Report of the city of Somerville 1933, Part 3

Author: Somerville (Mass.)
Publication date: 1933
Publisher:
Number of Pages: 414


USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1933 > Part 3


Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).


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Merchants National Bank


678


Nov. 20, 1933


May 10, 1934


5.00


10,000.00


Merchants National Bank


679


Dec. 7, 1933


Apr. 16, 1934


4.75


25,000.00


Merchants National Bank


680


Dec. 14, 1933


Apr. 16, 1934


4.75


10,000.00


Merchants National Bank


681 @ 684


Dec. 14, 1933


Apr. 16, 1934


4.60


100,000.00


· Faxon, Gade & Co.


685


Dec. 21, 1933


Apr. 16, 1934


4.75


10,000.00


Merchants National Bank


686 a


687


Dec. 29, 1933


Feb. 9, 1934


5.50


35,000.00


National Shawmut Bank


688


689


Dec. 29, 1933


Feb. 9, 1934


5.50


35,000.00


Merchants National Bank


692


693


Dec. 29, 1933


Mar. 14, 1934


5.50


20,000.00


National Shawmut Bank


694


697


Dec. 29, 1933


Mar. 14, 1934


5.50


20,000.00


Merchants National Bank


699


701


Dec. 29, 1933


Apr. 10, 1934


5.50


30,000.00


National Shawmut Bank


700


@


702


Dec. 29, 1933


Apr. 10, 1934


5.50


30,000.00


Merchants National Bank


704 a 706


Dec. 29, 1933


June 15, 1934


5.50


15,000.00


National Shawmut Bank


705


@ 707


Dec. 29, 1933


June 15, 1934


5.50


15,000.00


Total


$3,535,000.00


..


..


..


..


..


..


..


.


ANNUAL REPORTS


TEMPORARY LOANS - RENEWALS, .1933


Numbers


Issued


Due


Rate


Amount


Merchants National Bank


464 @ 479


Feb. 28, 1933


June 15, 1933


4.50


$200,000.00


Faxon, Gade & Company ..


480


@ 482


Mar. 16, 1933


June 14, 1933 6.00


Merchants National Bank


484 @ 488 Mar. 30, 1933


Apr. 10, 1933


5.00


75,000.00 125,000.00


.. Merchants National Bank


494 @ 497


Apr. 14, 1933


May 15, 1933


6.00


96,000.00


Merchants National Bank


498 @ 500


Apr. 17, 1933


May 15, 1933


6.00


80,000.00


Merchants National Bank


501


Apr. 14, 1933


May 15, 1933


6.00


24,000.00


Merchants National Bank


503


@ 507


Apr. 28, 1933


June 14, 1933


6.00


64,000.00


Merchants National Bank


508


@ 511


Apr. 28, 1933


Aug. 9, 1933


6.00


95,000.00


Merchants National Bank


521


Apr. 28, 1933


Aug. 9, 1933


6.00


20,000.00


Merchants National Bank ...


522


543


Aug. 2, 1933


6.00


150,000.00


Merchants National Bank


544


@


550


June 14, 1933


Sept. 5, 1933


6.00


90,350.00


Merchants National Bank


571 @


572


June 15, 1933


Sept. 5, 1933


6.00


32,500.00


Merchants National Bank


573


July 15, 1933


Sept. 15, 1933


6.00


65,000.00


Merchants National Bank


574


@


576


July 15, 1933


Sept. 28, 1933


6.00


65,000.00


Merchants National Bank


595


596


June 15, 1933


Sept.


1, 1933


6.00


50,000.00


Merchants National Bank


616 @ 627


Oct. 17, 1933


Nov. 16, 1933


5.00


377,850.00


Merchants National Bank


658


a 659


Nov. 18, 1933


Nov. 27, 1933


5.00


377,850.00


Bank of Manhattan


690


Dec. 29, 1933


Feb. 9, 1934


5.50


50,000.00


Bank of Manhattan


691


Dec. 29, 1933


Mar. 14, 1934


5.50


25,000.00


Bank of Manhattan


698


Dec. 29, 1933


Mar. 14, 1934


5.50


50,000.00


Bank of Manhattan


703


Dec. 29, 1933


June 15, 1934


5.50


25,000.00


Bank of Manhattan


708 @


710


Dec. 29, 1933


Feb.


9, 1934


5.50


55,000.00


Bank of Manhattan


711


@


712


Dec. 29, 1933


Mar. 14, 1934


5.50


35,000.00


Bank of Manhattan


713 @ 715


Dec. 29, 1933


Apr. 10, 1934


5.50


40,000.00


Bank of Manhattan


716 @ 717


Dec. 29, 1933


June 15, 1934


5.50


20,000.00


Total


$2,287,550.00


...


..


..


....


..


..


CITY AUDITOR


39


..


@


May 15, 1933


40


ANNUAL REPORTS


FUNDED DEBT


The funded debt of the city January 1, 1933, was $3,626,000. Five loans were issued : Tax Title Loan, $70,000.00 ; Municipal Relief Welfare Loan, $325,000.00; Tax Title Loan, $377,850.00 ; Highway Loan, $50,000.00 ; Municipal Relief Civil Works Loan, $45,000.00. Maturities paid during the year amounted to $376,- 238.15. The total debt December 31, 1933, was $4,117,611.85, an increase of $491,611.85.


Classified debt, January 1, 1933:


City Hall Addition Loans


$78,000.00


Additional Fire Equipment Loan


78,000.00


Sewer Loan


65,000.00


Bridge Loan


17,000.00


Highway Loan


446,000.00


Public Building Loan


44,000.00


Schoolhouse Loan


445,000.00


High School Loan


926,000.00


Junior High School Loan


819,000.00


Garage Loan


40,000.00


Total Within Limit


$2,958,000.00


Northern Traffic Artery Loan


350,000.00


Elementary School Loan


93,000.00


Police Station Loan


225,000.00


Total Outside Limit


668,000.00


Total Funded Debt


$3,626,000.00


Loans Increasing the Debt:


Tax Title Loans


$447,850.00


Municipal Relief Loan (Welfare)


325,000.00


Highway Loan


50,000.00


Municipal Relief Loan (C. W. A.)


45,000.00


867,850.00


$4,493,850.00


Maturities reducing the Debt:


City Hall Additions


$8,000.00


Sewers


14,000.00


Highways


57,000.00


Schoolhouse


43,000.00


Public Buildings


14,000.00


Bridge


1,000.00


High School


61,000.00


Garage


2,000.00


Western Junior High School


19,000.00


Southern Junior High School


27,000.00


Additional Fire Department Equipment


16,000.00


Total within the limit


$262,000.00


41


CITY AUDITOR


.


Northern Traffic Artery


50,000.00


Police Station


15,000.00


Elementary School


7,000.00


Tax Titles


42,238.15


Total outside the limit


$114,238.15


Total Maturities


376,238.15


Total Funded Debt, December 31, 1933 ......


$4,117,611.85


The debt per capita December 31, 1933, was $39.59. The debt was 2.90% of the assessed valuation for 1933. The ratio of debt to tax income was 92.53%. The tax rate per $1,000 valua- tion on account of reduction of funded debt was $1.825.


42


ANNUAL REPORTS


TAXES


The total taxable property as of April 1, 1933, was $119,798,800.00. The tax rate was fixed at $32.60 per $1,000 valuation.


City Appropriations


$4,765,625.12


State Tax


163,440.00


North Metropolitan Sewerage Tax


67,867.20


Metropolitan Parks Tax


63,725.07


Wellington Bridge Maintenance


2,464.71


Charles River Basin


10,076.80


Alewife Brook (Acts 1911)


70.78


Abatement of Smoke


1,075.12


Metropolitan Planning


730.65


Auditing Municipal Accounts


3,740.52


Hospital and Home Care


1,183.30


Ways in Malden, Braintree, Weymouth and Hing- ham


24.93


West Roxbury, Brookline Parkway


6,013.28


Canterbury Street Highway


683.50


Boston Elevated Deficit


168,509.11


Metropolitan Water Tax


273,312.32


Investigation, Boston Elevated


99.02


Grade Crossing at Governor Square


4,964.37


Takings on State Highway, Revere


1,333.83


Ocean Avenue, Revere


1,347.76


Special State Tax, Old Age Assistance


30,918.00


County Assessments


164,112.36


Tuberculosis Hospital


52,459.72


Overlay, Current year


71,929.10


Overlay Deficit 1932


38,418.35


Revenue Deficit prior years


36,253.72


Total Amount to be Raised


$5,930,378.64


Less Estimated Receipts


$949,099.70


Income Tax


203,715.32


Corporation Taxes


92,634.72


Bank Tax


679.57


Motor Vehicle Excise


85,000.00


Tax Titles Account


70,000.00


Emergency Relief Loan


101,862.86


Welfare Loan


325,000.00


Total Estimated Receipts $1,827,992.17


Available Funds 104,361.59


Total Deductions


1,932,353.76


Net Amount Assessed in Taxes


$3,998,024.88


43


CITY AUDITOR


SPECIAL ASSESSMENTS


Street Sprinkling Assessments


$48,750.12


Sewer Assessments added to Taxes


16.64


Sidewalk Assessments added to Taxes


609.70


Highway Assessments added to Taxes


3,599.95


Committed Interest, Sewer Assessments


3.00


Committed Interest, Sidewalk Assessments 138.23


Committed Interest, Highway Assessments


1,039.94


$54,157.58


Total Commitment


4,052,182.46


Appropriations classified under General Headings were made from Revenue as follows :


General Government


$229,326.50


Protection of Persons and Property


795,072.58


Health and Sanitation


430,683.00


Highways


276,167.50


Welfare


321,886.00


Soldiers' Benefits


156,901.00


Education


1,464,136.08


Libraries


85,339.00


Recreation


61,375.00


Unclassified


137,692.00


Municipal Indebtedness


593,913.87


Water Works


109,771.00


Total Budget Appropriations


$4,622,263.53


Less Estimated Receipts


1,827,992.17


Raised by Taxation


$2,834,271.36


44


MATURITIES ON FUNDED DEBT, 1934


Class of Loan


Public Buildings


January 1 $4,000.00 15,000.00 2,000.00


April 1 $4,000.00 16,000.00


July 1 $6,000.00


September 1


October 1


December 1


Schoolhouse


$12,000.00


Garage


Police Station


15,000.00


Sewer


8,000.00


6,000.00


Highway


25,000.00


32,000.00


5,000.00


Bridge


Western Jr. High School


Southern Jr. High School


3,000.00


24,000.00


Additional Fire Equipment


16,000.00


61,000.00


Municipal Relief


65,000.00


$9,000.00


City Hall Additions


7,000.00


Northern Traffic Route


50,000.00


Elementary School


..


..


......


..


..


...


..


Total


$36,000.00


$77,000.00


$129,000.00


$65,000.00


$96,000.00


$9,000.00


..


..


..


..


..


..


..


...


..


..


......


..


...


..


..


....


..


ANNUAL REPORTS


..


1,000.00


4,000.00


15,000.00


High School


......... ..


7,000.00


............


FUNDED DEBT, DECEMBER 31, 1933


Sewer 314.


Sewer 4º


414 %


414 9%


Highway 4161%


Bridge 316 %


City Hall Add. 414 %


Schoolhouse High School High School 31% 1%


$43,000.00


$11,000.00


$15,000.00


$4,000.00


$24,000.00


$3,000.00


$15,000.00


$15,000.00


$74,000.00 74,000.00


$405,511.85


$817,611.85


1935


2,000.00


10,000.00


1,000.00


4,000.00


32,000.00


30,000.00


7,000.00


43,000.00


11,000.00


15,000.00


4,000.00


24,000.00


3,000.00


24,000.00


3,000.00


7,000.00


2,000.00


15,000.00


74,000.00


381,000.00


1937


1,000.00


4,000.00


1,000.00


20,000.00


30,000.00


1,000.00


7,000.00


50,000.00


11,000.00


15,000.00


4,000.00


24,000.00


3,000.00


7,000.00


2,000.00


15,000.00


74,000.00


15,000.00


74,000.00


381,000.00 360,000.00


1939


1,000.00


1,000.00


1,000.00


20,000.00


30,000.00


1,000.00


7,000.00


50,000.00


11,000.00


50,000.00


15,000.00


4,000.00


24,000.00


3,000.00


7,000.00


2,000.00


15,000.00


285,000.00


1940


1,000.00


1,000.00


30,000.00


1,000.00


7,000.00


43,000.00


50,000.00


11,000.00


15,000.00


4,000.00


24,000.00


3,000.00


7,000.00


2,000.00


15,000.00


234,000.00


1941


1,000.00


30,000.00


1,000.00


7,000.00


43,000.00


50,000.00


11,000.00


15,000.00


4,000.00


24,000.00


3,000.00


7,000.00


2,000.00


15,000.00


213,000.00


1942


1,000.00


30,000.00


1,000.00


7,000.00


43,000.00


61,000.00


15,000.00


4,000.00


24,000.00


3,000.00


6,000.00


2,000.00


15,000.00


212,000.00


1943


1,000.00


5,000.00


1,000.00


7,000.00


15,000,00


61,000.00


15,000.00


4,000.00


24,000.00


3,000.00


6,000.00


2,000.00


15,000.00


159,000.00


1944


1945


1940


1947


.....


1948


1949


1950


1951


1952


$8,000.00


$33,000.00


$10,000.00


$14,000.00


$164,000.00


$275,000.00


$15,000.00


$70,000.00 $402,000.00


$400,000.00 $465,000.00


$300,000.00 $255,000.00


$67,000.00


$403,000.00


$48,000.00


$86,000.00


$52,000.00 $38,000.00


Pollce Station $10,631.25


Municipal Relief $12,150.05 10,360.00


$147,645.05


1935


1,335.25


2,677.50


15,742.50


507.50


13,740.00


30,410.00 28,220.00


9,000.00


10,995.00


3,240.00


1,557.50


9,055.25


7.770.00 5,180.00


100,355.25


1938


406.25


1,785.00


8,812.50


402.50


23,840.00


4,500.00


13,487.50


9,515.00


2,610.00


1,377.50


7,481.25


2,590.00


85,387.50


1939


258.75


1,487.50


6,662.50


367.50


6,860.00


21,650.00


12,422.50


8,775.00


2,295.00


1,282.50


6,693.75


71,015.00


1940


168.75


1,190.00


1,512.50


332.50


5,140.00


19,460.00


11,357.50


8,035.00


1,980.00


1,187.50


5,905.25


59,270.00


1941


106.25


892.50


2,352.50


297.50


3,420.00


17,270.00


7,295.00


1,555.00


1,092.50


5,118.75 4,331.25


....


41,175.00


1943


21.25


297.50


225.00


227.50


300.00


12,540.00


8,152.50


5,815.00


1,080.00


902.50


3,543.75


33,215.00


1944


810.00


807.50


2,756.25


26,938.75


1945


157.50


7,750.00


5,032.50


540.00


712.50


1,968.75


21,506.25


1946


122.50


5,320.00


4,967.50


3,595.00


270.00


617.50


1,181.25


16,073.75


1947


87.50


2,880.00


52.50


440.00


2,970.00


2,167.50


1,980.00


1,462.50


332.50


3,792.50


1950


237.50


1,985.00


1951


212.50


1952


............


........


.....


$5,585.00


$16,362.50


$2,280.00


$81,777.50


$4,480.00


$77,520.00


$253,800.00


$47,250.00


$157,565.00


$111,757.50


$25,190.00


$5,795.00


$17,147.50


$77,175.00


$38,050.05


$922,855.05


Tax Title


Totalg


1934


$2,000.00


$11,000.00


$1,000.00


$4,000.00 $32,000.00


$30,000.00


$7,000.00


$50,000.00 50,000.00


Northern Traffic 414% $50,000.00


Add. West- ern Jr. H.S.


Add. West- ern Jr. H.S. 3 1% %


Add. South- ern Jr. H.S.


Add. South-


Add. Fire Equipment


ern Jr. H.S. Elementary


314 %


41,6%


$7,000.00 7,000.00


15,000.00


1936


1,000.00


4,000.00


1,000.00


4,000.00


20,000.00


30,000.00


1,000.00


7,000.00


43,000.00


50,000.00


11,000.00


50,000.00


15,000.00


4,000.00


1938


1,000.00


2,000.00


1,000.00


20,000.00


30,000.00


1,000.00


7,000.00


50,000.00


11,000.00


50,000.00


15,000.00


4,000.00


24,000.00


3,000.00


7,000.00


15,000.00 15,000.00 15,000.00


Garage 434 % $2,000.00 2,000.00


Police Sta. Munic. Rellef 514.0%


316.%


Totals


1934


$1,868.75


$2,975.00


Public Bulldings $1,120.00


Highway $18,372.50


Bridge Schoolhouse $542.50


High School Traffic Route $32,600.00


$15,450.00


$13,500.00 11,250.00


Southern Jr. High $17,747.50 16,682.50 15,517.50


Western Jr. High $12,475.00 11,735.00


Elementary School $3,870.00 3,555.00


Add. Fire Equipment $2,555.00 1,805.00 1,058.75 356.25


Municipal Garage $1,757.50 1,562.50


9,843.75


131,927.50


1936


841,25


2,380.00


360.00


13,112.50


472.50


12,020.00


26,030.00


5,750.00


14,552.50


10,255.00


2,925.00


1,472.50


8,258.75


1937


503.75


2,082.50


180.00


10,962,50


437.50


10,300.00


1,700.00


15,080.00


9,227.50


6,555.00


1,350.00


2,000.00


2,000.00


15,000.00


122,000.00


1,000.00


11,000.00


15,000.00


3,000.00


23,000.00


2,000.00


2.000.00


2,000.00


......******


2,000.00


...........


2,000.00


2,000.00


2,000.00


$210,000.00 $370,000.00 $405,511.85 $4,117,611.85


INTEREST REQUIREMENTS ON PRESENT CITY DEBT TO MATURITY


City Hull


Sewer


Additions


595.00


1,012.50


262.50


61,000.00


15,000.00


4,000.00


23,000.00


3,000.00


6,000.00


2,000.00


15,000.00


130,000.00


61,000.00


15,000.00


3,000.00


15,000.00


3,000.00


23,000.00


2,000.00


3,000.00


23,000.00


2,000.00


3,000.00


.....


1,000.00


5,000.00


2,000.00


15,000.00


131,000.00


1,000.00


1,000.00


61,000.00


15,000.00


4,000.00


24,000.00


3,000.00


6,000.00


2,000.00


15,000.00


131,000.00


15,000.00


4,000.00


24,000.00


3,000.00


1,000.00


1,000.00


45,000.00


6,000.00


.....


..........


.....


47.50


393.75


10,716.25


1948


1949


.....


990.00


757.50


....


17.50


52.50


142.50


6,057.50


17.50


10,200.00


7,097.50


5,075.00


4,335.00


3,960.00


2,872.50


522.50


427.50


49,812.50


1942


63.75


.....


$15,000.00


Sewer Public Bldgs. Public Blogs. High way 4%


4.º7 $10,000.00 4,000.00


$1,000.00 1,000.00


4,000.00


43,000.00


50,000.00


43,000.00


43,000.00


20,000.00


1,000.00


61,000.00


50,000.00


405,000.00


..


115,721.25


8,580.00


2,250.00


10,292.50


997.50


192.50


Northern


15,000.00


23,000.00


57,000.00


46,000.00


620.00


47.50


2,000.00


INTEREST REQUIREMENTS ON FUNDED DEBT, 1934


.


Class of Loan


January 1


March 1


April 1 $772.50


June 1


July 1 $240.00


September 1


October 1 $616.25


December 1


Sewer


$240.00


Public Buildings


560.00


80.00


480.00


Highway


3,280.00


6,187.50


3,280.00


5,625.00


Schoolhouse


3,000.00


5,040.00


2,700.00


4,720.00


High School


16,300.00


Southern Jr. High Sch.


8,060.00


840.00


8,060.00


787.50


Garage


902.50


855.00


Police Station


5,512.50


Municipal Relief


$5,687.50


$787.50


$5,687.50


787.50


Bridge


280.00


262.50


City Hall Additions .....


1,487.50


1,487.50


Northern Traffic Route


6,750.00


6,750.00


Western Jr. High Sch.


6,272.50


6,202.50


Elementary School


1,935.00


1,935.00


Add. Fire Equipment ..


..... ..


1,472.50


1,092.50


Total


$37,855.00


$5,687.50


$31,117.50


$787.50


$37,033.75


$5,687.50


$29,478.75


$787.50


..


..


..


..


..


..


45


CITY AUDITOR


..


..


..


..


... .....


..


..


16,300.00


5,118.75


46


MATURITIES ON FUNDED DEBT (SIX YEARS)


Class of Loan


1929


1930 $16,000.00


1931 $16,000.00


1932 $14,000.00


1933 $14,000.00


1934 $14,000.00


Total $91,000.00


City


16,000.00


15,000.00


12,000.00


9,000.00


Public Buildings


16,000.00


16,000.00


15,000.00


15,000.00


14,000.00


14,000.00


52,000.00 90,000.00


Highway


32,000.00


28,000.00


42,000.00


37,000.00


57,000.00


62,000.00


258,000.00


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


8,000.00


8,000.00


8,000.00


8,000.00


7,000.00


47,000.00


Schoolhouse


44,000.00


44,000.00


44,000.00


44,000.00


43,000.00


43,000.00


262,000.00


High School


61,000.00


61,000.00


61,000.00


61,000.00


61,000.00


61,000.00


366,000.00


Northern Traffic Route


50,000.00


50,000.00


50,000.00


50,000.00


50,000.00


250,000.00


Southern Jr. High School


Western Jr. High School


15,000.00


19,000.00


19,000.00


19,000.00


72,000.00


Elementary School


7,000.00


7,000.00


7,000.00


21,000.00


Garage


2,000.00


2,000.00


4,000.00


Police Station


15,000.00


15,000.00


30,000.00


Additional Fire Equipment


16,000.00


16,000.00


32,000.00


Municipal Relief


65,000.00


65,000.00


Municipal Relief, C. W. A.


..


..


.. ....


9,000.00


9,000.00


Total


$196,000.00


$239,000.00


$288,000.00


$292,000.00


$334,000.00


$412,000.00 $1,761,000.00


..


1,000.00


City Hall Additions


8,000.00


24,000.00


27,000.00


27,000.00


27,000.00


105,000.00


..


ANNUAL REPORTS


Sewer


$17,000.00


INTEREST REQUIREMENTS ON FUNDED DEBT (SIX YEARS)


Class of Loan


1929


1930 $1,280.00


1931 $740.00


1932 $320.00


1933


1934


Total


City


$1,897.50


$4,237.50


Sewers


4,876.25


4,208.75


3,581.25


2,973.75


$2,421.25


$1,868.75


19,930.00


Public Buildings


4,220.00


3,560.00


2,920.00


2,300.00


1,700.00


1,120.00


15,820.00


Highway


5,230.00


3,920.00


10,825.00


9,220.00


18,527.50


18,372.50


66,095.00


Bridge


717.50


682.50


647.50


612.00


577.50


542.50


3,780.00


Metropolitan Park


35.00


4,255.00


3,935.00


3,615.00


3,295.00


2,975.00


22,650.00


Schoolhouse


24,220.00


22,460.00


20,700.00


18,940.00


17,180.00


15,460.00


118,960.00


High School


43,550.00


41,360.00


39,170.00


36,980.00


34,790.00


32,600.00


228,450.00


Northern Traffic Route


22,500.00


20,250.00


18,000.00


15,750.00


13,500.00


90,000.00


Southern Jr. High School


19,000.00


19,877.50


18,812.50


17,747.50


75,437.50


Western Jr. High School.


12,000.00


13,955.00


13,215.00


12,475.00


51,645.00


Elementary School


4,500.00


4,185.00


3,870.00


12,555.00


Garage


1,852.50


1,757.50


3,610.00


Police Station


11,418.75


10,631.25


22,050.00


Additional Fire Equipment


3,325.00


2,565.00


5,890.00


Municipal Relief


11,375.00


11,375.00


Municipal Relief, C. W. A.


1,575.00


1,575.00


Total


$89,321.25


$104,226.25


$133,768.75


$131,293.75


$147,050.00


$148,435.00


$754,095.00


..


..


..


..


..


..


............


. .


. .


..


47


CITY AUDITOR


35.00


City Hall Additions


4,575.00


48


ANNUAL REPORTS


BORROWING CAPACITY, DECEMBER 31, 1933


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


5,027,340.00


128,312,840.00


Valuation


1933


119,798,800.00


Supplementary


1933


..


...


123,882,540.00 $381,650,990.00


Total Three Years ..


Abatements .


1931


754,150.00


Motor Vehicle Excise


Tax


1931


217,420.00


Abatements


1932


1,795,218.00


Motor Vehicle Excise Tax


1932


186,575.00


Abatements


1933


520,700.00


Motor Vehicle Excise Tax


1933


77,035.00


3,551,098.00


$378,099,892.00


Average Valuation Three Years


126,033,297.33


Two and one-half per cent.


3,150,832.43


Present debt within limit ..


2,746,000.00


Borrowing Capacity December 31, 1933


$404,832.43


Maturities:


January 1


$36,000.00


Less outside limit .. 15,000.00


21,000.00


April 1


77,000.00


July 1


129,000.00


October


96,000.00


Less Outside Limit.


57,000.00


39,000.00


266,000.00


$670,832.43


Motor Vehicle Excise Tax


1933.


4,083,740.00


49


CITY AUDITOR


TELLERS' OVERS AND SHORTS


Charges:


Shorts


$205.56


.


Credit:


General Appropriations


$205.56


SALE OF LAND


Credit:


Balance from 1932 account


$243.51


Charge:


Balance to 1934 account


$243.51


SALE OF BUILDINGS


Credit:


Balance from 1932 account .... $1,575.00


Charges :


Balance to 1934 account


$1,575.00


TAX TITLES


Charges:


Balance from 1932 account


$95,077.46


Taxes 1932


408,524.39


Street Sprinkling 1932


4,268.28


Highway Assessments in Taxes 1932


819.42


Sidewalk Assessments in Taxes 1932


342.99


Sewer Assessments in Taxes 1932


16.64


Interest on Committed Assessments


310.00


Taxes 1931


26,303.78


Street Sprinkling 1931


111.48


Interest, Costs and Recording


32,321.48


$568,095.92


Credits :


Cash Sales


$82,617.33


Balance to 1934 Account


485,478.59


$568,095.92


TAILINGS


Credits:


Balance from 1932 account


146.33


Cash received


3.00


$149.33


Charges :


Balance to 1934 account


$149.33


50


ANNUAL REPORTS


ACCRUED INTEREST ON BONDS


Credits:


Cash received


$370.47


Charges:


General Appropriations


39.22


Excess and Deficiency


331.25


$370.47


OVERLAY, 1929


Credits :


Balance from 1932 account


$1,318.92


Charges:


Abatements


$329.12


Balance to 1934 account


989.80


$1,318.92


OVERLAY, 1930


Credits:


Balance from 1932 account


$8,892.03


Charges :


Abatements


1,352.88


Reserve Fund Surplus


130.75


Balance to 1934 account


7,408.40


$8,892.03


OVERLAY, 1931


Credits:


Balance from 1932 account


$1,703.14


Charges :


Abatements


1,364.08


Balance to 1934 account


339.06


$1,703.14


OVERLAY, 1932


Credits :


Balance to 1932 account


$10,179.13


Revenue


38,418.35


Balance to 1934 account


1,654.07


$50,251.55


Charges :


Abatements


$50,251.55


51


CITY AUDITOR


OVERLAY, 1933


Credits:


Revenue


$71,929.10


Charges :


Abatements


$17,394.82


Balance to 1934 account


54,534.28


$71,929.10


RESERVE FUND SURPLUS FROM OVERLAYS


Credits:


Balance from 1932 account


$6,515.85


Overlay 1930


130.75


$6,646.60


Charges:


General Appropriations


625.00


Balance to 1934 account


6,021.60


$6,646.60


RESERVE FOR PETTY


Credits:


Balance from 1932 Account


$306.95


Charges:


Excess and Deficiency


$120.50


Reserve for Deposits in Closed Banks


186.45


306.95


EXCESS AND DEFICIENCY


Credits:


Balance from 1932 Account


$59,060.38


Refunds Prior Years


1,888.84


Tax Title Revenue


33,765.43


Revenue


175,899.87


Emergency loan for retirement of temporary loans


377,850.00


Tax Title Reserve for Emergency Loan


4,048.65


Reserve for Petty


120.50


Revenue Appropriations


39.22


Accrued Interest


331.25


$653,004.14


Charges:


Refunds


$11.00


Cash Adjustment


2.35


Military Aid


22.50


State Aid


29.00


Tax Title Reserve for Emergency Loan.


13,541.11


Tax Title Revenue


115,685.23


Special Assessment Revenue


22.02


Tax Titles, 1932


320,381.86


Balance to 1934 Account


203,309.07


$653,004.14


52


ANNUAL REPORTS


RESERVE FOR DEPOSITS IN CLOSED BANKS


Credits :


Balance from 1932 Account $128,667.48


Reserve for Petty


186.45


$128,853.93


Charges :


Balance to 1934 Account


$128,853.93


REDEMPTION OF TAX TITLES


Credits:


Cash Received


$1,575.33


Charges :


Cash paid, titles redeemed


$1,575.33


53


CITY AUDITOR


CLASSIFICATION OF RECEIPTS AND EXPENDITURES


RECEIPTS


GENERAL REVENUE


Taxes:


Taxes 1933


$2,297,909.03


Taxes 1932


1,505,870.74


Taxes 1931


6,417.40


Taxes 1930


154.03


Motor Vehicle Excise 1933


70,075.72


Motor Vehicle Excise 1932


14,206.52


Motor Vehicle Excise 1931


2,110.94


Motor Vehicle Excise 1930


629.05


Motor Vehicle Excise 1929


79.77


Old Age Assistance 1933


17,987.00


Old Age Assistance 1932


10,433.00


Old Age Assistance 1931


214.00


From State -


Old Age Assistance


5,994.00


Income Tax


226,630.50


Metropolitan Blvd. Tax


728.76


Lieu of Taxes


98.81


Corporation Tax


94,589.71


Bank Tax


927.86


Federal Emergency Relief


101,862.86


Licenses and Permits:


Licenses : -


Amusement


2,937.00


Milk


460.50


Pedlers


572.00


License Commission


18,808.00


Police


128.00


Fire


336.25


Health


732.00


Dog


3,541.80


City Clerk, Miscellaneous


3,708.83


Permits : -


Marriage


1,650.99


Building


651.00


Electrical


1,841.50


Plumbing and Gas


496.75


Fire


913.00


Police


108.00


Motor


1.00


Fines and Forfeits:


Court Fines


4,676.61


Departmental


490.50


54


ANNUAL REPORTS


Grants and Gifts:


From State:


Americanization


2,641.25


Vocational Education


· 16.574.45


Outside Tuition


3,747.56


From County :


Dog Licenses


2,251.58


All Other General Revenue:


Tax Titles


82,617.33


Total General Revenue


$4,506,805.60


COMMERCIAL REVENUE, SPECIAL ASSESSMENTS


Street Sprinkling 1933


27,942.53


Street Sprinkling 1932


14,892.81


Street Sprinkling 1931


58.14


Apportioned Highway Assessments Paid in Advance


143.74


Unapportioned Sidewalks Assessments


677.91


Sidewalks Assessments in Taxes 1932


383.60


Betterments Assessments in Taxes 1932


1,925.73


Betterments in Taxes 1933


1,425.63


Sidewalks in Taxes 1933 199.56


$47,649.65


COMMERCIAL REVENUE DEPARTMENTAL


General Government:


Treasurer-Fees


514.47


Costs


7,725.87


City Clerk


2,473.28


Commissioner of Buildings


14.45


Engineers


31.63


Appeal Fees


440.00


Board of Election Commissioners


52.13


Protection of Persons and Property :


Police Department :-


Sale of Property


5.50


All other


7.45


Fire Department :-


Sale of Old Materials


67.00


All other


143.00


Sealer of Weights & Measures


803.28


55


CITY AUDITOR


Health and Sanitation:


Contagious Hospital


5,652.45


Health


12,566.35


Milk Inspection


2,123.00


Dental Clinic


304.15


Sanitary Buildings


608.90


All other


200.00


Highways:


Highway Maintenance


1,520.03


Charities:


City Home Sale of Produce


790.74


Board


1,280.00


Welfare Miscellaneous:


Outside Relief:


Individuals


84.50


Cities and Towns


43,418.71


State


120,604.54


Mothers' Aid:


Cities and Towns


117.33


State


17,701.01


Old Age Assistance


39,396.96


Soldiers' Benefits:


State Aid


12,524.08


Military Aid


2,850.75


Soldiers' Relief


625.55


Education:


Tuition State Wards


11,425.22


Other Tuition


12,790.21


School Buildings


68.00


Vocational Education


670.76


Libraries:


Fines, Rentals and Sales


1,987.51


56


ANNUAL REPORTS


Recreation :


Shower Baths


413.70


Bathhouse


92.20


Unclassified :


Employees' Welfare Contributions


397,249.49


Miscellaneous


503.00


$699,847.20


COMMERCIAL REVENUE, PUBLIC SERVICE ENTERPRISES


Water Department:


Sale of Water :-


Metered 1933


236,277.74


Metered Monthly 1933


205,244.12


Additional


112.90


Metered 1932


30,544.85


Metered Monthly 1932


25,700.78


Service Assessments


747.90


Maintenance Bills


2,412.18


Metered 1931


44.10


Metered Monthly 1931


246.60


Metered 1930


4.95


Metered Monthly 1929


9.15


$501,345.27


COMMERCIAL REVENUE, INTEREST


Deposits


952.77


Deferred Taxes


62,996.15


Excise


1,362.09


Special Assessments :


Sidewalk


117.72


Highway


938.79


Trust and Investment:


School


3,040.52


Library


4,350.95


Welfare


71.29


Recreation


141.71


All Other:


Accrued Interest


331.25


Tax Title


4,964.18


$79,267.42


57


CITY AUDITOR




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