Report of the city of Somerville 1944, Part 2

Author: Somerville (Mass.)
Publication date: 1944
Publisher:
Number of Pages: 492


USA > Massachusetts > Middlesex County > Somerville > Report of the city of Somerville 1944 > 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 | Part 27 | Part 28


Health and Sanitation:


Health


$64,894.63 1,360.00


$10,820,32


$48.34


$54,122,65 1,360,00 26.766.19


$47,825.81 1,227.60


$355.00


$5,911,84


Vital Statistics


18,33


21,662,86


6,185.00


26,036.53


76.00


664.66


laspection Animals & Pro- vislons


7.850.00


707.10


8,657.10


8,242.12 6,747.66


314.08 136.69


153.62


Division Dental Hygiene ......


16.620.00


926.00


16,646,00


16.515.44


29.56


Inspection School Children


8,510.00


8,510.00


8.892.SS


117.12


Sewens Malnienance


155.60


25,559.72


Sanliary


240,6$2,00


1,600,00


78.02


242,260.03


242,170,59


89.43


Street Cleaning


29,654,87


29,654.87


29,338.51


216.06


Total Health & Sanitation ..... Highway's:


$187.06


$421,618.71


$10,820.23


$8.317.10


$126.36


$419,428.91


$410,915.30


$910.67


$7,603.01


Highway & Sidewalks Main- tenance


$139,966.36


$1,643.50


500.00


89.955.75


89,573.82


125.00


25G.93


Traffice Light Maintenance


2,050,00


260.00


3,900,00


2,844.77


27.00


28.23


Total . Highways


$239.072.11


$1.543.60


$750.00


$239.178.61


$237,541.47


$152.00


$385.04


Welfare:


Welfare Miscellaneous


$6,668.72


$146,932.41


$2,011.05 3,957.09


$1.107.09


$3,428.61 336.05


$155,105.58 105,912.38


$149,427.33 100,867.04


$3,197.65


$2,480.70


Aid Dependent Children


1,012.70


101.379.18


7.141.64


3.131.62


3,566,17


3,479.99


$6.18


Federal Grant, Ald Depen- dent Children, Assl.


60.00


873,390.46


957.00


5,461.50


2.460.72


380,385.59


379,995.88


78.29


311.42


Federal Grant, Old Age As- sistance, Asst.


3.00


21,676.00


$6,925.23


$13.790.13


$319.434.82


$976,636.74


$904,500.72


$7,836.65


$4,209.37


Soldlers' Benefits:


Veterans' Ald & Pensions


$3,318.95


$76,226.39


$500.00


$2,618.43


$82,663.68


$72,374.36


$3,668.96


$6,620.36


Total Soldiers' Benefits


$3,318.96


$76,226.29


$600.00


$2,618.43


$$2,663.68


$72,374.36


$3,668.96


$6,520.36


Education:


School Contingent


$5.00


$$3,365.00


Ouiside Tuition


4,000.00


32,610.00


40.00


1,254.147.11 1,352,330.27


1,816.84


Tenchers' Retirement De- ductions, Chap. 419, Acts 1943 *******


3,730.00


2,760.00


6,480.00


3,730.00


2,750.00


Hot Lunch Project


217.18


5,000.00


7,586.75


7,133.63


20.037.66


19,842.09


195.47


Janitors' Salarios


115,000.00


1,091.00


3,639,36


9.00


117,450.26


117,447.65


2.71


Fuel & Light


6,822,16


66,800,00


13,750.00


86,372,16


85,771.24


600.11


81


Buildings & Grounds


647.81


134,655.00


4,860.00


8,019.16


741.89


139,903.56


138,395.14


690.05


109.67


Total Education


$7,692.16 $1,699.187.11


$38,461.00


$34,746.17


$7,917.53 $1,711,080.95 $1,699,956.49


$4,247.39


$6,877.07


Ppblle Libraries:


Central & Branch Libraries


$112.60


$76,329.16


$1,260.00


$24.20


$74,215.86


$73,539.68


$676.17


Total Public 1/brarles


$112.60


$75,320,15


$1.250.00


$24.20


$74.215.86


$73,639.68


$676.17


Recreation :


Parks & Playgrounds Main- tenanco


$50,861.34


$50,851.34


$50,009.05


$701.00


$141.29


Improvements Rear of High School


27,000.00


27,000,00


21,163.39


6,846.61


Geo. Frederick Conway Playground


20,000.00


Now Field House, Conway Playground


1.80


37,708,00


966.00


1.86


36.746.65


33,517.54


15,000.00 727.44


2,501.67 6.09


Total Recreation


$1.80


$135,059.34


$965.00


$15,177.50


$1.85


$151.275.49


$123,944.01


$ 25,382.50


$2,648.99


Unclassified:


Mt. Municipal Bldgg.


$98,950.66


$19,631.11


$415.66 .91 10.00


2,777.68


2.053.12


$7.420.68 300,00


$58.89


Foreclosed Prop. Mtce,


800.00


200.00


1,700.00


1,578.44


60.00


61.6€


Municipal Documents


3,950.00


216.33


4,166.33


4,166.33


Qrts. for American Legion


15.00


55.00


100.00


90.00


10.00


Qrts. Geo. Dllboy Post, V.F.W. Qrta. for D. A. V.


55.00


55.00


45.00


10.00


Commemorating Persons In World War II


870.95


250.00 12,500,00


119.60


119.60


119.50


Total Unclassified


$10,073.08


$118,415,66


$200.00


$19,967.04


$681.46


$148,937.24


$140,095.66


$8,239.57


$602.01


Compensations and Pensions: Workmen's Compensation Pensjons


$10,000.00


2,686.04


567.70


418.57 39.50


$10,448.57 134,998.16 21.775.02 66,275.00


$9,104.41 133,873.19


$500.00


$844.16


Annukies


21,776.02


Pension Accum. Fund


56.276.00


Spectal Fund: Pension Ac-


cum. Fd .--- Acts 1943


2,664.71


3.027.60


Total Compensationa-Pensions


$230,837.33


$2,686.04


$557.70


$481.07


$229,190.06


$226.130.41


$500.00


$2,559.66


Municipal Indebtedness: Interest


$98,383.76


$558.10


36.90


$97,825.65 740,000.00


$97.436.63 740,000,00


៛389.02


Total Municipal Indebtedness


$$38,346.86


$558.10


$36.90


$837,825.05


$837.436.63


$339,02


Public Service Enterprises:


Water Maintenance & Ex- tension


$3,138.16


$103.633.45


$1,692.10


$1,293.60


$302.10


$106,724.91


$101,640,93


$4,439,02


$644.36


Total Public Service Enter- prises


Total Revenue Appropriations


$3,138.16 $103,683.45 $ 47.196.11 $6,642,791,30


$1,692.40


$1,293.60


$302.10


$105,724.91


$101,640.93


$4.439.03 $59,642.79


$37,986.68


STATEMENT OF APPROPRIATIONS 1944 (NON-REVENUE)


Education:


Vocational Education of De- fense Workers (Federal) ....


$823.55


98.99


98.99


Public Service Enterprises: Chapler 44-Waler Mains ..


1.515.73


1,515.73


1,515.73


Total Non-Revenue Appropria- ations .**********


$2.438.28


$8,700.00


$11,138.28


$8,734.39


$186.91


$2,216.98


$10,301.42 5,660.65


1,879.67


Auditing


15.081.87


16,081.87


14,866.26


216.02


Assessors


32,469.4-1


31,969.44


81,026.68


43,86


138.62


Law Dept.


8,625.17


$,625,17


2,296.00


2,296.50


.50


Board of Election Commes.


19,335.00


44.00


12,485.14


10,826,93


1,668.21


127.62


80.63


19.37


27.62


Total Protection Persons and Property


$12,468.76


$910,783.40


Inspection Milk & Vinegar ..


12.13


6.034.63


6,046,76


$138,322.76 8,000.00


$138,233.07


$$9.69


Snow Removal


7,500.00


7,980,81


10.13


Street Lighting


88,056.75


Federal Grant, Ald Depen-


dent Children, Adm. ....


434.66


Federal Grant, Old Age As- sistance, Adm.


9,000.76


9,006,76


9,00G.76


269,937.73


269,937.73 21.604 00


269,937.73


20,757.56


846.44


Total Welfare


$8,058.97


$642,278.05


600,00


1,177.50


225.00


1,120.95 12,725,00


959.56


158.89


2.50


Datnage Persona & Properly Tellers Overs & Shorts


12,415,50


300.00


9.50


Retirement Sys .- Exp. Fd.


2,664.71 3,027.60


2,664.71 3.026.97


Reduction of Funded Debt ..


739,963.10


16,000.00


15,000.00


16,892.55


3.107.45


Recreation Commission a Celebrations & Playgrounds


1,677,60


1,671.48


$4,699.36 347,68


School Teachers' Salarles Special Fund:


$83,390.00 4,000.00


$78,787.88


$2.76


3,652.32


4,660.71


484.63


Old Age Assistance ...


31,118,43


31,118.48


31,118,43


26.59


Electrical Department


67.401.46


of Trees


Rifle Practice


27.52


Appropria-


Appropria.


Unliquid- sted


General Government: Board of Aldermen Clerk of Committees Executive


$10,330.00


$10,330.00


7.630,22


$9,523.56


$8.734.39


$186.91


$602.26


Vocational School Equipment


98.99


21,185.13


56,276.00


394.56


Memorial Day


$7,120.35 1,976.77 50,00


1.800.00


55.00


55.00


55.00


1,124.97 589.89


$330.408.33 86,044,793.39 $5,947,164,95


$644.00


$77,777.12


$99.116.68


$8,700.00


$126,117.68


$119,638.11


City Home


26,00


25.710.32


25.418.17


208.15


122.40


Contagious Hospital


9,323.42


$327,016.36


$276.54


1.76


30.00 600,00


137,094.00


20,000.00


1,286,617,11


21


CITY AUDITOR


CASH STATEMENT-DECEMBER 31, 1944 REVENUE Receipts


General:


Taxes


$4,697,770.27


Motor Vehicle Excise


84,750.60


C. of M. Meal Tax


18,383.05


C. of M. Boston Elevated Refund


71,389.23


C. of M. Highway Fund Distribution


107,761.16


C. of M. Tax Title Interest Refund


1,362.85


C. of M. Corporation Tax


279,078.71


C. of M. Income Tax


390,609.17


C. of M. In Lieu of Taxes


122.15


C. of M. Boxing Commission


5.86


Licenses and Permits


99,746.90


Fines and Forfeits


3,415.81


Grants and Gifts


361,568.44


Tax Titles Redeemed


78,068.56


Sale of Land


1,900.00


Income, Foreclosed Property


1,423.50


Tax Possessions


29,630.00


$6,226,986.26


Departmental:


General Government


7,963.40


Protection Persons and Property


1,519.43


Health and Sanitation


27,584.10


Highways


369.50


Welfare


57,650.51


Aid Dependent Children


41,964.02


City Home


5,602.87


Old Age Assistance


269,833.32


Veterans' Aid and Pensions


19,202.50


Schools and School Buildings


23,271.59


Libraries


3,447.94


Recreation


316.25


Retirement Deductions


34,669.91


Teachers' Retirement Deductions


57,898.52


Federal Tax Withholding


287,021.10


Pay Roll Deduction for the purchase of War Bonds


15,953.45


Unclassified


987.36


855,255.77


Water Department Accounts


515,206.72


Temporary Loans


2,900,000.00


Municipal Relief Loans


50,000.00


Interest on Taxes, etc.


16,982.04


Trust Fund Income


8,708.04


Deposits


3,833.50


Refunds


10,811.25


3,505,541.55


Total Receipts 1944 to date Cash Balance January 1, 1944


10,587,783.58


702,737.94


11,290,521.52


ANNUAL REPORTS


CASH STATEMENT-DECEMBER 31, 1944 Payments


Appropriations


$5,106.281.07


Interest


97,436.63


Reduction Funded Debt


740,000.00


Temporary Loans


3,200,000.00


Retirement Deductions


34,669.91


Teachers' Retirement Deductions


57,898.52


Refunds


94.648.45


Federal Tax Withholding


371,071.36


State Tax and Assessments


627,797.51


County Tax


133,510.01


County Assessment: T. B. Hospital


57,828.10


Health, Bottling Licenses


40.00


County Dog Licenses


5,560.40


Grants, Smith Hughes Fund


5,657.50


Grants, George Deen Fund


10,312.42


Tax Title Loan


107,698.56


Tailings


13.26


City Clerks' Deposits


253.25


Highway Deposits


400.00


School Deposits


75.00


Water Deposits


365.00


Income Trust Funds


9,294.67


Reimbursements, Old Age Assistance


582.47


Pay Roll Deductions for War Bonds


14,492.75


Total Payments 1944 to date


Cash on Hand December 31, 1944


10,675,986.84 614,519.68


Adjustment Cash, March 8


15.00


$11,290,521.52


CASH STATEMENT-DECEMBER 31, 1944 NON-REVENUE


Receipts


Grant and Gifts


$8,700.00


Total Receipts


$8,700.00


Balance at Beginning of Period


2,438.28


$11,138.28


CASH STATEMENT-DECEMBER 31, 1944 Payments


Appropriations


$8,734.39


Total Payments


$8,734.39


Cash on Hand


2,403.89


$11,138.28


1


23


CITY AUDITOR


SUMMARY


Total Revenue Receipts


Total Non-Revenue Receipts


$10,587,783.58 8,700.00


$10,596,483.58


Total Balance at beginning of period


705,176.22


$11,301,659.80


Total Revenue Payments


$10,675,986.84


Total Non-Revenue Payments


8,734.39


$10,684,721.23


Adjustment Cash


$15.00


Total Balance on Hand


616,923.57


$11,301,659.80


STATEMENT OF OTHER REVENUE ACCOUNTS, 1944


Balance From 1943


Receipts and Transfers


Total Credit


Tranfers


Total Expendi- tures


Unliquid- ated En- cumbrances


Unencumb- ered Balance to 1945


Other Accounts:


Income of Trust Funds: Contagious Hospital: Charles M. Berry Fund


$


1.42


$ 15.00


$ 16.42


$ 10.47


$ 5.95


School :


S. Newton Cutler Fund


260.52


204.84


465.36


66.56


398.80


Caroline G. Baker Fund


3.00


6.00


9.00


6.00


3.00


Sarah Winslow Fox Fund


7.05


7.05


7.05


J. Frank Wellington Fund .. Arthur A. Smith Fund


114.68


30.00


144.68


60.00


84.68


2,500.00


2,500.00


2,500.00


Library:


S. Newton Cutler Fund


201.10


40.00


241.10


241.10


Hunt Art Fund


345.51


20.98


366.49


366.49


Hunt Book Fund


2,447.73


491.59


2,939.32


1,506.93


1,432.39


Pitman Art Fund


506.67


91.14


587.81


35.73


562.08


Pitman Poetry Fund


86.84


22.78


109.62


109.62


Wilder Children's Fund


17.24


2.00


19.24


19.24


Sarah Lorane Graves Fund ..


64.85


8.00


72.85


72.85


Buffum Memorial Book Fund


190.50


20.00


210.50


210.50


Eunice M. Gilmore Fund


165.51


40.00


205.51


205.51


Thomas J. Buffum Fund


84.81


22.72


107.53


107.53


J. Frank Wellington Fund .... Edward C. Booth Fund


563.30


60.00


623.30


23.68


599.62


Arthur A. Smith Fund


5,000.00


5,000.00


5,000.00


Welfare:


Cummings Fund


1,575.71


26.26


1,601.97


..


..


1,569.47


Recreation:


Mary A. Haley Fund


.11


54.68


54.79


45.75


9.04


Total Income of Trust Funds ..


$6,801.82


$8,708.04


$15,509.86


9,294.67


..


...


6,215.19


....


..


..


....


.....


..


..


. .


....


..


...


...


..


..


.......


...


....


..


...


172.32


45.00


217.32


.....


. .


. .


..


..


..


..


...


..


24


ANNUAL REPORTS


....


217.32


1


32.50


..


STATEMENT OF OTHER REVENUE ACCOUNTS, 1944


Total Credit


Transfers


Total Expendi- tures


Unliquid- Unencumb- ated En- ered Balance cumbrances to 1945


Other Accounts:


Smith-Hughes Fund


$8,132.22


$5,657.50


$2,474.72


George Deen Fund


13,982.64


10,312.42


3,670.22


Temporary Loans


3,600,000.00


3,200,000.00


400,000.00


Tax Title Loan


107,698.56


107,698.56


Middlesex County Tax


133,510.01


133,510.01


Middlesex County Assessment, T. B. Hosp.


57,828.10


57,828.10


Middlesex County Dog Licenses


5,604.20


5,560.40


43.80


City Clerks Deposits


3,228.75


2,369.25


253.25


606.25


Water Deposits


365.00


365.00


Highway Deposits


400.00


400.00


School Deposits


310.96


32.00


75.00


203.96


Retirement Deductions


34,669.91


34,669.91


Teachers' Retirement Deductions


57,898.52


.57,898.52


Pay Roll Deductions for War Bonds


19,463.20


14,492.75


Federal Tax Withholding


371,071.36


371,071.36


State Taxes and Assessments 1944


627,703.55


627,797.51


93.96*


Reimbursement Old Age Assistance.


1,836.80


1,178.93


582.47


75.40


Tailings


1,392.30


13.26


1,379.04


Health-Bottling License


80.00


40.00


40.00


Cash Refunds :


Taxes (Poll)


52.00


52.00


Taxes (Real Estate)


93 465.94


93,465.94


Taxes (Personal)


149.37


149.37


Motor Vehicle Excise


930.45


930.45


Water Rates


34.42


34.42


Estimated Receipts


16.27


16.27


Total Other Accounts


$5,139,824.53


$3,620.18


$4,722,874.47


...


...


Revenue Totals


$11,200,127.78


$3,620.18


$10,679,334.09


$59,642.76


$413,329.88 $457,530.75


..


..


..


..


....


...


.... ...


....


...


....


..


..


...


.......


..


..


..


..


..


..


..


CITY AUDITOR


..


..


..


..


..


..


..


..


..


..


..


..


4,970.45


..


25


......... ..


...


26


ANNUAL REPORTS


DETAIL OF ESTIMATED RECEIPTS RECEIVED IN 1944


Excise Taxes :


Motor Vehicle Excise 1944 .


$78,845.66


Motor Vehicle Excise 1943


5,299.35


Motor Vehicle Excise 1942


227.88


Motor Vehicle Excise 1941


145.32


Motor Vehicle Excise 1940


59.07


Motor Vehicle Excise 1939


12.96


Motor Vehicle Excise 1938


36.88


Motor Vehicle Excise 1937


69.72


Motor Vehicle Excise 1936


33.38


Motor Vehicle Excise 1935


20.38


84,750.60


From State:


Income Tax


$390,609.17


Corporation Tax


279,078.71


Meal Tax


18,383.05


Boston Elevated Refund


71,389.23


Highway Fund Distribution


107,761.16


Tax Title Interest Refund


1,362.85


In Lieu of Taxes


122.15


Boxing Commission


5.86


868,712.18


Licenses and Permits:


Executive


2,157.00


Liquor


76,308.00


Building


396.00


Plumbing


151.00


Gas


51.00


Fire


2,553.25


Police (revolver)


50.50


Electrical


1,031.50


Licensing


2,271.00


City Clerk Misc.


7,510.25


Health-Bottling


40.00


Motor


2.00


Milk


1,274.00


Health


362.74


Pedlers


124.00


Marriage


2,219.71


96,501.95


Fines and Forfeits:


Court


3,360.81


Departmental


3,447.81


Grants and Gifts:


C. of M. Vocational Education


32,139.46


County, Dog Licenses


4,675.25


C. of M. Americanization


5,010.00


41,824.71


87.00


27


CITY AUDITOR


General Government:


Treasurer-Costs and Fees


4,635.40


Land Count Fees


474.25


Sale Waste Paper


41.29


Rent of Foreclosed Property


1,423.50


Board of Appeal


185.00


City Clerk


2,471.37


City Engineer


36.70


Election Commission


37.72


Planning Board


5.00


Maintenance Municipal Building


76.67


9,386.90


Protection of Persons and Property : .


Police (bicycle)


91.50


Police, Sale of Junk


10.50


Civilian Defense (Sale Equip.)


365.00


Electrical, settlement claims


125.00


Electrical


96.20


Weights and Measures


831.23


1,519.43


Health and Sanitation:


Health Dept.


14,199.49


Contagious Hospital


9,526.34


Inspection Milk


2,570.50


Dental Clinic


244.80


Sewers, rent of equipment


38.36


Incinerator


400.00


Sale of Tin Cans


192.80


27,172.29


Highways:


Highways, Sidewalks & Curbing


369.50


369.50


City Home:


Sale of Produce


1,339.65


Board


4,263.22


5,602.87


Welfare Miscellaneous:


Outside Relief-Cities & Towns


8,406.88


State


49,043.63


Reimbursement, Mortgage Bonds


200.00


57,650.51


Aid Dependent Children:


State


41,964.02


41,964.02


28


ANNUAL REPORTS


Old Age Assistance:


Cities and Towns


12,211.65


State


256,118.54


Reimbursements, Old Age Assistance


354.77


268,684.96


Veterans Aid and Pensions :


War Allowance


12,283.00


State Aid


3,550.00


Military Aid


2,581.50


Soldiers Burials


788.00


19,202.50


School:


Tuition, State Wards


7,067.68


Other Tuition


6,913.22


Settlement of Claims


130.00


School Buildings


175.00


Vocational Education


3,058.94


17,344.84


Libraries :


Fines, Rentals & Sales


3,447.94


Recreation :


Showers


316.25


316.25


Unclassified :


Electrolysis


750.00


750.00


Water:


Metered Rates 1944


239,153.92


Commercial Rates 1944


202,179.76


Metered Rates 1943


46,366.12


Commercial Rates 1943


20,000.49


Metered Rates 1942


5,291.54


Metered Rates 1941


511.73


Additional Charges


11.60


Service Assessments


1,066.64


Sale Materials


50.00


Water Maintenance


574.87


515,206.72


Interest:


Taxes


11,026.08


Excise


234.33


Tax Titles


5,721.09


Accrued Interest


.54


16,982.04


$2,080,838.02


3,447.94


29


CITY AUDITOR


COMMONWEALTH OF MASSACHUSETTS Payments


State Tax


$208,725.00


Auditing Municipal Accounts


3,190.66


Charles River Basin Assessment


8,410.94


Metropolitan Park Assessment


28,670.92


Metropolitan Sewer Assessment


99,256.16


Metropolitan Water Assessment


277,695.76


Boston Metropolitan District Exp.


267.28


Hospital and Home Care for Civil War Veterans


387.68


Smoke Inspection


1,193.11


Health-Bottling Licenses


40.00


Reimbursements-Old Age Assistance


582.47


$628,419.98


Receipts


Income Tax


$390,609.17


Meal Tax


18,383.05


Boston Elevated Refund


71,389.23


Highway Fund Distribution


107,761.16


Tax Title Interest Refund


1,362.85


Corporation Tax


279,078.71


In Lieu of Taxes


122.15


Boxing Commission


5.86


Welfare Dept. B. R.


49,043.63


Aid Dependent Children B. R.


41,964.02


Old Age Assistance B. R.


256,118.54


State Aid


3,550.00


Military Aid


2,581.50


Soldiers Burials


788.00


War Allowance


12,283.00


School, Tuition State Wards


7,067.68


Pedlers Licenses


50.00


Gasolene Tax Refund


32.34


Americanization


5,010.00


City Home B. R.


867.86


Water Rates


411.39


Vocational Education


32,770.96


Outside Tuition


1,943.08


Health Dept.


13,911.42


Contagious Hospital


66.00


$1,297,171.60


Federal Grants Received from Commonwealth of Massachusetts


Old Age Assistance


$278,370.00


Aid Dependent Children


34,250.05


Hot Lunch Project


7,123.68


Vocational Education Defense Workers


8.700.00


$328,443.73


30


ANNUAL, REPORTS


COUNTY OF MIDDLESEX Payments


County Tax 1944


$133,510.01


County Assessment, T. B. Hospital


57,828.10


County, Dog Licenses


5,560.40


$196,898.51


Receipts


County, Dog Licenses


$4,675.25


$4,675.25


STATEMENT OF REVENUE AND EXPENSES 1944


Assessed in Taxes 1944:


Real Estate


$4,365,304.06


Personal


301,200.19


Poll


68,250.00


$4,734,754.25


Estimated Receipts


$1,852,867.48


Overestimates State Taxes


328.20


1,853,195.68


Excess Receipts 1944


226,974.40


$6,814,924.33


EXPENSES


Revenue Appropriations


$5,554,891.89


State Taxes and Assessments


627,703.55


Underestimated State Taxes 1943


35,178.51


County Tax 1944


133,510.01


County Assesment, T. B. Hospital


57,828.10


County Tax 1943


6,810.12


Overlay 1944


115,000.00


Overlay 1941


4,932.94


Overlay 1940


1,017.30


Overlay 1939


1,009.87


Overlay 1938


1,319.72


Overlay 1937


1,482.09


Overlay 1936


1,412.01


Overlay 1935


776.64


Overlay 1934


177.60


Overlay 1933


276.30


Overlay 1932


6,083.78


Excess Revenue 1944


$6,549,410.43 265,513.90


$6,814,924.33


...


TEMPORARY LOANS .1944


.


Number


Issued


Due


Rate


Amount


First National Bank


1381 to 1424


January 20th


November 6th, 1944


.437


$1,000,000.00


Merchants National Bank


1425 to 1448


March 8th


November 29th, 1944


.40


500,000.00


National Shawmut Bank


1449 to 1472


May 18th


December 14th, 1944


.39


500,000.00


National Shawmut Bank ..


1473 to 1496


May 18th


December 21st, 1944


.39


500,000.00


National Shawmut Bank


1497 to 1512


December 12th


November 6th, 1945


.39


400,000.00


Total Anticipation of Revenue Notes


$2,900,000.00


CITY AUDITOR


31


32


ANNUAL REPORTS


FUNDED DEBT


The Funded Debt of the City January 1, 1944 was $3,973,647.69. One loan was issued for Municipal Relief, $50,000.00. Maturities paid during the year amounted to $847,698.56 of which $107,698.56 was on Tax Title Loans. The total bonded debt December 31st, 1944 was $3,175,949.13.


CLASSIFIED DEBT, JANUARY 1, 1944


Bridge Loan


$6,000.00


High School Loan


255,000.00


Junior High School Loan


313,000.00


Garage Loan


18,000.00


Chapter 44 Sewer Loan


197,000.00


Chapter 44 Highway Loan


66,000.00


Funding Loan Chap. 315, Acts 1941


118,000.00


Total Within Limit


$973,000.00


Elementary School Loan


$18,000.00


Police Station Loan


60,000.00


Tax Title Loans


125,647.69


Municipal Relief Loans


2,273,000.00


P. W. A. Sewer Loan


21,000.00


P. W. A. Water Main Loan


12,000.00


P. W. A. Highway Loan


15,000.00


P. W. A. School Loan


167,000.00


Chapter 44 Water Main Loan


200,000.00


Emergency Storm Loan


30,000.00


State Tax-Funding Loan


30,000.00


Civilian Defense Loan, Chap, 487, Acts 1941


34,000.00


Emergency Loan


15,000.00


Total Outside Limit


$3,000,647.69


Total Funded Debt January 1, 1944


$3,973,647.69


FUNDED DEBT, DECEMBER 31, 1944


Funding


Funding


Dridge


High School M.4. Wasleen And West mh Southern Jr. Add Southern Elementary Jr. High IS Jr. Hish >>


High 4% Jr. High 345 School 44%


$4.000.00 $24,000.00


$3.000.00


$6,000.00 G.000.00


$2.000.00 2.000.00


$15,000.00 15,000.00


$26,000.00 20.000.00


$73,000,00 73,000,00


$65.000.00 65.000.00


62.000.00


5,000.00


5,600.00


5.000.00


2.000.00


៛2,000.00 2,000,00


$1,000.00 4,000.00 4,000.00 2,000.00


$2,000.00 2,000.00 2,000.00 2.000.00


Municipal Reilet 39/100%


Municipal Retlet


sunlelpnl Relle


stunleipat Rellet 14%%


Chap. 44 tvafer 14%


Totals


19140


1.000.00


15.0110.00


23,000,00


2,000.00


2,000,00


26.000.00


6,000.00


25.000.00


12.000.00


5,000,00


1,000,00


16,000.00


5.000.00


4.000,00


5,000.00


2,000.00


20.000.00


15,000.00


7.000.00


4,000.00


6,000.00


507.000.00


1945 ...


1.000.00


3.000.00


2.000,00


.000.00


26,000.00


106.000,00


6,000.00


21.000.00


5.000.00


2.000.00


5,000.00


5,000.00


1,000.00


6.000.00


2,000.00


20.000.00


14.000.00


1.000.00


4,000.00


6.000.00 6,000.00


381.000.00


1950.


15,000.00


3,000.00


2,000.00


2,000.00


10,04H0,00


91,000.00


2.000.00


51,000.00


2.600.00


Police


Munteleat


Municipal Rellef 144


Municipal Reller 2


Munletpat Refler 25


NEunielpal Rellet 1% %


Emergency Storte 214 %


Tax Tilles


P. W. Water 314%


Chhp. 14 Water 112 %


Chap. 44 Water


ChnD. 14 Watet


Chap. 44 Fewer


Chap. +4 Sewer


Chap. 44 Highway


Defense


Defense


Defeito


14%


1946 1940.


$30,000.00 36,000.00


$3.000.00 3,000.00


1.000,00


41,000,00


15,000.00


4.000.00


23.000.00


3,000,00


3,000.00


3.000.00


23,000.00


2,000.00


2.000.00


26.000.00


107.000,00


6,000.00


26,000.00


42.000,00


6,000.00


1.000.00


2.000.00


5,000.00


5,000.00


4.000,00


2,000.00


20.000.00


14,000.00


7.000.00


4,000.00


307,000.00 240,000.00


1952


15,000.00


5,000.00


5,000.00


3.000.00


5.000.00


2,000.00


20,000.00


14,000.00


6.000.00


4,000.00


5.000.00


160,000.00


1963


5,000.00


2,000.00


20.000.00


14.000.00


6.000.00


3,000.00


6,000.00


66.000.00


1054


5,000.00


0,000.00


2.000.00


31,000,00


3,000.00


2,000.00


16,000,00


1968


11.000.00


1,000.00


3,000.00


2.000.00


3,000.00


2,000.00


3.000.00


2,000.10


3,000.00


2,000.00


3,000.00


2,000.00


3.000.00


1,000.00


3,000.00


1,000.00


3,000.00


1.000.00


3,000.00


1.000.00


3,000.00


1,000.00


3,000.00


3,000.00


$72,000.00


$6,000.00


$5,000,00


$194,000.00


$90,000.00


$23,000.00


$139,000.00


$15,000.00


$12,000,00


$16,000.00


$15,000.00


$140,000.00


$576.000.00


$45,000.00 $234.000.00 $159,000.00


$229,000.00


$25.000.00


$17,949.13


$20.000.00


$161.000.00


$55,000.00


$45,000.00


$35,000.00


$$0,000.00


$65,000,00


$25.000.00


$1,000,00


$14,000.00


$9.000.00


$50,000.00 $160,000.00 $115,000.00


$64,000.00


$31,000.00


$40,000.00 $3,175,949.13


$17,949,13


$5,000.00


$5,000.00 5,000.00


$5,000.00 6.000.00


$4,000,00 4.000,00


$5,000.00


$2,000.00


$25,000.00


$50.000,00


$20,000.00 $15,000.00 20,000,00 15,000.00


$7.000.00 7.000.00


$4,000.00 4.000.00


6,000.00


$725,949.13 616,000.00


19.51


15,000.00


5,000.00


5,000,00


5.000.00


3.000.00


5.000,00


2,000.00


20,000.00


14.000.00


7.000.00


4,000,00


5.000.00


15.000.00


5,000.00


5.000.00


15,000.00


5.000.00


5,000.00


15,000,00


5.000.00


5,000.00


1,000.00


3,000.00


5,000.00


2,000.00


3,000.00


5,0G0.00


2.000.00


6.000.00


1.000.00


1.000.00


1,000.00


1.000.00


1.000.00


.000,00


1955


5,000.00


1060 -.....


4.000.00


4,000.00


1,000.00


3.000.00


1,000.00


$62.000.00 $5.000.00


$1.000.00 1.000,00


$2.000.00 2,000.00


$16.000.00 15,000.00


2,000.00


5,000.00


5.000.00


15,000.00


5.000.00


6.000.00


15.000.00


5,000.00


1.000.00


1.000,00


1.000.00


1.000.00


1.000.00


3,000.00


6,000.00


1055


5,000.00


11.000.00


1991.


6,000.00


6.000.00


6,000.00


5,000,00


36,000.00


1.000.00


1,000.00


3.000.00 3.000.00 3,000.00


P. W. A.


%tunlethat


$107,000.00


$21.000.00


107.000,00 6.000.00


16,000.00


107.000.00


73.000.00


1.000.00


11,000.00


16.000.00


15.000.00


23,000.00


23,000.00


3,000.00


1,000.00


$1,000.00


$51,000.00


$15,000.00


C1,000.00


$5,000.00


15.000.00


1.000,00


P. W. A. School


Chap. 18 Sewer


$41,000.00


5,000.00


3,000,00


3,000.00


6.000.00


Munlelpal


$10.000.00


INTEREST REQUIREMENTS ON PRESENT CITY DEBT TO MATURITY


P. W. A. School


P. W. A Sewer


P. W. A. Water Mains


Bridge


High School


Southern Jr. High


Western Jr. High


Elementary School


Municipal Garage


Police Station


Chap. 44 Water


Chap. 44 Highway


Chap. 44 Sewer


Emergency Storm


Civilian Defense


Municipal Relief


Totals


1945


$5,285.00


$750.00


$350.00


$157.50


$7,760.00


$6,032.50


$4,335.00


$712.50


$1,968.75


$2,712.50


$125.00


$4,215.00


$562.50


$300.00


$29,057.50 21,877.50


$65,523.75


1946


4,725.00


712.50


280.00


122.50


5,320.00


4,967.50


3,595.00


617.50


1,181.25


2,387.50


3,972.50


450.00


195.00


51,003.75


1947


4,200.00


675.00


210.00


87.50


3,960.00


2,872.50


522.50


393.75


2,062.50


3,730.00


337.50


90.00


15,405.00


37,426.25


1948


3,675.00


637.50


140.00


52.50


2,970.00


2,167.50


427.50


1,737.50


3,487.50


225.00


32.50


9,907.50


25,900.00


1949


3,150.00


600.00


70.00


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


3,015.00


3,313.75


12,588.75


1951


2,100.00


525.00


762.50


2,797.50


7,895.00


1952




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