USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1943 > Part 2
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).
Part 1 | Part 2 | Part 3 | Part 4 | Part 5 | Part 6 | Part 7 | Part 8 | Part 9 | Part 10 | Part 11 | Part 12 | Part 13 | Part 14 | Part 15 | Part 16 | Part 17 | Part 18 | Part 19 | Part 20 | Part 21 | Part 22 | Part 23 | Part 24 | Part 25 | Part 26
$23,619.05 30,218.54
$668.98 1,000.00
5,546.28
Military Ald
6,481.50
145.00
6,626.50
5,288.00
500.00
838.50
State Aid
5,580.00
75.00
5,655.00
3,635.00
50.00
1,970.00
Soldiers' Burlals
200.00
600.00
500.00
3,700.00
1,371.00
1,300.00 14,683.10
13,554.00
700.00
429.10
Total Soldiers' Benefits
$2,068.96
$83,280.45
$5,489.76
$5,489.76
$4,035.00
$89,384.41
$77,202.59
$3,318.96
$8,862.26
Education :
School Contingent
$84,730.81
$970.00
$2.25
$83,763.06 4.500.00 1,283,219.96
1,282,480.21
739.75
Hot Lunch Projeot
3,000.00
7,939.35
2,115.09
13,054.44
12,837.26
217.18
Janitors' Salaries
121,846.93
11,028.$1
.....
110,818.32
110,807.83
10.49
Fuel and Light
29,297,71
36,525.00
3,000.00
7,600.00 16,905.81
755.71
90,262.48
89,438.23
S47.81
176.44
Total Education
$29,346.91 $1,644,642.80
$53,266.96
$32,445.16
$2,873.05 $1,656,040.97 $1,641,556.54
$7,080.77
$7,403.68
Public Libraries: Central & Branch Libraries
$77,007.13
$825.00
$76,182.13
$75,648.08
$112.50
$421.65
Total Libraries
$77,007.13
$825.00
Recreation :
Parks & Playgrounds Mein- tenance
$47,841.11
$2,875.00
$155.90
$50,872.01 5,000.00
4,999.14
.86
Recreation Commission
1.80
23,031.04
1,260.00
24,322.84
24,320.47
1.80
Celebrations & Conventions
500.00
340.00
Total Recreation
$1.80
$76,402.15
$340.00
$4,135.00
$155.90
$80,364.85
$80,154.52
$1.80
$198.53
Unclassified:
1935 Unpald Bills Chap. 315 Bldgs. Maint. Municipal Acts 1941
13,021.21
$1,818.72
3,727.92
10,413.61
$66.25 2.21
102,191.87
94,884.43
7,116.89
190.56
Memorial Day
60.00
1,700.00
147.00
1,613.00
1,552.48
60.00
3.04
Quarters for American Le- gion
55.00
45.00
10.00
Commemorating Persons World War II
5,000.00
6,000.00
10,000.00
9,123.06
870.95
Total Unclassified
$13,081.21
$111,038.48
$3,874.92
$16,601.13
$668.46
$136,414.35
$125,874.39
$10,059.61
$470.36
Compensations and Pensions:
Workmen's Compensation
$150.30
$8,000.00
150.00
$2,300.00 16,354.27
$58.00 11.90
$10,516.30 130,666.17
$10,103.03
$413.27
Annuities
20,392.33
100,00
20,292.33
20,280.69
1.64
Pension Accumulation Fund Retirement System Expense Furd
2,980.26
.82
Total Compensations and Pen- sions
$160.30
$193,886.59
$250.00
$17,654.27
$$7.90
$211,518.06
$210,648.79
$869.27
Municipal Indebtedness:
Interest
$116,662.00
$2,687.52
$19.10 1,329.17
$113,993.58
$113,588.80
$409.78
Reduction Funded Debt
824,870.83
$941,532.83
$2,587.52
$1,348.27
$940,193.58
$939,783.80
$409.78
Public Service Enterprises: Water Maint. & Extension
$2,801.32
$95,357.33
$3,890.00
$3.99
$94,272.64
$90,850.73
$3,138.16
$283.69
Total Public Service Enter prises
$2,801.32
$95,357.33
$3,890.00
$3.99
$94,272.64
$90,850.79
$3,138.1€
$283.69
Total Appropriations
$160,381.62 $5,632,136.88
$156,676.56
$161,235.91
$332,087.72 $6,119,165.67 $5,984,602.52
$44,623.26
$89,930.79
.....
1.00 1,987.92
15,121.67
15.111.87
9.80
Assessors' Dept.
28,297.93
2,800.00
32.60
31,130.53
30,939.78
190.77
Licensing Commission
3,104.98
3,104.98
3,015.11
89.87
1,500.00
1,183.35
316.66
Law Department
18,919.13 7,967.34
18,820.99
98.14
Land Court Proceedings on
1,500.00
1,500.00
1,271.82
228.18
6,558.41
6,539.83
18.58
City Planning Board
265.00
134.00
131.00
130.75
2,346.00
2,298.50
47.50
Rifle Practice
100.00
100.00
1,280.00
200.00
10.99
Contagious Hospital
500.00
20,487.41
1,957.10
13.27
Inspection
Animals and
Inspection Milk and Vinegar
5,012.91
5,704.20
17,837.25
Aid Dependent Children
17,650.02
123,779.56
29,000.00
3,822.81
3,878.70
3,444.15
434.55
34,406.10
37,607.13
37,607.13
400.00
12.00
War Allowance
200.00
9,412.10
Outside Tuition
4,500.00
849.47
School Teachers' Salaries ..
1,320,975.06
37,755.10
........
70,422.71
63,418.67
6,427.96
576.08
Bulldings and Grounds
49,20
73,065.00
513.24
......
3,950.00
3,946.86
Quarters for Dilboy Post V. F. W.
55.00
55.00
40.00
15.03
Damage to Persons and Property
15,318.88
87.62
16,318.88 87.52
16,067.63 87.52
251.25
Tellers Overs and Shorts
Pensions
180,212.63
453.54
47,063.00
47,063.00
47,063.00
1,976.77
.......
Foreclosed Property Maint.
2,500.00
2,502.21
525.14
$196.45
Geo. F. Conway Playground
5,000.00
640.88
$640.88
$540.88
$66.98
Soldiers' Relief
$22,396.27
$1,289.76
79.63
64,125.31
64,125.31
$1,574.96
Fire Dept.
$3.50
389,269.32
63
Electrical Dept.
7,950.00
7,949.37
11,423.69
10,918.69
1,522.45
Board of Election Comrs.
$9,720.00
$1,100.00
....
$10,820.00
$10,809.55
Auditing Dept.
16,120.67
Appropria-
Onliquid-
pneumbrancee Balance
.....
$75,182.13
$75,648.08
$112.60
$421.55
160.00
159.35
$5.00
$4,834.25
Fed. Grant Old Age Asst.
263,384.65
112,601.58
91,141.92
$1,252.62
Vital Statistics
2.25
Snow Removal
16,300.00
2,800.00
8,776.70
City Home
Municipal Documents
3,950.00
Total Municipal Indebtedness
826,200.00
826,200.00
2,080.26
2,979.44
888.00
$78,923.81 3,650.53
$50,675.56
55.00
115,450.00
$348,694.85
18,828.82
STATEMENT OF APPROPRIATIONS, 1943 (NON-REVENUE)
Balance From 1942
Appropria- tions
Appropria- Appropria- tion Transfers tion Transfers To From
Receipts & Service Transfers
Total Credit
Expendi- tures
Unliquid- ated Encumbrances
Unencum- bered Balance
Education:
Vocational Education of De- fense Workers (Federal) Vocational School Equip- ment
$1,160.56
...
98.99
98.99
..........
98.99
...
Public Service Enterprisea: Chapter 44 Water Mains
27.06
9,687.22
8,171.49
1,515.73
9,660.16
Total Non-Revenue Appro-
$29,477.06
$40,396.77
$37,958.49
$2,438.28
priations
$10,919.71
$29,450.00
$30,610.56
$29,787.00
$823.56
...
21
CITY AUDITOR
CASH STATEMENT, DECEMBER 31, 1943
Payments
Appropriations
$38,648.42
Total Payments
Cash on Hand
38,648.42 2,438.28
$41,086.70
SUMMARY
Total Revenue Receipts
$10,613,134.68 29,477.06
Total Non-Revenue Receipts
10,642,611.74
Total balance at beginning of period
1,097,589.53
11,740,201.27
Total Revenue Payments
10,996,376.63
Total Non-Rvenue Payments
38,648.42
11,035,025.05
Total Balance on Hand
705,176.22
$11,740,201.27
STATEMENT OF OTHER REVENUE ACCOUNTS, 1943
Balance From 1942
Recepits . and Transfers
Total Credit
Transfers
Total Expendi- tures
Unencumb- ated En- ered Balance cumbrances
Other Accounts:
Income of Trust Funds:
Contagious Hospital :
Charles M. Berry Fund
$.82
$20.00
$20.82
$19.40
$1.42
School:
S. Newton Cutler Fund
212.17
206.44
418.61
158.09
3.00
257.52
Caroline G. Baker Fund
3.75
6.00
9.75
6.75
3.00
Sarah Winslow Fox Fund ..
8.06
8.06
8.06
J. Frank Wellington Fund ....
74.68
40.00
114.68
114.68
Library :
S. Newton Cutler Fund
161.10
40.00
201.10
201.10
Hunt Art Fund
319.53
25.98
345.51
345.51
Hunt Book Fund
38.06
2,574.61
2,612.67
164.94
2,447.73
Pitman Art Fund
467.01
95.86
562.87
56.20
506.67
Pitman Poetry Fund
65.48
23.44
88.92
2.08
86.84
Wilder Children's Fund
15.24
2.00
17.24
17.24
Sarah Lorane Graves Fund ...
56.85
8.00
64.85
64.85
Buffum Memorial Book Fund
170.50
20.00
190.50
190.50
Eunice M. Gilmore Fund ..
125.51
40.00
165.51
165.51
Thomas J. Buffum Fund ....
54.51
30.30
84.81
84.81
506.20
80.00
586.20
22.90
563.30
J. Frank Wellington Fund .... Edward C. Booth Fund
112.32
60.00
172.32
172.32
Welfare:
Cummings Fund
1,540.69
35.02
1,575.71
1,575.71
Recreation :
Mary A. Haley Fund
.13
72.90
73.03
72.92
11
Total Income of Trust Funds ..
$3,924.55
$3,388.61
$7,313.16
$2.08
$509.26
$3.00
$6,798.82
..
..
..
...
........
...
....
..
............
..
. .
..
..
..
.........
..
....
...
....
..
..
..
..
..
..
..
..
..
..
..
..
.....
..
...
..
......
..
..
.....
..
.........
22
ANNUAL REPORTS
..
..
.. .
Unliquid-
to 1944
STATEMENT OF OTHER REVENUE ACCOUNTS, 1943
Total Credit
Transfers
Total Expendi- tures
Unliquid - ated En-
Unencumb- ered Balance cumbrances to 1944
Other Accounts:
Smith-Hughes Fund
$8,132.22
George-Deen Fund
13,982.64
13,982.64
Temporary Loans
4,600,000.00
3,900,000.00
700,000.00
Tax Title Loan
89,522.39
15.56
89,506.83
Middlesex County Tax
123,641.45
130,451.57
6,810.12*
Middlesex County Assess. T. B. Hospital
55,185.17
55,185.17
Middlesex County-Dog Licenses
5,651.00
5,621.00
30.00
City Clerk's Deposits
2,354.25
2,046.50
188.50
119.25
Water Deposits
225.00
225.00
Highway Deposits
180.00
180.00
School Deposits
352.96
232.00
120.96
Retirement Deductions
33,136.62
33,136.62
Teachers' Retirement Deductions
57,584.44
57,584.44
Pay Roll Deductions for War Bonds
26,001.25
22,491.50
3,509.75
Victory Tax Deductions
58,497.67
58,497.67
Federal Tax Withholding
138,788.42
54,738.16
84,050.26
State Taxes and Assessments 1943
486,237.00
525,373.16
39,136.16*
Health, Bottling Licenses
80.00
40.00
40.00
Reimbursements. Old Age Assistance
1,283.77
817.77
132.33
333.67
Tailing's
1,154.94
1,154.94
Cash Variations
766.91
21.57
745.34
Indemnification Fire Losses
774.27
90.00
684.27
..
Cash Refunds:
Taxes
(Poll)
86.00
86.00
Taxes (Real Estate)
35,540.72
35,540.72
Taxes
(Personal)
119.77
119.77
Excise
347.71
347.71
...... ..
...
..
...........
......
..
..
..
...
...
..
..
...... ..
..
...... ..
..
............
....
.....
23
....
..
..
..
..
..
CITY AUDITOR
. .
..
....
..
..
..
..
..
..
..
..
$8,132.22
......... ..
24
STATEMENT OF OTHER REVENUE ACCOUNTS, 1943
Total Credit
Total Expendi- tures
Unliquid - Unencumb- to 1944 ated En- ered Balance cumbrances
Cash Refunds: (Continued)
Water Rates
$12.58
$12.58
Estimated Receipts
40.17
40.17
Bills Receivable
25.53
25.53
Total Other Accounts
$5,739,704.85
$3,031.40
$4,970,215.70
$766,457.75
Revenue Totals
$11,866,183.58
$3,033.48 $10,955,327.48
$44,626.26
$863,196.36
..
........ ...
..
..
..
....
ANNUAL REPORTS
Transfers
25
CITY AUDITOR
DETAIL OF ESTIMATED RECEIPTS RECEIVED IN 1943
Excise Taxes :
Motor Vehicle Excise 1943
$90,917.36
Motor Vehicle Excise 1942
1,879.76
Motor Vehicle Excise 1941
329.83
Motor Vehicle Excise 1940
321.35
Motor Vehicle Excise 1939
73.33
Motor Vehicle Excise 1938
83.07
Motor Vehicle Excise 1937
137.72
Motor Vehicle Excise 1936
128.66
Motor Vehicle Excise 1935
83.31
Motor Vehicle Excise 1934
6.75
93,961.14
From State:
Income Tax
379,818.33
Corporation Tax
213,551.03
Meal Tax
9,823.21
Lieu of Taxes
246.72
603,439.29
Licenses and Permits:
Executive
5,044.00
Liquor
74,453.00
Building
285.00
Plumbing
130.00
Gas
43.75
Fire
2,627.25
Police
67.00
Health-Bottling
40.00
Electrical
824.00
Licensing
2,070.00
City Clerk's
2,046.50
City Clerk Miscellaneous
4,926.00
Milk
1,297.00
Health
154.00
Pedlers
128.00
Marriage
2,496.61
96,632.11
Fines and Forfeits :
Court
5,082.25
Departmental
382.75
5,465.00
Grants and Gifts:
Vocational Education
29,920.68
County, Dog Licenses
4,775.51
State, Tax Title Interest Refund
1,856.79
36,552.98
26
ANNUAL REPORTS
General Government:
Treasurer-Costs and Fees
6,449.37
Land Court Fees
537.15
Rent of Foreclosed Property
551.50
Board of Appeal
210.00
City Clerk
2,681.25
Engineering
184.40
Assessors
7.31
Election Commission
26.80
Maintenance Municipal Buildings
14.46
10,662.24
Protection of Persons and Property :
Police, Reimbursement Damages
8.00
Police, Sale of Junk
11.20
Police, Bicycle Registration
249.90
Electrical, Settlement of Claims
470.05
Weights and Measures
736.89
1,476.04
Health and Sanitation:
Health Department
18,754.70
Contagious Hospital
10,702.00
Inspection of Milk
1,267.50
Dental Clinic
199.50
Incinerator
400.00
Sale of Tin Cans
89.41
31,413.11
Highways:
Highways, Sidewalks and Curbing
318.00
City Home:
Sale of Produce
1,362.98
Board
2,176.53
3,539.51
Welfare-Miscellaneous:
Outside Relief-Cities and Towns
19,704.36
State
68,052.67
87,757.03
Aid to Dependent Children:
State
75,908.40
Works Progress Administration :
W. P. A. Projects. Sale of Equipment
1,690.00
Old Age Assistance:
Cities and Towns
2,774.93
State
237,854.65
Reimbursements, Old Age Assistance
213.82
240,843.40
27
CITY AUDITOR
$
Soldiers Benefits :
State Aid
5,575.00
Military Aid
3,216.75
War Allowance
9,387.10
Soldiers' Burials
100.00
18,278.85
Schools :
Tuition, State Wards
11,026.46
Other Tuition
11,036.75
Sale of Typewriters
1.841.48
Vocational Education
465.22
24,369.91
Libraries :
Fines, Rentals and Sales
3,148.99
Recreation :
Showers
428.25
Unclassified :
Electrolysis
500.00
Sale of Wood Trestle
50.00
550.00
Water:
Metered Rates 1943
221,519.42
Commercial Rates 1943
195,961.45
Additional Charges
27.78
Service Assessments
70.00
Sale of Materials
39.75
Water Maintenance
625.09
Metered Rates 1942
42,656.66
Commercial Rates 1942
22,961.01
Metered Rates 1941
2,730.94
Commercial Rates 1941
495.47
Metered Rates 1940
35.30
Water Liens
377.74
487,500.61
Interest:
Taxes
17,975.07
Excise
350.80
Tax Titles
10,673.99
Accrued Interest
1.88
Accrued Interest, Temporary Loans
9.03
29,010.77
$1,852,945.63
28
ANNUAL REPORTS
COMMONWEALTH OF MASSACHUSETTS Payments
State Tax
$86,900.00
Auditing Municipal Accounts
3,745.28
Charles River Basin Assessment
9,513.60
Metropolitan Park Assessment
30,004.40
Metropolitan Sewer Assessment
110,499.12
Metropolitan Water Assessment
272,091.10
Boston Metropolitan District-Expenses
244.80
Boston Elevated Railway, Rental Deficiency ..
10,031.90
Hospital or Home Care for Civil War Veterans
667.52
Smoke Inspection
1,675.44
Health-Bottling Licenses
40.00
Reimbursements-Old Age Assistance
132.33
$525,545.49
Receipts
Income Tax
$379,818.33
Meal Tax
9,823.21
Corporation Tax
213,551.03
Tax Title Interest Refund
1,856.79
State Aid
5,575.00
Military Aid
3,216.75
War Allowance
9,387.10
Soldiers' Burials
100.00
Pedlers Licenses
25.00
Vocational Education
29,920.68
School, Tuition of State Wards
11,026.46
Health Dept. B. R.
18,112.61
Contagious Hospital B. R.
3,668.00
Welfare-Miscellaneous B. R.
68,052.67
City Home B. R.
473.14
Aid Dependent Children B. R.
55,099.84
Old Age Assistance B. R.
237,854.65
Water Rates
570.09
Gasoline Tax Refunds
61.17
Lieu of Taxes
246.72
- $1,048,439.24
Federal Grants Received from Commonwealth of Massachusetts
Aid to Dependent Children
$38,228.91
Old Age Assistance
271,557.40
Smith-Hughes Fund
2,432.44
George-Deen Fund
163.75
Vocational Education Defense Workers
29,450.00
Hot Lunch Project
2,115.09
$343,947.59
29
CITY AUDITOR
COUNTY OF MIDDLESEX Payments
County Tax 1943
$130,451.57
County Assessment, T. B. Hospital
55,185.17
County, Dog Licenses
5,621.00
$191,257.74
Receipts
County, Dog Licenses
$4,775.51
$4,775.51
STATEMENT OF REVENUE AND EXPENSES 1943
Assessed in Taxes 1943:
Real Estate
$4,357,463.20
Personal
226,775.30
Poll
68,050.00
$4,652,288.50
Estimated Receipts
1,762,118.70
Overestimates State Taxes
.47
1,762,119.17
Excess Receipts 1943
90,644.59
$6,505,052.26
EXPENSES
Revenue Appropriations
$5,509,768.94
State Taxes and Assessments
486,237.00
Underestimates State Taxes
139.25
County Tax
123,641.45
County Assessments, T. B. Hospital
55,185.17
Overlay 1943
123,892.13
Overlay 1941
11,575.88
Overlay 1940
6,339.75
Overlay 1939
1,381.96
Overlay 1938
2,187.16
Overlay 1937
2,024.53
Overlay 1936
648.17
Overlay 1935
1,508.12
Overlay 1934
1,812.53
Overlay
1933
305.40
Overlay 1932
44.11
Excess Revenue 1943
$6,326,691.55 178,360.71
$6,505,052.26
30
TEMPORARY LOANS 1943
Number
Issued
Due
Rate
Amount
National Shawmut Bank
1157 to 1184
Jan. 21, 1943
Nov.
9, 1943
.52
$500,000.00
National Shawmut Bank
1185 to 1212
Feb. 17, 1943
Nov.
9, 1943
.492
500,000.00
National Shawmut Bank
1213 to 1240
Mar. 3, 1943
Nov. 26, 1943
.478
500,000.00
National Shawmut Bank ..
1241 to 1268
Mar. 17, 1943
Dec. 16, 1943
.523
500,000.00
National Shawmut Bank
1269 to 1296
May 25, 1943
Dec. 21, 1943
.469
500,000.00
National Shawmut Bank
1297 to 1324
June 28, 1943
Jan. 25, 1944
.47
500,000.00
National Shawmut Bank
..
1325 to 1336
July 29, 1943
Mar. 14, 1944
.45
200,000.00
Total Anticipation of Revenue Loans
$3,200,000.00
CHAPTER 44 LOANS SECTION 8-CLAUSE 9
National Shawmut Bank
......
#1
Nov. 9, 1943
July 7, 1944 .50
$15,000.00
Total Emergency Loans
$15,000.00
ANNUAL REPORTS
31
CITY AUDITOR
FUNDED DEBT
The Funded Debt of the City January 1, 1943 was $4.854.354.52. Three Loans were issued; Civilian Defense Loans $10,000.00, and $10,000.00 ; Emergency Loan $15,000.00. Maturities paid during the year amounted to $915,706.83 of which $89,506.83 was on Tax Title Loans. The total bonded debt December 31st, 1943 was $3.973,647.69.
CLASSIFIED DEBT, JANUARY 1, 1943
City Hall Addition Loan
$7,000.00
Bridge Loan
7,000.00
Schoolhouse Loan
15,000.00
High School Loan
316,000.00
Junior High School Loan
359,000.00
Garage Loan
20,000.00
Chapter 44 Sewer Loan
209,000.00
Chapter 44 Highway Loan
112,000.00
Funding Loan, Chapter 315, Acts 1941
158,000.00
Total Within Limit
$1,203,000.00
Elementary School Loan
24,000.00
Police Station Loan
75,000.00
Tax Title Loan
215,154.52
Municipal Relief Loan
2,674,000.00
P. W. A. Sewer Loan
22,000.00
P. W. A. Water Main Loan
14,000.00
P. W. A. Highway Loan
30,000.00
P. W. A. School Loan
183,000.00
Chapter 44 Water Main Loan
225,000.00
Emergency Storm Loan
35,000.00
State Tax Funding Loan
60,000.00
Civilian Defense Loan Chap. 487 Acts '41
18,000.00
Emergency Loan
76,200.00
Total Outside Limit
$3,651,354.52
Total Funded Debt January 1, 1943
$4,854,354.52
32
ANNUAL REPORTS
LOANS INCREASING THE DEBT
Civilian Defense Loans
$20,000.00 15,000.00
Emergency Loan
35,000.00
$4,889,354.52
MATURITIES REDUCING THE DEBT
Chapter 44 Sewer Loan
$12,000.00
Garage Loan
2,000.00
High School Loan
61,000.00
Schoolhouse Loan
15,000.00
Chapter 44 Highway Loan
46,000.00
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
$230,000.00
Civilian Defense Loan
$4,000.00
Police Station Loan
15,000.00
State Tax Funding Loan
30,000.00
Emergency Storm Loan
5,000.00
Municipal Relief Loan
401,000.00
Chapter 44 Water Loans
25,000.00
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 Loans
2,000.00
P. W. A. School Loan
16,000.00
Emergency Loan
76,200.00
Tax Titles
89,506.83
Total Outside Limit
$685,706.83
Total Maturities
$915,706.83
Total Funded Debt December 31, 1943 ......
$3,973,647.69
INTEREST REQUIREMENTS ON PRESENT CITY DEBT TO MATURITY
P. W. A. School
P. W. A. Highway
P. W. A. Sewer
Water Mains
Bridge
High School Funding
State Tax Funding $600.00
Southern Jr. High
Western Jr. High
Elementary School
Municipal Garage
Police Station
Chap. 44 Water
Chap, 44 Sewer
Emergency Storm
Civilian Defense
Municipal Relief
Emergency Loan $50.21
Totals
1944
$5,845.00
$525.00
$787.50
$420.00
$192.50
$10,200.00
$1,010.00 660.00 330.00
$7,097.50 6,032.50
$5,075.00 $810.00 4,335.00 540.00 270.00 3,595.00
$807.50
$2,756.25
$3,137.50
$4,457.50
$675.00
$405.00
$35,847.50
$81,233.96
1945
5,285.00
750.00
350.00
157.50
7,760.00
4,967.50
617.50
1,181.25
2,387.50
3,972.50
450.00
195.00
28,862.50 21,877.50 15,405.00
51,003.75
1947
4,200.00
675.00
210.00
87.50
2,880.00
2,970.00
2,167.50
427.50
1,737.50
3,487.50
225.00
32.50
9,907.50
25,900.00
1948
3,675.00
637.50
140.00
52.50
440.00
17.50
1,980.00
1,462.50
332.50
1,412.50
3,245.00
112.50
6,066.25
18,448.75
1950
2,625.00
562.50
1951
2,100.00
525.00
1952
1,575.00
1953
1,050.00
450.00
4,106.25
1954
525.00
412.50
1,927.50
2,340.00
1956
1,492.50
1,792.50
1958
1,275.00
1,537.50
1959.
187.50
885.00
1,035.00
1962
112.50
755.00
867.50
1963
700.00
1964.
37.50
1965
420.00
1966.
317.50
317.50
1967
1968
112.50
112.50
1969
$34,755.00
$525.00
$8,662.50
$1,470.00
$630.00
$26,600.00
$2,000.00
$600.00
$28,015.00
$20,317.50
$1,620.00
$3,847.50
$6,300.00
$16,162.50
$660.00
$48,462.50
$2,362.50
$1,022.50
$123,190.00
$50.21
$327,252.71
1946
4,725.00
712.50
280.00
122.50
5,320.00
3,960.00
2,872.50
522.50
393.75
2,062.59
3,730.00
337.50
90.00
37,426.25
1949.
3,150.00
600.00
70.00
990.00 17.50
757.50 52.50
142.50
762.50
2,797.50
468.75
2,580.00
5,571.25
243.75
2,362.50
112,50
2,145.00
3,195.00
1956
375.00
1,710.00
2,047.50
1957.
262.50
1,145.00
1,370.00
1960.
1,015.00
1,202.50
1961
150.00
625.00
522.50
560.00
420.00
215.00
215.00
37.50
37.50
712.50
1,968.75
2,712.50
4,215.00
562.50
300.00
3,313.75
12,588.75
47.50
1,087.50
3,015.00
1,497.50
7,895.00
487.50
412.50
37.50
337.50
300.00
225.00
75.00
P. W. A.
65,328.75
237.50
Chap. 44 Highway $535.00 125.00
FUNDED DEBT, DECEMBER 31, 1943
Chap. 44
Chap. 1 Water
Chsp. 14 Water
Chap. 44 Hewes Bewer
Chap 44 Cewer
Chop. 14 Highway 1%
Defenido
Defenso
Municipal Rollet
Municipal Rellet
Municipal Rollef
Municipal Heller
Chap 11 Water
Tolal
Stair THY Funding 3'T
$10,000.00
$36.0110.00
$4,000.00
$1,000.00
$@1.000.00
$15.000.00
$4,000.00
$21.000.00
$3.000.00
$4.000.00
$2,000.00
$15,000.00
$2G,000.00 $107.000.00
$21.000.00
$73.900.00
$65,000.00
$5.000.00
$1.000.00
$2,000.00
$16,000.00 16.000.00
$5,000.00 5.000,00
$5,000,00
$4,000,00
$5,000.00
$2,000.00 $41,000.00 26.000,00
$2,000.00 2,000.00 2.000.00
$2,000.00 2.000.00 2,000.00
$20,000.00 20,000.00
$15,000.00 15,000.00
$7,000.00 7.000,00
$4.900.00 4,000.00
$5,000.00 5,000,00
$865,547.69 568,000.00
36.000.00 36.000.00
1,000.00
11.000.00
15.000.00
4,000.00
23,000.00
3,000,00
6.000.00
15,000.00
26,000.00
107,000.00
6.000.00
G5,000,00
52.000.00
1.000.00
15,000,00
5.000.00
5,000.00
5.000.00
4.000,00
5.000.00
2,000,00
20,000,00
15,000,00
7.000.00
1,000,00
5,000.00
$16.000.00
790G.
1,000.00
$1,000.00
15.000.00
3,000,00
23.000.00
2,000.00
15,000.00
26.000.00
107.000.00
6,000.00
73.000.00
25.000.00
42,000.00
1,000.00
2,000.00
15,000.00
5,000.00
5,000.00
4.000.00
6.000.00
2,000.00
20,000,00
15,00.00
7.000.00
6.000.00
5,000.00
507,000,00
1947.
1.000,00
11,000.00
15,000.00
3,000.00
23.000.00
2.000.00
23.000.00
2.000.00
2.000.00
26,000.00
106,000.00
6.000.00
3.000.00
21.000.00
1,000.00
15,000 00
5,000.00
5,000.00
4.000.00
5.000.00
2.000,00
20,000.00
14,000,00
7,000.00
4.000.00
6,000,00
307.000.00
1348 .... '
1,000,00
16.000.00
3,000.00
23.000.00
2,000.00
2,000.00
10,000,00
91,000.00
3,000.00
1,000.00
15,000.00
5.000.00
6,000,00
5.000.00
3,000.00
5,000.00
2,000.00
20,000,00
14,000.00
7.000,00
4.000.00
6,000.00 240,000.00
1:43.
. .. .
2,000.00
1.090.00
2,000.00
51,000.00
3.000.00
1,000.00
15,000.00
5.000.00
5,000.00
6,000.00
3,000.00
5,000.00
1000.00
20.000.00
14,000,00
1,000.00
1.000,00
6.000.00
150,000.00
1961 .. -
3,000.00
5.000.09
2,000.00
2,000.00
2,000,00
2,000.00
2,000,00
2.000.00
0,000.00
1907 ......
...
1969 .... .
1,000.00
1.000.00
1,000.00
1,000,00
4,000.00
150G.
3,500.00
1967.
...
1069 4 10
$30.000.00
$108,000,00
$10,000,00
$6.000.00
$255,000.00
$105,000.00
$27,000.00
$103.000.00
$18,000.00
$18,000.00
$18,000.00
$60,000,00
$160,000.00
$783.000.00 $66.000.00 $307,000.00 $254.000.00 $291,000.00
$30,000.00 $125,647.69
$21,000.00
$12,000.00
$15,000.00 $167,000.00
$60,000.00
$5,000.00
$50,000.00
$40,000.00
$84,000.00
$70,00000
$65,000.00
$5,000,00
$13,000,00
$10,000,00
$15,000.00 $180,000.00 $130,000.00 $61,000.00
$35,000.00
$45,000.00
$3,973,647.69
$15,000,00
1,000.00
2.000.00
5.000.00
4.000.00
5,000,00
2.000.00
$4.000.00 4.000.00 4.000.00 4.000.00 2.000.00
2,000,00 2,000.00
14,000.00
7.000.00
4,000.00
5,000.00
381,000.00
2,000.00
26,900.00
107,000.00
6,000.00
15,000.00
25,000.00
42,000.00
1,000,00
2.000.00
15,000.00
5,000.00
5,000.00
5,000,00
5.000.00
2,000.00
1.000.00
5,000.00
15.000,00
3,000.00
4.000.00
2,000.00
24.000.00
3.000.00
15,000.00
25.000.00
107.000.00 21.000.00
22,000.00
65,000.00
62,000.00
5,000,00
5,000,00
2,000,00
8,000.00
61,000,00
15,000.00
4.000,00
Jr. High 1%
High Schnul Aild. Western Add. Weslern Sonthern Jr. Add, Southern Elementary Jr. High 244 High 1%
Jr. High 315 % Schir af 41
Munlelpal Municipal Police Stallen 14 % Rollef 15% Rellef 114 %
Modelpal
Pellef 21 ...
Municipal Emergency Storm
Tax Titles
P. W A Bowers
P.W A Water 115%
P W. A. Highway 315%
School 314 %
$5.000.00
$5,000.00 0,000.00
Chap. 44 Bever 215%
3.000.00
1,000.00
3,000.00
2,000.00
20.000.00
14,00 .. 00
6,000.00
3,000,00
6,000.00
86,000.00
....
........
16.000.00
1,000.00
1,000.00
1.000.00
1.000.00
1.000.00
1,000.00
3,000.00
2,000.00
3,000.00
2,000.00
5,000.00 6.000.00
1501 ...... .
3,000.00
1,000.00
3.000.00
1.000,00
6,000.00
1302 ......-... . . 1'16.1 ..... .
3,000.00
1,000.00
2,000.00
1,000,00
3.000.00
5.000.00
3.000.00
6.000.09
3.000,00
3,000.00
2.000.00
6,000.00
1969 ....
2,000.00
3,000.00
5,000.00
31,000.00
1,000.00
16,000.00
5,900.00
6,000.00
3,000.00
5.000.00
5,000,00
15,000.00
5,000.00
15,000.00
5,000.00
1,0 00.00
36,000,09
1.000.00
5,000,00
3.000.00
6.000.00
3.000.00
11,000.00
1966
11,000,00
6,600.00
5,000.00
4.000,00
4.000.00
3,000,00
$02,000.00
$125.647.69
73,000.00
5,000,00
5.000.00
5,000.00
.000.00
Municipal
Funding
3,000.00
1,000.00
2.000.00
2.000,00
20,000.00
-
Defense Emergency 14 of 1
$15,000.00
2.000.00
3.000.00
5,000.00
$43.000.00
33
CITY AUDITOR
TAXES
The total taxable property as of January 1, 1943 was $113,470,800. The tax rate was fixed at $40.40 per $1,000.00 valuation.
City Appropriations
City Appropriations from Available Funds
$5,597,136.88 375,061.71
Overlay Deficit 1932
44.11
Overlay Deficit 1933
305.40
Overlay Deficit 1934
1,812.53
Overlay Deficit 1935
1,508.12
Overlay Deficit 1936
648.17
Overlay Deficit 1937
2,024.53
Overlay Deficit 1938
2,187.16
Overlay Deficit 1939
1,381.96
Overlay Deficit 1940
6,339.75
Overlay Deficit 1941
11,575.88
Overlay Current Year 1943
123,892.13
State Tax
86,900.00
State Audit of Municipal Accounts
3,745.28
Hospital or Home Care Civil War Veterans
553.86
Smoke Inspection Service
2,003.64
Additional State Assessments
393,034.22
Need help finding more records? Try our genealogical records directory which has more than 1 million sources to help you more easily locate the available records.