USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1942 > Part 2
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2.85
$7.72
1,705.22
$$2.020.06
$76.644.62
Total Unclassified
Unencum. bered
$1,645.88
9.56
300.00
8,150.00
200.00
Old Age Assistance
Memorial Day
51,134.94
STATEMENT OF APPROPRIATIONS, 1942 (NON-REVENUE)
Balance From 1941
Appropria - tions
Appropria - tion Transfers From
Approria - tion Transfers To
Receipts & Service Transfers
Total Credit
Expendi- tures
ated Encumbrances
Unliquid- Unencumb- bered Balance
Highways: Highway Construction : Chapter 90-Highways
$2,005.62
$16,695.28
............
............
$5,557.73
$24,258.63
$24,258.63
............
............
Education :
Vocational
Education
of
Defense
Workers
(Fed-
eral)
1,285.33
........
............
............
42,276.43
43,561.76
42,401.20
.........
$1,160.56
Vocational
School
Equip-
98.99
............
............
............
............
............
............
Public Service Enterprises: Chapter 44 - Water Mains
Total
Non-Revenue
Appro-
priations
$3,502.80
$66,695.28
............
......
$47,962.98
$118,161.06
$107,241.35
$97.84
$10,821.87
...
..
.....
128.82
50,241.68
40,581.52
97.84
9,562.32
ment
98.99
98.99
...
112.86
50,000.00
21
CITY AUDITOR
CASH STATEMENT, DECEMBER 31, 1942
REVENUE
Payments
Appropriations
$5,131,048.07
Interest
122,423.34
Reduction Funded Debt
784,000.00
Tax Title Loan
118,776.68
Deposits
405.50
Temporary Loans
3,750,000.00
State Taxes and Assessments 1942
704,837.27
County Tax 1942
136,099.05
County Assessment, T. B. Hospital
54,205.09
County, Dog Licenses
5,689.60
Indemnifications, Fire Losses
6,811.88
Health, Bottling Licenses
40.00
George-Deen Fund
4,391.60
Smith-Hughes Fund
2,868.04
Income Trust Funds
704.53
Teachers' Retirement Deductions
54,873.07
Retirement Deductions
30,947.00
Refunds
36,744.30
Tailings
10.40
Reimbursements Old Age Assistance
878.13
Pay Roll Deductions for Purchase of War
Bonds
11,686.50
Total Payments 1942 to date
$10,957,440.05
Cash on Hand December 31, 1942
1,085,979.89
Transfer to Non-Revenue
16,695.28
$12,060,115.22
CASH STATEMENT, DECEMBER 31, 1942
NON-REVENUE
Receipts
Grants and Gifts
$47,834.16
Chapter 44-Water Main Loan
50,000.00
Refunds
128.82
Total Receipts
$97,962.98
Balance at beginning of period
4,242.40
Transfer from Revenue
16,695.28
$118,900.66
ANNUAL REPORTS
CASH STATEMENT, DECEMBER 31, 1942 NON-REVENUE
Payments
Appropriations $107,291.02
Total Payments
Cash on Hand
$107,291.02 11,609.64
$118,900.66
SUMMARY
Total Revenue Receipts
$11,407,531.16 97,962.98
Total Non-Revenue Receipts
$11,505,494.14
Total balance at beginning of period
656,826.46
$12,162,320.60
Total Revenue Payments $10,957,440.05
Total Non-Revenue Payments
107,291.02
$11,064,731.07
Total Balance on Hand
1,097,589.53
$12,162,320.60
STATEMENT OF OTHER REVENUE ACCOUNTS, 1942
Balance From 1941
Receipts and Transfers
Total Credit
Transfers
Total Expendi- tures
Unliquid- Unencumb- ated En- ered Balance cumbrances to 1943
Other Accounts: Income of Trust Funds:
Contagious Hospital :
Charles M. Berry Fund
.46
$ 20.00
$ 20.46
$ 19.64
.. .........
$ .82
School:
S. Newton Cutler Fund
173.76
206.44
380.20
168.03
4.25
207.92
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 ..
34.68
40.00
74.68
74.68
Library:
S. Newton Cutler Fund
121.10
40.00
161.10
161.10
Hunt Art Fund
292.05
27.48
319.53
319.53
Hunt Book Fund
35.95
2.11
38.06
38.06
Pitman Art Fund
493.05
112.52
605.57
138.56
467.01
Pitman Poetry Fund
34.78
30.70
65.48
65.48
Wilder Children's Fund
12.74
2.50
15.24
15.24
Sarah Lorane Graves Fund ..
46.85
10.00
56.85
56.85
Buffum Memorial Book Fund
145.50
25.00
170.50
170.50
Eunice M. Gilmore Fund ....
75.51
50.00
125.51
125.51
Thomas J. Buffum Fund
4.91
49.60
54.51
54.51
J. Frank Wellington Library Fund
426.20
80.00
506.20
506.20
Edward C. Booth Fund
52.32
60.00
112.32
112.32
Welfare:
Cummings Fund
1,505.67
35.02
1,540.69
1,540.69
Recreation:
Mary. A. Haley Fund
1.70
72.90
74.60
74.47
.13
Total Income of Trust Funds
$3,460.98
$879.83
$4,340.81
$416.26
$4.25
$3,920.30
.
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..
.....
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..
....
...
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..
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..
..
...
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CITY AUDITOR
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..
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23
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...
STATEMENT OF OTHER REVENUE ACCOUNTS, 1942
Total Credit
Transfers
Expenditures
Unliquid- ated En- cumbrances
Unencumb- ered Balence .to 1943
24
Other Accounts:
Smith-Hughes Fund
$8,567.82
$2,868.04
$5,699.78
Goorge-Dcen Fund
18,210.49
4,391.60
13,818.89
Temporary Loans
5,150,000.00
3,750,000.00
1,400,000.00
Tax Title Loans
118,797.38
$20.70
118,776.68
Middlesex County Tax
136,099.05
136,099.05
Mildlesex County Assessment
54,205.09
54,205.09
Middlesex County-Dog Licenses
5,709.40
5,689.60
19.80
City Clerk's Deposits
2,451.75
2.163.00
162.50
126.25
Water Deposits
315.00
90.00
225.00
Highway Deposits
138.00
138.00
School Deposits
354.00
15.00
339.00
Retirement Deductions
30,966.02
19.02
30,947.00
Teachers' Retirement Deductions
54,873.07
54,873.07
Pay roll Deductions for the Purchase of War Bonds
17,039.14
5.89
11,686.50
5,346.75
State Taxes and Assessments
755,999.48
704,837.27
51,162.21
Boston Edison Refund
16,661.16
40.00
40.00
817.77
Tailings
1,122.87
10.40
1,112.47
Cash Variations
766.91
766.91
Indemnification Fire Losses
7,574.52
6,890.25
684.27
Cash Refunds :
48.00
Taxes (Poll)
48.00
Taxes
(Real Estate)
34,101.44
34,101.44
........ ..
Taxes (Personal)
914.67
914.67
Motor Vehicle Excise
1,589.94
1,589.94
Water Rates
21.89
21.89
Estimated Receipts
47.66
47.66
Tax Titles
20.70
20.70
Total Other Accounts
Revenue Totals
$6,419,684.85 $12,647,465.78
$3,562.11 $4,919,342.48 $3,562.11 $10,959,722.06
$31,457.67
$1,496,780.26 $1,652,723.94
.
..
.........
..
........ ..
ANNUAL REPORTS
..
..
..
. .
..
16,661.16
Health --- Bottling Licenses
80.00
1,313.50
878.13
Reimbursements, Old Age Assistance
3,009.40
..
Total
25
CITY AUDITOR
DETAIL OF ESTIMATED RECEIPTS RECEIVED IN 1942
Excise Taxes :
Motor Vehicle Excise 1942
$136,970.72
Motor Vehicle Excise 1941
10,379.14
Motor Vehicle Excise 1940
644:76
Motor Vehicle Excise 1939
124.59
Motor Vehicle Excise 1938
174.09
Motor Vehicle Excise 1937
377.98
Motor Vehicle Excise 1936
77.35
Motor Vehicle Excise 1935
17.52
Motor Vehicle Excise 1934
8.10
Motor Vehicle Excise 1933
25.24
Motor Vehicle Excise 1931
21.28
148,820.77
From State:
Income Tax
382,797.06
Meal Tax
3,408.57
Corporation Tax
147,527.93
Metropolitan Planning
15.33
533,748.89
Licenses and Permits :
Executive
3,238.00
Liquor
72,781.00
Building
432.00
Fire
2,670.50
Police.
75.50
Health-Bottling
40.00
City Clerk's Fees
398.70
City Clerk Miscellaneous
7,439.00
Electrical Department
, 994.50
Licensing
2,843.00
Police-Bicycle Registration
519.05
Milk
979.00
Health
349.00
Pedlers
251.00
Marriage
2,869.24
Plumbing
244.00
Gas
87.00
96,210.49
Fines and Forfeits:
Court Fines
4,893.57
Departmental Penalties
348.50
5,242.07
Grants and Gifts:
Vocational Education
26,878.09
Outside Tuition
2,649.57
Americanization
2,998.75
County, Dog Licenses
4,182.84
Tax Title Interest Refund
2,388.54
Highway Fund, Chapter 420, Acts 1941
158,942.49
198,040.28
26
ANNUAL REPORTS
Special Assessments:
Sidewalk Assessments, Taxes 1942
9.98
Highway Assessments, Taxes 1941
15.25
General Government:
Treasurer-Costs and Fees
5,847.02
Treasurer Land Court Fees
649.00
City Clerk
3,302.95
Engineering
3.65
Board of Appeal
300.00
Planning Board
5.00
Maintenance Municipal Buildings
15.43
Election Commission
21.85
10,144.90
Protection Persons and Property :
Police, Sale Junk
.50
Fire, Settlement Claim
30.20
Electrical, Settlement Claim
409.50
Weights and Measures
782.13
1,222.33
Health and Sanitation:
Health Department
17,696.00
Contagious Hospital
5,207.50
Inspection Milk
1,881.50
Dental Clinic
173.70
Sanitary, Incinerator
400.00
Sale of Tin Cans
216.07
25,574.77
Highways:
Highway, Sidewalks
89.90
City Home:
Sale of Produce
1,042.14
Board
5,103.63
6,145.77
Welfare:
Miscellaneous :
Outside Relief-Cities and Towns
112,547.58
State
87,989.41
200,536.99
Aid Dependent Children:
State
65,286.61
Old Age Assistance:
Cities and Towns
5,904.85
State
219,449.92
Reimbursement Old Age Assistance
232.75
225,587.52
25.23
27
CITY AUDITOR
Soldiers Benefits:
State Aid
6,882.00
Military Aid
4,613.75
Soldiers Relief
112.00
11,607.75
Schools:
Tuition State Wards
500.00
Other Tuition
12,682.61
School Buildings
52.00
Vocational Education
272.97
13,507.58
Libraries:
Fines, Rentals and Sales
2,837.61
Recreation :
Showers
663.50
Unclassified :
Electrolysis
500.00
Conscience Fund
2.00
Premiums on Temporary Loans
1.25
503.25
Public Service Enterprises:
Water:
Metered Rates 1942
223,629.83
Commercial Rates 1942
182,962.47
Additional Rates
46.30
Service Assessments
120.00
Water Maintenance
819.35
Metered Rates 1941
40,647.92
Commercial Rates 1941
22,607.93
Metered Rates 1940
861.68
Water Liens
366.00
Sale Junk
32.75
472,094.23
Interest:
Accrued Interest
365.47
Excise
610.33
Taxes
23,881.80
Tax Titles
13.118.25
Sidewalk Assessments
.59
Highway Assessments
.91
37,977.35
$2,055,867.79
28
ANNUAL REPORTS
COMMONWEALTH OF MASSACHUSETTS Payments
State Tax
$260,700.00
Auditing Municipal Accounts
2,244.33
Charles River Basin Assessment
9,212.44
Metropolitan Park Assessnient
33,231.47
Metropolitan Sewer Assessment
101,646.67
Metropolitan Water Assessment
273,186.40
Boston Metropolitan District Expenses
244.80
Boston Elevated Railway Rental Deficiency
5,739.04
Hospital or Home Care Civil War Veterans
724.25
Smoke Inspection
1,246.71
Corporation Taxes, Prior Years
16,661.16
Health Dept .- Bottling Licenses
40.00
Reimbursements, Old Age Assistance
878.13
$705,755.40
Receipts
Income Tax
$382,797.06
Meal Tax
3,408.57
Corporation Tax
147,527.93
Metropolitan Planning
15.33
State Aid
6,882.00
Military Aid
4,613.75
Soldiers Burials
100.00
Pedlars Licenses
50.00
Vocational Education
26,878.09
Outside Tuition
2,649.57
Americanization
2,998.75
Tax Title Interest Refund
2,388.54
Highway Fund, Chapter 420 Acts 1941
158,942.49
Chapter 90, Highway Aid
3,895.75
Welfare Miscellaneous B. R.
87,989.41
Aid Dependent Children B. R.
65,286.61
Old Age Assistance B. R.
219,449.92
Health Dept. B. R.
16,577.05
Contagious Hospital B. R.
1,476.00
School, Tuition State Wards
500.00
Gasoline Tax Refund
797.77
Water Rates
624.75
$1,135,849.34
COUNTY OF MIDDLESEX
Payments
County Tax, 1942
$136,099.05
County Assessment, T. B. Hospital
54,205.09
County, Dog Licenses
5,689.60
$195,993.74
Receipts
County, Dog Licenses
$4,182.84
Chapter 90-Highway Aid
1,661.98
$5,844.82
29
CITY AUDITOR
STATEMENT OF REVENUE AND EXPENSES 1942
Assessed in Taxes 1942:
Real Estate
Personal
$4,403,662.40 232,228.10
Poll
66,874.00
$4,702,764.50
Estimated Receipts
1,866,184.50
Overestimates State Taxes 1941
11,813.43
1,877,997.93
Excess Receipts 1942
188,023.80
$6,768,786.23
EXPENSES
Revenue Appropriations
$5,282,890.81
Non-Revenue Appropriations
5,343.52
State Taxes and Assessments
755,999.48
Underestimates State Taxes 1941
789.26
County Tax 1942
136,099.05
County Assessments, T. B. Hospital
54,205.09
County Tax Underestimate 1941
1,067.91
Boston Edison Refund
16,661.16
Overlay 1942
109,586.48
Overlay 1940
29,211.62
Overlay 1939
9,302.45
Overlay 1938
2,782.01
Overlay 1937
2,284.27
Overlay 1936
4,186.29
Overlay 1935
4,114.34
Overlay 1934
3,618.78
Overlay 1932
4,175.08
Revenue Deficit 1941
$6,422,317.60 124,898.45
Excess Revenue 1942
221,570.18
$6,768,786.23
30
TEMPORARY LOANS ,1942
Number
Issued
Due
Rate
Amount
National Shawmut Bank
980 to 1007
Jan. 20, 1942
Nov. 4, 1942
.378
$500,000.00
National Shawmut Bank
1008 to 1020
Jan. 22, 1942
Nov. 4, 1942
.39
500,000.00
National Shawmut Bank
1021 to 1024
Jan. 27, 1942
Dec. 16, 1942
.39
100,000.00
National Shawmut Bank
1025 to 1052
Mar. 3, 1942
Nov. 27, 1942
.48
500,000.00
National Shawmut Bank
1053 to 1080
Mar. 30, 1942
Dec. 16, 1942
.443
500,000.00
National Shawmut Bank
1081 to 1108
Apr. 10, 1942
Jan. 20, 1943
.394
500,000.00
National Shawmut Bank
1109 to 1112
Apr. 9, 1942
Mar. 15, 1943
.339
100,000.00
National Shawmut Bank
1113 to 1128
May 26, 1942
Feb. 19, 1943
.538
300,000.00
National Shawmut Bank
1129 to 1140
May 26, 1942
Mar. 15, 1943
.538
200,000.00
National Shawmut Bank
..
1141 to 1156
Sep. 11, 1942
Apr. 9, 1943
.59
300,000.00
Total Anticipation of Revenue Loans
$3,500,000.00
CHAPTER 44 LOANS SECTION 8 - CLAUSE 9
Number
Issued
Due
Rate
Amount
Commonwealth of Massachusetts
1
Nov. 25, 1942
July 1, 1943
.50
$25,000.00
Commonwealth of Massachusetts
2
Nov. 25,
1942
July
1, 1943
.50
25,000.00
Commonwealth of Massachusetts
3
Nov.
25, 1942
July 1, 1943
.50
5,200.00
Commonwealth of Massachusetts
4
Dec. 23, 1942
July 1, 1943
.45
21,000.00
Total Emergency Loans
$76,200.00
ANNUAL REPORTS
31
CITY AUDITOR
FUNDED DEBT
The Funded Debt of the city January 1, 1942 was $5,145,617.20. Eleven loans were issued : Civilian Defense Loans $10,000.00, and $10,000.00; Chapter 44 Water Main Loan $50,000.00; Municipal Relief Loans $200,000.00, $145,000.00, $68,000.00 and $39,000.00; Emergency Loans $55,200.00 and $21,000.00; Tax Title Loans $2,314.00 and $11,000.00. Matur- ities paid during the year amounted to $902,776.68 of which $118,776.68 was on Tax Title Loans. The total bonded debt De- cember 31st, 1942 was $4,854,354.52.
CLASSIFIED DEBT, JANUARY 1, 1942
City Hall Addition Loan
$14,000.00
Bridge Loan
8,000.00
Schoolhouse Loan
58,000.00
High School Loan
377,000.00
Junior High School Loan
405,000.00
Garage Loan
22,000.00
Chapter 44 Sewer Loan
221,000.00
Chapter 44 Highway Loan
199,000.00
Funding Loan, Chapter 315, Acts 1941
198,000.00
Total Within Limit
$1,502,000.00
Elementary School Loan
30,000.00
Police Station Loan
90,000.00
Tax Title Loan
320,617.20
Municipal Relief Loan
2,579,000.00
P. W. A. Sewer Loan
23,000.00
P. W. A. Water Main Loan
16,000.00
P. W. A. Highway Loan
45,000.00
P. W. A. School Loan
199,000.00
Chapter 44 Water Main Loan
211,000.00
Emergency Storm Loan
40,000.00
State Tax Funding Loan
90,000.00
Total Outside Limit
$3,643,617.20
Total Funded Debt January 1, 1942
$5,145,617.20
32
ANNUAL REPORTS
LOANS INCREASING THE DEBT
Civilian Defense Loans
$20,000.00
Chapter 44 Water Main Loan
50,000.00
Municipal Relief Loans
452,000.00
Tax Title Loans
13,314.00
Emergency Loans
76,200.00
$611,514.00
$5,757,131.20
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
Junior High School Loan
46,000.00
Funding Loan
40,000.00
Total Within the Limit
$299,000.00
Civilian Defense Loan
2,000.00
Police Station Loan
15,000.00
State Tax Funding Loan
30,000.00
Emergency Storm Loan
5,000.00
Municipal Relief Loan
357,000.00
Chapter 44 Water Loan
36,000.00
Elementary School Loan
6,000.00
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 Titles
118,776.68
Total Outside Limit
$603,776.68
Total Maturities
$902,776.68
Total Funded Debt December 31, 1942
$4,854,354.52
FUNDED DEBT, DECEMBER 31, 1942
Municipal Relief
Municipal Relief Tax Titles
P. W. A. Sewers
P. W. A. Water 316%
P. W. A. Highway
P. W. A. School 31% %
1943
State Tax Funding 2%
Funding 24%
Sewer 416 %
Bridges 3% %
City Hall Add. 416%
Schoolhouse High School Add. Western Add. Western Southern
Add. Southern Elementary Jr. High 1% Jr. High 332% Jr. High +% Jr. High 332% School 41/2% $15,000.00 15,000.00
$4,000.00 4,000.00
$24,000.00 24,000.00
$3,000.00 3,000.00 3,000,00
$6,000.00 6,000.00 6,000.00 6,000.00
$2,000.00 2,000.00
$26,000.00 26,000.00
21,000.00 $107,000.00 107,000,00 107,000.00 21,000.00
$73,000.00 73,000.00
$66,000.00 65,000.00
$5,000.00 5,000.00
$1,000.00
$2,000.00 2.000.00
$15,000.00 15,000.00
$16.000.00 16,000.00
1945
1,000.00
61,000.00
15,000.00
4,000.00
24,000.00
2,000.00
15,000.00
26,000.00
73,000.00
65,000.00
5,000.00
1,000.00
2,000.00
16,000.00
1946
1.000.00
61,000.00
15.000.00
1,000.00
23,000.00
3,000.00
2,000,00
15,000.00
26,000.00
6,000.00
65,000.00
62,000.00
5,000.00
1,000.00
2.000.00
15,000.00
1947
1.0 00
61,000.00
3,000.00
23,000.00
2,000.00
2,000.00
15,000.00
26,000.00
6,000.00
73,000.00
25,000.00
5,000.00
1,000.00
2,000.00
15,000.00
1948
1.000.00
11,000.00
3,000.00
23,000.00
2,000.00
2,000.00
26,000.00 26,000.00
6,000.00
15,000.00
25,000.00
5,000.00
1,000.00
2,000.00
15.000.00
1945
1,000.00
15,000.00
3,000.00
23,000.00
2,000.00
2.000.00
6,000.00
3,000,00
21,000.00
5,000.00
1,000.00
2,000.00
15,000.00
1950
1951
1952.
1953
1,000.00
1954
1955
1956
195
1958
1.000.00
1959
1,000.00
1960
1.000.00
1961
1,000.00
1962.
1963
1,000.0
1,000.00
1965
1966
1967
1968
196
$60,000:00 $144,000.00
$14,000.00
$1,000.00
$5.000.00
$7.000.00
$7,000.00
$15,000.00
$316,000.00
$120,000,00
$31,000.00
$187,000.00 $21,000.00
$24,000.00
$20,000.00
$75,000.00 $192,000.00
$890,000.00 $87,000.00
$380,000.00
$320,000.00 $353,000.00
$35,000.00
$215,154.52
$22,000.00
$14,000.00
$30,000.00
$183,000.00
1944.
$30,000.00 30,000.00
$36,000.00 36,000,00 36,000.00 36,000.00
$4,000.00 1,000.00 3,000.00 3,000.00
$1,000.00
$7,000.00
$5,000.00 $1,000.00 1,000.00
Funding
Highways
4% $15,000.00 $61,000.00 61,000.00
15,000.00
3,000.00
23,000.00
2,000.00
2,000.00
10,000.00
91,000.00 51,000.00
3,000.00 3,000.00
1,000.00
3,000.00
1,000.00
2,000.00
2,000.00
Garage 1%-7
Municipal Station 314 % Relief 114% Police
Municipal Rellef 114 %
Municipal Relief 2%% $21,000.00
Municipal Itelief 215 %
Emergency Storm 21/ 00
$215,154.52
$62,000.00 63,000.00 62,000.00
1.000.00
1,000.00
1.000.00
1,000.00
1,000.00
1,000.00
1.000.00
15,000.00
15,000.00
15,000.00 15,000.00
15,000.00
$15,000.00
15,000.00
107,000.00 107,000.00 107,000.00 106,000.00
73.000.00
42,000,00 42,000.00
15,000.00
15.000.00
1964
FUNDED DEBT, DECEMBER 31, 1942
Municipal Relief
Municipal
Emergency
P. W. A. Sewers 3 4 %
P. W. A. Water 316%
P. W. A. Highway 336-%
P. W. A. School 316%
Chap. 44 Water 116%
Chap, 44 W'ater 2%
Chap. 44 Water
Chap 44 Water 144%
Chap. 44 Sewer 21/10%
Chap. 44 Sewer 131 %
Chap. 44 Sewer 24%
Chap. 44 Highway
Defense 134 %
Defense 114 %
Emergency 1% of 1% 45/100%
Municipal Relief 1 14 %
Municipal Relief 114 %
Municipal Rellef 114%
Municipal Relief 11/4%
Chap. 1+ Water 14%
Totals
$66,000.00
$62,000.00
$5,000.00
$215,154.52
62,000.00
5,000.00
1,000.00
2,000.00
16,000.00
5,000.00
5,000.00
5,000.00
4,000.00
5,000.00
2,000.00
2,000.00
2,000.00
20.000.00
15,000.00
7,000.00
4,000.00
5,000.00
721,000.00
65,000.00
62,000.00
5,000.00
1,000.00
2,000.00
16,000.00
5,000.00
5,000.00
5,000.00
4,000.00
5,000.00
2,000.00
2,000.00
2,000.00
20,000.00
15,000.00
7,000.00
4,000.00
5,000.00
612,000.00
65,000.00
62,000.00
5,000.00
1,000.00
2,000.00
15,000.00
5,000.00
5,000.00
5,000.00
1,000.00
5,000.00
2.000.00
2,000.00
2,000.00
20,000.00
15,000.00
7,000.00
4,000.00
5,000.00
503,000.00
25,000.00
42,000.00
5,000.00
1,000.00
2,000.00
15,000.00
5,000.00
5,000.00
5,000.00
4,000.00
5,000.00
2,000.00
5,000.00
2,000.00
5,000.00
2,000.00
5,000.00
2,000.00
2,000.00
5,000.00
2,000.00
5,000.00
2,000.00
2,000.00
5,000.00
2,000.00
5,000.00
2,000.00
2,000.00
3,000.00
2,000.00
3,000.00
2,000.00
3.000.00
2,000.00
8,000.00
2,000.00
3,000.00
2,000.00
3,000.00
1,000.00
3,000.00
1,000.00
3,000.00
3,000.00
1,000.00
3,000.00
1,000.00
3,000.00
3,000.00
$45,000.00
$88,000.00
$75,000.00
$45,000.00
$107,000.00
$8,000.00
$10,000.00
$55,200.00
$21,000.00
$200,000.00 $145,000.00
$68,000.00
$39,000.00
$50.000.00 $4,854,354.52
$320,000.00
$353,000.00
$35,000.00
$215,154.52
$22,000.00
$14,000.00
$30.000.00
$183,000.00
$65,000.00
$10,000.00
$5.000.00
$5,000.00
$4,000.00
$5,000.00
$2.000.00
$2,000.00
$2,000.00
$55,200.00
$21.000.00
$20,000,00
$15,000.00 $7.000.00
$1,000.00
$2,000.00
$15,000.00 15,000.00
$16.000.00
$5,00.000
$5,000.00 5,000.00
15,000.00
5,000.00
5,000.00
5,000.00
4,000.00
5,000.00
4,000.00
5,000.00
3,000.00
5,000.00
5.000.00
5,000.00
15,000.00
5,000.00
16,000.00
1,000.00
1,000.00
1,000.00
1.000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
1,000.00
4,000.00
4,000.00
3,000.00
3.000.00
25.000.00
42.000.00
5,000.00
1,000.00
2,000.00
1,000.00
2,000.00
15,000.00
5,000.00
4,000.00
5.000,00
240.000.00
3,000,00
21,000.00
5,000.00
1,000.00
1,000.00
15,000.00
5,000.00
5,000.00
5,000.00
36,000.00
1,000.00
1,000.00
1.000.00
11,000.00
11,000,00)
6,000.00
6,000.00
6,000.00
6,000.00
6,000.00
5,000.00
5,000,00
4,000.CO
20,000.00
14,000.00
7,000.00
4,000.00
5,000.00
307,000.00
20,000.00
14,000.00
7,000.00
14,000.00
6,000.00
4,000.0)
5,000.00
5,000.00
86,000.00
20,000.00
14,000.00
6,000.00
3,000.00
150,000.00
3,000.00
5,000.00
3,000.00
5,000.00
5,000.00
5,000.00
15,000.00
5,000.00
3,000.00 3,000.00
Relief 1% %
Storm
Tax Titles
$4,000.00
$5.000.00 $1,041,354.52
G5,000.00
20,000.00
15,000.00
7,000.00
4,000.00
5,000.00
654,000.00
20,000.00
14,000.00
7,000.00
4,000.00
5,000.00
377,000.00
31,000.00
3.000.00
5,000.00
3,000.00
3,000.00
3,000.00
5,000.00
$41.000.00 41,000.00 25,000.00
2,000.00
Emergency
20,000.00
15,000.00
15,000.00
5,000.00
3,000.00
$55,000.00
1,000.00
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 Auditions Bridge
School- house
High School
State Tax Funding
Southern Jr. High
Western Jr. High
Elementary School
Municipal Garage
Police Station
Chap. 44 Water
Chap. 44 Highway Sewer
Emergency Storm
Civilian Defensa
Municipal Relief
Emergency Loan
Totals
1944
5,845.00
$1,050.00 525.00
$825.00 787.50
$490.00
$297.50
$227.50
$300.00 $12,640.00 10,200.00
$1,200.00 600.00
$5,815.00 5,075.00
$1,080.00 810.00
$902.50 807.50
2,756.26
3,137.50
4.457.50
675.00
193.50
1945
5.285.00
750.00
350.00
157.50
7,760.00
660.00
G,032.50
4,335.00
540.00
712.50
1,968.75
2,712.50
4.215.00
562.50
122.50
28,862.50
1946
4,725.00
712.50
280.00
123.50
5,320.00
330.00
1,967.50
3,595.00
270.00
617.50
1,181.25
2,387.50
3,972.50
450.00
72.50
21,877.50
50,881.25 37,348.75
1948
3,675.00
-637.50
140.00
52.50
440.00
2,970.00
2,167.50
427.50
1,737.50
3,487.50
225.00
9,907.50
25,867.50
1949 ..
3,150.00
G00.00
70.00
17.50
1,980.00
1,462.50
332.50
1,412.50
3,245.00
112.50
18,448.75
1950.
2,625.00
562.50
1951
2,100.00
525.00
1952.
1,575.00
487.50
1953
1,050.00
450.00
1954
525.00
412.50
1955
375.00
1956
337.50
1957
300.00
1958.
262.50
1959
225.00
1960 1961
150.00
19G2
112.50
1963
75.00
1964
37.50
1965
1966.
317.50
317.50
1967
215.00
215.00
19GS
1968
$41,160.00 $1,575.00
$9,487.50
$1,960.00
$297.50
$857.50
$300.00
$39,240.00
$3,360.00
$1,800.00
$36,177.50
$26,132.50
$2,700.00
$4,750.00
$9,843.75
$19,725.00
$1,830.00
$53,183.75
$3,150.00
$662.50
$166,042.50
$217.50
$424,452.00
1947.
1,200.00
675.00
210.00
87.50
2,880.00
3,960.00
2,872.50
522.50
393.75
2,062.50
3,730.00
337.50
12.50
15.405.00
990.00
757.50 52.50
237.50
1,087.50
3,015.00
3,313.75
12,588.75
762.50
2,797.50
468.75
2,580.00
2,362.50
2,145.00
1,927.50
1,710.00
1,492.50
1,792.50
1,275.00
1,537.50
1,370.00
1,015.00
1,202.50
885.00
1,035.00
755.00
867.50
625.00
700.00
522.50
560.00
420.00
:20.00
112.50
112.50
37.50
37.50
Funding"
$1,360.00 1,010.00
$8,162.50
$3,543.75
$3,562.50
$4.721.25
$787.50
$252.50
$217.00
$42,852.50 35,847.50
$97,862.09 80,971.25 65,161.25
1945
$6,405.00
420.00
192.50
7,097.50
17.50
142.50
47.50
412,50
5,571.25
4,106.25
3,195.00
2,340.00
2,047.50
1,145.00
1,497.50
7,895.00
243.75
112.50
37.50
Chap. 44
$1,170.00 535.00 125.00
6,066.25
187.50
33
CITY AUDITOR
TAXES
The total taxable property as of January 1, 1942 was $113,069,300. The tax rate was fixed at $41.00 per $1,000.00 valuation.
City Appropriations
$5,321,329.51
City Appropriations From Available Funds 623,417.83
Overlay Deficit 1932
4,175.08
Overlay Deficit 1934
3,618.78
Overlay Deficit 1935
4,114.34
Overlay Deficit 1936
4,186.29
Overlay Deficit 1937
2,284.27
Overlay Deficit 1938
2,782.01
Overlay Deficit 1939
9,302.45
Overlay Deficit 1940
29,211.62
Overlay Current Year 1942
109,586.48
Revenue Deficit
124,898.45
Boston Edison Refund
16,661.16
State Tax
260,700.00
State Audit of Municipal Accounts
2,244.33
Hospital and Home Care for Civil War Vet- erans
585.00
Smoke Inspection Service
1,246.71
Additional State Assessments
491,223.44
1941 Underestimates on State Tax and As- sessments
789.26
County Tax
136,099.05
County Tax, 1941 Underestimate
1,067.91
Tuberculosis Hospital Assessment
54,205.09
Gross Amount to be Raised $7,203,729.06
Less Estimated Receipts $1,866,184.50
1941 State Taxes and Assessments
Overestimates
11,813.43
Available Funds
623,417.83
Total Deductions
$2,501,415.76
Net Amount Raised by Taxa-
tion
$4,702,313.30
Number of Polls 33,236 @ $2. ea. $66,472.00
Valuation :
Personal Property $5,662,900 232,178.90
Real Estate 107,406,400 4,403,662.40
Total Taxes on Polls and
Property
$4,702,313.30
Appropriations classified under General Headings, were made from Revenue as follows :
General Government $209,278.00
Protection Persons and Property 787,223.04
Health and Sanitation
356,615.81
34
ANNUAL REPORTS
Highways
238,168.08
Welfare
709,246.43
Soldiers Benefits 87,687.33
Education
1,559,801.01
Libraries
71,820.41
Recreation
51,823.01
Unclassified
97,383.37
Compensations and Pensions
170,128.80
Municipal Indebtedness
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