USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1932 > Part 3
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Nov. 21, 1932
5.80
100,000.00
Nov. 21, 1932
Merchants National Bank.
274
277*
Mar. 25, 1932
Nov. 28, 1932
5.50
100,000.00
Nov. 28, 1932
Merchants National Bank.
280
281
Mar. 31, 1932
Dec. 12, 1932
5.85
Dec. 12, 1932
Merchants National Bank.
282
@
287
Apr. 7, 1932
Nov. 28 1932 5.50
100,000.00
Nov. 28, 1932
Merchants National Bank ..
a
293
Apr.
7, 1932
Dec. 1, 1932
5.50
100,000.00
Dec. 1, 1932
Merchants National Bank.
294
299
Apr. 7, 1932
Dec. 19, 1932
5.50
100,000.00
Dec. 19, 1932
Merchants National Bank.
300
301
Apr. 8, 1932
Nov. 28, 1932
5.55
100,000.00
Nov. 28, 1932
Merchants National Bank ..
302
303
Apr. 8, 1932
Dec. 7, 1932
5.55
100,000.00
Dec. 7, 1932
Merchants National Bank ..
304
312
Apr. 8, 1932
Jan. 16, 1933
5.55
300,000.00
Merchants National Bank.
313
320
May 27, 1932
Feb. 3, 1933
5.00
200,000.00
Merchants National Bank.
321 @
328
June 20, 1932
Feb. 28, 1933
5.00
200,000.00
Merchants National Bank.
329
336
June 20, 1932
Mar. 10, 1933
5.00
200,000.00
Merchants National Bank.
337
344*
June 20, 1932
Mar. 24, 1933
5.00
200,000.00
Merchants National Bank.
349
352
Aug. 2, 1932
Apr. 15, 1933
5.00
100,000.00
Merchants National Bank.
353
361
Aug.
9, 1932
Apr. 14, 1933
5.00
150,000.00
Merchants National Bank
362
@ 377
Aug. 9, 1932
Apr. 28, 1933
5.00
250,000.00
Merchants National Bank.
380 @ 383
Sept. 29, 1932
June 15, 1933
4.50
100,000.00
Merchants National Bank.
384 @
387
Sept. 29, 1932
July 15, 1933
4.50
100,000.00
Merchants National Bank.
388A
@ 391A
Sept. 29, 1932
May 15, 1933
5.00
100,000.00
Merchants National Bank.
392A
395A
Sept. 29, 1932
June 15, 1933
4.75
100,000.00
Merchants National Bank.
388
@ 391
Oct. 3, 1932
July 15, 1933
4.75
100,000.00
Merchants National Bank
392
@ 397* Oct. 24,1932
Dec. 27, 1932
5.00
200,000.00
Merchants National Bank.
396A @ 399A Sept. 30, 1932
July 15, 1933
5.00
100,000.00
* Numbers Cancelled 248/252, 278 & 279, 345/348, 398 & 399,
43
CITY AUDITOR
Dec. 27, 1932
225
@ 230
Jan. 13, 1932
Oct. 24, 1932
Amount $150,000.00 150,000.00 100,000.00
Paid
Merchants National Bank. ....
50,000.00
..
288
44
ANNUAL REPORTS
FUNDED DEBT
The funded debt of the city January 1, 1932, was $3,325,- 000.00. Four loans were authorized : Municipal Garage Loan, $40,000.00; Police Station Loan, $225,000.00; Highway Loan, $250,000.00 ; Additional Fire Equipment Loan, $78,000.00. Ma- turities paid during the year amounted to $292,000.00. The total debt December 31, 1932 was $3,626,000.00, an increase of $301,000.00.
Classified debt January 1, 1932:
City Loan
$9,000.00
City Hall Additions Loan
86,000.00
Sewer Loan
79,000.00
Public Building Loan
59,000.00
Highway Loan
233,000.00
Schoolhouse Loan
489,000.00
High School Loan
987,000.00
Southern Junior High Loan
505,000.00
Western Junior High Loan
360,000.00
Bridge Loan
18,000.00
Total Within Limit
$2,825,000.00
Elementary School Loan
100,000.00
Northern Traffic Loan
400,000.00
Total Outside Limit
500,000.00
Total Funded Debt
$3,325,000.00
Loans increasing the debt:
Municipal Garage Loan
$40,000.00
Police Station Loan
225,000.00
Highway Loan
250,000.00
Additional Fire Equipment Loan
78,000.00
593,000.00 $3,918,000.00
Maturities reducing the debt:
City Loan
$9,000.00
Public Building Loan
15,000.00
Schoolhouse Loan
44,000.00
Sewer Loan
14,000.00
Highway Loan
37,000.00
Bridge Loan
1,000.00
Western Junior High Loan
19,000.00
Southern Junior High Loan
27,000.00
High School Loan
61,000.00
City Hall Additions Loan
8,000.00
Total within the limit
235,000.00
45
CITY AUDITOR
Northern Traffic Artery Loan
50,000.00
Elementary School Loan
7,000.00
Total outside the limit
57,000.00
Total Maturities
$292,000.00
Total Funded Debt, December 31, 1932 ..
$3,626,000.00
Classified as follows:
City Hall Additions 4%
$8,000.00
City Hall Additions 41/2%
70,000.00
Additional Fire Equipment 434%
78,000.00
Sewer Bonds 31/2%
10,000.00
Sewer Bonds 4%
43,000.00
Sewer Bonds 41/4%
12,000.00
Public Buildings 4%
24,000.00
Public Buildings 41/2 %
20,000.00
Highway Bonds 4%
196,000.00
Highway Bonds 41/2%
250,000.00
Schoolhouse 4%
445,000.00
High School 334%
450,000.00
High School 4%
476,000.00
Southern Junior High School 4%
427,000.00
Southern Junior High School 31/2%
51,000.00
Western Junior High School 4%
270,000.00
Western Junior High School 31/2%
71,000.00
Bridge 31/2%
17,000.00
Garage 434 %
40,000.00
Total within the limit
$2,958,000.00
Elementary School 41/2 %
93,000.00
Northern Traffic Artery 41/2%
350,000.00
Police Station 51/4 %
225,000.00
Total outside the limit
668,000.00
Total Funded Debt
$3,626,000.00
The debt per capita December 31, 1932 was $34.86. The debt was 3.11% of the assessed valuation for 1932. The ratio of debt to tax income was 87.61%. The tax rate per $1,000. val- uation on account of reduction of funded debt was $2.313.
TAXES
The total taxable property as of April 1, 1932, was $123,- 285,500.00. The tax rate was fixed at $40.10 per $1,000 valua- tion.
State Tax
$177,060.00
North Metropolitan Sewerage Tax
70,928.64
Metropolitan Parks Tax
86,245.97
Wellington Bridge
2,580.83
46
ANNUAL REPORTS
State Highway
63.00
Charles River Basin
10,221.68
Alewife Brook (Acts 1911)
73.18
Abatement of Smoke
1,424.19
Metropolitan Planning
825.39
Southern Traffic Route
2.97
Auditing Municipal Accounts
23.52
Hospital or Home Care
1,177.00
Old Age Assistance
31,730.00
Ways in Malden, Braintree, Weymouth and Hingham
93.40
West Roxbury-Brookline Parkway
7,860.46
Broadway-Revere Beach Parkway Crossing.
733.02
Canterbury St. Highway
1,771.24
Boston Metropolitan District
792.14
County Tax
177,233.88
County Tax, Tuberculosis
36,201.31
City Appropriations
$6,194,284.29
Less Polls
63,310.00
Overlay
32,767.82
Total Amount to be Raised
$6,770,783.93
Less Estimated Revenue
$876,923.72
Motor Vehicle Excise Tax
120,000.00
Corporation Taxes
116,095.64
Bank Tax
845.04
Income Tax
293,347.10
Total Estimated Receipts
1,407,211.50
$5,363,572.43
Available Funds (Transfers)
388,093.88
Net Amount Assessed in Taxes .... ..
$4,975,478.55
SPECIAL ASSESSMENTS
Street Sprinkling Assessments
$48,751.56
Highway Assessments added to Taxes
4,292.80
Sewer Assessments added to Taxes
16.64
Sidewalk Assessments added to Taxes
1.172.63
Committed Interest, Highway
1,313.27
Committed Interest, Sewer
3.99
Committed Interest, Sidewalk
153.13
55,704.02
Total Commitment
$5,031,182.57
Appropriations Classified Under General Headings Were Made From Revenue As Follows :
General Government
$238,429.7.2
Protection of Persons and Property
821,009.55
Health and Sanitation
451,449.00
Highways
327,740.85
Welfare
395,207.50
6,130,974.29
47
CITY AUDITOR
Soldiers Benefits
88,690.00
Education
1,493,849.76
Libraries
98,600.00
Recreation
89,939.00
Unclassified
114,769.00
Municipal Indebtedness
479,751.68
Water Works
403,960.42
Total Budget Appropriations
$5,003,396.48
Less Estimated Receipts
1,407,211.50
Raised By Taxation
$3,596,184.98
ANNUAL REPORTS
INTEREST REQUIREMENTS ON FUNDED DEBT 1933
Class of Loan
Sewer
Jan. 1, 1933 $360.00 770.00
Apr. 1, 1933 $928.75 160.00 5,625.00 5,600.00
July 1, 1933 $360.00 690.00 3,920.00
$772.50
$2,421.25
Public Buildings
80.00
1,700.00
Highways
3,920.00
5,062.50
18,527.50
Schoolhouse
3,300.00
3,000.00
5,280.00
17,180.00
High School
17,395.00
17,395.00
34,790.00
Southern Junior High School
8,540.00
892.50
8,540.00
840.00
18,812.50
Bridge
297.50
280.00
577.50
City Hall Additions
1,647.50
1,647.50
3,295.00
Northern Traffic Route
7,875.00
7,875.00
15,750.00
Western Junior High School
6,642.50
6,572.50
13,215.00
Elementary School
2,092.50
2,092.50
4.185.00
Garage
950.00
902.50
1,852.50
Police Station
5,906.25
5,512.50
11,418.75
Additional Fire Dept. Equipment
1,852.50
1,472.50
3,325.00
Total
$41,141.25
$33,613.75
$40,320.00
$31,975.00
$147,050.00
48
Sewer
8,000.00
6,000.00 32,000.00
57,000.00
Bridge
1,000.00
1,000.00
Western Junior High School
4,000.00
15,000.00
19,000.00
Southern Junior High School
3,000.00
24,000.00
27,000.00
High School
61,000.00
61,000.00
City Hall Additions
8,000.00
8,000.00
Northern Traffic Route
50,000.00
50,000.00
Elementary School
7,000.00
7,000.00
Garage
2,000.00
2,000.00
Police
15,000.00
15,000.00
Additional Fire Dept. Equipment
16,000.00
16,000.00
Total
$36,000.00
$77,000.00
$129,000.00
$92,000.00
$334,000.00
..
..
..
..
..
..
..
..
MATURITIES ON FUNDED DEBT, 1933
Class of Loan
Jan. 1, 1933 $4,000.00 15,000.00
Apr. 1, 1933 $4,000.00 16,000.00
July 1, 1933 $6,000.00
Oct. 1, 1933
Total
Public Buildings
Schoolhouse
12,000.00
$14,000.00 43.000.00 14,000.00
Highway
25,000.00
..
...
..
..
Oct. 1, 1933
Total
FUNDED DEBT, DECEMBER 31, 1932
Northern Southern Jr.Western Jr. Elementary
High
High
School
Add. Fire Equipment
Munic. Garage
Police Station
Totals $292,000
1933
8,000
14,000
14,000
57,000
1,000
43,000
61,000
50,000
27,000
19,000
7,000
$16,000
$2,000
$15,000
334,000
1934
7,000
14,000
14,000
57,000
1,000
43,000
61,000
50,000
27,000
19,000
7,000
16,000
2,000
15,000
333,000
1935
7,000
13,000
8,000
57,000
1,000
43,000
61,000
50,000
27,000
19,000
7,000
16,000
2,000
15,000
326,000
1936
7,000
6,000
4,000
45,000
1,000
43,000
61,000
50,000
27,000
19,000
7,000
15,000
2,000
15,000
302,000
1937
7,000
6,000
4,000
45,000
1,000
43,000
61,000
50,000
27,000
19,000
7,000
15,000
2,000
15,000
302,000
1938.
7,000
4,000
45,000
1,000
43,000
61,000
50,000
19,000
7,000
2,000
15,000
281,000
1939
7,000
3,000
45,000
1,000
43,000
61,000
50,000
19,000
7,000
2,000
15,000
280,000
1940
7,000
2,000
45,000
1,000
43,000
61,000
27,000
19,000
7,000
2,000
15,000
229,000
1941.
7,000
1,000
25,000
1,000
43,000
61,000
27,000
19,000
7,000
2,000
15,000
208,000
1942
7,000
1,000
25,000
1,000
43,000
61,000
27,000
19,000
6,000
2,000
15,000
207,000
1943
7,000
1,000
1.000
15,000
61,000
27,000
19,000
6,000
2,000
15,000
154,000
1944
27,000
19,000
6,000
2,000
15,000
131,000
1945
27,000
19,000
6,000
2,000
15,000
131,000
1946
26,000
19,000
6,000
2,000
15,000
130,000
1947
25,000
18,000
2,000
15,000
122,000
1948
25,000
18,000
2,000
57,000
1949
25,000
18,000
2,000
46,000
1950
25,000
18,000
2,000
45,000
1951
1,000
3,000
2,000
6,000
1952.
$9,000
$86,000
$79,000
$59,000 $483,000
$18,000
$489,000
$487,000
$400,000
$505,000 $360,000
$100,000
$78,000
$40,000
$225,000
$3,918,000
INTEREST REQUIREMENTS ON PRESENT CITY DEBT TO MATURITY
1932
$3,615.00
Sewer $2,973.75 2,421.25
Public Buildings $2,300.00 1,700.00
Highway $14,845.00 18,527.50
$612.50
School- house $18,940.00 17,180.00 15,460.00
High School $36,980.00 34,790.00 32,600.00
Northern Traffice Route $18,000.00 15,750.00 13,500.00
Southern Jr. High $19,877.50 18,812.50 17,747.50
Western Jr. High $13,955.00 13,215.00
Elementary School $4,500.00 4,185.00
$1,852.50
3,325.00
2,565.00
1,757.50
$5,906.25 11,418.75 10,631.25 9,843.75
133,235.00 119,542.50
1936.
2,380.00
360.00
11,312.50
472.50
12,020.00
28,220.00
9,000.00
15,617.50
10,995.00
3,240.00
1,068.75
1,567.50
9,056.25
106,151.25
1937
2,082.50
603.75
180.00
9,387.50
437.50
10,300.00
26,030.00
6,750.00
14,552.50
10,255.00
2,925.00
356.25
1,472.50
8,268.75
93,601.25
1938
1,785.00
406.25
7,462.50
402.50
8,580.00
23,840.00
4,500.00
13,487.50
9,515.00
2,610.00
1,377.50
7,481.25
81,447.50
1939
1,487.50
268.75
5,537.50
367.50
6,860.00
21,650.00
2,250.00
12,422.50
8,775.00
2,295.00
1,282.50
6,693.75
69,890.00
1940
1,190.00
168.75
3,612.50
332.50
5,140.00
19,460.00
11,357.50
8,035.00
1,980.00
1,187.50
5,906.25
58,370.00
1941
892.50
160.25
1,687.50
297.50
3,420.00
17,270.00
15,080.00
9,227.50
6,555.00
1,350.00
997.50
4,331.25
40,725.00
1942.
595.00
63.75
562.50
262.50
1,700.00
12,640.00
8,162.50
5,815.00
1,080.00
902.50
3,543.75
32,990.00
1943.
297.50
21.25
227.50
300.00
10,200.00
6,032.50
4,335.00
540.00
712.50
1,968.75
21,506.25
1946.
122.50
5,320.00
3,960.00
2,872.50
427.50
6,057.50
1948
52.50
440.00
2,970.00
2,167.50
332.50
3,792.50
1950
990.00
757.50
17.50
52.50
142.50
212.50
1951
1952
$320.00
$23,272.50
$11,080.00
$6,280.00
$102,775.00
$5,670.00
$113,640.00
$325,570.00
$81,000.00
$196.255.00
$138,937.50
$34,875.00
$10,972.50
$19,950.00
$94,500.00 $1,165,097.50
City $9,000
City Hall Additions $8,000
Sewer
Buildings Highway
Lowell St. Bridge $1,000
$44,000
$61,000
$50,000
$27,000
$19,000
$7,000
1932
$14,000
$15,000
$37,000
Bridges
1933
3,295.00
2,975.00
1,868.75
1,120.00
16,122.50
542.50
507.50
13,740.00
30,410.00
11,250.00
16,682.50
11,735.00
3,555.00
1,805.00
1,662.50
1935
2,677.50
1,336.25
620.00
13,717.50
1,000
61,000
1,000
61,000
1,000
11,000
1,000
1,000
61,000
1,000
61,000
City $320.00
City Hall Additions
Add. Fire Equipment
Munic. Garage $950.00 1,852.50
Police Station
Totals $145,627.50 147.050.00
1934
12,475.00
3.870.00
1,665.00
1,092.50
5,118.75
49,137.50
1944
7,097.50
5,075.00
810.00
807.50
2,756.25
26,938.75
1945.
157.50
7,760.00
4,967.50
3,595.00
270.00
617.50
1,181.25 393.75
10,716.25
1947
87.50
2,880.00
1949
17.50
1.980.00
1,462.50
237.50
1,985.00
47.50
47.50
....
10,292.50
7,295.00
2,000
2,000
Public
Schoolhouse High School Traffic Route
192.50
16,073.75
522.50
841.25
577.50
27,000 27,000
MATURITIES ON FUNDED DEBT (SIX YEARS)
Class of Loan
1928
1929 $16,000.00
1930 $15,000.00
1931
1932
1933
Total $69,000.00
Sewers
18,000.00
17,000.00
16,000.00
16,000.00
14,000.00
14,000.00
95,000.00
Public Buildings
16,000.00
16,000.00
16,000,00
15,000.00
15,000.00
14,000.00
92,000.00
Highway
32,000.00
32,000.00
28,000.00
42,000.00
37,000.00
57,000.00
228,000.00
Bridge
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
6,000.00
Metropolitan Park
1,000.00
1,000.00
8,000.00
8,000.00
8,000.00
8,000.00
48,000.00
Schoolhouse
44,000.00
44,000.00
44,000.00
44,000.00
44,000.00
43,000.00
263,000.00
High School
50,000.00
61,000.00
61,000.00
61,000.00
61,000.00
61,000.00
355,000.00
Northern Traffic Route
50,000.00
50,000.00
50,000.00
50,000.00
200,000.00
Southern Jr. High School
24,000.00
27,000.00
27,000.00
78,000.00
Western Jr. High School
15,000.00
19,000.00
19,000.00
53,000.00
Elementary School
7,000.00
14,000.00
Garage
2,000.00
2,000.00
Police
15,000.00
15,000.00
Additional Fire Equipment
16,000.00
16,000.00
Total
$187,000.00
$196,000.00
$239,000.00
$288,000.00
$292,000.00
$334,000.00 $1,536,000.00
....
..
..
....
..
.........
CITY AUDITOR
49
City
$17,000.00
$12,000.00
$9,000.00
2,000.00
City Hall Additions
8,000.00
8,000.00
7,000.00
~50
INTEREST REQUIREMENTS ON FUNDED DEBT (SIX YEARS)
Class of Loan
1928
1929
1930
1931
1932
1933
Total
City
$2,552.50
$1,897.50
$1,280.00
$740.00
$320.00
$6,790.00
Sewers
5,583.75
4,876.25
4,208.75
3,581.25
2,973.75
2,421.25
23,645.00
Public Buildings
4,880.00
4,220.00
3,560.00
2,920.00
2,300.00
1,700.00
19,580.00
Highway
6,530.00
5,230.00
3,920.00
10,825.00
9,220.00
18,527.50
54,352.50
Bridge
752.50
717.50
682.50
647.50
612.50
577.50
3,990.00
Metropolitan Park
70.00
35.00
105.00
City Hall Additions
4,895.00
4,575.00
4,255.00
3,935.00
3,615.00
3,295.00
24,570.00
Schoolhouse
25,980.00
24,220.00
22,460.00
20,700.00
18,940.00
17,180.00
129,480.00
High School
36,500.00
43,550.00
41,360.00
39,170.00
36,980.00
34,790.00
232,350.00
Northern Traffic Route
20,250.00
18,000.00
15,750.00
76,500.00
Southern Jr. High School
19,000.00
19,877.50
18,812.50
57,690.00
Western Jr. High School
12,000.00
13,955.00
13,215.00
39,170.00
Elementary School
4,500.00
4,185.00
8,685.00
Garage
1,852.50
1,852.50
Police Station
11,418.75
11,418.75
Additional Fire Equipment ..
3,325.00
3,325.00
Total
$87,843.75
$89,321.25
$104,226.25
$133,768.75
$131,293.75
$147,050.00
$693,503.75
ANNUAL REPORTS
..
...
...
..
..
..
...
..
..
..
..
..
22,500.00
51
CITY AUDITOR
BORROWING CAPACITY, DECEMBER 3.1, 1932
Valuation
1930
$122,420,200.00
Supplementary 1930
3,300.00
Motor Vehicle Excise Tax
1930
7,272,520.00
$129,696,020.00
Valuation
1931
123,051,300.00
Supplementary
1931
..
Motor Vehicle Excise Tax
1931
6,404,310.00
129,455,610.00
Valuation
1932
123,285,500.00
Supplementary
1932
................
Motor Vehicle Excise Tax
1932
4,964,550.00
128,250,050.00
Total Three Years
$387,401,680.00
Abatements
1930
... 716,413.00
Motor Vehicle Excise
Tax
1930
299,360.00
Abatements
1931
737,350.00
Motor Vehicle Excise Tax
1931
216,730.00
Abatements
1932
546,900.00
Motor Vehicle Excise Tax
1932
150,260.00
2,667,013.00
Average Valuation Three Years. ... Two and one-half per cent. Present debt within limit
3,206,122.225
2,958.000.00
Borrowing Capacity, December 31, 1932
$248,122.225
Maturities :
January 1
$36,000.00
Less Outside Limit ....
15,000.00
April 1
$21,000.00 77,000.00
July 1
129,000.00
October 1
92,000.00
Less Outside Limit ...
57,000.00
35,000.00
262,000.00
510,122.225
$384,734,667.00
128,244,889.00
52
ANNUAL REPORTS
TELLERS OVERS AND SHORTS
Charges:
Shorts
$200.81
Credit:
Revenue
$200.81
SALE OF LAND
Credit:
Balance from 1931 account ... $243.51
Charge:
Balance to 1933 account
$243.51
SALE OF BUILDINGS
Credit:
Balance from 1931 account
$1,575.00
Charges:
Balance to 1933 account
$1,575.00
TAX TITLES
Charges:
Balance from 1931 account
$20,588.33
Taxes 1930
8,488.00
Taxes 1931
85,449.06
Street Sprinkling
1,418.04
Assessments
391.56
Interest
5,682.46
Costs
2,415.10
Recording Fees
209.60
Tax Title Revenue
.10
$124,642.15
Credits :
Cash Sales
28,120.96
Tax Title Revenue
1,362.23
Recording Fees
81.60
Balance to 1933 account
95,077.46
$124,642.25
TAILINGS
Credits:
Balance from 1931 account
$1,011.98
Transfer from Conscience Fund
21.88
Cash
115.59
$1,149.45
53
CITY AUDITOR
Charges:
Excess and Deficiency
950.75
Taxes 1932
2.00
Taxes 1931
6.00
Taxes 1930
2.00
Old Age Assistance
4.00
Excise Tax
19.89
Interest and Costs
3.03
Water Rates
15.45
Balance to 1933 account
146.33
$1,149.45
PREMIUMS ON BONDS
Credits:
Balance from 1931 account .... $2,402.53
Charges:
General Appropriations
$2,402.53
ACCRUED INTEREST ON BONDS
Credits:
Balance from 1931 account
$1,139.54
Cash received
4,726.15
Charges :
General Appropriations
....
OVERLAY 1928
Credits :
Balance from 1931 account
1.97
Transfer Reserve Fund
3.71
$5.68
Charges:
Abatements
$5.68
OVERLAY 1929
Credits:
Balance from 1931 account
$2,144.69
Taxes 1929
10.00
$2,154.69
Charges:
Abatements
$662.00
Reserve Fund Surplus
173.77
Balance to 1933 account
1,318.92
$2,154.69
OVERLAY 1930
Credits :
Balance from 1931 account
.....
$13,099.17
Taxes 1930
2.00
$13,101.17
$5,865.69
$5,865.69
54
ANNUAL REPORTS
Charges:
Abatements
$481.61
Reserve Fund Surplus
3,727.53
Balance to 1933 account
8,892.03
$13,101.17
OVERLAY 193.1
Credits:
Balance from 1931 account
....
$7,951.87
Reserve Fund Surplus
3,500.00
$11,451.87
Charges:
Abatements
$9,748.73
Balance to 1933 account
1,703.14
$11,451.87
OVERLAY 1932
Credits:
Revenue
$32,767.82
Charges:
Abatements
$22,588.69
Balance to 1933 account
10,179.13
$32,767.82
RESERVE FUND SURPLUS FROM OVERLAYS
Credits :
Balance from 1931 account
$11,618.55
Taxes 1928
3.71
Overlay 1929
173.77
Overlay 1930
3,727.53
$15,523.56
Charges:
Overlay 1928
3.71
Overlay 1931
3,500.00
Revenue Appropriations
5,504.00
Balance to 1933 account
6,515.85
$15,523.56
RESERVED FOR PETTY
Credits :
Excess and Deficiency
.... $1,650.00
Charges :
Excess and Deficiency
1,343.05
Balance to 1933 account
306.95
$1,650.00
55
CITY AUDITOR
RESERVED FOR DEPOSITS IN CLOSED BANKS
Credits : Excess and Deficiency .......... $136,167.48
Charges:
Excess and Deficiency
$7,500.00
Balance to 1933 account
128,667.48
$136,167.48
REDEMPTION OF TAX TITLES
Credits:
Cash Received
$2,347.04
Charges:
Cash paid, titles redeemed
$2,347.04
EXCESS AND DEFICIENCY
Credits :
Balance from 1931 account
$164,185.61
Refunds 1931 account
132.00
Tax Title Revenue
28,137.96
Special Assessments Revenue
381.44
Committed Interest Revenue
5.54
Taxes 1932
.26
Taxes 1931
22.00
Taxes 1929
.02
Excise 1931
.80
Soldiers Benefits Reimbursements
10.00
Tailings
950.75
Reserve for Petty
1,343.05
Reserve for Deposits in Closed Banks
7,500.00
Revenue
171,690.87
$374,360.30'
Charges:
Street Sprinkling 1929
$8.12
Refunds
1.80
Tax Title Revenue
94,295.84
Motor Vehicle Excise Revenue
56,687.11
Special Assessments Revenue
18,568.11
Soldiers Benefits Reimbursements
7,121.50
Committed Interest Revenue
744.16
Recording Fees
55.80
Reserved for Petty
1,650.00
Reserved for Deposits in Closed Banks
136,167.48
Balance to 1933 account
59,060.38
$374,360.30
56
ANNUAL REPORTS
CLASSIFICATION OF RECEIPTS AND EXPENDITURES RECEIPTS GENERAL REVENUE
Taxes:
Taxes 1932
$2,973,626.31
Taxes 1931
1,046,777.19
Taxes 1930
13,833.39
Taxes 1929
173.79
Motor Vehicle Excise 1932
87,607.78
Motor Vehicle Excise 1931
15,015.03
Motor Vehicle Excise 1930
1,530.61
Motor Vehicle Excise 1929
371.51
Old Age Assistance 1932
22,423.00
Old Age Assistance 1931
4,011.00
From State-
Old Age Assistance
37,665.24
Corporation and Bank Taxes
117,615.80
Income Tax
318,391.56
Gasoline Tax
104,450.72
Licenses and Permits:
Licenses-
Dealer in Motor Vehicles
573.00
Amusement
2,642.00
Junk
210.00
Milk
525.50
Pool, Billiards, and Bowling
711.00
Bus, Taxi Drivers
57.00
Pedlers
1,336.00
All other
4,784.48
Permits-
Marriage
917.89
Building
700.00
Electrical
2,273.00
All Other
6,360.75
Fines and Forfeits:
Court Fines
6,196.56
Departmental
349.50
Grants and Gifts:
From State-
Continuation School
5,732.77
Americanization
3,456.56
Vocational School
14,436.89
Outside Tuition
3,748.14
Lieu of Taxes
121.54
Smith-Hughes Fund
2,936.08
George Reed Fund
120.07
57
CITY AUDITOR
All Other Grants and Gifts-
Mary A. Haley Fund 3,645.76
From County-
Dog Licenses
2,497.34
All Other General Revenue:
Tax Titles
$28,163.46
Miscellaneous
2.28
Total General Revenue
$4,835,990.50
COMMERCIAL REVENUE, SPECIAL ASSESSMENTS
For Expenses:
Street Sprinking 1932
29,266.47
Street Sprinkling 1931
13,637.88
Street Sprinkling 1930
175.56
Apportioned Sewers
16.64
Apportioned Sidewalks
542.38
Apportioned Highways
3,534.69
Unapportioned Sidewalks
595.25
Assessments Paid in Advance
127.40
For Outlays:
Sidewalks 1931
968.03
Highways 1931
523.64
Total Commercial Revenue
Special Assessments ..... $49,387.94
COMMERCIAL REVENUE DEPARTMENTAL
General Government:
Treasurer-Fees
324.00
Costs
9,490.73
City Clerk
2,783.74
Municipal Buildings
14.20
Engineers
19.00
Appeal Fees
520.00
Board of Election Commissioners
60.44
Protection of Persons and Property:
Police Department
43.75
Sealer of Weights and Measures
1,171.71
All Other
2.02
58
ANNUAL REPORTS
Health and Sanitation:
Health Department
3,044.66
Contagious Hospital
6,620.36
Milk Inspection
2,367.00
Dental Clinic
350.76
Sewers
15.00
Sanitary Department
1,630.27
Sanitary Buildings
523.00
Highways:
Highway Maintenance
$3,517.38
Charities:
Sale of Produce
822.94
Board
4,847.69
Outside Relief :
Individuals
189.00
Cities and Towns
33,166.62
State
107,218.80
Mothers' Aid:
State
15,720.17
Soldiers' Benefits:
State Aid
5,149.50
Military Aid
1,894.00
Soldiers Burials
100.00
Soldiers Relief
590.05
Education :
Tuition State Wards
4,760.84
Tuition
15,384.33
Miscellaneous
720.44
Vocational Education
1,900.95
School Buildings
197.75
Libraries:
Fines
2,147.55,
Recreation :
Shower Baths
493.95
Bathhouse
180.05
59
CITY AUDITOR
Unclassified :
Electrolysis
500.00
Miscellaneous
659.89
Total Commercial Revenue,
Departmental
$229,142.54
COMMERCIAL REVENUE, PUBLIC SERVICE ENTERPRISES Water Wepartment:
Sale of Water-
Metered 1932
$223,621.79
Metered Commercial 1932
173,471.25
Metered 1931
26,766.33
Metered Commercial 1931
24,126.64
Metered 1930
26.50
Metered Commercial 1930
163.65
Metered 1929
1.50
Additional
167.32
Service Assessments
955.94
Maintenance Bills
3,677.66
Total Commercial Revenue. Public Service Enterprises ...
$452,978.58
COMMERCIAL REVENUE, INTEREST
Deposits
$3,947.09
Taxes
42,406.34
Excise
1,264.98
Special Assessments:
Apportioned
1,211.83
Unapportioned
29.69
Deferred Apportioned
34.51
Trust Funds:
School
2,278.58
Library
5,041.36
Welfare
73.16
All Other:
Accrued Interest
4,726.15
Tax Title
1,001.26
Total Commercial Revenue, Interest .. $62,014.95
60
ANNUAL REPORTS
DEPOSITS
Water Deposits
633.33
Highway Deposits
105.00
Licensing Commission Deposits
98.50
Total Deposits
$836.83
MUNICIPAL INDEBTEDNESS
Temporary Loans
$4,000,000.00
Highway Loan
250,000.00
Additional Fire Equipment Loan
78,000.00
Garage Loan
40,000.00
Police Station Loan
225,000.00
Total Municipal Indebtedness ... $4,593,000.00
AGENCY, TRUST AND INVESTMENT
Redemption Tax Titles
$2,347.04
Total Agency, Trust and Investment
$2,347.04
REFUNDS
Appropriations
$7,499.66
Excess and Deficiency
132.00
Cash Advances
1,343.05
State Assessments
197.05
Soldiers Benefits
10.00
Total Refunds
$9,181.76
Total Receipts
$10,234,880.14
61
CITY AUDITOR
EXPENDITURES
General Government
Board of Aldermen Expenses
Salaries of members
$6,300.00
Books, postage and sup-
plies
754.77
Printing and advertising ..
425.87
Refreshments
185.25
Badges
131.32
Flowers
125.00
Gavels
15.11
All other
82.30
Clerk of Committees
Salaries and Wages :-
Clerk
2,800.00
Assistant Clerk
1,300.00
Assistant at Board Meet- ings
400.00
Other Expenses :-
Books, postage and sup-
plies
119.61
Auto Maintenance
500.00
All other
5.00
$5,124.61
Executive Department
Salaries and Wages :-
Mayor
7,000.00
Secretaries and Stenog-
raphers
6,948.33
Other Employees
3,599.32
Other Expenses :-
Auto. Maintenance
400.00
Books, postage and sup- plies
360.55
Printing and advertising
532.10
Disbursements, carfares, etc.
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