USA > Massachusetts > Bristol County > Attleboro > Reports of town officers of the town of Attleborough 1960 > Part 10
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300.00
Christmas Decorations
1,492.41
1,492.41
7.59
1,500.00
1,500.00
Brown St. Dansges
8.00
8.00
0.00
8.00
8.00
Christmas Decorations Resarve for 1959
1,280.00
1,280.00
0.00
1,280.00
1,280.00
Combined Bus and Comfort Station Plans
0.00
0.00
420.00
420.00
420.00
City Hall Lighting
1,432.46
1,432.46
27.54
1,460.00
360.00
1,100.00
City Hall Rent
14,400.00
14,400.00
0.00
19,400.00
14,400.00
Civilian Dafence
1,101.14
1,101.14
884.01
1,985.15
1,985.15
Civil Service Registration Clerk Salary
150.00
150.00
0.00
150.00
150.00
Civil Service Registration Clerk Expenses
11.07
11.07
3.93
15.00
15.00
Confort Station Expenses
2,289.56
2,289.56
210.44
2,500.00
2,500.00
Cuetodian Foreclosed Proparty
650.00
650.00
0.00
650.00
650.00
Damagee to Persone & Property
1,112.09
1,112.09
1,887.91
3,000.00
3,000.00
Schedule Fire, Bond & Robbery
Consultant Clerical
2,463.90
Postage and Stationery
15.
DEPARTMENT
EXFENIED
DEBIT TRANSFERS
DEBIT TOTAL
UNEXPERDED BALANCES
CREDIT TOTAL
CREDIT TRANSFERS
RECEIPTS APPROPRIATIONS
MISCELLANEOUS Dog Licenses
3,187.25
3,187.25
0.00
3,187.25
3,187.25
False Fire Alarm Reward
0.00
0.00
100.00
100.00
100.00
Fourth of July Celebration
,008.83
1,008.83
0.00
1,008.83
1,008.83
Frenier Ave. Land Purchase
0.00
0.00
50.00
50.00
50.00
Ho sing Authority Expenses
0.00
0.00
243.18
243.18
243.18
Legel Food
5.00
5.00
95.00
100.00
100.00
Helen W. Metcalf Prize Fand
4,921.56
4,921.56
0.00
4,921.56
4,921.56
Mallaney Twins Memorial Parking Area Motors
0.00
0.00
283.50
283.50
283.50
Na. Main St. Parking Lot
0.00
0.00
500.00
500.00
500.00
Off Street Parking Area
119.90
119.90
6,079.54
6,199.44
6,199.44
Parking Meter Expense
444.86
444.86
437.28
882.14
47.14
Physicians Foss (Exam. of Vets.)
0.00
0.00
50.00
50.00
50.00
Panny Milk Fund
6,183.50
6,183.50
1,316.50
7,500.00
7,500.00
Printing City Documents
996.72
996.72
3.28
1,000.00
1,000.00
1958-1959 Printing City Doowwwata
136.05
136.05
3.95
140.00
140.00
Proparty Naintenanos
914.12
914.12
32.83
946.95
446.95
500.00
1955-59 City of Pawtucket R.E. Taxes
1,095.41
1,095.41
0.00
1,095.41
1,095.41
Reserva for Teachers' Retirement
30.00
30.00
0.00
30.00
30.00
Summer School Tuttina Refunds
60.00
360.00
0.00
360.00
360.00
Veterans' Covugilt Armistice Day
1,098.18
1,098.18
1.82
1,100.00
1,100.00
Monarial Day
1,335.30
1,335.30
64.70
1,400.00
1,400.00
Withholding Taxes : State
21,499.94
21,499.94
128.12
21,628.06
21,628.06
Federal
292,374.64
292,374.64
0.00
198.374.64
292,374.64
World War II Sonor Roll
357.50
357.50
17.50
375.00
225.00
150.00
Pres. La on Bonda
2,233.89
2,233.89
0.00
2,233.89
2,233.89
REFUNDS
Motor Yohiole Kreise Tax
3,311.24
Later
215.86
Water Liens 1960
51.22
Pipo and Labor
72.38
Hoal Estate
5,315.88
Polls
36.00
Serror Added to Taxes
10.70
Interest and Costs on Taxes
8.68
Poraonel Taxes
28.45
Library Feos
6.69
App. Par Lemnis
51.00
Marziaga pariits
4.00
Comdttod Interest
2.44
9,114.54
0.00
9,114.54
INTEREST PAYABLE IN 1960.
1954 Water
1,445.00
1955 Water
2,898.00
1956 Water
3,553.00
1957 Water
2,250.00
1953 Watar
39,950.00
1959 Water
5,440.00
1949 Water Ertunsiga
1,405.00
1956 Water Reservoir
3,240.00
1958 Publio Works Garage
2.600.00
Pater Thashar Jr. H.S.
6,267.50
1957 Off St. Parking
1,300.00
1957 Veterans Memorial
97.50
1959 Fire Station
+.395.00
1959 Sr. High School (Clearance)
9,000.00
1954 Se.Attleboro Jr. H.S.
11,800.00
Anziupation of Revoma
16,591.94
1956 Server
977.50
1959 ºmotor
5,718.75
Veterans, Housing
1.575.00
120,504.19
120,504.19
50.00
120,554.19
3,466.94
25.00 117,062.25
835.00
9,114.54
9,114.54
16.
DEPARTMENT
EXPENDED
DEBIT TRANSFERS
DEBIT TOTAL
UNEXPENDED BALANCES
CREDIT TOTAL
CREDIT TRANSFERS
RECEIPTS APPROPRIATIONS
MUNICIPAL INDEBTEDNESS PAYABLE IN 1960
1954 Water Bonds
10,000.00
1955 Water Bonds
25,000.00
1956 Water Bonds
15,000.00
1957 Water Bonds
10,000.00
1958 Water Borda
65,000.00
1959 Water sinds
15,000.00
1949 Water Extension Bonds
20,000.00
1,5% water Reservoir
10,000.00
South At: aboro Jr. High School
40,000.00
Peter ,hechar Jr. H.S.
52,000.00
Fire Fiation
13,000.00
14 . school
12,000.00
.1,'℃ Sadar
5,000.00
1959 Sawor
8,500.00
1957 Off St. arking
5,000.00
Veterans' Housing
20,000.00
1957 Veterans Memorial
1,000.00
1958 Publie Works Garage Building
10,000.00
336,500.00
0.00
336,500.00
25,000.00
311,500.00
TOTAL EXPENDED
5,135,455.67
TOTAL DEEIT TRANSFERS
40,377.13
TOTAL DEBITE
5,175,832.80
TOTAL UNEXPENDED BALANCES
278,729.03
TOTAL CREDITS
5,454,561.83
TOTAL CREDIT TRANSFERS
214,671.37
TOTAL RECEIPTS
828,702.50
TOTAL APPROPRIATIONS
4,411,187.96
TAX PAYMENTS
State Parks & Reservations
15,664.72
15,664.72
12,290.53
12,290.53
State Audit Tax
2,110.32
2,110.32
0.00
2,110.32
2,110.32
State Audit of Retirement Funds
103.22
103.22
0.00
103.22
103.22
Bristol County Tuberculosis Hospital
66,320.97
66,320.97
0.00
66,320.97
66,320.97
County Tax
139,417.07
139,417.07
135,511.56
135,511.56
Mosquito Control Tax
5,694.16
5,694.16
0.00
5,694.16
5,694.16
229,310.46
229,310.46
222,030.76
222,030.76
TEMPORARY LOANS
Inanticipation of Revenue 1960
1,000,000.00
1,000,000.00
0.00
1,000,000.00
1,000,000.00
NON-REVENUE ACCOUNTS
Additional Well Field Development & Pumping Station Equipment
7,198.64
7,198.64
27,215.42
34,414.06
34,414.06
Reservoir, Fil ber Beds, Standpipa & Pumping Station Construction
506,862.42
506,862.42
233,559.19
740,421.61
740,421.61
Sanitary Sewer Construction
56,436.47
56,436.47
96,063.53
152,500.00
152,500.00
Senior H.S.Construotion (Site)
109,604.26
109,604.26
14,645.24
124,249.50
124,249.50
Senior H.S.Construction (Access Road)
33,457.84
33,457.84
54,701.64
88,159.48
88,159.48
Water Main Installations # 1
3,834.28
3,834.28
24,882.22
28,716.50
28,716.50
Water Main Installations # 2
0.00
0.00
6,959.21
6,959.21
6,959.21
1959 Water Main Installations
23,934.27
23,934.27
0.00
23,934.27
23,934.27
Union St. Fire Station Construction
20,273.75
20,273-75
0.00
20,273.75
20,273.75
South Attleboro Jr. H.S.Construction
0.00
0.00
7.59
7.59
7.59
1960 Water Mains
0.00
0.00
161,000.00
161,000.00
161,000.00
Sr. H. S. Construction
0.00
0.00
600,000.00
600,000.00
600,000.00
761,601.93
761,601.93 1,219,034.04 1,980,635.97
1,980,635.97
336,500.00
DEPARTKENY
EXPENDED
MEB IT TRANSFERS
DEBIT TOTAL
DHEXPENDED BALANCES
CREDIT TOTAL
CREDIT TRANSFERS
RECEIPTS APPROPRIATIONS
FEDERAL FUND"
Federal Advance İn H.S.Plans
80,000.00
80,000.00
0.00
80,000.00
80,000.00
Federal Advance for Sowerage Planning
50
13,200.00
0.00
13,200.00
13,200.00
93. _ 0 .00
93,200.00
0.00
93,200.00
93,200.00
CASH PAYMENTS
Revanun Cash
6,304,19 .13 76 ,601.93
Son- Revenue Cash Federal Cash
93 0100 7,219,568.06
TOTAL EXPENDITURES
Appropiration Accounta
Tax Payments
Temporary Loans
Non-Reveniva kecounts
701, -11.93
Federal Advance for Sewerage Planning
13, 00.00
Federal Advance for Sr. H.S.Plans
7,219,568.06
R-Reserve for 1960
CITY OF ATTLEBORO
BALANCE SHEET - DECEMBER 31 , 1960.
ASSETS
Cash (Revenue)
479,305.68 465.00
Petty Cash
Investments
73,689.16
Accounts Receivable: Taxes
1958 Personal Taxes
375.55
1958 Poll Taxes
28.00
1959 Poll Taxes
88.00
1959 Personal Taxes
1,054.95
1959 Real Estate Taxes
367.62
1960 Poll Taxes
428.00
1960 Personal Taxes
9,127.03
1960 Real Estate Taxes
111 , 572. 56
123,041.71
Motor Vehicle Excise Taxes:
1958
296.01
1959
5,713.94
1960
47,835.24
53,845.19
Farm Animal Tax 1960
125.05
125.05
Special Assessments:
Sewer
2,050.97
Curbing
1,476.50
Sidewalk
1,611.63
Committed Interest
123.60
5,262.70
Tax Titles
11,949. 37
Tax Possessions
13,863.09
Departmental:
Public Property
303.00
Highway
99.12
Public Welfare
12,236.70
School
2,196.70
Health
637.50
15,473.02
Water Rates:
1959
68.64
1960
24,605.16
Water Liens Added to Taxes 1959
914.04
Recording Water Liens
6.00
25,593.84
Pipe & Labor
1953
92.54
1954
256.62
1956
181.50
1957
392.33
1958
94.37
1959
195.28
1960
2,426.88
3,639.52
Apportioned Sewer Assessments Not Due
7,213.40
Apportioned Curbing Assessments Not Due Apportioned Sidewalk Assessments Not Due State Aid to Highways (Chapter 90)
8,253.95
89,000.00
County Aid to Highways (Chapter 90)
9,394.25
44,500.00
1.
ASSETS
Deficits: 1957 Overlay State Parks & Reservations County Tax 1960
43.73 3,374.19 3,905.51
$ 971,938.36
LIABILITIES
Tailings
829.52
Reserve for Petty Cash Advances
465.00
Reserve for Proceeds from Sale of City Property
30,014.00
Reserve for Payment of Vets.Housing Bonds
82,800.00
Surplus from Sale of Veterans' Houses
2,640.76
Parking Meter Receipts
8,483.27
Off-Street Parking Receipts
12,893.54
Post War Funds
1,406.09
Overlay Accounts:
1958
403.55 1,510.57 5,388.78
7,302.90
Overlay Surplus Reserve
4,413.69
Revenue Reserved until collected:
Motor Vehicle Excise Tax
53,845.19
Special Assessment Revenue
5,262.70
Tax Titles
25,812.46
Departmental
15,473.02
Water
29,233.36
Farm Animal Tax
125.05
Appropriation Balances:
Assessing Department
Changing Plates & Clerical Assist.
77.97
New Plats
352.89
Refiguring Rt.#95 Properties
122.48
Industrial & Development Commission
Engineering Services
619.88
Police Department
Care & Maint. Reserve for 1960
100.00
Other Expenses Reserve for 1960
19.09
Fire Department
Fire Station Construction
2,620.21
Union St. Fire Station Reconstruction
443.00
Elec. Br. Fire Department
Changeover & Replacement of Equip.(F.C.c.)
3,963.50
Public Works
Special Main Line Extension
2,167.42
New Gasoline Station Tanks
1,470.00
County St. R.R.Bridge Reconstruction
10,000.00
Bank & Peck St. Curves
69.59
Chap.90 Starkey Ave.
69,870.26
Chap.90 Starkey Ave. & County St.Bridges
13,500.00
Chap.718, Acts of 1956
15,113.72
Cooper's Pond Drainage
2,500.00
2.
1959
1960
LIABILITIES
Public Works Department
Cliff St. Bridge
1,700.00
Cummings St. Sewer
228.30
North Ave. Area Trunk Line Sewer
34,000.00
Knott St. Drainage
120.00
Sanford St. Parking Lot
118.90
Davis Ave. Sewer
8,451.19
Hatch Rd.Clifton St.Towne H.Road
842.85
Knott St. Sewer
1,585.89
Union St. Parking Lot
25.48
Payson St. Sewer
1:32.99
Starkey Ave. Land Damages
2,156.96
Sewer Extension Plans
5,341.76
Raeburn Dr. Sewer
2,448.00
Thacher St., South Ave. Sidewalk
3,200.00
Thornton St.Sewer Extension
3,454.00
959 Water Main Installation
1,337.07
Board of Public Welfare
Fed. A.D.C.Administration
3,610.60
Fed. O.A.A. Administration
325.76
Fed. D.A. Administration
86.18
Fed. Aid to Dependent Children
1,857.86
Fed. Old Age Assistance
16,869.36
Fed. Disability Assistance
8.25
Old Age Assistance Recoveries
1,640.01
Disability Assistance Recoveries
1,417.31
Veterans' Benefits
Expenses Reserve for 1960
18.00
School Department
Smith-Hughes Fund
274.00
Sr. H.S.Construction
7,230.45
School Lunch Program
2,157.92
Athletic Account (Receipts)
426 .54
Plans for Senior H.S.
1,576.11
Out-of-State Travel
600.00
Adult Civic Education
1,272.74
Summer School Expense
388.71
Park Department
New Animals Reserve for 1960
167.50
Tree Trimming
33.55
· New Street Lights
246.73
Survey of Park Grounds
175.00
Commissioners of Recreation Hayward Field (Florence H. Sweet Fund)
77.83
Attleboro Civilian Defense
884.01
Bank & Park St. Parking Area
350.00
False Fire Alarm Reward
100.00
Housing Authority Expenses
243.18
Frenier Ave. Land Purchase
50.00
Mullaney Twins Memorial Parking Lot Meters
283.50
North Main St. Parking Lot
500.00
3.
Ł
LIABILITIES
Off Street Parking Area Parking Meter Expenses Penny Milk Program
6,079.54
437.28
State and County Aid to Highways
Apportioned Sewer Assessment Revenue Due in 1960
13.10
1961
1,157.50
1962
1,127.10
1963
1,033.60
1964
921.20
1965
904.10
1966
875.70
1967
806.50
1968
58.90
1969
58.90
1970-1977
256.80
7,213.40
Apportioned Curbing Assessment Revenue
1960
14.90
1961
1,846.75
1962
1,784.55
1963
1,647.45
1964
1,329.20
1965
1,148.50
1966
847.50
1967
465.40
1968
219.30
1969
90.70
9,394.25
Apportioned Sidewalk Assessment Revenue
1961
1,617.10
1962
1,548.35
1963
1,362.30
1964
1,137.90
1965
969.90
1966
797.00
1967
486.00
1968
255.70
1969
79.70
8,253.95
Surplus Revenue (E. & D.)
293,668.39
Total Assets
$ 971,938.36 Total Liabilities
$971,938.36
RECEIPTS AND EXPENDITURES
Cash on hand January 1, 1960 and received to date Payments for year 1960
$ 8,824,707.78
7,126. 368.06
Balance December 31, 1960
$ 1,698,339.72
1,316.50
238,907.82 133,500.00
4.
NON-REVENUE ACCOUNTS
Non-Revenue Cash Investments Loans Authorized
425,423,04
Loans Authorized Unissued
$2,730,000.0~
793,611.00
2,730,000.00
P.S.Equipment
27,215.42
Reservoir, Filter Beds,
Standpipe & P.S.Construction
233,559.19
Water Main Installation #1
24,882.22
Water Main Installation #2
6,959.21
1960 Water Mains
161,000.00
Sanitary Sewer Construction
96,063.53
Senior H.S.Construction(Site)
14,645.24
Sr.H.S.Construction (Access Rd)
54,701.64
Senior H.S.Construction®
600,000.00
So.Attleboro Jr.H.S.Const.
7.59
3,949,034.04
$3,949,034.04
CONTRIBUTORY RETIREMENT FUNDS
Cash
1,656.66
Annuity Savings Fund
464,857.49
Investments
591,416.48
Annuity Reserve Fund
65,352.45
Investments-Savings Bank
39,708.17
Pension Fund
102,921.85
Accrued Interest
3,755.11
Expense Fund
1,175.59
Special Military Leave Fd.
2,229.04
636,536.42
636,536.42
SCHEDULE OF CITY DEBT Recorded in Auditing Department Inside Debt Limit (Authorized by General Law)
Sewer Bonds
40,000.00
Jr.H.S.Bonds (Peter Thacher)
62,000.00
Off Street Parking 35,000.00
Public Works Workshop and Garage
90,000.00
Fire Station Bonds
140,000.00
Sr.H.S.Construction Bonds
228.000.00
Sanitary Sewer Bonds
144,000.00 $739,000.00
Outside Debt Limit (Authorized by Special Law)
Veterans" Housing
80,000.00
Water Bonds
1,998,000.00
Jr.H.S. (Peter Thacher)
310,000.00
So.Att.Jr. H.S.
560,000.00
Veterans Memorial
2,000.00
Sr.H.S.Construction
600,000.00
$3,550,000.00
$4,289,000.00
5.
Add1 Well Field Dev. &
TRUST FUNDS
In Hands of City Treasurer
In Hands of Library Trustees
228,450.65 192,431.21
In Hands of Attleborough Hospital Co.
3,746,953.08
$ 4,167,834.94
In Hands of City Treasurer:
Deborah Starkey Fund
2,145.76
Margaret Spangler Fund
6,017.69
Capron Fund
52,566.75
S. M. Stone Fund
22,579.10
Tri-Centennial Fund
1,465.12
Ruth Holden-Alice Tllingsworth Haskell Fund
8,976.27
Florence H. Sweet Fund
11,888.91
Louis P, Metcalf Fund
90,367.60
Helen W. Metcalf Fund
648.02
Maurice J. Baer Fund
11,938.24
Joseph Finberg Fund
5,628.81
Post War Rehabilitation Fund
5,411.93
Everett S. Horton Fund
7,792.13
Nellie H. Cooper Fund
1,024.32
In Hands of Library Trustees: Principal Accounts
149,588.16
Income Accounts
42,843.05
In Hands of Attleborough Hospital Co.
Hospital Fund #1
1,833,414.69
Hospital Fund #2
1,034,634.21
Sturdy Hospital Expansion Fund
878,904.18
$ 4,167,834.94
$ 4,167,834.94
٢٠
6.
SCHEDULE OF CITY PROPERTY Recorded in Assessing Department
TAXABLE
Real Estate, 12 Holman Street
$ 6,200.00
NON-TAXABLE
Welfare Department: Tiffany Street
$ 16,400.00
Miscellaneous:
Boston & Prov.R.R.Co.Right of Way Pleasant St. Lot 410-N.P.28
260.00
Lot Oakland Avenue
200.00
Briggs Corner Water Hole
100.00
Mendon Road 2 Lots
100.00
Fisher Ledge
375.00
Fire Department:
South Main Street Hose House
62,645.00
Twin Village Fire Station
9,500.00
Union Street Hose House
269,725.00
Newport Avenue Hose House
20,785.00
Peck Street Lot
650.00
Hebronville Lot
400.00
Attleboro Hospital Inc.
1,470,140.00
Parks and Playgrounds
Angell Park
1,000.00
Blackinton Park, North Main St.West Side
2,300.00
Briggs Playground
21,450.00
Capron Park
82,700.00
Clifton Street - Park
100.00
Dodgeville Playground
1,600.00
Finberg Playground
2,500.00
Hayward Field
16,800.00
Hebronville Playground
200.00
Horton Playground
9,270.00
Park St. Common
26,700.00
South Attleboro Playground
2,220.00
Thacher St. Playground
400.00
Parking Lots:
North Main St. Parking Lot
20,800.00
South Main St. Parking Lot
28,200.00
South Main St. Parking Lot-Comfort Station
12,500.00
Union Street Parking Lot
12,715.00
Riverbank Road Parking Lot
6,100.00
Police Station:
Real Estate, Wall Street
37,000.00
Attleboro Public Library
121,100.00
Public Works Department
Highway Division:
North Ave.W.S.Screening Plant
5,600.00
Wall St. S.S. 5B-N.P. 32
140,100.00
South Main St. W.S. - 12 N.P. 21
100.00
County St. W.S .- 180 C-N.P. 31
2,015.00
Mary St. - E.S. - 156 N.P. 33
300.00
Cliff St. 192A-199-N.P. 40
500.00
7.
Highway Division continued:
Maynard St. S.S. - 17-N.P. 61
515.00
Oak Ridge Ave. N.S. - 283 N.P. 43
100.00
Falmouth St. N.S. - 28-N.P. 61
600.00
South Ave. S.S .- 1 to 7-15-16-26 to 28-31-42-43-44
50 to 59 - N.P. 85
700.00
Devonshire Road, 73 N.P. 90
50.00
South Main St. E.S. Lot 238-N.P. 103
500.00
Walnut St. N.S. 45 N.P. 62
100.00
Sewer Division:
Read St. S.S .- Tool House - 16 N.P. 25-41 N.P. 23
45,300.00
South Main St. - N.S. Lot 59 So. Main
500.00
Tiffany E.S. & W.S. Lot 11 Tiffany
100.00
N. Y. N.H. & H. R.R. S.S. - 15 N.P. 25
150.00
N. Y. N.H. & H. R.R. S.S. - 273 N.P. 26
300.00
Water Division:
County St. W.S. 184 N.P. 31 Garage, Storehouse & Garages
14,600.00
Wall St. S.S. - 5A - N.P. 32 Garages
27,000.00
Bank St. Ex. 107 B-N.P. 47
2,400.00
Reservoir Land
15,500.00
West St. N.S. - 5 N.P. 79-Stone Crusher .
2,500.00
West St. W.S. - 3E N.P. 79
1,000.00
Rear West St. 3 P N.P. 79
1,200.00
West St. N.S .- N.P. 79 6-N.P. 79
400.00
South Avenue N.S. 4-N.P. 79
500.00
Snell St. W.S. Lot 26 Thacher-2 Water Towers
195,800.00
West St. S.S.Pumping Station-Lot 26 West-Aeration Building
1294 West St. Cottage and Land
38,200.00
West St. S.S. - 13 A West
150.00
West St. S.S. - Lot 17A West
58,000.00
West St. S.S. - Lot 27 West
100.00
Third St. E.S. - 180 N.P. 40
420.00
South Avenue N.S. 108 N.P. 80
2,700.00
Read St. N.S. Lot 1 N.P. 98-A
600.00
South Avenue E.S. Lot 10-Misc.
100.00
West St. N.S. 1 to 7-11 to 16 Pidge Pt.
800.00
School Department:
Bliss School Park Street
147,225.00
Briggs Corner School
17,400.00
Farmer's School
17,000.00
Finberg's School
121,000.00
High School
369,400.00
Lincoln School
133,060.00
Richardson School
157,160.00
Sanford St. Supt. Office
34,700.00
South Attleboro Jr. High School
708,000.00 702,680.00
Peter Thacher School
Tiffany School
52,900.00
Washington Street School
53,700.00
Willett School
182,905.00
Attleboro Housing Authority:
South Avenue (15 Units)
343,800.00
8.
612080
Annual Report
INDEX
Attleboro Hospital .
39
Board of Assessors
23
Building Code Commission . 0
106
. ... a
.
.
0
O
0
0
Building Inspector
61
City Auditor . . . O
114
City Clerk ..
1
City Collector
5
City Forester
94
City Solicitor
107
City Treasurer
75
Contributory Retirement Board O
111
Council Attendance Record
4
Custodian of Property
108
Dog Officer
110
Development and Industrial Commission
95
Electrical Inspector
72
Fire Department
14
Health Department .
O
.
0
o
44
Housing Authority
. 113
License Commissioners
0 105
Park Commissioners
74
Planning Board
97
Police Department
0
o
O . 0
. .
o
.
€ . . o
6
Public Library
28
Public Welfare Department
25
Public Works Department
.
.
0
0
0
0
O ....
86
Recreation Commissioners o
73
School Committee
57
Sealer of Weights and Measures
22
Superintendent of Fire Alarm
.
0
o
O
.
9
O
. 0
0 . . 0
60
Veterans' Rehabilitation and Reemployment Agent
56
Zoning Board of Appeals
. . . 96
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0
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.
0
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.
١ ٠٢٠٧١) 116 :1.5.8:
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