USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1943 > Part 2
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TOWN CLERK'S
Expenses
Appropriation
$175.00
Transfer
142.20
$317.20
Expenditures
Herbert K. Bartlett
$3.00
Cahill's News
2.25
Clarke Printing Co.
26.00
B. J. Clancey
7.50
Arthur E. Evans ·
1.00
John E. Higgiston, P. M.
11.00
Libert Typewriter Co.
4.00
McArdle, H. B.
3.00
Milford Daily News
22.55
Edmund A. Nolting
5.50
Robinson Seal Co.
206.92
M. D. Stetson Co.
4.75
Leon Zocchi
1.10
Balance
18.63
$317.20
Salary and Wages
Appropriation
$1,433.00
Expenditures
Catherine L. Coyne $1,433.00
24
SELECTMEN'S
Salary Appropriation Transfer Transfer
$1,325.00
109.24
56.00
$1,490.24
Expenditures
Patrick Carroll
$275.00
John H. Henderson
275.00
Adam F. Diorio
275.00
Catherine L. Coyne, Clerk
500.00
Guido Sabatinelli
61.24
John Bowen
26.00
Edward Blain
35.00
Ruth Appleton
25.00
Miriam Ray
8.00
Balance
10.00
$1,490.24 $350.00
Expense Appropriation
Expenditures
Cahill's News Agency
$10.01
Clarke Printing Co.
13.75
Mary M. Daniher, Sec'y. Selec. Assoc.
9.00
John E. Higgiston, P. M.
55.00
Hobbs & Warren, Inc.
4.17
Johnson Office Supply Co.
25.90
Milford Daily News
33.25
Milford Locksmith
2.75
New England Tel. & Tel. Co.
54.85
Burroughs Adding Machine Co.
3.60
Balance
137.72
MILFORD RATIONING BOARD
Appropriated
$1,700.00
Forward
133.00
Transfer
600.00
$350.00
$2,433.00
25
Expenditures
Adams & Young
$54.00
American Window Cleaning Co.
2.00
Berardi Loan Co.
120.00
Donald Bowen
40.00
C. D. Burnett
27.00
Cahill's News Agency
391.98
Charlescraft Press
4.85
Chester Clark
36.00
Clark Printing Co.
115.50
Central Wall Paper
48.00
Edward Dillon
3.20
Francis J. Drugan
22.00
Henry J. Dwyer Co.
5.00
John E. Erickson
86.66
E. F. Fecteau
30.40
Frost Stamp Works
2.90
Fuller & Wilson's Express
6.91
Alfred Henderson
247.50
Mrs. C. Hobart
15.00
H. S. Horne Co.
104.59
Leonard N. Jaques & Sons
1.25
James E. Keffer
75.00
Milford Elec. Light & Power Co.
84.82
Milford Hardware, Inc.
6.53
Milford Locksmith
26.00
Milford Police Dept.
22.50
Miscoe Spring Water Co.
13.25
New England Tel. & Tel. Co.
224.38
Mildred O'Brien
24.00
Home National Bank
30.00
Louise Shidloski
390.00
Shaw & Walker
3.60
Werber & Rose, Inc.
7.95
Petty Cash
10.00
Rubenstein Co.
84.40
Balance
65.83
$2,433.00
26
CIVILIAN DEFENSE
Appropriation
$9,946.30
Expenditures
American Fire Equipment Company
$463.80
Ethel Bagley
100.00
Barney Coal Co.
50.92
Maria J. Beccia
20.00
Bowker Clothing Co.
616.00
Arthur P. Clarridge
40.12
Catherine L. Coyne, Reimbursement
3.34
H. M. Curtiss Coal Co.
37.82
The Dartnell Corporation
2.00
Oliver Frieswick
326.50
Charles Goucher
285.00
M. Hoffman & Co.
9.09
Milford Daily News
14.00
Modell's
5.50
W. Emil Moore, Reimbursement
32.00
T. E. Morse Co.
14.35
New England Tel. & Tel. Co.
461.10
Niro & Niro Co.
1.00
Robbins Co.
10.20
Seavers's Express
1.53
Irma P. Whitney
1.56
Balance
7,450.47
$9,946.30
ELECTIONS, REGISTRATIONS AND TOWN MEETINGS
Salary appropriation
$3,277.35
Transfers
320.00
$3,597.35
Expenditures
$330.00
John Best George W. Billings
330.00
Catherine L. Coyne
350.00
1
27
W. Emil Moore
330.00
Gladys Halliwell
105.00
Madeline Slattery
109.00
Anna Porter
50.30
Almer Maher
48.30
Louis A. Marino
87.75
Susan Davoren
44.20
Lena Doyle
28.55
Catherine Curtin
65.05
Charles Mullane
65.25
Theresa Kellett
45.55
Ruby Richardson
42.65
Janice Seastrom
48:70
Alice Bocaccino
20.60
Election Officials
1,326.50
Police-services
65.23
Erection of Booths
76.20
Janitors
25.00
Balance
3.52
$3,597.35
Expenses -- appropriation
$1,045.00
Transferred
80.00
$1,125.00
Expenditures
Cahill's News Agency
$8.76
Charlescraft Press
176.50
Clark Printing Co.
328.50
Catherine L. Coyne-reimbursement
2.56
Davoren's Express
16.50
Joseph DePasquale
168:75
John H. Higgiston, P. M.
12.00
Johnson Office Supply
6.15
Kee Lox
3.50
Manifold Supplies Co.
3.50
Marchegiano Club
30.00
H. B. McArdle
26.30
Milford Daily News
69.88
John J. Moloney
18.00
New England Tel. & Tel. Co.
30.39
Niro & Niro
60.00
28
George T. Pascoe Co.
8.91
Ted's Diner
5.10
Curley's Lunch
10.65
Robinson Seal Co.
130.00
Ruhan Signs
2.50
R. Dexter Tolman
6.25
Balance
.30
$1,125.00
MILITARY AID
Appropriation
$125.00
Expenditures
Sundry persons
$50.00
Balance
75.00
$125.00
STATE AID
Appropriation
$300.00
Expenditures
Sundry persons
$40.00
Balance
260.00
$300.00
WAR ALLOWANCE II
Appropriation
$7,500.00
Expenditures
Sundry persons
$4,296.60
Cancelled Checks
65.00
Medications and Physicians
599.40
Rent
129.00
Fuel
263.91
Stores
164.35
Clothing
16.10
City of Worcester
12.00
Hospital Care
941.75
Balance
1,011.89
$7,500.00
29
SOLDIERS' RELIEF
Salary Appropriation $286.00
Expenditures
Guido Sabatinelli
$286.00
Expense Appropriation
$10,719.00
Transfer
1,000.00
$11,719.00
Expenditures
Sundry persons
$7,366.40
Cancelled checks
48.00
Fuel
562.60
Stores
69.42
Rent
742.00
Medications and Physicians
812.29
Care of Children and Clinic
1,359.59
Burial, Agents etc.
205.05
Balance
553.65
$11,719.00
REPAIRS TO TOWN HALL FOUNDATION
Appropriation
$500.00
Expenditures
Guido Sabatinelli
$485.00
Balance
15.00
$500.00
BLANKET INSURANCE
Appropriation
$4,900.00
Expenditures
Boston Insurance Co.
$4,491.72
P. Eugene Casey
360.06
Balance
48.22
$4,900.00
30
WORKMEN'S COMPENSATION and PUBLIC LIABILITY .
Appropriation
Transferred
$2,000.00 445.19
$2,445.19
Expenditures
Joseph Morcone
$2,445.19
INSTALLING STREET SIGNS
Appropriation
$200.00
Expenditures
None
$200.00
REPAIRING STREET SIGNS
Appropriation
$25.00
Expenditures
Paul Ruhan
$10.00
Balance
15.00
$25.00
CLARK HEIRS - FLOWAGE RIGHTS
Appropriation
$69.00
Expenditures
Clark Heirs
$69.00
WORCESTER COUNTY T. B. ASSESSMENT
Appropriation
$10,086.23
31
Expenditures
County Treasurer $10,086.23
WORCESTER COUNTY T. B. CONSTRUCTION
Appropriation
$7,756.61
Expenditures
County Treasurer
$7,756.61
TOWN REPORTS
Appropriation
$1,958.64
Expenditures
Charlescraft Press
$1,958.64
ANNUITY for LILLIAN A. SONNE
Appropriation
$1,000.00
1
Expenditures
Lillian A. Sonne
$1,000.00
CLERK HIRE - TOWN CLERK'S
Appropriation
$780.00
Expenditures
Katherine Cullinan
$780.00
CARE OF TOWN HALL CLOCK
$100.00
Appropriation
Expenditures $100.00
James E. Till
32
Report of the Highway Surveyor
Herewith I submit my report as Highway Surveyor for the year ending December 31, 1943.
Wartime restrictions, shortage of labor and essential materials, difficulty in obtaining new equipment and often delays in obtaining necessary repair parts for exist- ing equipment, have made it rather difficult to operate and maintain good highways and walks.
Streets and drainage systems have been kept fairly · clean, and all essential services have been maintained as close to regular peacetime schedules as possible.
Several Salvage drives have been conducted during the past year, and the Salvage Committee have had the use of the Highway Department trucks and personnel to assist them during the year.
However all work accomplished and services ren- dered has been made possible only due to the loyalty of the personnel of the department to remain on their job, rather than leave for other work where much higher wages could have easily been obtained. These men have given several weekends to operate or work on the trucks to collect salvage and have received no compensation for same.
I wish to thank the employees of the department for their loyalty, and am grateful to the townspeople and all Town officials and departments for their cooperation and goodwill during the past year.
Respectfully submitted,
J. FRANK CAHILL,
Highway Surveyor.
33
HIGHWAY DEPARTMENT
General
Appropriation
$8,500.00
Expenditures:
American Oil Co.
$791.77
Associated Transport Co.
.71
Anderson Engineering Co.
11.00
American Fire Equipment Co.
7.67
Axtell, Warren J.
60.00
Aubuchon, W. E.
6.97
Archer-Rubber Co.
83.88
Barney Coal Co.
40.23
Blake, Geo. F.
64.22
Bradbury-Locke Co.
74.27
Bicknell Manufacturing Co.
81.65
Barber-Greene Co.
59.19
Bright, Karl A.
42.40
Clancey, B. J.
80.50
Clarke Printing Co.
42.25
Casey, Wm. H. Store
227.25
Costa, Robert Co.
322.36
Cahill's News Agency
18.60
Curtiss, H. M. Coal Co.
150.27
Clark, Chester R.
31.00
Curran's Express, Inc.
129.43
Corbett Concrete Pipe Co.
29.40
Carpenter Manufacturing Co.
17.82
Duro-Test Co.
19.01
Dyar Sales & Machinery Corp.
396.08
Dow, Elmer O.
128.20
Davis, H. F. Tractor Co.
3.00
DiPietro, Dominic
68.50
Davoren, Austin
7.20
DeLuxe Filter & Piston Co.
45.01
Eastman & Corbett Co.
5.85
Framingham Supply Co.
30.00
34
Files, R. L. & H. J. O'Keefe Co.
140.78
Gould, F. A.
42.03
Glenwood Range Co.
59.19
Gardella's Pharmacy
35.65
Guerriere, A.
7.00
Home Laundry Co.
1.18
Hickey, J. F. Insurance Co.
31.80
Joe's Auto Body Shop
129.65
Jacques, Leonard N. & Sons
55.89
Johnson Bros. Transportation Co.
1.10
Lyman, J. R.
17.50
Milford Auto Body Co.
58.03
Milford Water Co.
28.18
Milford Elec. Light & Power Co.
133.35
Mann, F. E. & Son
21.59
Morse, T. E.
7.15
Milford Hardware Co.
6.00
Maher, J. F. & Co.
28.30
Milford Grain Co.
93.40
Middlesex House of Correction
87.84
Milford Daily News
44.63
Milford Locksmith
3.25
Mack-Motor Truck Co.
40.56
Milford Auto Parts
12.76
Nelson Motor Co.
5.35
New England Tel. & Tel. Co.
119.80
New York Central R. R. Co.
4.05
N.Y., N.H. & H. R.R. Co.
.90
Niro & Niro Co.
12.80
O'Brien's Oil Service
208.13
Prescott, Everett J.
39.60
Rosenfeld's Garage
333.90
Roberti, F. L.
8.75
Rose, E. O. & Son
74.87
Ray's Auto Repair
405.94
Reformatory for Women
8.37
Ryan Motor Sales
50.90
.
1
35
Rosenfeld's Washed Sand & Stone
1,527.10
Railway Express Agency
2.59
Standard Auto Gear
94.24
State Prison Colony
23.25
State Prison
195.36
Seaver's Express
6.41
South Main St. Garage
12.25
Town Hall Service Station
91.24
Traffic & Road Equipment Co.
138.00
Trubilt Truck Body Co.
213.25
Trimount Bituminous Products Co.
58.65
Taylor, Albert
25.00
Vitalini, B.
78.60
Varney Bros. Sand & Gravel Co.
295.97
Worcester Chemical Distributors Corporation
105.00
Zocchi, Leon & Co.
196.28
Total Expenditures
$8,499.05
Balance
.95
HIGHWAY-SALARIES and WAGES
Appropriation
$23,500.00
Expenditures:
Cahill, J. Frank, Highway Surveyor $2,400.00
Labor
20,595.00
Total Salaries and Wages
22,995.18
Balance
504.82
SNOW REMOVAL
Appropriation
$17,500.00 1
Expenditures:
American Oil Co.
$403.61
Abretti, Richard
94.00
Barney Coal Co.
2.08
36
Blake, George L., Inc.
5.23
Barber-Green Co.
108.64
Bixby, Frank A.
24.90
Costa, Robert Co.
252.00
Curran's Express
361.50
Consigli, Peter
43.50
Casey, P. Eugene Co.
41.54
Curtiss, H. M. Coal Co.
73.64
Davoren, Austin
6.00
Dow, Elmer O.
75.00
Dyar Sales & Machinery Co.
39.90
Davis, H. F. Tractor Co.
264.33
Fitzpatrick's Express
36.00
Files, R. L. & H. J. O'Keefe
211.17
Hickey, J. F. Insurance
31.80
Molinari, J.
171.50
Milford Grain Co.
167.50
Mack Motor Truck Co. .
37.63
Milford Welding Service
4.45
Niro & Niro Co.
51.98
Perkins, P. E. Co.
6.71
Rosenfeld's Washed Sand
2,409.79
Rosenfeld's Garage
189.80
Rose, E. O. & Son
57.00
Ray's Auto Repair
61.50
Ryan Motor Sales
30.95
Seaver's Express
22.55
Shaughnessy, Willard
30.00
Shaughnessy, Harold
51.00
Sabatinelli, Guido
18.00
Standard Auto Gear
8.29
Taylor, Albert
237.50
Town Hall Service Station
19.00
Ward, Frank
231.00
Worcester Chemical Distributor
Corporation
586.25
Varney Bros.
2,386.56
37
Vitalini, B.
26.20
Zocchi, Leon Co.
3.25
Payroll
6,013.01
Total Expenditures
$14,896.26
Balance
$2,603.74
RESURFACING STREETS
Appropriation
$9,500.00
Expenditures:
American Oil Co.
$418.40
O'Brien's Oil Service
10.40
Rosenfeld's Washed Sand & Stone
359.21
Trimount Bituminous Products
3,135.01
Varney Bros. Sand & Gravel
5,575.96
Total Expenditures 9,498.98
Balance
1.02
MAINTENANCE and CARE OF TOWN IMPROVEMENTS
Appropriation
$1,000.00
Expenditures:
Corbett, Concrete Pipe Co.
$73.92
Costa, Robert
782.03
Niro, Alphonse
51.30
State Prison
83.16
Varney Bros. Sand & Gravel Co.
9.38
Total Expenditures
999.79
Balance .21
BITUMINOUS SURFACE - CENTRAL STREET
Appropriation
$870.00
Expenditures:
Rosenfeld's Washed Sand & Stone $392.63
38
Trimount Bituminous Prod. Co.
437.60
Varney Bros. Sand & Gravel Co. 37.21
Total Expenditures
867.44
Balance 2.56
SURFACE DRAINAGE - SHORT STREET
Appropriation
$1,150.00
Expenditures:
Corbett Concrete
$424.79
Costa, Robert Co.
24.00
Curtiss, H. M. Coal Co.
15.00
Eastman & Corbett, Inc.
14.85
Milford Grain Co.
14.00
Niro, Alphonse
24.00
O'Brien's Oil Service
4.70
Rosenfeld's Washed Sand & Stone
2.00
State Prison
141.28
Varney Bros. Sand & Gravel Co.
85.93
Total Expenditures 750.55
Balance
399.45
REPAIRS TO SIDEWALKS
Appropriation
$1,000.00
Expenditures:
Costa, Robert Co.
$537.09
Niro, Alphonse
18.60
Sabatinelli, G. Construction Co.
25.00
Rosenfeld's Washed Sand
142.35
Varney Bros. Sand & Gravel Co.
276.57
Total Expenditures
999.61
Balance
.39
39
COMPLETION OF FOREST STREET SIDEWALK
Appropriation
$500.00
Expenditures:
Costa, Robert Co.
$214.50
Rosenfeld's Washed Sand
282.80
Total Expenditures 497.30
Balance 2.70
CHAPTER 90 MAINTENANCE
Appropriation
$800.00
State & County
1,600.00
Total Appropriation
$2,400.00
Expenditures:
Payroll
$1,291.64
Rosenfeld's Washed Sand
293.46
Road Machinery Fund
235.80
Trimount Bituminous. Prod. Co.
566.49
Total Expenditures
2,387.39
Balance 12.61
40
Assessors' Report for 1943
To the Honorable Board of Selectmen, and citizens of the Town of Milford, Mass.
We, the Board of Assessors, respectfully submit our report for the year 1943.
Town Appropriations in total $727,156.62
Deficits in Overlay Account (1936-1941 inc.) 13,412.32
Total
$740,568.94
1943 Estimates
State Tax
$13,000.00
State Parks and Reservations 441.11
State Auditing Tax 1,251.03
Examination of Retirement System 277.94
14,970.08
1942 Underestimate for Hospital and
Home Care for Civil War Veterans 20.00
14,990.08
County Tax
20,937.47
Tuberculosis Hospital
17,842.84
38,780.31
Overlay of Current year
19,984.82
Gross Amount to be raised
$814,324.15
Estimated Receipts and Available Funds
Income Tax
54,215.61
Corporation Taxes
26,385.27
Motor Vehicle Excise
14,961.12
Licenses
21,000.00
Fines 200.00
Special Assessments
1,500.00
41
General Government 1,650.00
Protection of Persons and Property 167.00
Health and Sanitation 2,418.23
Charities (other than Federal Grants) 25,500.00 Old Age Assistance (other than Federal Grants 39,000.00
Old Age Tax (Meals, etc.) Chap. 64B
2,099.91
Soldiers Benefits
321.50
Schools
5,471.78
Libraries 238.68
Cemeteries (other than Trust Funds and sale of lots) 724.50
Interest on taxes and Assessments 3,407.83
Total Estimated Receipts $199,261.43
Total Amounts to be taken from Available Funds with approval 45,615.32
Total Estimated Receipts and Available funds 244,876.75
Net Amount to be raised by Taxation on Polls and Property 569,447.40
No. of Poll Taxes (5285) at $2.00
$10,570.00
Total valuation on Personal Property $1,596,150.00 at $38.00
60,653.70
Total valuation on Real Estate Prop-
erty $13,111,150.00 at $38.00 498,223.70
Total Taxes levied on Polls and Property $569,447.40
Additional Commitments, inc. December Levy
Real Estate
Value
Tax
$400.00
$15.20
Personal Estate
None
None
Polls 39 at $2.00
78.00
93.20 93.20
Total of all taxes listed in Collector's Books for 1943 $569,540.60
42
Excise Commitments
First Commitment
$2,938.54
Second Commitment
10,435.00
Third Commitment
3,339.88
Fourth Commitment
516.48
Total
17,229.90
Number of Persons, Partnerships, and Corporations Assessed
Number on Personal 487
Number on Real Estate
2557
Number of both Personal and Real Est. 263
Total number persons taxed 3307
Value of Assessed Personal Estate
Stock in Trade
830,425.00
Machinery
554,375.00
Live Stock
26,600.00
All. other tangible property
184,750.00
Total Value of Personal Estate
$1,596,150.00
Value of Assessed Real Estate
Buildings, exclusive of land
10,400,575.00
Land, exclusive of buildings
2,710,575.00
Real Estate
13,111,150.00
Personal Estate
1,596,150.00
Total value of assessed estates as of
January 1, 1943
14,707,300.00
Taxes for State, County, and Town including Overlays as of January 1st, 1943
On Personal $60,653.70
On Real Estate 498,223.70
43
On Polls December Levy
10,570.00 93.20
Total Taxes assessed
$569,540.60
Number of Live Stock Assessed
Number of Horses
24
Number of Cows
132
Number of Yearlings
8
Number of Swine 15
Number of Fowl
10,300
Number of all other
10
Number of Dwelling Houses assessed
2507
Number of Acres of land assessed
8,116 acres and 24,105 sq. ft.
Tax Rate for Town
$38.00 per thousand
In conclusion, we wish to thank all Town Depart- ments that have cooperated with us during the past year.
Respectfully submitted,
WILLIAM F. CLANCY, Chairman, JOHN F. MAHER, Clerk FREDERICK A. NEALON.
Financial Report of Assessors Department for 1943
Salary and Wage Appropriation
$5,244.00
General Office Expense 500.00
Total Salary and Expenses
$5,744.00
Expenditures
Burroughs Adding Machine Co.
$15.85
Cahill's News Agency 11.55
Clarke Printing Office
5.00
44
Expenses to Conventions
15.20
George T. Pascoe Co.
3.35
H. S. Horne
15.53
Hobbs & Warren, Inc.
146.70
John E. Higgiston
16.00
Liberty Typewriter Co.
13.00
New England Tel. & Tel. Co.
93.45
Transportation
40.00
Ward's Stationers
1.25
Worcester County Abstract Co.
119.75
Total Expenses
$496.63
$496.63
Salaries
William F. Clancy, Chairman
1,200.00
John F. Maher, Clerk
1,700.00
Frederick A. Nealon
1,200.00
Esther M. Larkin
1,144.00
Total Salaries
$5,244.00
$5,244.00
Total Expenses
496.63
$5,740.63
Total Salary and Expenses Appropriated
$5,744.00
Total Expended
5,740.63
Balance
$3.37
Approved:
WILLIAM F. CLANCY, JOHN F. MAHER, FREDERICK A. NEALON.
45
Town Accountant's Report
To the Honorable Board of Selectmen and Voters of Milford:
Herewith I submit my annual report of the financial transactions of the Town of Milford for the year ending December 31, 1943.
Included is a Detailed Report of the Receipts from all sources of Income, a Detailed report of the Expenditures of each Department and Account, a Recapitulation and Estimate Table showing the Appropriation, Receipts and Transfers, Expenditures, Balance December 31, 1943 and the estimated cost to run the various departments as sub- mitted by them for the coming year. Included also is the usual Balance Sheet, a Table showing the salaries paid Town Officers and also a Detailed Summary of the Net Funded or Fixed Debt of the Town.
I wish to thank all the Departments for their coopera- tion during the past year.
Respectfully submitted,
MICHAEL J. HANNIGAN, Town Accountant.
TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1943
General · Accounts
ASSETS
LIABILITIES
Cash in Office and Banks
121,505.73
Temporary Loans:
Anticipation of Reimbursements 1,600.00
Sale of Cemetery Lots and Graves 1,821.00
Appropriation Balances:
Civilian Defense 7,450.47
Levy of 1940-Personal
712.63
Rationing Board 76.25
Levy of 1941-Poll
82.00
Levy of 1941-Personal 2,217.75
Levy of 1941-Real Estate
26.80
Repairs to Town Hall Tower 1,696.10
Levy of 1942-Poll
264.00
Levy of 1942-Personal
4,464.95
Levy of 1942-Real Estate
41,390.42
Levy of 1943-Poll
250.00
Levy of 1943-Personal
7,213.35
Levy of 1943-Real Estate
97,090.66
M. V. Excise - 1937
651.79
M. V. Excise - 1938
189.23
M. V. Excise
1939
195.10
U. S. Grant-O.A.A. for Assistance
2,086.46
M. V. Excise - 1940
155.79
U. S. Grant-O.A.A. for Administration 50.87
M. V. Excise -
1941
286.02
M. V. Excise - 1942
313.03
M. V. Excise - 1943
658.17
156,644.26
Adding Names-Honor Roll
84.20
46
Painting and Repairing Memorial Hall 1,365.00
Installing Surface Drainage Short Street 399.45
Road Machinery Account
225.00
U. S. Grant-A.D.C. for Assistance
1,057.43
U. S. Grant-A.D.C. for Administration 207.67
Schools-Expenses
735.00
Installing Street Signs 200.00
Accounts Receivable:
Taxes:
Levy of 1939-Personal 370.57
Levy of 1940-Poll 112.00
New Heating Apparatus- Town Hall 1,410.00
TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1943
Special Assessments:
Income-Rehabilitation Fund
62.50
Apportioned Sewer Assessments 3,420.15
Unapportioned Sewer Assessments 2,637.18
6,057.33
Departmental:
Health
2,921.88
Welfare
2,065.79
Infirmary
299.96
A. D. C.
66.34
Vocational Education of Defense Workers - U. S. Grant 339.84
O. A. A.
559.99
State Aid
40.00
Military Aid
25.00
War Allowance
1,770.15
School Department
2,915.54
Payroll Deductions-Withholding Tax 1,799.15
Overlay 1943-Reserved for Abatements 2,151.97
Tax Title Redemptions Reserved for Loan 389.74
Overlay Reserve
1,638.10
Taxi Badge Reserve
13.00
Road Machinery Fund
1,228.29
Old Age Recoveries
2,331.74
Treasurer's Tailings
1,368.24
State Parks and Reservation Assessment 18.91
V. G. Cemetery-New Power Mower 110.00 Improvements and Repairs V. G. C. Avenues 495.05
V. G. Cemetery-Income of Trust Funds 135.06
No. Purchase Cemetery-Income Trust Funds 62.50
47
18,248.85
Payroll Deductions-Purchase of Defense Bonds 2,663.02
Payroll Deductions-Victory Tax
96.67
TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1943
Cemetery
114.00
Revenues Reserved Until Collected:
M. V. Excise Tax 2,449.13
Uncollected Court Judgments 3,031.94
Departmental Revenue 10,778.65
1931
1,363.67
1932
812.66
22,317.05
1933
698.51
Excess and Deficiency
253,712.29
3,031.94
Overlay Deficits:
Levy of 1939
101.21
Levy of 1940
1,104.90
Levy of 1941
6,513.36
Levy of 1942
4,108.61
11,828.08
County Assessments: County Tax
1,552.03
311,398.02
311,398.02
10,778.65
Tax Judgments:
1926
157.10
Sewer Revenue 6,057.33
48
TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1943
Deferred Revenue Accounts
Sewer Assessments:
Apportioned Sewer Assessments:
Apportioned but not due
273.08
Due 1944
39.32
Due 1945
41.28
Due 1946
41.28
Due 1947
30.24
Due 1948
30.24
Due 1949
30.24
Due 1950
30.24
Due 1951
30.24
273.08
273.08
49
Debt Accounts
228,558.27
Sewer Loans
44,000.00
Tax Title Loan
11,558.27
High School Addition Loan
102,000.00
Municipal Relief Loan-1936
6,000.00
Chapter 58 Acts of 1938 Loan
26,000.00
Surface Drainage Loan
30,000.00
State Tax Funding Loan
4,000.00
Municipal Relief 1940
2,000.00
Departmental Equipment Loan
3,000.00
228,558.27
228,558.27
Net Funded or Fixed Debt
TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1943
Trust and Investment Accounts
Trust Funds-Cash and Securities
36,190.51
Cemetery Perpetual Care Funds
31,190.51
Post War Rehabilitation Fund 5,000.00
Annuity Savings Fund 38,164.95
Cash and Securities
74,673.19
Annuity Reserve Fund 621.23
Pension Accumulation Fund 34,479.22
Expense Fund 52.51
Undistributed Income 1,355.28
110,863.70
110,863.70
50
Tax Accounts
Tax Titles Tax Title Possessions
15,528.76
Tax Title Revenue
21,976.17
6,447.41
21,976.17
21,976.17
Municipal Contributory Ret. Funds-
51
RECEIPTS
Taxes
Current Year:
Poll
7,166.00
Personal
52,934.95
Real Estate
385,670.44
M. V. Excise
15,996.20
461,767.59
Previous years:
Poll
1,102.00
Personal
7,387.12
Real Estate
134,152.10
M. V. Excise
1,139.47
143,780.69
From the State:
Income Taxes
58,296.60
Corporation Taxes
34,185.27
Meal Tax
2,099.91
94,581.78
Tax Title Redemptions
1,395.95
Total Taxes
701,526.01
Licenses
Liquor
19,570.00
Pedlars
105.00
Sunday
681.00
Pool and Bowling
30.00
All Other Selectmen's Licenses
230.00
Total for Licenses
20,616.00
Fines
Third District Court 94.08
52
Grant and Gifts
From U. S. Government:
Old Age Assistance 53,392.78
Aid to Dependent Children 7,726.17
Vocational Schools
6,643.39
From State:
Schools 7,778.69
From County:
Dog Licenses 1,636.61
Total for Grants and Gifts
77,177.64
Special Assessments
Apportioned Sewers
112.27
Unapportioned Sewers 1,419.47
Total for Special Assessments 1,531.74
DEPARTMENTAL REVENUE General Government
Treasurer:
Lockup Keys
1.00
Release of Tax Titles 4.00
Total Treasurer 5.00
Tax Collector:
Fees on Taxes and Assessments 163.01
Town Clerk:
Voting Lists 5.00
Town Hall:
Rentals 922.50
Total for General Government 1,095.51
53
Protection of Persons and Property
Police Department:
Property damage to
Traffic Signals 110.48
Pictures 10.00
Total for Police Department
120.48
Sealer of Weights and Measures:
Fees 148.51
Total for Protection of Persons
and Property
268.99
Health and Sanitation
Health:
Tuberculosis
1,610.72
Dental Clinic fees 56.80
Sanitation: 1
Sewer Rentals
185.00
Plumbing Permits
43.00
Total for Health and Sanitation 1,895.52
Highways
General: 3.20
Chapter 90 Maintenance:
State
799.65
County
799.65
1,599.30
Snow Removal
43.00
Equipment Rental
380.80
-
Total for Highways 2,026.30
-
54
Charities
General Aid:
State
6,816.43
Cities and Towns
3,871.80
Individuals
106.00
Total for General Aid
10,794.23
Aid to Dependent Children:
State 13,485.00
Old Age Assistance:
State
48,507.84
Cities and Towns
872.84
Individuals
2,040.00
Total for Old Age Assistance
51,420.68
Infirmary:
Board and Care
6,268.14
Total for Charities 81,968.05
Soldiers' Benefits
State Aid
120.00
Soldiers' Relief
1,091.00
Total for Soldiers' Relief 1,211.00
Schools
Tuition State Wards
2,871.97
Other Tuition
540.54
Miscellaneous Receipts
3.90
Total for Schools
3,416.41
Library
Fines
207.74
Recreation
Athletic Field Rentals 228.55
55
Unclassified
Sale of Foreclosed Tax Titles
100.00
Rent of Land 30.00
Sale of Buildings
10.00
Sale of W.P.A. Equipment
40.00
Total for Unclassified 180.00
Vernon Grove Cemetery
Sale of Lots
370.00
Care of Lots
1
354.00
Opening Graves
538.00
Markers
20.00
Special Services
95.48
Total for Vernon Grove Cemetery
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