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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