Town Annual Report of the Officers of the Town of Milford, Massachusetts 1932, Part 2

Author: Milford (Mass.)
Publication date: 1932
Publisher: The Town
Number of Pages: 334


USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1932 > 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).


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$760 15


TAXES, 1928.


Outstanding March 27, 1930, per pre-


vious audit . . $75,065 54


Abatements after payments, refunded


16 44


$75,081 48


Payments to treasurer:


March 27 to December


31,1930


$39,923 33


1931


24,239 26


$64,162 59


Abatements:


March 27 to December


31,1930


$ 192 40


1931


3,280 26


3,472 66


Outstanding December 31, 1931


7,446 23


$75,081 48


Ontstanding January 1, 1932 $7,446 23


Adjustments:


Taxes 1929 reported as taxes 1928 $ 85


Interest reported as taxes 1928 6 27


Duplicate abatements 67 00


Tax titles reported


in error


156 50


230 62


26


Abatements after pay- ment, to be refunded $42 86 Duplicate payment to collector,to be refund- ed 3 70


$46 56


$7,723 41


Payments to treasurer January 1 to September 17, 1932 . $1,464 30


Abatements January 1 to September 17,1932 5,556 19


Tax titles taken by town January 1 to September 17,1932 615 84


Abatements not previously reported . 8 00


Unlocated difference .


10


Outstanding September 17, 1932, per list . - 40 50


Cash balance September 17, 1932


·


38 48


$7,723 41


TAXES, 1929.


Outstanding March 27, 1930, per pre-


vious audit .


$152,021 24


Payments after abatement, refunded


1930 .


42 90


Overpayments to collector, refunded


1930 .


118 30


$152,182 44 -


Payments to treasurer:


March 27 to Decem- ber 31, 1930 $52,201 34


1931


65,038 16 -$117,239 50


Abatements: March 27 to December 31, 1930 $339 07


1931


·


1,797. 12


2,136 19


27


Outstanding December 31, 1931


$32,806 75


$152,182 44


Outstanding January 1, 1932 $32,806 75


Duplicate abatements, adjusted 52 20


Abatements after payment to be re- funded 33 00


Overpayment to collector, to be re- funded 15 28


Unlocated difference


1 54


$32,908 77


Payments to treasurer January1, to September 17, 1932 . $22,717 98


Abatements January 1, to September 17,1932 3,280 69


Tax titles taken by town January 1, to September 17, 1932


2,191 35 . Adjustments:


Taxes 1929, reported as taxes 1928 85


Abatement of taxes 1929, reported as taxes 1931 62 70


Abatements not previously reported Outstanding September 17, 1932, per list 4,377 90


60


Cash balance September 17, 1932


.


276 70


$32,908 77


TAXES, 1930.


Commitments per warrants


$518,840 00


Additional commitments 8,232 45


$527,036 45


Payments to treasurer:


1930


$323,231 77


1931


81,340 52


-- $404,572 29


Abatements:


1930


$3,383. 00


1981


.


319 60


3,702 60


Outstanding December 31, 1931


118,761 56


$527,036 45


28


Outstanding January 1, 1932 . $118,761 56 Adjustments:


Commitment list in excess of war- rant 10 00


Taxes 1931, reported as taxes 1930 23


Interest reported as taxes 1930 1 80


Abatement reported in error 171 70


Overpayments to collector, to be ad- justed 42 13


$118,987 42


Payments to treasurer January 1 to September 17, 1932 . $69,957 57


Abatements January 1, to September 17,1932 952 50


Tax titles taken by town January 1 to September 17, 1932 . 5,465 90 Adjustments:


Taxes 1980, reported as interest 2 00


Tax titles not previously reported 190 00


Outstanding September 17, 1932, per list . 40,259 36


Cash balance September 17, 1932 . 2,160 09


- $118,987 42


TAXES, 1931.


Commitment per warrant $534,134 34


Additional commitment


198 80


Reassessments 101 48


Duplicate payment to collector, re- funded


266 60


Abatements after payment, refunded 37 84


$534,739 06


Payments to treasurer $310,164 49 Abatements . 4,580 82


Outstanding December 31, 1931 219,993 75


$534,739 06


29


Outstanding January 1, 1982 $219,993 75 Adjustments:


Interest reported as taxes 1931 36 56


Abatement of taxes 1929, reported as taxes, 1931 ·


62 70


Collections not committed . ·


2 00


Overpayments to collector, to be re- funded 31 40


$220,126 41


Payments to treasurer, January 1 to


September 17, 1932 . $80,144 75


Abatements January 1 to September 17,1932 359 48


Adjustments:


Taxes 1931, reported as taxes 1930 23


Abatement not previously reported 60


Tax titles not previously reported 5,605 48


Outstanding September17, 1932, per list . .


182,173 69


Cash balance September 17, 1932


. - 1,842 18


$220,126 41


POLL TAXES, 1932.


Commitment per warrant .


. $8,348 00


Adjustments:


Commitment list in excess of war-


rant


2 00


Collections not committed


4 00


$8,354 00


Payments to treasurer to September 17, 1932 $3,212 00


Outstanding September 17, 1982, per list. ·


4,924 00


Cash balance September 17, 1932


.


218 00


88,354 0


30


OLD AGE ASSISTANCE TAXES .-- 1931.


Commitment per warrant · $4,396 00


Additional commitment 22 00


Payments to treasurer . $3,046 00


$4,418 00 Outstanding December 31, 1931 1,372 00


$4,418 00


Outstanding January 1, 1932 $1,372 00


Duplicate payments to collector, to


be refunded 3 00


$1,375 00


Payments to treasurer January 1 to September 17, 1932: By collector $634 00


By State treasurer 203 00


$837 00


Outstanding September 17, 1932, per


list 535 00


Cash balance September 17, 1932 3 00


$1,375 00


OLD AGE ASSISTANCE TAXES -- 1932.


Commitment per warrant . $4,396 00


Commitment list in excess of warrant 1 00


$4,397 00


Payments to treasurer to September


17,1932 . $1,694 00 Outstanding September 17, 1932, per list 2,587 00


Cash balance September 17, 1932


116 00


$4,397 00


MOTOR VEHICLE EXCISE TAXES-1929. Outstanding March 27, 1930, per pre- vious audit . $2,753 45


Abatements after payment, refunded 21 05 $2,774 50


31


Payments to treasurer:


March 27 to December 31,1930 $1,115 04


1931 . 439 28


- $1,554 32


Abatements:


March 27 to December


31,1930 $ 3 85


1931


574 79


578 64


Outstanding December 31, 1931


641 54


$2,774 50


Outstanding January 1, 1932 . . $641 54


Motor vehicle excise taxes 1930 re- ported as 1929 .


2 00


Duplicate payment to collector, to be refunded 1 19


$644 73


Payments to treasurer January 1 to September 17, 1932


$35 88


Adjustments:


Refund of motor vehicle excise taxes 1930 reported as 1929 5 09 . Abatements not previously reported 30


Outstanding September 17, 1932, per list . 603 46


$644 78


MOTOR VEHICLE EXCISE TAXES-1930.


Commitments per warrants


$25,623 40


Abatements after payment, refunded:


1930


$83 90


1931


12 83


96 75 - $25,720 13


Payments to treasurer:


1930 . $10,270 76


32


:


1931 .


$3,133 49


-- $22,404 25


Abatements:


1930 .


$988 38


1931


4 56


992 94


Outstanding December 31, 1931


2,322 94


$25,720 13


Outstanding January 1, 1932 .


$2,322 94


Overpayments to collector, refunded 9 96


Adjustment:


Refund of motor vehicle excise


taxes 1930 reported as 1929 .


5 09


Abatement after pay-


ment, to be refunded $4 51


Overpayment to collector to be adjusted 2 01


6 52


$2,344 51


Payments to treasurer January 1 to September 17, 1932 $475 40


Abatements January 1 to September 17, 1932 22 31


Adjustments:


Warrants in excess of commitment list 10 10


Motor vehicle excise taxes 1930 re- ported as 1929 2 00


Refund of interest on motor vehicle excise taxes 1930 reported as in- terest on motor vehicle excise taxes 1930 02


Abatements not previously reported Unlocated difference · Outstanding September 17, 1932, per list .


11 10


36


1,823 22


-$2,344 51


33


MOTOR VEHICLE EXCISE TAXES-1931.


Commitments per warrants . $22,664 63


Abatements after payment, refunded


848 09


$28,512 72


Payment to treasurer .


$16,512 40


Abatements .


936 54


Outstanding December 31, 1931 6,063 78


$23,512 72


Outstanding January 1, 1982 $6,063 78


Adjustments:


Duplicate abatement 4 83


Abatements reported in error


86


Interest reported as motor vehicle excise taxes 1931 . 02


Abatements after payment, refunded


220 92


Abatements after payment, to be re- funded .


9 36


Unlocated difference .


2 50


Payments to treasurer January 1 to September 17, 1932 $3,383 09


Abatements January 1 to September 17, 1932 200 79


Duplicate refund, to be adjusted


3 17


Outstanding September 17, 1932, per list 2,715 22


$6,302 27


MOTOR VEHICLE EXCISE TAXES-1932.


Commitments per warrants . . $17,521 85 Adjustments:


Commitment list in excess of war-


rants


·


03


Duplicate abatement 8 17


Abatements after payments, refunded 418 21


Abatements after payment, to be re- funded


10 36


- $17,958 62


$6,302 .27


-


34


Payments to treasurer January 1 to


September 17, 1982 . $18,165 43


Abatements January 1 to September


17, 1932 . 511 45


Duplicate refund, to be adjusted 8 17


Unlocated difference . 09


Outstanding September 17, 1932, per list 4,167 74


Cash balance September 17, 1932


105 74


$17,958 62


UNAPPORTIONED SEWER ASSESSMENTS. Outstanding March 27, 1980, per pre- vious audit . $8,255 30


Additional commitment 1980 . ·


989 42


Abatements after payment, refunded 1980,


465 50


$9,710 22


Payments to treasurer: March 27 to Decem- ber 31, 1930 $2,764 94


1981 . .


661 94


$3,426 88


Abatements March 27 to December


31, 1980 ; . 1,173 17


Apportionments March 27 to Decem- ber 31, 1930 187 74


Outstanding December 31, 1931 · 4,922 43


$9,710 22


Outstanding January 1, 1982 . . $ 4,922 43 Additional commitment . 14,108 07 Adjustments:


Apportioned sewers 1932 reported as unapportioned sewers 16 44


Interest reported as unapportioned sewers . 18 28


35


Abatements of apportioned sewers 1910-1932 reported as unap- portioned sewers $53 11


Abatements of apportioned sewers 1938-1987 reported as unappor- tioned sewers 47 58


Apportioned sewers 1933-1941 re- ported as unapportioned sew- ers


84 21


Overpayment to collector, adjusted 10 Overpayment to collector, to be re- funded 25 00


$19,275 22


Payments to treasurer January 1 to September 17, 1932 $3,92l 57


Apportionments January 1 to Sep- tember 17, 1932 . . Adjustments:


5,571 83


Unapportioned sewers reported as interest


26 73


Refunds of apportioned sewers 1928


and 1929 reported as unappor- tioned 21 25


Outstanding September 17, 1932, per list .


9,732 84


Cash balance September 17, 1932


1 00


$19,275 22


APPORTIONED SEWER ASSESSMENTS -- 1910-1932.


Outstanding March 27, 1980 per ledger


$448 84


Commitments:


March 27 to Decem-


$198 38


ber 81, 1930


·


1981


.


.


218 32


416 65


$865 49


36


1


-


Payments to treasurer:


March 27 to Decem- ber 31, 1930


$114 96


1931 .


80 02


$194 98


Outstanding December 31, 1931


670 51


$865 49


Outstanding January 1, 1932 . $670 51


Commitment


729 26


Apportioned sewers 1932 reported as apportioned sewers 1933 . 2 91


Adjustment of outstanding accounts: Apportioned sewers 1931 $ 01


Apportioned sewers 1932 01


02


Refunds of apportioned sewers 1928 and 1929 reported as unappor- tioned


21 25


$1,423 95


Payments to treasurer January 1 to September 17, 1932


$148 72


Adjustments:


Apportioned sewers 1932 reported as unapportioned sewers . 16 44


Apportioned sewers 1911-1917 re- ported as interest 98


Abatements of apportioned sewers reported as unapportioned sewers 53 11 Adjustment of outstanding appor- tioned sewers 1929 · 30 ·


Outstanding September 17, 1932, per list 1,204 40


$1,423 95


INTEREST, TAXES 1926. Cash balance March 27, 1980, per previous audit $ 24


37


Collections March 27, 1930, to Decem-


ber 31, 1931


. $30 48


$30 72


Payments to treasurer,


March 27 to December 31, 1930, $26 92


1931


3 80


$30 72


INTEREST, TAXES 1927.


Cash balance March 27, 1930, per previous audit $ 6 68


Collections March 27, 1930, to Decem- ber 31, 1931 .


1,128 15


$1,134 83


Payments to treasurer:


March 27 to Decem- ber 31, 1930


$742 44


1931


389 30


- $1,131 74


Interest reported


as


taxes 1927 3 09 .


$1,134 83


INTEREST, TAXES 1928.


Cash balance March 27, 1930, per previous audit .


$


41 58


Collections March 27, 1930 to Sep- tember 27, 1932 8,621 05


$8,662 63


Payments to treasurer: March 27 to Decem. Der 31, 1930 $4,313 22


1931 4,051 76


January 1 to Septem- ber 17, 1932 291 38


$8,656 36


Interest reported as taxes 1928


6 27


$8,662 63


38


INTEREST, TAXES 1929.


Cash balance March 27, 1930, per previous audit .


$ 28 08


Collections March 27, 1930, to Sep- ber 17, 1932 .


12,979 61


$13,007 69


Payments to treasurer:


March 27 to Decem-


her 31, 1930


$2,988 75


1931


6,473 37


January 1 to Septem -


ber 17, 1932


3,539 50


$13,001 62


Interest reported as fees


4 78


Cash balance Septem-


ber 17, 1932 .


1 29


$13,007 69


INTEREST, TAXES 1930.


Collections · to Septem-


ber 17, 1932 ·


$10,105 40


Taxes 1930 reported as interest 2 00


$10,107 40


Payments to treasurer:


March 27 to Decem-


ber 31, 1930


$ 354 33


1931


3,685 26


January 1 to Septem-


ber 17, 1932


5,902 94


$9,942 53


Interest reported as taxes, 1930


1 80


Cash balance September 17, 1932 163 07


$10,107 40


INTEREST, TAXES 1931.


Collections to September 17, 1932 $3,206 37 Payments to treasurer: 1931 $ 280 55


39


January 1 to Septem- ber 16, 1932 $2,783 08


$3,063 63


Interest reported as taxes, 1931 36 56 Cash balance September 17,1932 106 18


$3,206 37


INTEREST, MOTOR VEHICLE EXCISE TAXES 1929.


Cash balance March 27, 1930, per previous audit .


$ 24


Collections March 27, 1930, to Sep- tember 17, 1932


152 08


Interest on motor vehicle excise taxes


1930, reported as 1929 24


$152 56


Payments to treasurer:


March 27 to December 31, 1930


$80 08


1931


65 13


January 1 to September 17, 1932 7 85


$152 56


INTEREST -MOTOR VEHICLE EXCISE TAXES 1930.


Collections to September 17, 1932 $278 22


Refund of interest reported as motor vehicle excise taxes


1930 02


$278 24


Payments to treasurer:


March 27 to December 31, 1930 $ 58 92


1931 161 64


January 1 to September 17, 1932 57 44


Interest on motor vehicle excise tax


1930 reported as 1929


24


$278 24


INTEREST-MOTOR VEHICLE TAXES 1931.


Collections to September 17, 1932, $84 95 Payments to Treasurer : 1931, $13 56


40


January 1 to Septem- ber 17, 1932, $71 37


$84 93


Interest reported as motor vehicle ex-


cise taxes 1931,


02


$84 95


INTEREST-MOTOR VEHICLE EXCISE TAXES 1932.


Collections to September 17, 1932, ·


$5 53


Payments to Treasurer, January 1 to September 17, 1932 . $5 16


Cash balance September 17, 1932,


37


$5 53


COLLECTOR'S FEES-TAXES AND ASSESSMENTS 1926.


Collections March 27, 1930, to Decem-


ber 31, 1931, $2 85


Payments to Treasurer, 1931, $2 85


COLLECTOR'S FEES-TAXES AND ASSESSMENTS 1927.


Collections March 27, 1930, to Decem-


$35 60 ber 31, 1931, .


Payments to Treasurer :


·


March 27 to December 31, 1930, ·


$ 2 75


32 85


1931,


.


$35 60


COLLECTOR'S FEES-TAXES AND ASSESSMENTS 1928. Collections March 27, 1930, to Septem- ber 17, 1932, $296 10


Payments to Treatsrer :


March 27 to December 31, 1930, $107 15


151 20


1931,


January 1 to September 17, 1932, .


37 75


$296 10


COLLECTOR'S FEES-TAXES AND ASSESSMENTS 1929. Collections, $667 42


41


1


Adjustments : .


Fees-Taxes and Assessments 1930,


reported as 1929, .


$


75


Interest reported as fees, 4 78


$672 95


Payments to Treasurer .


March 27 to December 31, 1930, $ 65 50


1931,. 225 25


January 1 to September 17, 1932, .


382 20


$672 95


COLLECTOR'S FEES-TAXES AND ASSESSMENTS 1930.


Collections to September 17, 1932, $614 25


Payments to Treasurer :


1931, $268 00


January 1 to September 17, 1932, . 317 25


Fees-Taxes and Assessments 1930,


reported as 1929, .


75


Cash balance September 17, 1932, .


28 25


$614 25


COLLECTOR'S FEES-TAXES AND ASSESSMENTS 1931.


Collections to September 17, 1932, $480 05


Payments to Treasurer January 1 to September 17, 1932, . $473 25


Cash Balance September 17, 1932,


6 80


$480 05


COLLECTOR'S FEES -- TAXES AND ASSESSMENTS 1932. Collections to September 17, 1932, $140 95


Payments to Treasurer January 1 to September 17, 1932, $140 25


Cash balance September 17, 1932, .


70


$140 95


INTEREST-UNAPPORTIONED SEWER ASSESSMENTS. Collections March 27, 1930 to Sep- tember 17, 1932 $434 83


42


Unapportioned sewers reported as


$26 73 interest


$461 56


Payments to treasurer:


March 27 to Decem-


ber 31, 1930 $296 79


1931


84 83


January 1 to Septem-


ber 17, 1932


61 66


$443 28


Interest reported as uuapportioned


sewers


18 28


$461 56


INTEREST-APPORTIONED SEWER ASSESSMENTS, 1910-1932.


Collections March 27, 1910, to Sep- tember 17, 1932 .


$65 21


Apportioned sewers 1911-1917, re-


ported as interest


98


$66 19


Payments to treasurer:


March 27 to December 31, 1930


$38 10


1931


22 53


January 1 to September 17, 1932 5 56


$66 19


TOWN HALL RENTALS.


Outstanding January 1, 1931, $ 50 00


Charges


190 00


$240 00


Payments to treasurer, 1931


$240 00


Charges January 1 to September 17, 1932 $ 95 00


Charges not previously reported 110 00


$205 00


43


Payments to treasurer January 1 to September 1T, 1932 . $95 00


Abatements, not previously reported 50 00


Outstanding September 17, 1932, per list 60 00


$205 00


HEALTH DEPARTMENT.


Outstanding January 1, 1931 $ 722 59


Charges


1,171 66


$1,894 25


Payments to treasurer


$538 03


Abatements


254 28


Outstanding December 31, 1931


1,101 94


$1,894 25


Outstanding January 1, 1932 $1,101 94


Charges January 1 to September 17, 1932


43 04


Adjustments:


Charges not previously reported 42 30


Excess abatement


12


$1,187 40-


Payments to treasurer January 1 to September 17, 1932 .


$852 92


Abatements January 1 to September 17, 1932 17 01


Outstanding September 17, 1932, per list 318 30


$1,187 40


HIGHWAY DEPARTMENT.


Outstanding January 1, 1931 .


$684 76


Charges


83 00


$767 76


Payments to treasurer $ 25 00


Adjustment of outstanding accounts 204 1g


Outstanding December 31, 1931 538 60


$767 76.


44


Outstanding January 1, 1932 . $538 60 Charges not previously reporte l 150 00


$688 60


Outstanding September 17, 1932, per list $688 60


PUBLIC WELFARE DEPARTMENT,


General Aid.


Outstanding January 1, 1931, per


ledger . $1,575 37


Charges 1931 . 8,127 30


Infirmary collections reported as gen- eral aid ·


38 48


$9,741 15


Payments to Treasurer . $8,499 88


Abatements 22 00


Outstanding December 31, 1931 1,219 27


-


$9,741 15


Outstanding January 1, 1932 . $1,219 27


Charges January 1 to September 17,


1932


7,633 60


Adjustments :


Infirmary collections reported as general aid 28


Charges not previously reported 24


Duplicate payment, to be refunded 81 00


$8,937 39


Payments to Treasurer January 1 to September 17, 1932 .


$2,329 69


Adjustment of outstanding accounts 236 35


Outstanding September 17, 1932, per list 6,371 35


$8,937 39


Mothers' Aid. Outstanding January 1, 1931, per ledger $3,608 20


45


Charges


. $7,325 30


$10,933 50


Payments to Treasurer


. $8,847 54


Abatements · ·


143 37


Outstanding December 31, 1931 .


1,942 59


$10,933 50


Outstanding January:1, 1932 $1,942 59 Charges January 1 to September 17, 1932


8,715 06


Adjustments:


Charges not previously reported 238 00


Overpayments. to be refunded 13 32


$10,908 97


Payments to Treasurer January 1 to September 17, 1932 $ 229 33


Adjustment of outstanding accounts 458 50


Outstanding September 17, 1932, per list, . 10,221 14


$10,908 97


Old Age Assistance.


Charges January 1 to September 17, 1932


$13,209 10


Outstanding September 17, 1932, per list


$13,209 10


Town Infirmary.


Outstanding January 1, 1931 . $ 566 34


Charges 1931 .


. 4,312 57


$4,878 91


Payments to Treasurer


$4,355 59 .


Infirmary collections reported as general aid 38 48


Outstanding December 81, 1931 .


284 84


$4,878 91


Outstanding January 1, 1932 $ 284 84 Charges January 1 to September 17, 1932 2,523 61


-


46


Adjustment of outstanding accounts $92 49


Overpayments to be refunded 1 17


$2,902 11


Payments to Treasurer January 1 to September 17, 1932 . $2,425 91 Adjustments:


Infirmary collections reported as general aid 28


Infirmary collections reported as damages 5 00


Charges reported in excess of list 26 76


Outstanding September 17, 1932, per list 430 68


Due from infirmary superintendent September 17, 1932 13 48


$2,902 11


SCHOOL DEPARTMENT. Accounts Receivable.


Outstanding January 1, 1931


$ 855 26 ·


Charges · 6,408 89


$7,264 15


Payments to Treasurer, . $5,823 76


Abatements,


114 28


Outstanding December 31, 1931 · 1,326 11


$7,264 15


Outstanding January 31, 1932, . $1,326 11


Charges January 1 to September 17, 1932, 191 40


Charges not previously reported, · 5,800 56


$7,318 07


Payments to Treasurer January 1 to September 17, 1932, $1,276 11 Abatements January 1 to September 17, 1932, . 16 60


Outstanding September 17, 1932, per list, · 6,025 36


$7,318 07


47


CEMETERY DEPARTMENT. Accounts Receivable.


Outstanding January 1, 1931, per led-


ger,


$509 00


Charges,


783 50


$1,292 50


Payments to Treasurer,


$809 50


Abatements, .


126 00


Outstanding December 31, 1931, - 357 00


$1,292 50


Outstanding January 1, 1932, $357 00


Adjustments:


Charges not previously reported, 632 50


Abatements reported in error, . 6 00


$995 50


Payments to Treasurer January 1 to September 17, 1932, · Charges 1930, reported in excess of detailed list. 139 00


$573 00


Outstanding September 17, 1932, per list,


206 00


Cash on hand September 17, 1932


77 50


$995 50


CEMETERY PERPETUAL CARE FUNDS.


Savings Securities


Deposits Par Value Total


On hand at beginning of year 1931


$21,984 17 $21,984 17


On hand at end of year 1931


$22,783 01


$22,783 01


On hand September 17, 1932


$2,534 92 $22,000 00 $24,534 92


-


48


Receipts.


Payments.


1931.


Income .


$1,514 78


Added to Savings


deposits


$ 798 84


Bequests


400 00


Transfer to town 1,115 94


$1,914 78


$1,914 78


January I to September 17, 1932.


Withdrawn from


Purchase of se- curities (par


Savings depos- its


$21,095 96


value)


$22,000 00


Income . ·


1,051 91


Added to sav-


Bequests


.


700 00


ings depos-


847 87


$22,847 87


$22,847 87


TOWN OF MILFORD. BALANCE SHEET-SEPTEMBER 17, 1932. GENERAL ACCOUNTS.


ASSETS.


LIABILITIES AND RESERVES.


Cash:


In Banks and Office . .


.


$10,474 48


Advances for Petty Cash .


155 00


Special State Tax-Old Age Assistance . .


.


$10,629 48 Accounts Payable:


Unpaid Checks .


$55,351 94 ·


Refunds-Taxes 1927 .


49 69


Levy of 1926


$ 08


Levy of 1928 32 52


Levy of 1929


4,604 78


Levy of 1930


42,377 32


Levy of 1931


133,984 47


Library


5 00


Levy of 1932, Polls .


5,142 00


155 00


186,141 17 Tailings


50 30


Judgment-Taxes 1926


157 10 Surplus War Bonus Fund


3,293 99


Old Age Assistance Taxes:


Sale of Pearl Street Property


500 00


Levy of 1931


$ 535 00


Sales of Cemetery Lots and Graves Smith-Hughes Fund


.


.


408 00


Levy of 1932 .


2,703 00


202 02


3,238 00 Trust Fund Income:


Vernon Grove Cemetery


$122 03


Levy of 1929


602 27


North Purchase Street Cemetery .


17 35


Levy of 1930


1,817 06


139 38


Levy of 1931


2,706 53


264,848 35


Levy of 1932


4,271 38


769 10


Unapportioned Sewer Assessments,


$2,645 91


1914-1932 ,


.


$ 9,708 84


9,397 24 Overlays -Reserved for Abatements: Levy of 1929 Levy of 1930


·


3,569 65


.


Reserves for Petty Cash Advances:


Public Welfare


.


.


$ 50 00


49


.


.


.


.


.


.


.


.


.


.


.


.


.


.


.


Reserve Fund-Overlay Surplus . .


.


.


Temporary Loans: In Anticipation of Revenue 1932 .


.


$285,000 00 4,419 00


Accounts Receivable: Taxes:


.


55,401 63


. Schools 100 00


.


.


Motor Vehicle Excise Taxes:


.


Unexpended Appropriation Balances ·


1


GENERAL ACCOUNTS-CONTINUED.


Levy of 1931 .


$1,500 78


$7,716 34


Tax Titles


.


.


.


·


Departmental:


Town Hall


$ 60 00


Health


318 30


Highway


688 60


Public Welfare


6,290 35


Infirmary .


442 99


Mothers' Aid


10,207 82


Old Age Assistance


13,209 10


State Aid


490 00


Military Aid


357 50


School


6,025 36


Cemetery


283 50


State Aid to Highways · County Aid to Highways


.


.


.


.


Revenue 1932:


Appropriations


$617,507 23


Deduct:


Estimated Receipts Col- lected


. $60,825 81


Poll Commitment 1932 8,354 00


69,179 81


Loans Authorized-Main Street .


Overlay Deficits:


Levy of 1925


.


.


164 56 42 60


Levy of 1927


.


314 77


.


$1,204 40


$10,913 24 Revenue Reserved Until Collected:


15,867 61 Court Judgment ·


.


. Motor Vehicle Excise Tax 9,397 24


Sewer . Tax Title .


.


.


.


15,867 61


Departmental .


38,373 52


.


.


74,708 71 164,092 93


Surplus Revenue


.


·


·


·


·


11,168 72


13,160 61


·


·


.


.


.


.


548,327 42 8,000 00


· Levy of 1926 .


.


·


$ 157 10


10,913 24


·


.


38,373 52


50


Apportioned Sewer Assessments, 1910-1932


Levy of 1928


5,444 26


5,966 19


Overdrawn Account: Vernon Grove Cemetery .


364 45


$861,704 75


$861,704 75


DEFERRED REVENUE ACCOUNTS.


Apportioned Sewer Assessments Not Due .


$5,357 71| Sewer Assessment Revenue Due In:


1933


$647 94


1934


·


.


653 61


1935


654 90


1936


654 86


1937


574 41


1938


552 48


1939


552 44


1940


533 57


1941


533 50


$5,357 71


$5,357 71


DEBT ACCOUNTS.


Net Funded or Fixed Debt


$132,000 00|Sewer Loans .


$79,000 00


Highway Loans


41,000 00


School Loans . .


.


.


·


·


12,000 00


$132,000 00


$132,000 00


Trust Fund, Cash and Securities ·


TRUST ACCOUNTS. $24,534 92|Cemetery Perpetual Care Funds ·


$24,534 92


.


A true copy.


Attest: DENNIS J. SULLIVAN, Town Clerk.


51


·


.


.


Selectmen's Report.


What course is Milford going to pursue? Are we going to continue to pay out large sums of money for Welfare Re- lief and confine it absolutely to Welfare alone, or are we going to establish a well-defined l'ublic Works program and allow those needing assistance an opportunity to earn same and main- tain their self-respect, and give the Tax Payers something in return for their money ?


The last year has perhaps tried the Municipalities of our Com- mon wealth greater than any previous year of our time, in regards to meeting their obligations due to the great unemployment situation prevailing throughout our Nation. The sources from which our Towns and Cities have received their finances in the past in anticipation of their taxes, took the position that unless 90 per cent. of the taxes were collected they did not care to loan any money. Milford found itself to be one of those Towns that did not come within the requirements of the financial institu- tions, leaving us in rather a difficult position to obtain money. But as a result of a visit of your Board of Selectmen and your Town Treasurer, with State Treasurer Hurley, at the State House, within forty-eight hours of that time, Milford had bor- rowed $150,000, which broke the prevalent feeling that Milford was a bankrupt institution and immediately our Firemen, our School Teachers and our Police Department were receiving their back salaries and long outstanding bills were paid.




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