


1,000


1,000


July 1, 1902


271


31/2


July 1, 1920


1,000


1,000


July 1, 1903


295


4


July 1, 1920


1,000


1,000


July 1, 1897


197


4


July 1, 1921


1,000


1,000


July 1, 1898


221


4


July 1, 1921


1,000


1,000


July 1, 1901


243


31/2


July 1, 1921


1,000


1,000


July 1, 1902


272


31/2


July 1, 1921


1,000


1,000


July 1, 1903


296


4


July 1, 1921


1,000


1,000


July 1, 1897


198


4


July 1, 1922


1,000


1,000


July 1, 1898


222


4


July 1, 1922


1,000


1,000


July 1, 1901


244


31/2


July 1, 1922


1,000


1,000


July 1, 1902


273


31/2


July 1, 1922


1,000


1,000


July 1, 1903


297


4


July 1, 1922


1,000


1,000


July 1, 1898


223


4


July 1, 1923


1,000


1,000


Amount


carried


forward


. .


$115,000


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


49


SEWER LOAN BONDS .- Continued.


DATE.


Number of Bonds.


Rate per cent. of Interest


When due.


Denomi- nation.


Amount.


July 1, 1901


245


31/2


July 1, 1923


$1,000


1,000


July 1, 1902


274


31/2


July 1, 1923


1,000


1,000


July 1, 1903


298


4


July 1, 1923


1,000


1,000


July 1, 1901


246


31/2


July 1, 1924


1,000


1,000


July 1, 1902


275


31/2


July 1, 1924


1,000


1,000


July 1, 1903


299


4


July 1, 1924


1,000


1,000


July 1, 1901


247


31/2


July 1, 1925


1,000


1,000


July 1, 1902


276


31/2


July 1, 1925


1,000


1,000


July 1, 1903


300


4


July 1, 1925


1,000


1,000


July 1, 1901


248


31/2


July 1, 1926


1,000


1,000


July 1, 1902


277


31/2


July 1, 1926


1,000


1,000


July 1, 1903


301


4


July 1, 1926


1,000


1,000


July 1, 1901


249


31/2


July 1, 1927


1,000


1,000


July 1, 1902


278


31/2


July 1, 1927


1,000


1,000


July 1, 1903


302


4


July 1, 1927


1,000


1,000


July 1, 1901


250


31/2


July 1, 1928


1,000


1,000


July 1, 1903


303


4


July 1, 1928


1,000


1,000


July 1, 1901


251


31/2


July 1, 1929


1,000


1,000


July 1, 1901


252


31/2


July 1, 1930


1,000


1,000


July 1, 1901


253


31/2


July 1, 1931


1,000


1,000


Total amount


of Sewer Loan


Bonds


under debt


limit


$135 000


Amount


brought


forward .


$115,000


50


ANNUAL REPORTS.


SEWER LOAN BONDS .- Concluded.


ISSUED UNDER AUTHORITY OF CHAPTER 357, ACTS OF 1895, BEYOND THE LIMIT FIXED BY LAW.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


July 1, 1895


106 to 109


4


July 1, 1904


$1,000


$4,000


July 1, 1895


110 to 113


4


July 1, 1905


1,000


4,000


July 1, 1895


114 to 116


4


July 1, 1906


1,000


3,000


July 1, 1895


117 to 119


4


July 1, 1907


1,000


3,000


July 1, 1895


120 to 122


4


July 1, 1908


1,000


3,000


July 1, 1895


123 to 125


4


July 1, 1909


1,000


3,000


July 1, 1895


126 to 128


4


July 1, 1910


1,000


3,000


July 1, 1895


129 to 131


4


July 1, 1911


1,000


3,000


July 1, 1895


132 to 134


4


July 1, 1912


1,000


3,000


July 1, 1895


135 to 137


4


July 1, 1913


1,000


3,000


July 1, 1895


138 to 140


4


July 1, 1914


1,000


3,000


July 1, 1895


141 to 143


4


July 1, 1915


1,000


3,000


July 1, 1895


144 to 146


4


July 1, 1916


1,000


3,000


July 1, 1895


147 to 149


4


July 1, 1917


1,000


3,000


July 1, 1895


150 to 152


4


July 1, 1918


1,000


3,000


July 1, 1895


153 to 155


4


July 1, 1919


1,000


3,000


July 1, 1895


156 to 158


4


July 1, 1920


1,000


3.000


July 1, 1895


159 to 161


4


July 1, 1921


1,000


3,000


July 1, 1895


162 to 164


4


July 1, 1922


1,000


3,000


July 1, 1895


165 to 167


4


July 1, 1923


1,000


3,000


July 1, 1895


168 to 170


4


July 1, 1924


1,000


3,000


July 1, 1895


171 to 173


4


July 1, 1925


1,000


3,000


Total amount


of Sewer Loan


Bonds


under above


Act . .


$68,000


51


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


City Loan Paving Bonds. ISSUED UNDER AUTHORITY OF CHAPTER 153, ACTS OF 1892, BEYOND THE LIMIT FIXED BY LAW.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


D enomi- nation.


Amount


October 1, 1892


56 to 60


4


Oct 1, 1904


$1,000


$5,000


October 1, 1892


61 to 65


4


Oct. 1, 1905


1,000


5,000


October 1, 1892


66 to 70


4


Oct. 1, 1906


1,000


5,000


October 1, 1892


71 to 75


4


Oct. 1, 1907


1,000


5,000


October 1, 1892


76 to 80


4


Oct. 1, 1908


1,000


5,000


October 1, 1892


81 to 85


4


Oct. 1, 1909


1,000


5,000


October 1, 1892


86 to 90


4


Oct. 1, 1910


1,000


5,000


October 1, 1892


91 to 95


4


Oct. 1, 1911


1,000


5,000


October 1, 1892


96 to 100


4


Oct. 1, 1912


1,000


5,000


Total amount of


Paving


Bonds


$45 000


52


ANNUAL REPORTS.


Water Loan Bonds.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


July 1, 1886


257 to 266


4


July 1, 1904


$1,000


$10,000


July 1, 1896


6455


4


July 1, 1904


1,000


1,000


October 1, 1889


351 to 352


4


Oct. 1, 1904


1,000


2,000


October 1, 1890


450 to 451


4


Oct. 1, 1904


1,000


2,000


July 1, 1896


b456


4


July 1, 1905


1,000


1,000


October 1, 1889


353 to 355


4


Oct. 1, 1905


1,000


3,000


October 1, 1890


452 to 453


4


Oct. 1, 1905


1,000


2,000


July 1, 1876


30 to 31


51


July 1, 1906


5,000


10,000


July 1, 1896


- b457


4


July 1, 1906


1,000


1,000


October 1, 1889


356 to 358


4


Oct. 1, 1906


1,000


3,000


October 1, 1890


454 to 455


4


Oct. 1, 1906


1,000


2,000


July 1, 1886


267 to 276


4


July 1, 1907


1,000


10,000


July 1, 1888


291


4


July 1, 1907


1,000


1,000


July 1, 1896


৳458


4


July 1, 1907


1,000


1,000


October 1, 1889


359 to 361


4


Oct. 1, 1907


1,000


3,000


October 1, 1890


456 to 457


4


Oct. 1, 1907


1,000


2,000


July 1, 1888


292


4


July 1, 1908


1,000


1,000


July 1, 1896


6459


4


July 1, 1908


1,000


1,000


October 1, 1889


362 to 364


4


Oct. 1, 1908


1,000


3,000


October 1, 1890


458 to 459


4


Oct. 1, 1908


1,000


2,000


July 1, 1888


293


4


July 1, 1909


1,000


1,000


October 1, 1889


365 to 367


4


Oct. 1, 1909


1,000


3,000


October 1, 1890


423 to 424


4


Oct. 1, 1909


1,000


2,000


July 1, 1888


294


4


July 1, 1910


1,000


1,000


October 1, 1889


368 to 370


4


Oct. 1, 1910


1,000


3,000


October 1, 1890


426 to 427


4


Oct. 1, 1910


1,000


2,000


July 1, 1888


295


4


July 1, 1911


1,000


· 1,000


October 1, 1889


371 to 373


4


Oct. 1, 1911


1,000


3,000


October 1, 1890


428 to 429


4


Oct. 1, 1911


1,000


2,000


July 1, 1888


296


4


July 1, 1912


1,000


1,000


October 1, 1889


374 to 376


4


Oct. 1, 1912


1,000


3,000


October.1, 1890


430 to 431


4


Oct. 1, 1912


1,000


2,000


Amount


carried


forward


. .


$85,000


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


53


WATER LOAN BONDS .- Concluded.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


July 1, 1888


297


4


July 1, 1913


$1,000


1,000


October 1, 1889


377 to 379


4


Oct. 1, 1913


1,000


3,000


October 1, 1890


432 to 433


4


Oct. 1, 1913


1,000


2,000


July 1, 1888


298


4


July 1, 1914


1,000


1,000


October 1, 1889


380 to 382


4


Oct. 1, 1914


1,000


3,000


October 1, 1890


434 to 435


4


Oct. 1, 1914


1,000


2,000


July 1, 1888


299


4


July 1, 1915


1,000


1,000


October 1, 1889


383 to 384


4


Oct. 1, 1915


1,000


2,000


October 1, 1890


436 to 437


4


Oct. 1, 1915


1,000


2,000


July 1, 1888


300


4


July 1, 1916


1,000


1,000


October 1, 1889


385 to 386


4


Oct. 1, 1916


1,000


2,000


October 1, 1890


438 to 439


4


Oct. 1, 1916


1,000


2,000


July 1, 1888


301


4


July 1, 1917


1,000


1,000


October 1, 1889


387 to 388


4


Oct. 1, 1917


1,000


2,000


October 1, 1890


440 to 441


4


Oct. 1, 1917


1,000


2,000


July 1, 1888


302


4


July 1, 1918


1,000


1,000


October 1, 1889


389 to 390


4


Oct. 1, 1918


1,000


2,000


October 1, 1890


442 to 443


4


Oct. 1, 1918


1,000


2,000


October 1, 1889


391 to 392


4


Oct. 1, 1919


1,000


2,000


October 1, 1890


444 to 445


4


Oct. 1, 1919


1,000


2,000


October 1, 1890


446 to 447


4


Oct. 1, 1920


1,000


2,000


Total amount


of


Water Loan


Bonds .


$123,000


Amount


brought


forward . .


$85,000


54


ANNUAL REPORTS.


Metropolitan Park Assessment Loan Bonds.


ISSUED UNDER AUTHORITY OF CHAPTER 225, ACTS OF 1902, BEYOND THE LIMIT FIXED BY LAW.


DATE.


Number of Bonds.


Rate per cent. of Interest.


When due.


Denomi- nation.


Amount.


July 1, 1902


2


31/2


July 1, 1904


$1,000


$1,000


July 1, 1902


3


31/2


July 1, 1905


1,000


1,000


July 1, 1902


4


31/2


July 1, 1906


1,000


1,000


July 1, 1902


5


31/2


July 1, 1907


1,000


1,000


July 1, 1902


6


31/2


July 1, 1908


1,000


1,000


July 1, 1902


7


31/2


July 1, 1909


1,000


1,000


July 1, 1902


8


31/2


July 1, 1910


1,000


1,000


July 1, 1902


9


31/2


July 1, 1911


1,000


1,000


July 1, 1902


10


31/2


July 1, 1912


1,000


1,000


July 1, 1902


11


31/2


July 1, 1913


1,000


1,000


July 1, 1902


12


31/2


July 1, 1914


1,000


1,000


July 1, 1902


13


31/2


July 1, 1915


1,000


1,000


July 1, 1902


14


31/2


July 1, 1916


1,000


1,000


July 1, 1902


15


31/2


July 1, 1917


1,000


1,000


July 1, 1902


16


31/2


July 1, 1918


1,000


1,000


July 1, 1902


17


31/2


July 1, 1919


1,000


1,000


July 1, 1902


18


31/2


July 1, 1920


1,000


1,000


July 1, 1902


19


31/2


July 1, 1921


1,000


1,000


July 1, 1902


20


31/2


July 1, 1922


1,000


1,000


July 1, 1902


21


31/2


July 1, 1923


1,000


1,000


July 1, 1902


22


31/2


July 1, 1924


1,000


1,000


July 1, 1902


23


31/2


July 1, 1925


1,000


1,000


July 1, 1902


24


31/2


July 1, 1926


1,000


1,000


July 1, 1902


25


1


31/2


July 1, 1927


1,000


1,000


July 1, 1902


26


31/2


July 1, 1928


1,000


1,000


July 1, 1902


27


31/2


July 1, 1929


1,000


1,000


Total amount


of Metropolitan


Park Assessment Loan


Bonds


$26,000


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


55


Recapitulation.


City Loan Bonds


$1,108,500 00


Sewer Loan Bonds . 135,000 00


Total amount of Funded Debt within the limit provided by law


$1,243,500 00


Sewer Loan Bonds, issued under Chapter 357, Acts of 1895 ·


$68,000 00


City Loan Paving Bonds, issued under Chapter 153, Acts of 1892 45,000 00


Metropolitan Park Assessment Loan Bonds, issued under Chapter 325, Acts of 1902


26,000 00


Total amount of Funded Debt outside of the limit allowed by law, issued under special Acts


139,000 00


Water Loan Bonds


123,000 00


Total amount of Funded Debt


$1,505,500 00


5,6


ANNUAL REPORTS.


TABLE C .- STATEMENT OF ACCOUNTS, SHOWING APPROPRI= ATIONS, EXPENDITURES, ETC., TO DECEMBER 31, 1903.


Appropriations.


CREDIT.


Taxes, amount assessed for municipal purposes .


$830,051 77


Property and Debt Balance, amount provided by issue of bonds


197,500 00 ·


$1,027,551 77


DEBIT.


Appropriations from tax levy :-


Assessors


$10,075 00


City Auditor


725 00


City Clerk


6,350 00


City Engineer


11,900 00


City Messenger


2,000 00


City Solicitor


2,300 00


City Treasurer


9,000 00


Clerk of Committees and Departments


4,200 00


Contingent Fund


3,800 00


City Clerk


750 00


Commissioner of Public Buildings


1,000 00


Pay of Election Officers


1,700 00


Registrars of Voters


1,600 00


Electrical Department


7,000 00


Excess and Deficiency


2,101 77


Executive Department


3,900 00


Fire Department


35,000 00


Health Department


39,000 00


Highways :-


Maintenance


2,100 00


Removal of Brown-tail Moths


3,000 00


Watering Streets


1,000 00


Inspection of Buildings


4,100 00


Interest


52,000 00


Military Aid


500 00


Police


31,000 00


Printing and Stationery


2,500 00


Public Buildings Maintenance :-


City Hall


3,800 00


City Hall Annex


800 00


Fire Department


4,400 00


Health Department


200 00


Highways


2,600 00


Public Grounds


3,800 00


Schoolhouses


51,170 00


Sewer Department


125 00


Support of Poor


600 00


Water Department


100 00


Public Grounds


10,500 00


Public Library


14,800 00


Reduction of Funded Debt


118,000 00


School Contingent


24,000 00


School Teachers' Salaries


238,000 00


Amount carried forward


$711,821 77


Police


75 00


Public Library


250 00


Election Expenses :-


APPENDIX TO TREASURER AND COLLECTOP.'S REPORT.


57


Amount brought forward


$711,821 77


Sealer of Weights and Measures


1,200 00


Sidewalks Maintenance


6,000 00


Soldiers' Relief


16,000 00


Somerville Hospital


5,000 00


Street Lights


63,900 00


Support of Poor :- City Home


4,500 00


Miscellaneous


21,630 00


$830,051 77


Appropriations on Funded Debt account :- Public Buildings Construction :-


Addition to Bingham School


$34,500 00


Engine House in Ward Two


43,000 00


Historical Building and Observatory on Prospect Hill


7,000 00


Martha Perry Lowe School


18,000 00


Public Grounds :-


Prospect Hill Park, Completion


1,000 00


Improvement of Playground, Poplar corner Joy Street . .


250 00


Highways :-


Construction


15,000 00


Paved Gutters and Crossings


20,600 00


Thorndike-street Subway


3,800 00


Renewal of Funded Debt


18,000 00


Sewers Construction


25,000 00


Sidewalks Construction


11,350 00


197,500 00


$1,027,551 77


Assessors.


CREDIT.


Appropriations, from Taxes, 1903


$10,075 00


Transferred to Excess and Deficiency account, balance unused


2 17


$10,072 83


DEBIT. (Expenditures.)


Cash, paid Albert B. Fales, salary as chair-


man of the board of assessors


$2,000 00


Benjamin F. Thompson, assessor


800 00


Nathan H. Reed, assessor


800 00


Harry A. True, assessor


800 00


Jesse J. Underhill, assessor


800 00


Fred B. Clapp, assistant assessor


250 00


William Henry Smith, assistant assessor


250 00


Sewall M. Rich, assistant assessor


250 00


James Wilson, assistant assessor


700 00


Gertrude G. Kendall, first assistant clerk car fares


8 10


Jennie L. Jones, second assistant clerk car fares


600 00


Mabel E. Hall, third assistant clerk


500 00


Raymond A. Farr, clerical services


52 00


Amount carried forward


$8,079 80


.


.


250 00


19 70


.


58


ANNUAL REPORTS.


1


Amount brought forward


$8,079 80


George H. Crosby, clerical services


54 00


Charles P. Palmer, clerical services


58 00


Theodore H. Locke, clerical services


52 00


Florence H. Plimpton, clerical services Bessie L. L. Crosby, clerical services


155 34


Lillian J. Stearns, clerical services


173 78


Clara L. Fitch, clerical services


54 67


Eva V. Tukey, clerical services


153 34


Aunita N. Fales, clerical services


103 11


Somerville Journal Co., printing


755 13


Wesley A. Maynard, advertising


8 00


W. A. Greenough & Co., directory


3 50


Somerville Post-office, postage


26 00


Yawman, Erbe Mfg. Co., files


1 60


S. Ward Co., stationery


172 73


Pneumatic Hand Stamp Co., stationery .


2 25


L. E. Clayton, stationery


40


New England Telephone and Telegraph Co., service


53 84


Joseph Gridley, lunch


9 00


Howard Lowell & Son, carriage hire


3 00


·


$10,072 83


Cash.


CREDIT.


Payments as follows :-


Assessors


$10,072 83


City Auditor


706 60


City Clerk


7,946 02


City Engineer


11,719 40


City Messenger


1,947 40


City Solicitor


2,252 90


City Treasurer


14,001 60


Clerk of Committees and Departments


4,117 78


Commonwealth of Massachusetts .


92,027 14


Contagious Disease Hospital and Land Contiguous City Home Property


to


400 00


Contingent Fund


4,331 69


County of Middlesex


57,308 97


Coupons unpaid


57,575 00


Election Expenses :---


City Clerk


768 37


Commissioner of Public Buildings


978 95


Pay of Election Officers


1,708 00


Registrars of Voters


1,568 26


Electrical Department


6,943 16


Electrical Department, Steam Fire Alarm Whistle


510 00


Executive Department


3,798 73


Fire Department


66,203 17


Fire Department, New Steam Fire Engine .


5,375 00


Health Department


47,189 01


Highway Betterment Assessments


68 96


Highways :-


Construction


20,384 55


Maintenance


78,187 24


Paved Gutters and Crossings


13,412 67


Paving Washington Street .


212 46


Removing Brown-tail Moths


3,786 80


Amount carried forward


$515,502 66


153 34


APPENDIX TO TREASURER AND COLLECTOR'S REPORT.


59


Amount brought forward Thorndike-street Subway


$515,502 66


2,008 93


Watering Streets


20,515 72


Inspection of Buildings Interest


20,134 50


Joseph F. Wilson Memorial


2,375 00


Military Aid


1,585 92


Overlay and Abatement .


144 28


Police


71,433 35


Printing and Stationery .


1,826 00


Prospect Hill Park, Completion Public Buildings Construction :-


1,205 19


Addition to Bingham School


17,280 44


Engine House in Ward Two


15,910 69


Historical Building and Observatory on Prospect Hill .


8,706 16


Schoolhouse in Ward One


502 55


Schoolhouse in Ward Seven


42,544 71


Public Buildings Maintenance :-


Armory


676 83


City Hall


4,626 49


City Hall Annex


818 40


Fire Department


4,350 73


Health Department


457 21


Highways


291 84


Police


3,474 79


Public Grounds


58 11


Public Library


4,657 13


Schoolhouses


54,671 98


Sewer Department


65 10


Support of Poor


1,067 74


Water Department


214 95


Public Grounds


11,451 19


Public Grounds, Improvement Playground, Poplar corner Joy Street


250 00


Public Library


18,793 04


Public Library, Isaac Pitman Fund, Income, Art


89 41


Public Library, Isaac Pitman Fund, Income, Poetry . Reduction of Funded Debt


47 14


School Contingent


25,721 55


School Teachers' Salaries


238,163 61


Sealer of Weights and Measures


1,430 03


Sewers, Construction


30,862 82


Sewers, Maintenance


13,182 55


Sidewalks, Construction


21,855 39


Sidewalks Maintenance


7,223 37


Soldiers' Burials


280 00


Soldiers' Relief


19,584 27


Somerville Hospital


5,000 00


State Aid


13,905 50


Street Lights


63,993 51


Support of Poor, City Home .


8,119 22


Support of Poor, Miscellaneous


30,478 53


Temporary Loans


780,000 00


Water Maintenance


51,451 30


Water Works, Abatements on Water Charges


859 25


Water Works Extension




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