USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1941 > Part 2
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$17,530.25
$116,796.10
......
$6,232.93
6,232.93
2,179.48
1,900,00
279.48 .
47,367.99
47,367.99
47,367.99
52,829.67
3.000.00
21,248.84
Military Ald
671.38
11,128.70
477.78
477.78
100.00
377.78
54,715.13
54,290.40
54.91
369.82
Buildings and Grounds
31.14
61,250.00
Recreation Commission
$5.05
Maintenance Munle. Blogs .. Buliding Dept .- Demolition
$79.18 136.00
$1,031.58
$35.00
$198.80
Workmen's Compensation Pensions
95,400.00
5,868.53
33.38
101,301.91
101,192.09
43,660.00
43,660.00
Retirement System-Expense Fund
2,769.33
2,763.93
.....
21.59
Total Health and Sanitation ..
$9,025.00
$400.00 100.00
$9,425.00 4.787.28
$9.416.71 4,080.41
$705.22
$4.50 $1,390.38
3.260.00
3.238.95
21.05
Clty Cierk's Department
16.668.50
2,000.00
238.23
1.761.77
1,750.38
11.39
5,925.83
5.925.83
Engineering Department
13.310.50
13,260.00
50.50
City Planning Board
5,950.00 5.435.83
5,950.00
Inspection Milk and Vinegar
6,535.83
5.348.59
87.24
14.520.00
14,520.00
14.454.75
17.95
Ald to Dependent Chlidren ..
1,908.72
8,303.46
8,303.46
8,303.46
1.020.00
School Teachers' Salarles
1,282,000.00
1,270,354.49
11.545.51
tenance
500.00
3,950.00
3,950.00
Rifle Practice
22,50
3.98 10.60
Court Judgment
20,125.00
20.125.00
20,103.41
2,948.70
2,939.71
1,182.08
1.92
17.389.66
$335,549.25
$289.21
Total Soidlers' Benefits
$70,105.10
$69,831.76
$228,000.00
$228.000.00 $1.265.38
10.60
General Government Board of Aldermen
3,235.00
12,858.85
STATEMENT OF APPROPRIATIONS, 1941 (NON-REVENUE)
Balance From 1940
Appropria- tions
Appropria- tion Transfers From
Appropria- tion Transfers To
Receipts & Service Transfers
Total Credit
Expendi- tures
Unliquid- ated Encumbrances
Unencum- bered Balance
Sanitation: P.W.A. Sewers (Docket 7630)
$2,945.25
...........
$2,945.25
............
............
............
............
............
...........
Highways:
P. W. A. Highway (Docket 1522F)
$127.33
127.33
.....
..........
.......
..
.... ......
Chapter 44-Highways
90.31
Chapter 90-Highways
8.94
$19,000.00
...........
...
Education :
Vocational Education of De- fense Workers (Federal) .. Vocational School Equipment P. W. A. Addition North- eastern Jr. High (Docket 1567F) P. W. A. School (Docket 5416)
............
............
............
18,458.71
18,458.71
17,173.38
1,285.33
98.99
............
............
............
............
............
............
98.99
3.70
3.70
.........
..
.......... ..
............
...........
............
............
1,775.95
1,775.95
............
.........
............
...........
............
............
Public Service Enterprises : P. W. A. Water Mains (Docket 7636)
Chapter 44-Water Mains
612.07 19,458.15
50,000.00
..........
..
237.96
69,696.11
............ 69,583.25
.. ... $60.94
51.92
Total Non-Revenue Appropria- tions
$25,120.69
$69,000.00
$5,464.30
.......
$48,795.42
$137,451.81
$133,949.01
$60.94
$3,441.86
-
...
..
..........
...
$30,098.75
$90.31 49,107.69
$90.31 47,102.07
.......
..
...
2,005.62
.......
...........
98.99
.........
...
612.07
21
CITY AUDITOR
DETAIL OF ESTIMATED RECEIPTS RECEIVED IN 1941
Excise Taxes:
Motor Vehicle Excise 1941
$157,717.68
Motor Vehicle Excise 1940
11,691.34
Motor Vehicle Excise 1939
98.79
Motor Vehicle Excise 1938
188.27
Motor Vehicle Excise 1937
413.24
Motor Vehicle Excise 1936
123.92
Motor Vehicle Excise 1935
34.20
Motor Vehicle Excise 1934
6.09
Motor Vehicle Excise 1933
35.87
From State:
Income Tax
334,382.30
Corporation Tax
94,310.13
Wellington Bridge
62.42
Licenses and Permits:
Executive
2,785.00
Liquor
75,379.00
Motor
1.00
Fire
2,221.75
Police
87.00
Health-Bottling
40.00
City Clerk's Fees
15.00
City Clerk Miscellaneous
8,743.75
Milk
957.00
Electrical
2,017.00
Health
397.00
Licensing
2,540.00
Pedlers
234.00
Marriage
3,172.04
Plumbing
464.00
Building
649.00
Gas
194.00
Fines and Forfeits:
Court
4,475.95
Departmental
270.75
Grants and Gifts: ..
Tax Title Interest Refund
2,595.54
Lieu of Taxes
120.94
Vocational Education
25,887.16
Vocational Education, Outside Tuition
2,991.98
County, Dog Licenses
3,868.48
Americanization
3,325.25
Highway Fund, Chapter 420, Acts 1941
158,942.49
Special Assessments :
Street Sprinkling 1934
2.46
Highways, Taxes 1941
88.39
Highways, Taxes 1940
65.51
Highways, Taxes 1939
68.22
Sidewalks, Taxes 1941
16.39
Sidewalks, Taxes 1940
19.42
22
ANNUAL REPORTS
General Government:
Treasurer-Costs and Fees
5,883.23
Treasurer-Land Court Fees
129.25
City Clerk
4,230.26
Engineering
13.95
Board of Appeal
560.00
Election Commission
49.59
Planning Board
20.00
Maintenance Municipal Buildings
47.40
Protection Persons and Property :
Police, Sale Junk
15.00
Electrical, Settlement Claim
389.64
Electrical, Sale Junk
109.90
Weights and Measures
717.65
Health and Sanitation:
Health Department
17,808.77
Contagious Hospital
5,123.50
Milk
1,892.50
Dental Clinic
127.30
Maintenance Contagious Hospital
101.00
Sewers, Repairs Drain
15.00
Rent Sanitary Buildings
3,000.00
Highways:
Highways, Sale Junk
10.00
Highways, Settlement Claims
12.00
Highways, Sidewalks and Curbing
440.39
City Home:
Sale Produce
934.16
Board
1,475.86
Welfare:
Miscellaneous :
Outside Relief-Individuals
44.00
Cities and Towns
38,345.88
State
151,743.15
Aid Dependent Children:
State
35,633.83
Old Age Assistance:
Cities and Towns
6,697.02
State
194,596.78
Reimbursements Old Age Assistance
161.17
Soldiers' Benefits :
State Aid
8,229.50
Military Aid
5,802.95
Soldiers' Burials
477.87
Soldiers' Relief
14.00
23
CITY AUDITOR
Schools:
Tuition, State Wards
6,959.94
Other Tuition
15,311.11
School Buildings
110.00
Vocational Education
351.92
Libraries:
Fines, Rentals and Sales
2,823.55
Recreation :
Showers
666.20
Unclassified :
Electrolysis
500.00
W.P.A. Reimbursement
10.00
Public Service Enterprises :
Water:
Metered Rates 1941
218,896.91
Commercial Rates 1941
177,787.71
Metered Rates 1940
38,159.22
Metered Rates 1939
144.34
Commercial Rates 1940
18,636.26
Additional Rates
312.08
Service Assessments
1,135.00
Water Maintenance
529.06
Water Liens
862.60
Sale Junk
71.60
Interest:
Deposits
6.48
Excise
424.06
Deferred Taxes
31,578.62
Tax Titles
3,493.36
Highway Assessments
17.23
Sidewalk Assessments
3.41
Accrued Interest
697.35
$1,906,040.23
STATEMENT OF OTHER REVENUE ACCOUNTS, 1941
Balance From 1940
Receipts and Transfers
Total Credit
Transfers
Expenditures cumbrances
to 1942
Other Accounts: Income of Trust Funds:
Contagious Hospital:
Charles M. Berry Fund
$12.03
$20.00
$32.03
$31.57
$.46
School :
S. Newton Cutler Fund
308.18
210.47
518.65
344.89
173.76
Caroline G. Baker Fund
3.75
7.50
11.25
7.50
3.75
Sarah Winslow Fox Fund ....
8.06
8.06
8.06
J. Frank Wellington Fund ....
132.93
40.00
172.93
138.25
34.68
Library :
S. Newton Cutler Fund
85.13
40.00
125.13
$4.03
121.10
Hunt Art Fund
264.57
27.48
292.05
292.05
Hunt Book Fund
33.84
2.11
35.95
35.95
Pitman Art Fund
653.90
126.20
780.10
287.05
493.05
Pitman Poetry Fund
5.86
31.00
36.86
2.08
34.78
Wilder Children's Fund
10.24
2.50
12.74
12.74
Sarah Lorane Graves Fund ..
36.85
10.00
46.85
46.85
Buffman Memorial Book Fund
120.50
25.00
145.50
145.50
Eunice M. Gilmore Fund
113.84
50.00
163.84
88.33
75.51
Thomas J. Buffum Fund
45.71
30.66
76.37
71.46
4.91
J. Frank Wellington Library Fund
366.43
80.00
446.43
20.23
426.20
Edward C. Booth Fund
113.82
60.00
173.82
121.50
52,32
Welfare
1,470.65
35.02
1,505.67
..
.......
..
Recreation :
Mary A. Haley Fund
.01
72.90
72.91
71.21
1.70
Total Income of Trust Funds ..
$3,778.24
$878.90
$4,657.14
$6.11
$1,190.05
$3,460.98
.....
..
..
....
..
..
..
...... ..
..
..
..
..
....
...
..
.......
..
...
..
..
..
24
ANNUAL REPORTS
Total
Unliquid- Unencumb- ated En- ered Balance
1,505.67
Cummings Fund
..
....
STATEMENT OF OTHER REVENUE ACCOUNTS, 1941
Total Credit
Total Transfers Expenditures
Unliquid- ated En- cumbrances
Unen- cumbered Balance to 1942
Other Acounts:
Smith-Hughes Fund
$5,622.62
$5,622.62
George-Deen Fund
17,273.50
$2,400.00
14,873.50
Temporary Loans
6,200,000.00
4,550,000.00
1,650,000.00
Tax Title Loans
50,309.39
$10.00
50,299.39
Middlesex County Tax
164,115.56
165,183.47
1,067.91*
Middlesex County-Dog Licenses
5,008.80
4,990.80
18.00
Middlesex County Assessment
4,002.71
3,518.75
349.25
134.71
Water Deposits
1,103.98
18.98
860.00
225.00
Highway Deposits
466.00
466.00
Retirement Deductions
30,414.28
30,414.28
Teachers' Retirement Deductions
57,217.72
57,217.72
State Taxes and Assessments
859,753.81
725,421.22
134,332.59
Health-Bottling Licenses
80.00
40.00
40.00
412.50
Tailings
1,,108.06
44.20
1,063.86
Cash Variations
952.35
185.44
766.91
Cash Refunds :
Taxes (Poll)
76.00
76.00
Taxes
(Personal)
117.15
117.15
Taxes (Real Estate)
43,751.10
43,751.10
Excise
4,772.54
4,772.54
Water Rates
7.40
7.40
Water Liens
7.00
7.00
....... ...
....... ..
Estimated Receipts
52.82
52.82
Tax Titles
10.00
10.00
..
.......
..
............
............
Total Other Acounts
$7,501.525.28
$3,753.90
$5,691,389.60
$1,806,381.78
Revenue Totals
$14,191,979.48
$3,760.01 $12,244,050.36
$17,530.25 $1,926,638.86
..
..
..
..
..
..
..
...
..
..
...
..
...
...
..
CITY AUDITOR
..
..
..
.......
..
. .
..
..
..
. .
..
..
..
...
..
..
..
..
..
....
....
..
..
Reimbursements, Old Age Assistance
860.00
166.17
281.33
..
..
..
..
City Clerks' Deposits
54,442.49
54,442.49
...
..
..
25
26
ANNUAL REPORTS
COMMONWEALTH OF MASSACHUSETTS Payments
State Tax
$286,770.00
Auditing Municipal Accounts
5,524.86
Charles River Basin Assessment
9,100.62
Metropolitan Park Assessment
33,881.09
Metropolitan Planning Assessment
377.01
Metropolitan Sewerage Assessment
106,288.97
Metropolitan Water Assessment
281,035.92
Boston Metropolitan District-Expenses
244.80
Hospital or Home Care for Civil War Veterans
771.55
Smoke Inspection
1,257.58
Veterans' Exemption
167.11
Canterbury Street Highway
.99
West Roxbury-Brookline Parkway
.72
Health-Bottling Licenses
40.00
$725,461.22
Receipts
Income Tax
$334,382.30
Corporation Tax
94,310.13
Wellington Bridge Assessment
62.42
Tax Title Interest Refund
2,595.54
Lieu of Taxes
120.94
Vocational Education
25,887.16
Outside Tuition
2,991.98
Americanization
3,325.25
Chapter 90-Highway Aid
21,750.95
Highway Fund Chapter 420, Acts 1941
158,942.49
Health Department B. R.
17,104.80
Contagious Hospital B. R.
2,637.00
Welfare Miscellaneous B. R.
151,743.15
Aid Dependent Children B. R.
35,633.83
Old Age Assistance B. R.
194,596.78
State Aid
8,229.50
Military Aid
5,802.95
Soldiers' Burials
477.87
School, Tuition
6,959.94
Gasoline Tax Refund
1,472.91
Water Rates
455.16
$1,069,483.05
COUNTY OF MIDDLESEX
Payments
County Tax, 1941
$165,183.47
County Assessment T. B. Hospital
54,442.49
County, Dog Licenses
4,990.80
$224,616.76
Receipts
County Dog Licenses
$3,868.48
Chapter 90-Highway Aid
8,347.80
$12,216.28
27
CITY AUDITOR
STATEMENT OF REVENUE AND EXPENSES 1941
Assessed in Taxes 1941:
Real Estate
Personal
$4,284,829.08 234,795.54
Poll
66,370.00
- $4,585,994.62
Estimated Receipts
2,141,079.71
Overestimates State Taxes 1940
4,088.62
2,145,168.33
$6,731,162.95
Deficit Estimated Receipts
239,892.39
$6,491,270.56
EXPENSES
Revenue Appropriations
$5,399,722.21
State Taxes and Assessments 1941
859,753.81
Underestimates State Taxes 1940
125.18
County Tax
164,115.56
County Assessment, T. B. Hospital
54,442.49
Overlay 1941
70,230.78
Overlay 1940
16,221.21
Overlay 1939
30,307.23
Overlay 1938
15,205.33
Overlay 1937
3,815.98
Overlay 1936
1,007.18
Overlay 1935
634.30
Overlay 1934
487.50
Overlay 1932
100.25
Deficit Revenue 1941
$6,616,169.01 124,898.45
$6,491,270.56
28
TEMPORARY LOANS 1941
Number
Issued
Due
Rate
Amount
National Shawmut Bank
788 to 815
Jan. 22, 1941
Nov. 4, 1941
.237
$500,000.00
National Shawmut Bank
...
816 to 837
Jan. 31, 1941
Nov. 4, 1941
.237
500,000.00
National Shawmut Bank
838 to 865
Mar. 13, 1941
Nov. 28, 1941
.27
500,000.00
National Shawmut Bank
866 to 897
Mar. 17, 1941
Dec. 12, 1941
.27
650,000.00
Somerville Trust Co.
898 to 899
Mar. 18, 1941
Dec. 19, 1941
.24
100,000.00
National Shawmut Bank
900 to 927
Apr. 11, 1941
Jan.
22, 1942
.32
500,000.00
National Shawmut Bank
928 to 937
June 30, 1941
Feb. 20, 1942
.27
200,000.00
National Shawmut Bank
938 to 947
June 30, 1941
Apr. 10, 1942
.27
200,000.00
National Shawmut Bank
948 to 949
June 30, 1941
May 15, 1942
.27
50,000.00
National Shawmut Bank
950 to 958
July 28, 1941
Apr. 10, 1942
.25
200,000.00
National Shawmut Bank
959 to 967
July 28, 1941
May 15, 1942
.25
200,000.00
National Shawmut Bank
968 to 979
Dec. 12, 1941
Mar. 17, 1942
.40
300,000.00
Total
$3,900,000.00
ANNUAL REPORTS
29
-
CITY AUDITOR
FUNDED DEBT
The Funded Debt of the city January 1, 1941 was $5,042,871.32. Nine loans were issued: Tax Title Loans $15,000.00; $19,000.00 and $32,045.22; Municipal Relief Loans $267,000.00, $250,000.00, and $35,000.00; Chapter 44-Water Main $50,000.00 : Funding Loans $180,000.00 and $18,000.00. Maturities paid during the year amounted to $763,299.39, of which $50,299.39 was on Tax Title Loans. The total debt December 31st, 1941 was $5.145,617.20.
CLASSIFIED DEBT, JANUARY 1, 1941
City Hall Addition Loan
$21,000.00
Chapter 44 Sewer Loans
233,000.00
Chapter 44 Highway Loans
286,000.00
Schoolhouse Loans
101,000.00
High School Loans
438,000.00
Southern Junior High School Loans
262,000.00
Western Junior High School Loans
189,000.00
Bridge Loan
9,000.00
Garage Loan
24,000.00
School Equipment Loan
29,000.00
Total Within Limit
$1,592,000.00
Elementary School Loan
$37,000.00
Police Station Loan
105,000.00
Emergency Storm Damage Loan
45,000.00
State Tax Funding Loan
120,000.00
Tax Title Loans
304,871.37
Municipal Relief Loans
2,330,000.00
P. W. A. Sewer Loan
24,000.00
P. W. A. Water Main Loan
18,000.00
P. W. A. Highway Loan
60,000.00
P. W. A. School Loan
215,000.00
Chapter 44 Water Main Loan
192,000.00
Total Outside Limit
$3,450,871.37
Total Funded Debt
$5,042,871.37
30
ANNUAL REPORTS
LOANS INCREASING THE DEBT
Tax Title Loans
$66,045.22
Municipal Relief Loans
552,000.00
Chapter 44 Water Main Loan
50,000.00
Funding Loans
198,000.00
$866,045.22
$5,908,916.59
MATURITIES REDUCING THE DEBT
Chapter 44 Sewer Loan
$12,000.00
Garage Loan
2,000.00
High School Loan
61,000.00
Schoolhouse Loan
43,000.00
Chapter 44 Highway Loan
87,000.00
Bridge Loan
1,000.00
City Hall Addition Loan
7,000.00
Western Junior High Loan
19,000.00
Southern Junior High Loan
27,000.00
School Equipment Loan
29,000.00
Total Within the Limit
$288,000.00
Police Station Loan
$15,000.00
State Tax Funding Loan
30,000.00
Emergency Storm Loan
5,000.00
Municipal Relief Loans
303,000.00
Chapter 44 Water Loan
31,000.00
Elementary School Loan
7,000.00
P. W. A. Sewer Loan
1,000.00
P. W. A. Highway Loan
15,000.00
P. W. A. Water Loan
2,000.00
P. W. A. School Loan
16,000.00
Tax Title Loans
50,299.39
Total Outside Limit
$475,299.39
Total Maturities
$763,299.39
Total Funded Debt December 31, 1941
$5,145,617.20
INTEREST REQUIREMENTS ON PRESENT CITY DEBT TO MATURITY
P. W. A. School
P. W. A. Highway
P. W. A. Sewer
P. W. A. Water Mains
City Hall Additions Bridge
High School
State Tax Funding
Southern Jr. High
Western Jr. High
Elementary School
Municipal Garage
Police Station
Municipal Relief
Chap. 44 Water
Chap. 44 Highway
Chap. 44 Sewer
Emergency Storm
Totals
1942
$6,965.00
$862.50
$560.00
$262.50
$15,080.00
$1,710.00
$1,800.00 1,200.00 600.00
$9,227.50 8,162.50 7,097.50
$6,555.00 5,815.00
$1,350.00 1,080.00
$997.50
$4,331.25
$43,800.00
$3,560.00
$5.006.25
$900.00
$109,565.00
1943.
6,405.00
825.00
490.00
227.50
300.00
12,640.00
1,360.00
10,200.00
1,010.00
5,075.00
810.00
807.50
30,897.50
2,500.00
535.00
4,457.50
675.00
75,191.25
1945.
5,285.00
750.00
350.00
157.50
7,760.00
660.00
6,032.50
4,335.00
540.00
712.50
1.968.75
24,487.50
2,150.00
4.215.00
562.50
60,091.25
1946.
4,725.00
712.50
280.00
122.50
5,320.00
330.00
4,967.50
3,595.00
270.00
617.50
1,181.25
18,077.50
1,900.00
3,972.50
450.00
46,521.25
1947
4,200.00
675.00
210.00
87.50
2,880.00
3,960.00
2,167.50
427.50
7,257.50
1,400.00
3,487.50
225.00
22,880.00
1948
3,675.00
637.50
140.00
52.50
440.00
1,980.00
1,462.50
332.50
3,978.75
1,150.00
3,245.00
112,50
16,098.75
1949
3,150.00
600.00
70.00
17.50
990.00 17.50
757.50 52.50
237.50
1,788.75
900.00
3,015.00
10,876.25
1950
2.625.00
562.50
650.00
2,797.50
6,820.00
1951
2,100.00
525,00
431.25
2.580.00
5,121.25
1952
1,575.00
487.50
1953
1,050.00
450.00
1954
525.00
412.50
1955 ..
1,710.00
2,047.50
1956
1,492.50
1,792.50
1957
1,275.00
1,537.50
1958
1,145.00
1,370.00
1959
225.00
1960
885.00
1,035.00
1961
150.00
1962
625.00
700.00.
1963
75.00
1964
37.50
1965
1966.
1967
1968
1969
$48.125.00
$3,150.00
$10,350.00
$892.50
$1,120.00
$2,000.00
$54,320.00
$5,070.00
$3,600.00
$45.405.00
$32,687.50
$4,050.00
$5,747.50
$14,175.00
$180,330.00
$19,535.00
$4,557.50
$58,190.00
$4,050.00
$499,875.00
1944
6,845.00
525.00
787.50
420.00
192.50
School- house $1,700.00
$595.00 297.50
4,721.25
787.50
91,155.00
902.50
3,543,75
37,327.50
2,850.00
12,180.00
1,650.00
3,730.00
337.50
33,698.75
2,872.50
522.50
393.75
142.50
535.00
47.50
243.75
2.362.50
4,106.25
112.50
2,145.00
3,195.00
37.50
1,927.50
2,340.00
375.00
337.50
300.00
1,015.00
1,202.50
755.00
867.50
522.50
560.00
420.00
420.00
317.50
317.50
215.00
215.00
112.50
112.50
37.50
37.50
Funding
2,970.00
2,756.25
125.00
$2,727.50 1,170.00
$1,575.00 1,050.00
$2,520.00
262.50
187.50
112.50
FUNDED DEBT, DECEMBER 31, 1941
State Thx Fundling: 20
Funding
Sewer
Highway
Bridger
Schoolhouse
High School 4
Add, Western Add. Western Southern Ir. High 4% Jr. High 317 Jr. High +%
Add. Southern Elementary Jr. High 33%% School 415 %
Garage
Police Station 545
Municipal Municipal Roller 15 % Rellef 244 % Municipal Heller 11% $26,000.00 $107.000.00 $21.000.00
$74.000.00
$63.000.00
$320,617.20 $1,000.00
$2,000.00
$15.000.00 15.000,00
$5.000.00 5.000.00
$21,000.00 5,000,00
$5.000.04 5,000,IN)
$4,000.00 4.000.00
$2,000.00)
$41,000,00
$16,000.00 $1,102,617.20
00.000.01
36,000.00
5,000.00
1.000.00
Add. 496 % $7.000.00 7.000.00
$61,000.00 61,000.00
15,000.00
4,000,00
$24.000.00 24.000.00
$3,000.00 3,000.00
6,000.00
2.00000
26.000.00
107,000,00
73.000.00
66,000.00
62.000.000
1.000.00
2.000,00
5,000.00
1.000,00
2.000.00
16,000.00
5,000,00
5.000.00
4.000JM
5.000.00
11,000,(H)
666,000.00
1945
36.000.00
3.000.00
1.000.00
61,000.00
15,000.00
4,000.00
24,000.00
3.000.00
6,000.00
2.00000
15,000.00
107,000.00
73,000.00
65.000.00
6,000.00
1.000.00
2.000.00
16,000.00
5.000,00
4,000.00
5.000.00
2.000.00
25,000,00
590,000.00
1946 ..
30,000,00
6,000.00
1.000,00
61,000.00
15.000.00
4,000.00
3.000.00
G.000.00
15,000.00
6.000.00
65.000.00
62,000.00
6.000.00
1,000.00
2,000.00
15.000.00
5,000.00
5.000.00
1,000.00
5,000.00
2.000,00
450,000.00
1947
1.000,00
15,000,00
23,000.00
2.000.00
2.000.00
26.000.00
107,000.00
6,000.00
25.000.00
5,000.00
1,000.00
2.000.00
15.000.00
5.000.00
5.000.00
4.000.00
6,000.00
6,000.00
2.000.00
327,000,00
1.000.00
15,000.00
3.000,00
2,000,00
2.000.00
26,000.00
106,000.00
3.000.00
1,000.00
0,000.00
1,000.00
2,000.00
15,000.00
6.000.00
6,000,00
5,000,00
1.000,00
1.000.00
.0410,00
257.000.00
1950.
15.000.00
5.000.00
5,000.00
5,000.00
3,000.00
0,000.00
2.000.011
120,000.00
1961
15.000.00
5.000.00
5,000,00
0,000.00
3.000.00
2,000.00
01,000,00
1952.
3.000.00
5.000.00
2,000 00
36.000.00
1,000.00
15.000.00
5,000.00
3.000,00
5.000.00
2,000.IJ
31.000.00
1.000.00
5,000.00
3.000.04
2,000.00
16,000.00
1.000.00
.000.00
1.000.00
1.000.00
1.000.00
1.000.00
1,000.00
1.000.00
1.000.00
3.000.00
1.000,00
5.000.00
1965
3.000,00
1,000,00
4.000.00
3.000.00
1.000.00
4,000.00
3.000.00
1,000,00
1,000.00
1,000.00
3.000,00
$00,000.00 $180,000.00
$18,000.00
$2,000.00
$30,000.00
$8.000.00 $14,000.00 $58,000.00 $377,000.00
$135,000.00
$35.000.00
$211.000.00 $24.000.00
$30.000.00
$22.000.00 $90.000.00 $218.000.00 $997.000.00 $108,000.00 $454.000.00
$386.000.00 $416.000.00 $40,000.00
$320.617.20 $23.000.00 $16.000.00
$45,000.00 $199,000.00
$70.000.00
$15,000.00
$76.000.00
$50,000.00
$92,000.00 $80,000 114
$47,000.00 $148,000.00
$16,000,00 $5,145,617.20
30,000,90
36.000.00
4.000.00
1,000.00
61,000.00
15.000.00
4.000.00
24.000.00
3.000.00
6,000.00
2.00000
15,000.00
26.000.00
107.000,00
21,000.00
73.000.00
65.000.00
62,000.00
10.000.00
5.000,00
$5,000,00 5,000.(H) 5,000.00
Chap. H Water
Chap. ++ Water
Chap. 14 Hewer
Chap. 44
Clap. ++
Chap. H Highway
Chap 14 Highway
Totais
1942
$30,000,00
$36,000.00
$4,000.00
$30,000,00
$1.000,00
$15,00.00
$4,000.00
$6,000.00
$2.000.00
$15.000.00
$66.000.00
$5.000.00 5.000.00
Tax Titles 1%
P. W. A. Sewers 3 74 70
Wate
P. W. 4 Highway
. W. A School
Chap. ++ Water
Chap. 44 Water
3.000.00
3,000.00
5,000.00
2.000,4Hł
2,000,00
6.000.00
2,000.00
G.000.00
6,000.00
1562
3.000.00
1.000.00
1.000.00
1914
41544 45
23.000.00
2,000.00
2.000.00
26,000.00
107.000.00
6,000.00
25.000.00
42.000.00
5,000.00
1,000.00
2.000.00
15.000.00
6.000.00
5,0410,00
5,000,00
15,000.00
3,000.00
23.000.00
2,000.00
2,000.00
2.000.00
51.000.00
3,000.00
1.000.00
1.000.00
15.000.00
5.000.00
5,000.00
15.000,00
5.000.00
6.000,00
3,009.00
5,000.00
2,000.00
38,000,00
..........
........
2,000,00
10,000.00
91,000.00
3,000.00
1.000.00
.......-
3,000.00
5,000.00
2,000.00
11,000.00
11.000.00
3,000.00
3,000.00
3,000.00
8,000.00
2,000.00
6,000.00
3.000.00
2,000.00
1.000.00
........... 4
Municipal Reller
Municipal Heller
Emergency Storm
$16.000.00 16.000.00
5,000.00
11.000,00
35,000.00
26,000.00
23,000.00
2.000.00
26.000.00
107,000,00
73,000,00
73.000.00
42,000.00
1,000.00
11.000.00
15,000,00
3.000,00
23.000.00
3,000.00
1.000.00
15,000,00
15.000.00
............
5.000.00
5,000.00
5.000.00
61,000.00
3,000,00
5,000.00
4,000,00
$5,000.00
$1.000.00 1,000.00
$43.000.00 15.000,00
15,000.00
21.000.00
21.000.00
62,000.00
1,000.00
5,000.00
3,000.00
3.000.00
5,000,00
657,000.00
6.000.00
Municipal Relief
Funding 2%
31
CITY AUDITOR
TAXES
The total taxable property as of January 1st, 1941 was $113,273,800. The tax rate was fixed at $39.90 per $1,000.00 valuation.
City Appropriations
$5,514,252.15
City Appropriations from Available Funds. 701,655.87
Overlay Deficit 1932
100.25
Overlay Deficit 1934
487.50
Overlay Deficit 1935
634.30
Overlay Deficit 1936
1,007.18
Overlay Deficit 1937
3,815.98
Overlay Deficit 1938
15,205.33
Overlay Deficit 1939
30,307.23
Overlay Deficit 1940
16,221,21
Overlay Current Year
1941
70,230.78
State Tax 1941
286,770.00 5,524.86
State Audit of Municipal Accounts
Hospital and Home Care for Civil War Vet- erans
498.00
Smoke Inspection Service
1,261.15
Veterans' Exemption
240.98
Additional State Assessments
565,458.82
1940 Underestimates on State Taxes and Assess- ments
125.18
County Tax
164,115.56
Tuberculosis Hospital Assessment
54,442.49
Gross Amount to be Raised
$7,432,354.82
Less Estimated Receipts $2,141,079.71
1940 State Taxes and Assessments Overestimates
4,088.62
Available Funds
701,655.87
Total Deductions
$2,846,824.20
Net Amount Raised by Taxa-
tion
$4,585,530.62
Number of Polls 32,953 @ $2.00 ea.
$65,906.00
Valuation :
Personal Property $5,884,600 234,795.54
Real Estate 107,389,200 4,284,829.08
Total Taxes on Polls and
Property
$4,585,530.62
Appropriations classified under General Headings, were made from Revenue as follows :
General Government $208,071.34
Protection Persons and Property 786,063.46
Health and Sanitation
378,699.17
32
ANNUAL REPORTS
Highways
217,516.00
Welfare
909,712.27
Soldiers' Benefits
107,622.87
Education
1,587,285.00
Libraries
71,959.00
Recreation
47,184.00
Unclassified
127,434.00
Compensations and Pensions
159,258.27
Municipal Indebtedness
835,342.40
Water Works
78,104.37
Total Budget Appropriations
$5,514,252.15
Less Estimated Receipts
2,141,079.71
Raised by Taxation
$3,373,172.44
1
MATURITIES ON FUNDED DEBT, 1942
Class of Loan
January
April
July
October
Total
Chapter 44 Sewer
$4,000.00
$1,000.00
$7,000.00
$12,000.00
Garage
2,000.00
2,000.00
Police Station
15,000.00
15,000.00
Schoolhouse
15,000.00
16,000.00
12,000.00
43,000.00
Municipal Relief
87,000.00
$127,000.00
143,000.00
357,000.00
Chapter 44 Highway
50,000.00
16,000.00
21,000.00
87,000.00
Chapter 44 Water
15,000.00
21,000.00
36,000.00
Bridge
1,000.00
1,000.00
Western Junior High
4,000.00
15,000.00
19,000.00
Southern Junior High
3,000.00
24,000.00
27,000.00
Funding Loan
36,000.00
36,000.00
P. W. A. Sewer
1,000.00
1,000.00
P. W. A. Highway
15,000.00
15,000.00
P. W. A. Water
2,000.00
2,000.00
P. W. A. School
16,000.00
16,000.00
High School
61,000.00
61,000.00
State Tax Funding
34,000.00
34,000.00
Emergency Storm
5,000.00
5,000.00
City Hall Additions
7,000.00
7,000.00
Elementary School
6,000.00
6,000.00
Civilian Defense
2.000.00
2,000.00
Totals
$36,000.00
$177,000.00
$298,000.00
$273,000.00
$784,000.00
..
..
..
..
..
..
..
..
.........
..
..
..
..
..
..
..
..
....
..
..
..
... .........
..
..
..
..
..
33
CITY AUDITOR
..
....
.....
.. ...
.....
34
INTEREST REQUIREMENTS ON FUNDED DEBT, 1942
Class of Loan
January
April
July
October
Total
Funding Loan
$675.00
Municipal Relief
7,757.50
$14,498.75
$675.00 7,757.50
$13,786.25
43,800.00
P. W. A. Sewer
431.25
431.25
862.50
Chapter 44 Sewer
1,150.00
1,388.75
1,100.00
1,367.50
5,006.25
P. W. A. Highway
787.50
787.50
1,575.00
Chapter 44 Highway
240.00
1,467.50
240.00
780.00
2,727.50
P. W. A. Water
280.00
280.00
560.00
Garage
522.50
475.00
997.50
Police Station
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