USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1933 > Part 3
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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
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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
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CITY AUDITOR
39
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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
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Total
$36,000.00
$77,000.00
$129,000.00
$65,000.00
$96,000.00
$9,000.00
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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
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CITY AUDITOR
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..
..
... .....
..
..
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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