USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1909 > Part 4
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374
4
July 1, 1922
1,000
1,000
.....
April 1, 1905
Reg. 146
31/2
Apr. 1, 1923
1,000
April 1, 1907
Reg. 33
4
Apr. 1, 1923
2,000
April 1, 1908
453
4
Apr. 1, 1923
1,000
1,000
April 1, 1909
482
31/2
Apr. 1, 1923
1,000
1,000
July 1, 1898
223
4
July 1, 1923
1,000
1,000
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, 1904
322
4
July 1, 1923
1,000
1,000
..
July 1, 1906
375
4
July 1, 1923
1,000
1,000
....
April 1, 1905
Reg. 147
31/2
Apr. 1, 1924
.
...
1,000
April 1, 1907
Reg. 34
4
Apr. 1, 1924
2,000
April 1, 1908
454
4
Apr. 1, 1924
1,000
1,000
April 1, 1909
483
31/2
Apr. 1, 1924
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, 1904
323
4
July 1, 1924
1,000
1,000
......
July 1, 1906
376
4
July 1, 1924
1,000
1,000
.....
April 1, 1905
Reg. 148
31/2
Apr. 1, 1925
· ...
1,000
April 1, 1907
Reg. 35
4
Apr. 1, 1925
2,000
April 1, 1908
455
4
Apr. 1, 1925
1,000
1,000
·
April 1, 1909
484
31/2
Apr. 1, 1925
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
. .... .
Amounts
carried forward ..
$133,000
$59,000
...
. .
·
.
.
46
ANNUAL REPORTS.
SEWER LOAN BONDS .- Continued.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When due.
Denomi- nation.
Amount Coupon Bonds.
Amount Reg. Bonds.
July 1, 1904
324
4
July 1, 1925
$1,000
1,000
. ....
July 1, 1906
377
4
July 1, 1925
1,000
1,000
April 1, 1905
Reg. 149
31/2
Apr. 1, 1926
1,000
April 1, 1909
Reg. 36
4
Apr. 1, 1926
.....
2,000
April 1, 1908
456
4
Apr. 1, 1926
1,000
1,000
April 1, 1909
485
31/2
Apr. 1, 1926
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, 1904
325
4
July 1, 1926
1,000
1,000
...
July 1, 1906
378
4
July 1, 1926
1,000
1,000
April 1, 1905
Reg. 150
31/2
Apr. 1, 1927
1,000
April 1, 1907
Reg. 37
4
Apr. 1, 1927
2,000
April 1, 1903
457
4
Apr. 1, 1927
1,000
1,000
April 1, 1909
486
31/2
Apr. 1, 1927
1,000
1,000
July 1, 1901
249
31%
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, 1904
326
4
July 1, 1927
1,000
1,000
April 1, 1905
Reg. 151
31/2
Apr. 1, 1928
1,000
April 1, 1907
Reg. 38
4
Apr. 1, 1928
2,000
April 1, 1908
458
4
Apr. 1, 1928
1,000
1,000
April 1, 1909
487
31/2
Apr. 1, 1928
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, 1904
327
4
July 1, 1928
1,000
1,000
....
April 1, 1905
Reg. 152
31/2
Apr. 1, 1929
.. .
.....
1,000
April 1, 1907-
Reg. 39
4
Apr. 1, 1929
. .
.....
2,000
April 1, 1908
459
4
Apr. 1. 1929
1,000
1,000-
Amounts
carried
forward ..
$154,000
$71,000
. .
.. .
.
.. .
. .
. .
.
Amounts
brought
forward. .
. .....
$133,000
$59,000
.
47
APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
SEWER LOAN BONDS .- Continued.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When Due.
Denomi- nation.
Amount Coupon Bonds.
Amount Reg. Bonds.
April 1, 1909
488
31/2
Apr. 1, 1929
$1,000
1,000
July 1, 1901
251
31/2
July 1, 1929
1,000
1,000
July 1, 1904
328
4
July 1, 1929
1,000
1,000
April 1, 1905
Reg. 153
31/2
Apr. 1, 1930
1,000
April 1, 1907
Reg. 40
4
Apr. 1, 1930
. . ..
2,000
April 1, 1908
460
4
Apr. 1, 1930
1,000
1,000
1,000
July 1, 1901
252
31/2
July 1, 1930
1,000
1,000
April 1, 1905
Reg. 154
31/2
Apr. 1, 1931
1,000
April 1, 1907
Reg. 41
4
Apr. 1, 1931
..
2,000
April 1, 1908
461
4
Apr. 1, 1931
1,000
1,000
April 1, 1909
Reg. 65
31/2
Apr. 1, 1931
1,000
July 1, 1901
253
31/2
July 1, 1931
1,000
1,000
April 1, 1905
Reg. 155
31/2
Apr. 1, 1932
. . .
1,000
April 1, 1907
Reg. 42
4
Apr. 1, 1932
2,000
April 1, 1908
462
4
Apr. 1, 1932
1,000
1,000
April 1, 1909
Reg. 66
31/2
Apr. 1, 1932
1,000
April 1, 1905
Reg. 156
31/2
Apr. 1, 1933
1,000
April 1, 1907
Reg. 43
4
Apr. 1, 1933
2,000
April 1, 1903
463
4
Apr. 1, 1933
1,000
1,000
April 1, 1909
Reg. 67
31/2
Apr. 1, 1933
1,000
April 1, 1905
Reg. 157
31/2
Apr. 1, 1934
1,000
April 1, 1907
Reg. 44
4
Apr. 1, 1934
2,000
April 1, 1908
464
4
Apr. 1, 1934
1,000
1,000
April 1, 1909
Reg. 68
31/
Apr. 1, 1934
1,000
April 1, 1905
Reg. 158
31/2
Apr. 1, 1935
1,000
April 1, 1907
Reg. 45
4
Apr. 1, 1935
. .
2,000
April 1, 1908
465
4
Apr. 1, 1935
1,000
1,000
April 1, 1909
494
31/2
Apr. 1, 1935
1,000
1,000
Amounts
carried
forward,.
$166,000
$94,000
.
April 1, 1909
Reg. 64
31/2
Apr. 1, 1930
.. .
Amounts
brought
forward ..
....
$154,000
$71,000
.
...
48
ANNUAL REPORTS.
1
SEWER LOAN BONDS .- Continued.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When Due.
Denomi- nation.
Amount Coupon Bonds.
Amount Reg. Bonds.
Amounts
brought
forward ...
...
$166,000
$94,000
April 1, 1907
Reg. 46
4
Apr. 1, 1936
. .
2,000
April 1, 1908
466
4
Apr. 1, 1936
$1,000
1,000
. .....
April 1, 1909
495
31/2
Apr. 1, 1936
1,000
1,000
.
...
April 1, 1907
Reg. 47
4
Apr. 1, 1937
..
.. .
2,000
April 1, 1908
467
4
Apr. 1, 1937
1,000
1,000
April 1, 1909
496
31/2
Apr. 1, 1937
1,000
1,000
April 1, 1908
468
4
Apr. 1, 1938
1,000
1,000
April 1, 1909
497
31/2
Apr. 1, 1938
1,000
1,000
.. .
April 1, 1909
498
31/2
Apr. 1, 1939
1,000
1,000
:
$173,000
$98,000
Coupon Bonds Registered Bonds
$173,000
98,000
Total amount of Sewer Loan Bonds under debt limit,
$271,000
. .
49
APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
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
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
133 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 ..
$48,000
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.
Denomi- nation.
Amount.
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. .
$15,000
50
ANNUAL REPORTS.
Water Loan Bonds.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When Due.
Denomi- nation.
Amount Coupon Bonds.
Amount Reg. Bonds.
July 1, 1888
294
4
July 1, 1910
$1,000
$1,000
.
Oct. 1, 1889
Reg. 103
4
Oct. 1, 1910
.....
..
..
$3,000
Oct. 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
.....
Oct. 1, 1889
Reg. 104
4
Oct. 1, 1911
3,000
Oct. 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
..
Oct. 1, 1889
Reg. 105
4
Oct. 1, 1912
...
.
3,000
Oct. 1, 1890
430 to. 431
4
Oct. 1, 1912
1,000
2,000
July 1, 1888
297
4
July 1, 1913
1,000
1,000
...
Oct: 1, 1889
Reg. 106
4
Oct. 1, 1913
....
.
3,000
Oct. 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
...
Oct. 1, 1889
Reg. 107
4
Oct. 1, 1914
3,000
Oct. 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
..
Oct. 1, 1889
Reg. 108
4
Oct. 1, 1915
..
.
2,000
Oct. 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
...
Oct. 1, 1889
Reg. 109
4
Oct. 1, 1916
.... .
2,000
Oct. 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
. ....
Oct. 1, 1889
Reg. 110
4
Oct. 1, 1917
2,000
Oct. 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
. ...
Oct. 1, 1889
Reg. 111
4
Oct. 1, 1918
.. .
2,000
Oct. 1, 1890
442 to 443
4
Oct. 1, 1918
1,000
2,000
.....
Amounts
carried forward ..
$27,000
$23,000
...
.
APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
51
WATER LOAN BONDS .- Concluded.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When due.
Denomi- nation.
Amount Coupon Bonds.
Amount Reg. Bonds.
Amounts
brought
forward ..
.....
$27,000
$23,000
Oct. 1, 1889
Reg. 112
4
Oct. 1, 1919
.....
· ....
2,000
Oct. 1, 1890
444 to 445
4
Oct. 1, 1919
$1,000
2,000
....
Oct. 1, 1890
446 to 447
4
Oct. 1, 1920
1,000
2,000
$31,000
$25,000
Coupon Bonds Registered Bonds
$31,000
25,000
Total amount Water Loan Bonds
$56,000
52
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 Coupon Bonds.
Amount Reg. Bonds.
July 1, 1902
Reg. 181
31/2
July 1, 1910
·
$1,000
July 1, 1902
Reg. 161
31/2
July 1, 1911
....
·
1,000
July 1, 1902
Reg. 162
31/2
July 1, 1912
....
......
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
. .. .
·
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
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
......
$17,000
$3,000
Coupon Bonds Registered Bonds
$17,000
3,000
Total amount Met. Park Assessment Loan Bonds, $20,000
.
July 1, 1902
13
53
APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
Lowell Street Bridge Loan Bonds.
ISSUED UNDER AUTHORITY OF CHAPTER 307, ACTS OF 1909.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When due.
Denomi- nation.
Amount Coupon Bonds.
Amount Reg. Bonds.
April 1, 1909
1
31/2
Apr. 1, 1910
$1,000
$1,000
.
April 1, 1909
2
31/2
Apr. 1, 1911
1,000
1,000
April 1, 1909
3
31/2
Apr. 1, 1912
1,000
1,000
April 1, 1909
4
31/2
Apr. 1, 1913
1,000
1,000
.....
April 1, 1909
5
31/2
Apr. 1, 1914
1,000
1,000
.....
April 1, 1909
6
31/2
Apr. 1, 1915
1,000
1,000
.....
April 1, 1909
7
31/2
Apr. 1, 1916
1,000
1,000
.....
April 1, 1909
8
31/
Apr. 1, 1917
1,000
1,000
. ..
April 1, 1909
9
31/2
Apr. 1, 1918
1,000
1,000
April 1, 1909
10
31/2
Apr. 1, 1919
1,000
1,000
April 1, 1909
11
31/2
Apr. 1, 1920
1,000
1,000
April 1, 1909
12
31/2
Apr. 1, 1921
1,000
1,000
..
April 1, 1909
13
31/2
Apr. 1, 1922
1,000
1,000
April 1, 1909
14
31/2
Apr. 1, 1923
1,000
1,000
April 1, 1909
15
31/2
Apr. 1, 1924
1,000
1,000
April 1, 1909
16
31/2
Apr. 1, 1925
1,000
1,000
April 1, 1909
17
31/2
Apr. 1, 1926
1,000
1,000
April 1, 1909
18
31/2
Apr. 1, 1927
1,000
1,000
April 1, 1909
19
31/2
Apr. 1, 1928
1,000
1,000
...
April 1, 1909
20
31/2
Apr. 1, 1929
1,000
1,000
..
April 1, 1909
Reg. 59
31/2
Apr. 1, 1930
...
$1,000
April 1, 1909
Reg. 60
31/2
Apr. 1, 1931
...
1,000
April 1, 1909
Reg. 61
31/2
Apr. 1, 1932
.
1,000
April 1, 1909
Reg. 62
31/2
Apr. 1, 1933
1,000
April 1, 1909
Reg. 63
31/2
Apr. 1, 1934
April 1, 1909
26
31/2
Apr. 1, 1935
1,000
1,000
April 1, 1909
27
31/2
Apr. 1, 1936
1,000
1,000
April 1, 1909
23
31/2
Apr. 1, 1937
1,000
1,000
.....
April 1, 1909
29
31/2
Apr. 1, 1933
1,000
1,000
Amounts
carried
forward ..
$24,000
$5,000
...
...
1,000
54
1
ANNUAL REPORTS.
1
LOWELL STREET BRIDGE LOAN BONDS .- Concluded.
DATE.
Number of Bonds.
Rate per cent. of Interest.
When due.
Denomi- nation.
Amount Coupon Bonds.
Amount Reg. Bonds.
Amounts
brought
forward ..
$24,000
$5,000
April 1, 1909
30
31/2
Apr. 1, 1939
$1,000
1,000
April 1, 1909
31
31/2
Apr. 1, 1940
1,000
1,000
April 1, 1909
32
31/2
Apr. 1, 1941
1,000
1,000
....
April 1, 1909
33
31/2
Apr. 1, 1942
1,000
1,000
April 1, 1909
34
31/2
Apr. 1, 1943
1,000
1,000
April 1, 1909
35
31/2
Apr. 1, 1944
1,000
1,000
April 1, 1909
36
31/2
Apr. 1, 1945
1,000
1,000
April 1, 1909
37
31/2
Apr. 1, 1946
1,000
1,000
April 1, 1909
38
31/2
Apr. 1, 1947
1,000
1,000
....
April 1, 1909
39
31/
Apr. 1, 1948
1,000
1,000
....
April 1, 1909
40
31/2
Apr. 1, 1949
1,000
1,000
....
Coupon Bonds
$35,000
Registered Bonds
5,000
Total amount of Lowell Street Bridge Loan Bonds, $40,000
Recapitulation.
City Loan Bonds ·
$1,053,000 00
Sewer Loan Bonds .
271,000 00
Lowell Street Bridge Loan Bonds
40,000 00
Total amount of Funded Debt within the limit provided by law Sewer Loan Bonds, issued under Chapter 357, Acts of 1895
$48,000 00
City Loan Paving Bonds, issued under Chapter 153, Acts of 1892 . Metropolitan Park Assessment Loan Bonds, issued under Chapter 325, Acts of 1902,
15,000 00
20,000 00
Total amount of Funded Debt outside of the limit allowed by law, issued under special Acts
83,000 00
Water Loan Bonds
56,000 00
Total amount of Funded Debt
. $1,503,000 00
.. .
$35,000
$5,000
.
$1,364,000 00
55
APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
TABLE C. - STATEMENT OF ACCOUNTS, SHOWING APPROPRI- ATIONS, EXPENDITURES, ETC., TO DECEMBER 31, 1909.
Appropriations.
CREDIT.
Taxes, amount assessed for municipal purposes .
$973,325 00
Property and Debt Balance, amount provided by issue of bonds
190,000 00
$1,163,325 00
DEBIT.
Appropriations from tax levy :-
Assessors
$11,000 00
City Auditor
725 00
City Clerk
6,000 00
City Engineer
11,500 00
City Messenger
2,000 00
City Solicitor
2,450 00
City Treasurer
9,700 00
Clerk of Committees and Departments
4,800 00
Contingent Fund
2,500 00
Election Expenses :-
City Clerk
1,900 00
Commissioner of Public Buildings
1,000 00
Pay of Election Officers
2,600 00
Registrars of Voters
1,700 00
Electrical Department
8,500 00
Executive Department
4,000 00
Fire Department
38,000 00
Health Department
8,000 00
Health Department :-
Collection of Ashes and Offal
50,000 00
Contagious Disease Hospital
1,000 00
Medical Inspection in Public Schools
1,500 00
Highways :-
Suppression of Elm-Leaf Beetle
1,000 00
Suppression of Gypsy and Brown-Tail Moths
3,800 00
Inspection of Buildings
4,450 00
Interest
75,000 00
Military Aid
900 00
Police
45,000 00
Printing and Stationery
750 00
Public Buildings Maintenance :-
City Buildings
11,000 00
Fire Department
5,000 00
Janitors' Salaries
30,000 00
Schoolhouses
34,000 00
Public Grounds
11,750 00
Public Library
16,000 00
Public Library. West Somerville Branch
2,500 00
Reduction of Funded Debt
145,000 00
School Contingent .
27,000 00
School Teachers' Salaries
295,000 00
Sealer of Weights and Measures .
1,800 00
Soldiers' Relief
23,000 00
Amount carried forward
$901,825 00
-
56
ANNUAL REPORTS.
Amount brought forward
$901,825 00
Somerville Hospital
5,000 00
Street Lights .
50,000 00
Support of Poor :- City Home
3,000 00
Miscellaneous
13,500 00
Appropriations on Funded Debt account :- Highways, Construction $80,000 00
Highways, Paved Gutters and Crossings 8,000 00
Sidewalks, Construction
12,000 00
Public Buildings Construction, Building
Public Buildings
20,000 00
Sewers, Construction
30,000 00
Lowell Street Bridges
40,000 00
190,000 00
$1,163,325 00
Assessors.
CREDIT.
Appropriations, from Taxes, 1909
$11,000 00
Excess and Deficiency account, balance transferred .
189 24
$10,810 76
DEBIT. (Expenditures.)
Cash, paid George W. Perkins, salary as chairman of the board of assessors .
$2,000 00
Nathan H. Reed, assessor
800 00
George E. Elliott, assessor
800 00
Winsor L. Snow, assessor
800 00
William A. Flaherty, assessor
800 00
Fred B. Clapp, assistant assessor .
250 00
John F. Stackpole, assistant assessor
250 00
James A. Butler, assistant assessor
250 00
James Wilson, assistant assessor .
250 00
George I. Canfield, assistant assessor
250 00
250 00
J. Robert Fenelon, assistant assessor Jennie L. Jones, first assistant clerk carfares
800 00
Mabel E. Hall, second assistant clerk carfares
4 50
Abbie D. Southworth, third assistant clerk
600 00
carfares
60
Theodore H. Locke, clerical services
40 00
Raymond A. Farr, clerical services
44 00
Frank H. Smith, clerical services
50 00
Stanley C. Converse, clerical services
50 00
Florence Ham, clerical services
152 68
Josephine M. Briggs, clerical services
136 01
Bertha M. Boyd, clerical services
129 34
Edith H. Bradford, clerical services
96 00
Jane A. Smith, clerical services
96 00
May F. Dutton, clerical services
74 00
Mabel F. Kenneson, clerical services
73 33
Amount carried forward
$9,664 56
.
18 10
600 00
.
$973,325 00
57
APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
Amount brought forward
$9,664 56
Florence R. Kenneson, clerical services,
70 00
L. E. Clayton, elastic 1 00
Glines & Co., expressing .
30
W. A. Greenough & Co., directory ·
4 00
E. F. Hicks, lunch
10 00
N. Allen Lindsey & Co., assignees of
Williams & Neiley, precinct lists 554 00
Wesley A. Maynard, advertising .
31 91
New England Telephone & Telegraph Co., service
45 98
Pneumatic Hand Stamp Co., stamps
1 30
Smith-Premier Typewriter Co., supplies,
1 85
Somerville Journal Co., printing
153 35
Somerville Post-office, postage
24 00
Samuel Ward Co., stationery
238 71
Williams & Neiley, printing
7 00
Yawman & Erbe Mfg. Co., stationery
2 80
$10,810 76
Benjamin G. Brown School, Land Addition.
CREDIT.
Sewers Construction account, amount transferred $1,500 00
Balance to credit of account, 1910
1,500 00
Cash.
RECEIPTS.
Balance from 1908
$55,109 24
City Clerk
$2,628 55 .
City Engineer
850 00
City Solicitor
10 38
City Treasurer
5,190 09
Clerk of Committees and Departments
16 17
Commonwealth of Massachusetts
33,144 54
Contingent Fund
139 00
County of Middlesex
4,396 11
Electrical Department
186 50
Executive Department
28 45
Fire Department
1,344 67
Funded Debt
190,000 00
Grade Crossings
63,516 54
Health Department
635 36
Health Department, Collection of Ashes and Offal
9,018 26
Health Department, Contagious Disease Hospital
5,538 44
Health Department, Contagious Disease
Hospital, Accounts for Collection
1,956 43
Highway Betterment Assessments
7,080 06
Highways, Construction
7,230 46
Highways, Maintenance
20,822 17
Highways, Paved Gutters and Crossings
47 31
Highways, Suppression of Gypsy and Brown-tail Moths
1 50
Highways, Sprinkling Streets
188 47
Inspection of Buildings .
41 25
Amounts carried forward .
$354,010 71
$55,109 24
.
58
ANNUAL REPORTS.
Amounts brought forward ·
$354,010 71
Interest .
12,395 32
Metered Water Charges
24,971 96
Police
3,344 01
Public Buildings Maintenance :-
City Buildings
741 23
Schoolhouses
166 87
Public Grounds
512 84
Public Library
790 63
Public Library, Frances A. Wilder Chil- dren's Department Fund, Income 4 40
Public Library, Isaac Pitman Fund, In- come, Art 260 40
Public Library, Isaac Pitman Fund, In- come, Poetry 65 10
133 27
Public Library, West Somerville Branch . Public Library Construction, West Somer- ville Branch
10,132 50
Redemption of Tax Liens
667 97
Reduction of Funded Debt
891 10
School Contingent .
404 56
School Teachers' Salaries
3 50
Sealer of Weights and Measures .
503 32
Sewer Assessments
2,340 92
Sewers, Construction
259 77
Sewers, Maintenance
1,230 50
Sidewalk Assessments
13,412 56
Sidewalks, Construction
23 43
Sidewalks, Maintenance .
86 47
Soldiers' Relief
9 00
State Aid .
93 00
Support of Poor, City Home
5,027 75
Support of Poor, Miscellaneous.
3,170 17
Taxes .
1,260,893 34
Temporary Loans
625,000 00
Water Maintenance
24,559 91
Water Service Assessments
3,816 32
Water Works Income
207,615 96
2,557,538 79
$2,612,648 03
PAYMENTS.
Assessors
$10,810 76
City Auditor
704 43
City Clerk
8,558 78
City Engineer
12,319 14
City Messenger
1,892 09
City Solicitor
2,390 07
City Treasurer
14,682 75
Clerk of Committees and Departments
4,754 02
Commonwealth of Massachusetts
185,724 68
Contingent Fund
2,561 28
County of Middlesex
67,627 10
Coupons
47,357 50
Election Expenses :--
1,268 08
Commissioner of Public Buildings
722 91
Pay of Election Officers
2,538 00
Amount carried forward
$363,911 59
$55,109 24
.
City Clerk
59
APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
Amount brought forward
$363,911 59
Registrars of Voters
1,547 97
Electrical Department
8,556 62
Electrical Department, Underground Con- struction
3,742 97
Executive Department
3,965 56
Fire Department
79,541 88
Grade Crossings
65,591 07
Health Department
11,746 85
Health Department, and Offal
Collection of Ashes
64,091 25
Health Department, Hospital
Contagious Disease
8,490 83
Health Department, Medical Inspection in Public Schools
1,427 45
Highways, Construction
86,707 35
Highways Construction, Bridges
8,432 87
Highways, Maintenance
68,027 68
Highways, Paved Gutters and Crossings
15,718 26
Highways, Suppression of Elm-leaf Beetle,
846 80
Brown-tail Moths
3,274 76
Highways, Sprinkling Streets
30,854 76
Inspection of Buildings .
4,660 20
Interest
29,096 12
Military Aid
1,020 00
Overlay and Abatement
53 34
Police
91,690 53
Printing and Stationery
1,735 23
Public Buildings Construction :-
Bath House Addition
1,362 03
Contagious Disease Hospital Addition,
4,062 40
Cummings School Sanitaries .
1,514 25
Davis School Sanitaries .
1,581 72
High School Building
828 00
Highland School, Heating and Ven- tilating
8,013 99
Public Buildings Maintenance :-
City Buildings
14,370 42
Fire Department
6,081 78
Janitors' Salaries
30,921 80
Schoolhouses
40,614 42
Public Grounds
12,244 00
Public Library
20,586 74
Public Library, Isaac Pitman Fund, In- come, Art
168 75
Public Library, Isaac Pitman Fund, In- come, Poetry
55 13
Public Library, West Somerville Branch
2,633 27
Public Library Construction, West Somer- ville Branch
10,582 02
Redemption of Tax Liens
652 97
Reduction of Funded Debt
157,500 00
School Contingent
27,448 10
School Teachers' Salaries
293,209 85
Sealer of Weights and Measures
2,281 52
Sewers, Construction
16,029 98
Sewers, Maintenance
13,200 90
Amount carried forward
. $1,620,675 98
·
Lowell Street
Highways, Suppression of Gypsy and
.
60
ANNUAL REPORTS.
Amount brought forward
$1,620,675 98
Sidewalks, Construction
24,256 56
Sidewalks, Maintenance
1,168 66
Soldiers' Burials
481 00
Soldiers' Monument
11,934 30
Soldiers' Relief
23,294 64
Somerville Hospital
5,000 00
State Aid
16,680 00
Street Lights
52,298 63
Support of Poor, City Home
7,562 83
Support of Poor, Miscellaneous
16,843 17
Temporary Loans
650,000 00
Water Loan Interest
1,120 00
Water Maintenance
50,294 63
Water Works, Abatements Charges
on
Water
183 63
Water Works Extension
18,014 40
$2,499,808 48
Balance to debit of account, 1910 .
112,839 55
$2,612,648 03
City Auditor.
CREDIT.
Appropriations, from Taxes, 1909
$725 00
Excess and Deficiency account, balance transferred 20 57
$704 43
DEBIT. (Expenditures.)
Cash, paid Clarence T. Bruce, salary as
auditor
$700 00
disbursements
2 74
Pneumatic Hand Stamp
Co., rubber 1 69
$704 43
City Clerk.
CREDIT.
Appropriations, from Taxes, 1909
$6,000 00
Excess and Deficiency account, balance transferred
69 77
$5,930 23
Cash, received of Frederic W. Cook, city clerk :-
Recording mortgages
$487 50
Dog licenses
367 00
Marriage certificates
769 00
Amusements
154 23
Transporting liquors
10 00
Junk licenses
265 00
Badges
1 75
Street musicians
16 00
Copies of records
110 50
Fireworks
49 00
Liquor licenses .
39 00
Amounts carried forward .
$2,268 98
$5,930 23
stamps
61
APPENDIX TO TREASURER AND COLLECTOR'S REPORT.
Amounts brought forward .
$2,268 98
$5,930 23
Billiards and pool
120 00
Intelligence offices
12 00
Auctioneers' licenses
42 00
Slaughtering
7 00
Drivers' licenses
9 00
Wagon stands
4 00
Private detectives
10 00
Sale of old ballots
3 00
Interest on deposits
10 57
Hackney carriage
15 00
Oil certificates
1 00
Wagon licenses
126 00
2,628 55
$3,558 78
DEBIT. (Expenditures.)
Cash, paid Frederic W. Cook, salary as city clerk .
$2,700 00
Howard E. Wemyss, assistant
city
clerk
1,400 00
Clara B. Snow, first assistant
800 00
Edith A. Woodman, second assistant
600 00
Alice M. Vincent, third assistant
538 50
Florence H. Plimpton, fourth assistant
600 00
Josephine M. Briggs, clerical services
118 67
Florence A. Kenneson, clerical services
3 33
American Express Co., expressing .
4 28
American Surety Co. of New York, pre- mium
8 00
Allen, Doane & Co., badges
2 75
American Multigraph Sales Co., type
4 90
Marion G. Bourne, canvassing
15 70
T. H. Ball, forms
4 20
Bicknell & Fuller Paper Box Co., boxes,
18 18
Brown's Express, expressing .
40
Boston Envelope & Printing Co., en- velopes
5 20
Justin J. Bradshaw & Co., scrap book
2 25
May G. Canfield, canvassing
38 40
The Carter's Ink Co., ink, etc.
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