Town Annual Report of the Officers of the Town of Milford, Massachusetts 1939, Part 8

Author: Milford (Mass.)
Publication date: 1939
Publisher: The Town
Number of Pages: 434


USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1939 > Part 8


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


ARTICLE 4. The Finance Committee recommend that the sum of One Thousand Dollars ($1000.00) be appropriated from the appropriation Aid to Dependent Children of 1939 for use by the Board of Public Welfare for General Aid.


ARTICLE 5. The Finance Committee recommend that the sum of Five Hundred Dollars ($500.00) be appropri- ated from the appropriation for Aid to Dependent Children Administration Fund for use by the Board of Public Wel- fare for General Aid.


ARTICLE 6. The Finance Committee recommend that the sum of Fifteen Hundred Dollars ($1500.00) be appropriated from available funds in the Excess and Deficiency Account for use by the Board of Health (General Appropriation).


ARTICLE 7. The Finance Committee recommend that the sum of Two Hundred and Fifty Dollars ($250.00) be ap-


127


propriated from available funds in the Excess and Defi- ciency Account for use by the Board of Selectmen for the purpose of making necessary repairs to the Town Clock caused by the hurricane.


ARTICLE 8. On this article the Finance Committee have taken no action.


ARTICLE 9. The Finance Committee recommend that the sum of Twelve Hundred Dollars ($1200.00) be transferred from Wages and Salaries Account for use by the School Board for General Expense.


ARTICLE 10. The Finance Committee recommend that the sum of Two Thousand Dollars ($2000.00) be appropri- ated from available funds in the Excess and Deficiency Account to General in the School Department Budget for 1939.


Voted : To desolve the warrant at 9 P.M.


W. L. ADAMS, Chairman.


Article 1. Voted : To pass over the article.


Article 2. Voted: That the town appropriate from the appropriation of 1939 from Old Age Assistance for use by the Board of Public Welfare for General Aid, the sum of Five thousand dollars ($5,000.00).


Voted : To pass over the remainder of the article.


Article 3. Voted: That the town appropriate from the appropriation of 1939 from Old Age Administration, for use by the Board of Public Welfare for General Aid, the sum of One thousand dollars ($1,000.00).


Voted : To pass over remainder of article.


Article 4. Voted: That the town appropriate from the appropriation of 1939 from Aid to Dependent Children, for use by the Board of Public Welfare for General Aid, the sum of One thousand dollars ($1,000.00).


128


Voted : To pass over remainder of article.


Article 5. Voted: That the town appropriate from the appropriation of 1939 from Aid to Dependent Children Ad- ministration Fund. for use by the Board of Public Welfare for General Aid, the sum of Five hundred dollars ($500.00).


Voted : To pass over remainder of article.


Article 6. Voted : That the town vote to appropriate from available funds in the Excess and Deficiency Account the sum of Fifteen hundred dollars ($1500.00) for use by the Board of Health (General Appropriation ).


Voted : To pass over remainder of article.


Article 7. Voted : That the town vote to appropriate from available funds in the Excess and Deficiency Account the sum of Two hundred fifty ($250.00) dollars for the purpose of making necessary repairs to the Town Clock.


Voted : To pass over remainder of article.


Article 8. Voted: That the town vote to make and adopt a set of By-Laws for the appointment of Officers governing the use of Cedar Swamp Pond and premises adjacent thereto owned by the Town, and that said officers be authorized to make regulations for the management thereof, under the provisions of G. L. (Ter. Ed.) Chapter 40, Section 12, a copy of which is as follows :


COPY OF BY-LAWS UNDER ARTICLE 8 TOWN OF MILFORD MASSACHUSETTS


CEDAR SWAMP POND DEVELOPMENT COMMISSION SUPERVISION, RULES AND REGULATIONS


SUPERVISION


There shall be established a Board to be known as Cedar


129


Swamp Pond Development Commission. Said Board shall be composed of five citizens of the town to be appointed by the Board of Selectmen for a term of five years. In making the first appointment, one member shall be appointed for one year, one for two years, and one for three years, one for four years and one for five years, and thereafter the term of each succeeding member shall be five years.


Said Board may make regulations for the management of Cedar Swamp Pond, beaches, and land adjacent thereto owned by the Town and shall have all the powers conferred by General Laws, (Ter. Ed) Chapter 40, Section 12, (ac- cepted by the Town, Annual Town Meeting 1939) and shall serve without compensation.


General Rules


RULE 1. No person shall enter or leave Cedar Swamp Pond or the premises adjacent thereto owned by the Town except at beaches, at or over the paths, walks or other routes as may be provided or at such other places as the Commission may specially designate.


RULE 2. No person shall in or on Cedar Swamp Pond, or upon any of said land, solicit the acquaintance of, or annoy another person; or utter any profane, threatening, abusive or indecent language; or solicit any subscription or contribution ; or have possession of or drink any intoxicat- ing liquor; or have possession of any instrument of gamb- ling, or do any obscene or indecent act; or preach aloud, or make an oration or harangue, or any political or other canvass except by written authority from said Commission.


RULE 3. No person shall dig up, cut, break, remove, deface, defile or ill-use any building, structure, fence, sign, bush, plant, turf, rock, or any other thing belonging to the town of Milford or have possession of any part thereof.


RULE 4. No person shall throw any stone or any other missile or have possession of or discharge any destructive weapon, firearm, firecracker, torpedo or firework, or make a fire or throw or place upon the ground a lighted match, cigar, cigarette, or other burning substance; or post, paint,


130


or affix any sign, notice, placard or advertising device; or, except with written authority from said Commission engage in business, sell or expose for sale, or give away any goods, wares, or circulars; or set a trap or snare or injure or have possession of any wild animal or bird; or injure or destroy any bird's nest or eggs; or drop or place and suffer to remain any piece of paper or other refuse, except in the receptacles designated therefor.


RULE 5. No person shall throw or place in the water channel, in the Pond or on the beaches any waste paper, rubbish, refuse, debris or other thing.


RULE 6. No person shall ride or drive any animal or vehicle on said premises owned by the Town, or bring dogs to the Pond or said premises except on leash.


RULE 7. No person shall refuse or neglect to obey any reasonable direction of a police officer.


RULE 8. No person shall bathe in this Pond or Beaches except in proper costume and at a place designated there- for, and no persons may loiter on or near the bathing beaches. Exception is made as to loitering when parents or guardians accompany their children or other older per- sons come in charge of children.


: RULE 9. No person shall have charge of, row a boat, paddle a canoe, run or drive a boat or canoe, propelled by steam, naphtha, gasoline, electric or other motor or engine, except toys, unless he shall have first obtained a written permit therefor from the Commission; or drive the same at a speed exceeding eight miles an hour; or in such a manner as to endanger or annoy others.


RULE 10. Any person violating any of the above rules, shall for each offense, be punished by a fine of not more than twenty dollars.


ARTICLE 9. Voted: That the sum of Twelve Hundred Dollars ($1200.00) be transferred from the Item of Salaries and Wages to the Item of General, in the budget of the School Department.


131


VOTED : To pass over the remainder of the article.


ARTICLE 10. Voted: That the sum of Two Thousand Dollars ($2,000.00) be appropriated from the Excess and Deficiency Fund to the Item of General, in the budget of the School Department.


VOTED : To pass over the remainder of the article.


VOTED. To dissolve the warrant at 9 P.M.


A true record : Attest :


CATHERINE L. COYNE,


Town Clerk.


A true copy of the record : Attest :


CATHERINE L. COYNE,


Town Clerk.


132


Assessors' Report for 1939


To the Citizens of the Town of Milford, Massachusetts :


We, the Board of Assessors, respectfully submit our report for the year of 1939.


Town Appropriations in total


$732,911.06


Deficits in Overlay account


(1930 to 1938 inc.) 18,817.51


1939 Estimate $44,100.00


1938 Under- estimates $22,050.00


State Tax


State Auditing Tax


2,452.67


State Parks & Reserva- tions


832.74


50.39


$47,385.41


$22,100.39


69,485.80


County Tax


$24,528.47


13.04


Tuberculosis Hospital


17,910.47


42,438.94


13.04


42,451.98


Overlay of current year


13,343.25


Gross Amount to be raised


$877,009.60


Estimated Receipts and Available Funds


Income Tax


$47,310.84


Corporation Taxes


11,056.77


Motor Vehicle Excise


23,000.00


Licenses


19,682.70


Fines


252.45


Special Assessments


930.21


General Government


1,597.64


Protection of Persons & Property


299.67


Health and Sanitation


4,900.00


133


Highways 298.23


Charities (other than federal grants)


27,697.25


Old Age Assistant (other than federal grants)


40,000.00


Soldiers' Benefits


662.00


Schools


5,460.00


Libraries


337.58


Cemeteries (other than trust funds and sale of lots) 568.50


Interest on Taxes and Assessments


9,173.36


Veterans Exemptions


21.24


Chapter 504-1939 (Highway Dis- tribution)


23,862.38


Total Estimated Receipts $217,110.82


Appropriations voted by Town meeting to be taken from


available funds and approved 89,713.87


Total Estimated Receipts and Available Funds 306,824.69


Net Amount to be Raised by Taxation on Polls and Property


$570,184.91


Number of Poll Taxes (5255) at $2.00 $10,510.00


Total Valuation


On Personal Property $1,574,275.00 at $38.60 60,767.02


On Real Estate $12,925,075.00 at $38.60 498,907.90


Gain in Fractional Divisions .12


Total Taxes Levied on Polls & Property $570,185.04


Total Amount on All Taxes & Assess- ments on Polls and Property $570,185.04


Additional Commitments, including


December Levy : 4 Polls at $2.00 8.00


134


193.00


Personal Property Real Estate, none


Total of all taxes listed in Col- lector's book for 1939 Real Estate, Personal and Polls


$570,386.04


Excise Commitments for 1939


First Commitment


$16,314.42


Second Commitment


878.26


Third Commitment


692.61


Fourth Commitment


2,509.50


Fifth Commitment


386.67


Sixth Commitment


986.92


Seventh Commitment


604.82


Eighth Commitment


251.50


Ninth Commitment


255.85


Total


$22,880.55


Number of Persons, Partnerships and Corporations Assessed


Number on Personal


556


Number on Real Estate


2409


Number on Both Personal & Real Estate


180


Total Number of Persons Assessed


3145


Value of Assessed Stock in Trade


$252,650.00


Value of Assessed Machinery


1,043,050.00


Value of Assessed Live Stock


19,330.00


All other Tangible Personal Property


259,245.00


Total Value of Assessed Personal Estate $1,574,275.00


Value of Assessed Real Estate


Buildings, exclusive of land


$10,141,890.00


Land, exclusive of buildings 2,783,185.00


Total on Real Estate 12,925,075.00


135


Total on Personal Estate 1,574,275.00


Total Valuation of Assessed Estates as of January 1, 1939


$14,499,350.00


Tax for State, County, and Town, Including Overlays, as of January 1, 1939


On Personal Property


$60,767.05


On Real Estate 498,907.99


On Polls 10,510.00


Total Taxes Assessed $570,185.04


Number of Live Stock Assessed :


Number of Horses


26


Number of Cows


184


Number of Yearlings


1


Number of Swine


15


Number of Fowl


8105


Number of Dwelling Houses Assessed


4108


Number of acres of land assessed, 8,234 acres and 13,744 sq. ft.


Tax rate for Town $38.60 per Thousand.


Respectfully submitted,


WILLIAM F. CLANCY, JOHN F. MAHER, FREDERICK A. NEALON.


FINANCIAL REPORT OF ASSESSORS DEPARTMENT


FOR 1939


General Appropriation Plus additional from Finance Committee


$4,250.00


228.30


Total


$4,478.30


136


Expenditures


Cahill's News Agency


$4.80


Clarke Printing Co.


11.25


Expenses to Assessors' Convention


4.60


Hobbs & Warren


176.26


Higgiston, John E.


10.00


Liberty Typewriter Co.


6.50


Murray, William A. (Reimburse-


ment Archer Rubber)


10.00


New England Tel. & Tel. Co.


90.80


Office Assistance


608.72


Transportation


22.00


Worcester Abstract Co.


110.61


$1,055.54


Payroll


William F. Clancy


$987.14


John F. Maher


1,307.48


Frederick A. Nealon


1,115.28


$3,409.90


Total Expenses


$4,465.44


Total Appropriations


$4,478.30


Total Expenses


4,465.44


Unexpended Balance $12.86


Respectfully submitted, WILLIAM F. CLANCY, JOHN F. MAHER, FREDERICK A. NEALON.


137


Report of Sewerage Commission


To the Citizens of Milford :


We respectfully submit the following report for the year ending December 31, 1939 and as previously established all details of income and expense, covered by reports of other Town departments, are not herein repeated.


Extensions to the system have been made in Cedar Street and West Central Street to serve properties requiring sewerage and work is now being carried on in Water Street, West and Freedom Streets all as W.P.A. prejects and assessment warrants have been prepared for properties abutting completed sewers.


The usual maintenance work has been carried on through- out the system during the year and at the treatment plant resanding of the sludge bed surface has been completed. The total number of connections to the system is now 1903 and the length of main and lateral sewers totals 25.9 miles.


ERNEST E. O'BRIEN,


FRED. L. ROBERTI, ALFRED F. MARTIN,


Sewer Commissioners.


FINANCIAL REPORT


Milford, Mass., January 5, 1940.


Appropriation


$7,314.17


Alfred F. Martin, Superintendent


$1,560.00


Labor


2,496.00


Total Commissioners Salaries


650.00


Clerks Salary


200.00


H. M. Curtiss Coal Co., Lime


104.77


New England Telephone Co.


52.20


Milford Electric Light and Power Co.


848.46


138


H. S. Chadbourne, Materials


4.99


Fred L. Roberti, Labor and Materials


120.44


F. A. Gould, Materials


70.05


Milford Water Co.


26.53


Nelson Auto Service


20.34


Waldo Bros., Materials


3.76


G. A. Phillips, Rent of Land


10.00


Pearson's Garage, Repairs, Gasoline Pump


4.00


Milford Products Custom, Retreading


1.67


Milford Daily News


9.00


Wm. H. Casey, Tools


1.85


Huff Machine Works, Repair Work


7.95


John L. Moschilli, Stationery and postage


3.00


Town Hall Service Station, Gasoline


1.50


L. Jaques & Sons, Materials


4.39


T. E. Morse, Paint


3.75


Justin A. McCarthy Co., Hose


67.66


Gilbert, Howe, Gleason Co., Materials


1.94


Andrew Bozzini, Labor


96.00


Varney Bros., Trucking, Sand


87.00


Rosenfeld Sand & Gravel Co., Sand


75.00


Davoren's Express, Carting Sludge


5.00


Philip Bodio, Trucking


468.76


Fuller & Wilson Express


1.00


Robert Costa Co., Repair Work on Sewers


154.12


John Begian, Taxi


51.75


Hub Wire Cloth and Wire Work Co., Copper Screening


47.75


Albert Glenn, Taxi


39.50


Total $7,300.13


ERNEST E. O'BRIEN, FRED L. ROBERTI, ALFRED F. MARTIN, .


Sewer Commissioners.


139


Report of the Highway Surveyor


To the Voters of the Town of Milford :


I hereby submit my report as Highway Surveyor of the Town of Milford for the year 1939.


The elimination of funds allotted the Town by the State and County for Chapter 90 Construction was a severe handicap to the finances of the Highway Department this past year.


For the past several years my General Appropriation has been at a minimum and I have been dependent on Chapter 90 funds to aid the general payroll during a portion of the year.


The fact that this year, weather conditions have been most favorable and as we did not have the usual severe electrical storms or spring and fall flood conditions to contend with, I was able to carry on without requesting additional funds at one of the Special Town Meetings.


As it does not appear that there will be State or County Funds for Chapter 90 Construction during 1940, I feel that additional money should be appropriated that the personal and equipment of the department may be engaged to make necessary repairs or rebuild some of our town streets.


Resurfacing Streets :


It is very important that a sizeable sum be appropriated for this purpose each year to retain a good surface on our macadam and secondary streets, also sufficient funds to make possible the application of a binder on some of our gravel roads each year, which would result in the elimina- tion of numerous washouts and improve travel and snow plowing conditions on same.


Chapter 90 Construction :


The 1939 Purchase Street Chapter 90 project was com-


140


pleted this spring from North Purchase Cemetery Road to Branch Street, a distance of 6,000 feet with Type I Bitu- minous concrete surface 20 feet in width.


Snow & Ice Removal :


Preparedness is especially important in snow removal and ice control because snow and ice come without much warn- ing, creating traffic conditions that must be cared for promptly . Adequate equipment and organization are neces- sary. I have not sufficient equipment with which to plow sidewalks. At present we have but one tractor sidewalk plow that under good plowing conditions can only cover from three and one-half to four miles per hour and as there are over fifty miles of walks that should be plowed, fifteen miles of which we try to keep open during a storm, it is plain to see why in heavy snows it is one or two days fol- lowing a storm before the plow arrives in some sections of the town. I recommend that funds should be appropriated to purchase two additional tractors and plows as soon as pos- sible.


A Barber-Greene power snow loader has been added to our equipment and it has proved satisfactory both in speeding up the removal of snow as well as reducing the cost.


In conclusion, I wish to thank the Board of Selectmen, Finance Committee, Town Accountant, Police Department and all Town departments for their cooperation, also all the citizens of Milford for their patience and good will during the past year.


Respectfully submitted, EDWARD C. BEAULAC.


HIGHWAY DEPARTMENT


General


Appropriation


$20,000.00


Payroll


$11,577.96


Antolini, A. S.


1.50


American Oil Products Co.


48.37


Bixby, Frank A.


30.65


141


Blake, Geo. F. Co.


52.41


Beaulac, E. C. Salary


2,000.00


Bright, Karl


15.53


Bigelow Waste Co.


12.32


Butler, David


4.00


Barber-Greene Co.


816.00


Bradley, James


1.00


Clancey, Benjamin


63.21


Casey, P. Eugene Co.


98.31


Chadbourne, H. S. Co.


1.34


Curtiss, H. M. Coal Co.


332.17


Costa, Robert


309.93


Cahill's News Agency


8.59


Casey, William H.


17.86


Clarke Printing Co.


3.25


Corbett Concrete Pipe Co.


88.90


Coleman & Co.


12.21


Calzone's Garage


16.10


Curran's Express


1.35


Cattani Oil Co.


33.75


Dyar Sales & Machinery Co.


294.40


Espanet, Charles


6.25


East End Garage


52.98


Gardella, J. H.


5.50


Gould, Fred A.


89.11


Greene, E.


1.40


Haynes Welding Co.


4.00


Johnson Bros, Transportation Co.


.65


Knowles Chevrolet Co.


15.91


Lawless, Annie Store


.95


Mann, J. E. & Son


25.28


Milford Electric Light Co.


74.96


Milford Gas Light Co.


1.60


Milford Auto Body Co.


19.55


Milford Water Co.


20.73


Milford Grain Co.


250.85


Milford Daily News


16.89


Milford Supply Co.


1.25


Massachusetts Broken Stone Co.


227.75


McElroy, J. Master


52.00


Mack Motor Truck Co.


2.17


142


Nelson Auto Service


202.92


New Eng. Tel. & Tel. Co.


164.92


O'Brien's Oil Service


16.05


O'Brien's Garage


3.10


O'Connell & O'Connell


45.18


Perkins, P. I. Co.


25.22


Philbin, Robert


49.40


Rose, E. O. & Son


48.46


Rose, E. O.


8.80


Rosenfeld's Garage


300.68


Rosenfeld Washed Sand & Stone Co.


946.34


Railway Express Agency


1.28


Robert, Fred L.


1.98


Ryan Motor Sales


3.00


Seaver's Express


4.35


Standard Oil Co. of N. Y.


637.86


Stone Furniture Co.


6.95


Smith, Wonderful Shoeman


14.94


Trimount Bituminous Products Co.


389.33


Taylor, L.


35.00


Varney Bros. Trucking Co.


233.48


Vitalini, B.


51.00


Wood, B. C.


5.85


Total Expenditures


$19,906.98


Balance


$93.02


Snow and Ice Removal


Appropriation


$15,000.00


Payroll


$5,828.59


Barber-Greene Co.


2,226.69


Blake, Geo. F., Inc.


1.60


Bradley, J.


12.00


Bellofatto, A.


19.38


Byron, J.


4.38


Costa, A.


469.25


Curran's Express, Inc.


272.25


Consigli, J. J.


39.69


Cenedella, S.


8.75


143


Consigli, Peter


8.75


Clarridge, A. P.


6.25


Casey, William H.


5.70


Curley's Restaurant


1.40


DePasquale, Joseph


21.88


Dyar Sales & Machinery Co.


373.95


Davoren, A.


67.15


Davis, H. S. Tractor Co.


193.36


Fitzpatrick's Express


20.63


Fuller & Wilson Express Co.


138.25


Globe Fruit Co.


12.50


Haynes Welding Co.


29.75


Johnson, J.


126.50


Johnson Bros. Transportation


.52


Knowles Chevrolet Co., Inc.


1.40


Lombardi's Socony Station


1.75


Morse, Charles G.


28.76


Melvin, William


19.38


Moore, Thomas


3.13


M. F. & U. Coach Co.


1.82


Nelson Auto Service


74.42


Niro, Alphonse


13.75


O'Brien, J. Harold


18.38


Rosenfeld Washed Sand & Stone Co.


1,982.26


Ruggiero, Joseph


18.13


Rosenfeld's Garage


165.90


Rose, E. O. & Son


8.64


Railway Express Agency


8.61


Seaver's Express


334.48


Sabatinelli, Guido


21.25


Shaughnessy, Harold


9.38


Shaughnessy, William


33.13


Servidore, Secondo


34.39


Speroni, Emilio


20.63


Standard Oil Co. of N. Y.


241.84


Servidore, B.


12.50


Taylor, L.


218.75


Tassone, A.


8.13


Tassone, F.


12.50


Taylor, H.


15.00


Tessicini, F.


5.63


.


144


Varney Bros. Trucking Co.


1,428.36


Volpe, Vincenzo 20.63


Ward's Express


145.75


Worcester Chemical Distributing Corp.


160.00


Williams, Paul Agency


54.15


Total Expenditures $15,000.00


Snow Removal Unpaid Bills, 1938


Appropriation


$2,694.42


Bodio, F.


11.25


Bordighi, R.


21.25


Clarridge, A.


21.25.


Costa, R.


189.00


Curran's Express


115.50


Consigli, J. J.


13.75


Cenedella, S.


20.63


Consigli, P.


21.88


Centorino, S.


8.75


Davoren, A.


35.00


DePasquale, J.


16.25


DeEsso, S.


7.50


Fuller & Wilson


123.63


Fitzpatrick Express


15.00


Globe Fruit Co.


13.75


Haynes Welding Co.


6.56


Johnson, J.


12.00


Marzetta, H.


21.25


Micelotti, F.


22.50


Melvin, Wm.


20.00


Niro, A.


30.00


O'Brien, H.


32.50


Ruggiero, R.


24.38


Rosenfeld Washed Sand & Stone


806.25


Ruggiero, T.


11.25


Ruggiero, J.


6.25


Seaver's Express


93.50


Speroni, E.


24.38


Sabatinelli, G.


31.26


145


Servidori, S.


19.38


Smith, E.


6.88


Shaughnessy, H.


11.25


Taylor, A.


76.25


Tedeschi, F.


22.50


Tassone, A.


31.26


Varney Bros. Trucking Co.


680.42


Volpe, J.


22.50


Ward's Express


27.50


Total Expenditures


$2,694.42


New Equipment and Repairs


$1,000.00


Calzone's Garage


65.05


Dyar Sales & Machinery Co.


65.25


Green, Ernest S.


3.00


Knowles Chevrolet, Inc.


4.60


Mack Motor Truck Co.


38.15


Milford Auto Body Co.


34.00


Milford Motor Sales, Inc.


29.35


Rosenfeld's Garage


187.95


Ryan Motor Sales


472.00


Standard Auto Gear Co.


9.89


Steward, C. & Sons, Inc.


90.00


Total Expenditures


$999.24


Balance


$.76


Oiling of Streets


Appropriation


$4,500.00


Payroll


706.96


Rosenfeld Washed Sand & Stone Co.


1,184.10


Trimount Bituminous Products Co.


2,293.78


Varney Bros Trucking Co.


315.16


Total Expenditures


$4,500.00


Appropriation


146


Purchase Street Construction Chap. 90, 1938


Amount Forwarded from 1938 State & County


$2,267.78


13,726.95


$16,994.73


Payroll


2,483.71


Blake, Geo. F., Inc.


25.08


Blanchard Bros. Granite Co.


31.50


Calzone's Garage


1.90


Casey, William H.


6.07


Corbett Concrete Pipe Co.


1,753.90


Curtiss, H. M., Coal


71.71


Gould, F. A.


18.63


Haynes Welding Co.


4.00


Mass. Broken Stone Co.


8,852.49


Mass. State Prison


406.35


McElroy, Joseph M., Master


9.50


Milford Grain Co.


10.55


New England Bolt Co.


107.27


New Eng. Tel. & Tel. Co.


30.92


Nelson Auto Service


.75


Rose, Elmer O.


2.50


Rose, E. O. & Son


2.82


Rosenfeld's Garage


17.40


Rubenstein Bros.


51.00


Rosenfeld Washed Sand & Stone Co.


1,567.98


Seaver's Express


.50


Standard Auto Gear


.50


Standard Oil Co. of N. Y.


121.80


Varney Bros. Trucking Co.


1,415.90


Total Expenditures $16,994.73


6


Chapter 90 Maintenance


Appropriation


$800.00


State and County


1,598.06


$2,398.06


Payroll 1,164.26 County of Worcester 33.75


147


Gould, F. A. 3.95


Milford Road Machinery Account


412.70


New England Bolt Co.


21.88


Rosenfeld Washed Sand & Stone Co.


333.03


State Prison Colony


34.50


Varney Bros. Trucking Co.


64.00


Total Expenditures


$2,397.08


Balance


$.98


Maintenance and Care of Town Improvements C.W.A., E.R.A. and W.P.A.


Appropriation


$500.00


Payroll


348.25


Corbett Concrete Pipe Co.


113.10


Gould, F. A.


4.50


Milford Grain Co.


17.96


Recchiuto, L. A.


1.10


Rosenfeld Washed Sand & Stone Co.


14.65


Total Expenditures


$499.56


Balance


$.44


Repairs to Sidewalks


Appropriation


$500.00


Payroll


103.48


Costa, Robert


123.75


Milford Grain Co.


12.40


Rosenfeld Washed Sand & Stone Co.


222.55


Varney Bros. Trucking Co.


36.28


Total Expenditures


$498.46


Balance


$1.54


148


Chapter 500, Acts of 1938


Balance brought forward from 1938


$9,863.48


Corbett Concrete Pipe Co.


1,159.85


Costa, Robert 2,420.32


Curtiss Coal, H. M.


104.64


Fuller & Wilson Express Co.


6.45


King, Edward M.


399.50


Milford Water Co.


1.20


Rosenfeld Washed Sand & Stone Co.


68.73


Stone, Ray D.


5.00


State Prison


147.00


The Milford Daily News


5.63


Trimount Bituminous Products Co.


27.00


Varney Bros. Trucking Co.


9.74


Adjustment made at Town Meeting


5,508.42


Total Expenditures $9,863.48


149


Report of Sealer of Weights and Measures


Milford, January 9, 1940.


To the Honorable Board of Selectmen :


Gentlemen :


I herewith submit the report of the sealer of weights and measures for the year ending December 31, 1939.


Mr. O'Brien having been retired in August, I was ap- pointed as temporary sealer of weights and measures, in which capacity I completed the work for the remainder of the year.




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.