Town Annual Report of the Officers of the Town of Milford, Massachusetts 1945, Part 2

Author: Milford (Mass.)
Publication date: 1945
Publisher: The Town
Number of Pages: 414


USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1945 > Part 2


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New England Tel. & Tel. Co.


33.10


Niro & Niro


62.00


George T. Pascoe Co.


3.18


Debbie's Luncheonette


7.20


Spaulding-Moss Co.


143.77


R. Dexter Tolman


7.38


Leon Zocchi Co.


4.05


$1,181.55


26


MILFORD RATIONING BOARD


Appropriation Carried over from 1944


$1,950.00 100.95


$2,050.95


Expenditures


John P. Arata


$26.50


Berardi Loan Co.


120.00


O. Berman


7.55


Cahill's News Agency


86.73


P. Eugene Casey


48.00


Emma DiAntonio


156.00


Fuller & Wilson Express Co.


1.55


Home National Bank 30.00


Liberty Typewriting Co.


48.00


Milford Electric Light & Power Co.


71.24


Worcester Suburban Electric Co.


30.80


Milford Hardware


3.00


Miscoe Spring Water Co.


2.25


Thomas F. Moore


7.50


Narcus Bros., Inc.


12.58


New England Tel. & Tel. Co.


169.50


Niro & Niro Co.


7.94


Petty Cash


19.90


Ruhan Signs


20.00


Louise Shidloski


900.00


Balance


281.91


$2,050.95


ANNUITY FOR LILLIAN E. SONNE


Appropriation


$1,000.00


Expenditures


Lillian E. Sonne


$1,000.00


BLANKET INSURANCE


Appropriation Transferred


$4,900.00 407.67


$5,307.67


27


Expenditures


H. A. Daniels & Co.


$427.53


Boston Insurance Co.


4,447.35


P. Eugene Casey


423.79


B. J. Clancey


9.00


$5,307.67


CARE OF TOWN HALL CLOCK


Appropriation


$100.00


Expenditures


James Till


$100.00


CLARK HEIRS-FLOWAGE RIGHTS


Appropriation


$69.00


Expenditures


Clark Heirs


$69.00


EMERGENCY LIGHTS


Appropriation


$600.00


Expenditures


Joe Cifre, Inc.


$392.91


Niro & Niro Co.


178.81


Balance


28.28


$600.00


HONOR ROLL WORLD WAR II-ADDING NAMES


Appropriated


$250.00


Carried over from 1944


217.95


Transferred


333.00


Expenditures


Ruhan Signs Balance


$745.75


55.20


$800.95


$800.95


28


HYDRANT SERVICE


Appropriation


$10,600.00


Expenditures


Milford Water Co. $10,500.00 100.00


Balance


$10,600.00


PLAYGROUND RENTAL


Appropriation


$200.00


Expenditures


Mary A. Nolan Est.


$100.00


Lynch Est. 100.00


$200.00


REHABILITATION COMMITTEE


Carried over from 1944 $710.44


Expenditures


Photo-Record Co.


$30.00


Balance


680.44


$710.44


REPAIRS TO CEDAR SWAMP DAM


Appropriation $185.00


Expenditures


Guido Sabatinelli


$185.00


TOWN REPORTS


Appropriation


$1,980.00


Expenditures


Charlescraft Press


$1,980.00


WORKMEN'S COMPENSATION


Appropriation $2,445.19


29


Expenditures


. Joseph Morcone Balance


$2,383.73 61.46


$2,445.19


ZONING BOARD


Appropriation


$100.00


Expenditures


Milford Daily News


$3.00


Clarke Printing Co.


60.00


Balance


37.00


$100.00


CIVILIAN DEFENSE


Carried over from 1944 $6,786.81


Transferred at meeting March 20, 1945


to Milford Youth Center 500.00


$6,286.81


Expenditures


Maria J. Beccia


$47.50


Catherine Curtin


8.00


Balance


6,231.31


$6,286.81


MILFORD YOUTH CENTER


Transferred from Civilian Defense Account


$500.00


Expenditures


Federated Church of Franklin


$75.00


Milford Hardware, Inc.


32.18


W. T. Grant & Co.


33.85


Guido Sabatinelli


20.00


Charles B. Tomaso


12.75


Leon Zocchi


15.21


Milford Locksmith


1.00


Cahill's News Agency


2.36


Leonard N. Jaques & Sons


18.80


30


Milf. Elec. Light & Power Co.


11.97


John C. Ripley


72.00


Werber & Rose, Inc.


10.00


MacDonald's Trucking


10.00


Karl A. Bright Ins.


30.00


Supreme Radio Shop


9.00


N. E. Sandwich Co.


13.80


Coca Cola Bottling


29.50


Miscoe Spring Water Co.


68.00


A. B. Cenedella


25.00


John Besozzi


.60


Clarke Printing Co.


8.00


Balance


.98


$500.00


STREET LIGHTS


Appropriation


$17,600.00 130.06


$17,730.06


Expenditures


Milford Electric Light & Power Co. $10,300.10


Worcester Suburban Electric Co. 7,429.96


$17,730.06


PREP. PLANS, SPECIFICATIONS, CHAP. 58, ACTS 1943


Appropriation


$1,500.00


Expenditures


Wendell T. Phillips


$462.00


Eastman & Corbett, Inc.


577.10


Balance


460.90


$1,500.00


REPAIRS TO TOWN HALL TOWER


Carried over from 1944 $346.63


Transferred 1,227.46


$1,574.09


Transferred


31


Expenditures


Francis Harvey $1,574.09


PAINTING AND REPAIRING EXTERIOR OF TOWN HALL


Appropriation


Transferred


$7,865.00 2,000.00


Expenditures


J. D. Daddario Co.


$398.83


Ned Nobilini & Son


375.00


Alfonso Niro


84.65


Balance


9,006.52


$9,865.00


MEMORIAL DAY - Spanish War Veterans


Appropriation


$75.00


Expenditures


$75.00


MEMORIAL DAY - Sons of Union Veterans


Appropriation


$200.00


Expenditures


Expended


$196.44 3.56


Balance


$200.00


MEMORIAL DAY - American Legion


Appropriation


$200.00


Expenditures $200.00


ARMISTICE DAY - Veterans of Foreign Wars


Appropriation


$200.00


Expenditures $200.00


$9,865.00


32


Report of Highway Surveyor


Herewith I submit my report as Highway Surveyor for the year ending December 31, 1945.


The severe snow and ice storms of January, February, November and December of the past year entailed an unusual heavy expenditure of money. It was necessary to request the Selectmen to call a Special Town Meet- ing on December 28th, to transfer the sum of $10,500.00 from the Excess & Deficiency Account, to the Highway Department-Snow Removal Account. These storms have overtaxed the ability of the snow fighting equipment to the extent that most communities are endeavoring to se- cure new and better units. With funds that were made available at the Annual Town Meeting in March, the Highway Department has on order, a new Austin West- ern No. 99 Power Grader, to replace the one that has been in service since early in 1937. It is also intended to re- place other units as soon as same are available.


Although the cost of all bituminous, and other road maintenance materials have increased in cost better than 50%, we were able to treat the surface of many of our bituminous surfaced streets, but were unable to improve the surface of any of our gravel surfaced roads.


Additional surface drainage was constructed on Cen- tral, John and Highland streets, and improvements made on several other surface drains.


Camp street was improved, and a bituminous surface constructed from Purchase street to Pine Island Road.


In conjunction with money allotted by the Town of Upton, State Department of Public Works, and County Commissioners, a new concrete deck and guard rails was built on the Fisk Mill Road Bridge.


In conclusion, I wish to thank the employees of the Department, all Town Officials, and Departments for their co-operation, and the Towns people for their pa- tience and goodwill, during the year.


Respectfully submitted,


J. FRANK CAHILL, Highway Surveyor


33


HIGHWAY DEPARTMENT Salaries and Wages


Appropriation


$27,200.00


Expenditures:


Cahill, J. Frank


$ 2,800.00


Labor


24,280.78


Total Salaries and Wages


27,080.78


Balance


$119.22


GENERAL


Appropriation


$8,500.00


Expenditures:


Archer Rubber Co.


$2.50


American Oil Co.


1,013.29


Atlantic Refining Co.


29.40


Atlas Products Co.


86.13


Axtell, Warren


49.50


Ahearne Amoco Station


89.35


Bright, Karl


46.60


Barney Coal Co.


63.58


Blake, Geo. F. Co.


29.31


Bemis Garage


6.25


Barber Greene Co.


19.46


Cahills News Agency


1.65


Costa, Robert Co.


260.38


Clancey, B. J.


88.00


Casey, Wm. H. Store


28.06


Clarke Printing Co.


10.50


Calarese, J. L.


2.76


City Truck Co.


.70


Curtiss, H. M. Coal Co.


110.24


Corbett Concrete Pipe Co. .


78.00


Curran's Express Co.


1.73


Dow, Elmer


20.00


Dolge, C. B. Co.


53.90


DeLuxe Filter & Piston Co.


103.64


DiPietro, Domenic & Son


125.50


34


Dyar Sales & Machinery Co.


60.25


DiGirolomo, N. & Son


1.39


Davoren's Express


11.25


Eastman & Corbett, Inc.


164.36


Files, R. L. & J. O'Keefe Co.


24.00


Framingham Supply Co.


44.00


Frieswick, Oliver


90.13


Gould, F. A.


18.41


Guerriere, Nap. A.


49.20


Garibaldi, Enrico


7.50


Hedge & Matheis Co.


82.53


Hickey Insurance Agency


33.90


Hearne Bros.


22.50


Joe's Auto Body Shop


22.25


Jaques, L. N. & Sons


61.27


Lyman, John R. Co.


16.16


Milford Elec. Light & Power


141.70


Mann, F. E. & Son


24.32


Milford Water Co.


28.07


McDermott, J. J. Co.


7.30


Morse, T. E. Co.


45.73


Maher, J. F. Co.


30.90


Milford Auto Parts Co.


56.30


Milford Grain Co.


9.00


Milford Daily News


91.91


Middlesex County House of Correction 69.12


Milford Column Co. 22.72


Mass. Broken Stone Co.


71.30


Mack Motor Truck Co. 29.31


135.30


Niro & Niro Co. 4.14


N.Y., N.H. & Hartford Railroad Co. 2.62


N. Y. Central Railroad Co.


2.35


New England Road Builders Assoc.


' 7.60


Norfolk Tool & Supply Service


113.64


O'Brien's Oil Service 325.02


Pascoe, George E. Co. 9.40


Post Publishing Co.


8.10


Ryan Motor Sales Co.


367.14


Rosenfeld's Garage


622.41


Rosenfeld Washed Sand &


Stone Co.


2,065.59


New Eng. Tel. & Tel. Co.


8.58


Gardella's Pharmacy


35


Railway Express Co.


2.23


Ray's Auto Repair


269.43


Rose, E. O. & Son


20.70


Ricci's Blacksmith Shop


14.18


Reformatory for Women


5.71


Standard Auto Gear Co.


56.87


Shaughnessy, Harold


64.00


Shaughnessy, Willard


72.00


So. End Auto Service


2.05


Seaver's Express


10.47


Shoe Mart


60.00


Town Hall Service Station


31.20


Trubilt Body Co.


48.50


Trimount Bituminous Products Co.


105.15


Traffic & Road Equipment Co.


15.00


Varney Bros. Sand & Gravel Co.


22.58


Varney's Bros. Trucking Co.


.72


Worcester Suburban Electric Co.


78.00


Ward's Express


15.00


Worcester Oxy Acetylene Supply Co. 48.65


Winchester Brick Co.


111.00


Worcester Telegram & Gazette Co. 8.76


Zocchi, Leon Co. 100.30


Total Expenditures 8,491.60


Balance 8.40


RESURFACING STREETS


Appropriation


$9,500.00


Expenditures:


American Bitumiss Co. 57.20


American Oil Co. 423.91


Molinari, John


190.00


O'Brien's Oil Service


7.65


Rosenfeld Washed Sand & Stone Co. 4,874.91


Trimount Bituminous


Products Co. 3,888.82


Atlantic Refining Co. 29.40


36


McDonald, Albert


28.00


Total Expenditures


9,499.89


Balance


.11


MAINTENANCE AND CARE OF TOWN IMPROVEMENTS


Appropriation


1,000.00


Expenditures:


Corbett Concrete Pipe Co. 70.40


Costa, Robert Co. 454.67


DiPietro, Domenic & Son 165.00


Milford Grain Co.


5.00


Nelson Cement & Stone Co.


61.74


Ritz Trucking Service 27.00


Trimount Bituminous Products Co.


213.48


Total Expenditures 997.29


Balance


2.71


REPAIRS TO SIDEWALKS


Appropriation


1,000.00


Expenditures:


Costa, Robert Co.


172.55


Mass. Broken Stone Co.


285.75


Niro, Alfonso


85.50


Rosenfeld Washed Sand & Stone Co.


454.74


Total Expenditures 998.54


Balance


1.46


SNOW REMOVAL


Appropriation


$38,493.09


Expenditures:


Payroll 11,711.25


37


American Oil Co.


711.72


Abretti, Richard


110.50


Atlantic Refining Co.


37.45


Aldrich, Olney


30.00


Antelli, Renaldo


50.00


Bixby, F. A.


27.50


Blake, George F. Inc.


74.32


Barber Greene Co.


257.94


Curran's Express, Inc.


1,891.89


Chicarelli, Mario


193.00


Costa, Robert Co.


832.45


Consigli, Henery


316.00


Casey, P. Eugene


46.94


Clancey, B. J.


34.40


Consigli, P.


79.00


Casey, Wm. H. Store


3.94


Dow, Elmer


72.00


Dyar Sales & Machinery Co.


1,664.23


Davis H. F. Tractor Co.


516.18


De Ieso, Steve


217.00


DiPietro, Domenic & Son


576.00


Frieswick, Oliver


15.65


Files R. L., and H. J. O'Keefe Co.


100.93


Hickey, J. F. Insurance Agency


33.90


Gould, F. A.


5.64


Hedge & Mattheis Co.


20.55


Jaques, L. N. & Sons


19.26


Johnson Bus Lines


6.62


Milford Auto Parts Co.


29.99


Molinari, John


837.00


Morse, Charles


46.00


MacDonald, Albert


478.00


Milford Grain Co.


997.50


Mack Motor Truck Co.


77.30


Manguso, Thomas


9.00


Niro, Alfonso


8.00


O'Brien's Oil Service


191.25


Rosenfeld Washed Sand & Stone Co.


8,785.64


Ray's Auto Service


624.84


Rose, E. O. & Sons


17.53


Rosenfeld's Garage


607.07


Ryan Motor Sales Co.


50.10


38


Railway Express Agency


.81


Seavers Express


891.76


Shaughnessy, Willard


628.00


Shaughnessy, Harold


328.00


Sabatinelli, Guido


116.00


Standard Auto Gear Co.


21.05


Speroni, Louis


8.10


Scartissi Bros.


61.25


Taylor, Albert


276.00


Town Hall Service Station


27.00


Trubilt Truck Body Co.


31.80


Varney Bros. Sand & Gravel Co.


1,894.10


Volpe, James


42.00


Ward's Express


429.00


Worcester Oxy-Acetylene


Supply Co. 33.80


Worcester Chemical Dist. Corp.


1,142.93


Warren Refining & Chemical Co.


41.36


Zampino, Peter


15.00


Zocchi, Leon Co.


17.40


Total Expenditures


38,420.74


Balance 72.35


CHAPTER 90 MAINTENANCE


Appropriation


1,000.00


State and County


1,999.92


Total


2,999.92


Expenditures:


Payroll


1,240.39


Corbett Concrete Pipe Co.


122.20


Mass. Broken Stone Co.


69.80


Rosenfeld Washed Sand & Stone Co.


845.78


Road Machinery Fund


214.90


Trimount Bituminous Products Co. 496.66


Total Expenditures 2,989.73


Balance 10.19


39


DRAINAGE - CENTRAL ST.


Appropriation


3,000.00


Expenditures:


Costa, Robert Co. 1,606.45


Corbett Concrete Pipe Co. 822.80


Curran's Express, Inc. 8.15


Eastman and Corbett


176.60


Mass. Broken Stone Co. 57.20


Trimount Bituminous Products Co. 63.16


State Prison 121.80


Total Expenditures 2,856.16


Balance


143.84


DRAINAGE - HIGHLAND STREET


Appropriation


1,593.00


Expenditures:


Curran's Express 7.56


Costa, Robert Co.


1,069.72


Corbett Concrete Pipe Co.


283.20


Eastman and Corbett


74.03


Rosenfeld Washed Sand & Stone Co. 46.85


State Prison


111.60


Total Expenditures


1,592.96


Balance .04


DRAINAGE - JOHN STREET


Appropriation


2,158.50


Expenditures:


Corbett Concrete Pipe Co. 338.40


Curran's Express, Inc. 7.19


Eastman and Corbett 161.35


Rosenfeld Washed Sand and Gravel Co. 87.25


Sabitinelli, Guido


1,344.65


40


State Prison 120.00


Total Expenditures


2,058.84


Balance


99.66


NEW BRIDGE - FISKE MILL ROAD


Appropriation


1,340.00


Expenditures:


Clarke, Samuel H. 959.51


Costa, Robert Co. 43.48


Total Expenditures 1,002.99


Balance 337.01


RECONSTRUCTION OF CAMP STREET


Appropriation


2,500.00


Expenditures:


American Oil Co. 58.23


Costa, Robert Co. 349.60


Rosenfeld Washed Sand & Stone Co.


878.65


Trimount Bituminous Products


683.04


Total Expenditures 1,969.52


Balance


530.48


NEW EQUIPMENT


Appropriation


30,000.00


Expenditures:


Rosenfeld's Garage


120.40


Tractor's, Inc. 662.50


Total Expenditures 782.90


Balance


29,217.10


41


Assessors' Report for 1945


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 1945.


Town Appropriations in total $779,450.22


Deficits in Overlay Account (1931-1943 inc.) 5,246.21


Total $784,696.43


1945 Estimates


State Tax $17,204.00


State Parks and Reservations 621.99


State Audit of Municipal Accounts 808.20


State Examination of Retirement System 91.20


18,725.39


County Tax


28,966.69


Tuberculosis Hospital Assessment


16,349.52


45,316.21


Overlay of Current Year


15,000.00


$863,738.03


Estimated Receipts and Available Funds


Income Tax


$51,990.06


Corporation Taxes


33,550.71


Gasoline Tax under Acts of 1943


17,457.97


Motor Vehicle and Trailer Excise


10,000.00


Licenses


23,000.00


Fines


40.00


Grants and Gifts


2,438.59


Special Assessments


1,636.51


General Government


200.00


42


Protection of Persons and Property 2,783.00 Highways 23,053.97 Charities (other than Federal Grants) 49,532.53 Old Age (other than Federal Grants) 2,451.30 Old Age Tax (Meals, etc.) Chap. 64 B 2,070.15


Soldiers' Benefits 5,784.85


Schools 195.81


Libraries 98.43


Public Service Enterprises


961.50


Cemeteries (other than Trust Funds and sale of lots) 5,024.17


Total Estimated Receipts $232,274.55


Total Amounts to be taken from Available Funds with approval 64,938.93


Total Estimated Receipts and Available Funds $297,213.48


Net Amount to be raised by Taxation on Polls and Property 566,524.55


No. of Polls (5060) at $2.00 10,120.00


Total Valuation on Personal Property $1,593,825.00 @ $38.00 60,565.35


Total Valuation on Real Estate Prop- erty $13,048,400.00 @ $38.00 495,839.20


Total Taxes Levied on Polls and Property


$566,524.55


Additional Commitments, including December Levy


Value


Tax


Real Estate


3,750.00


142.50


Personal Property


1,950.00


74.10


Polls 341 @ $2.00


682.00


898.60


Total of all Taxes listed in Collector's Books for 1945 $567,423.15


43


Excise Commitments


First Commitment


$2,668.61


Second Commitment


4,375.64


Third Commitment


2,441.63


Fourth Commitment


779.92


Fifth Commitment


391.43


Sixth Commitment


128.14


$10,785.37


Number of Persons, Partnerships and Corporations Assessed


Number of Personal


449


Number on Real Estate


2611


Number on both Personal and


Real Estate


138


Total Number of Persons Assessed 3198


Value of Assessed Personal Estate


Stock in Trade 1


$ 256,875.00


Machinery


1,123,550.00


Live Stock


31,125.00


All Other Tangible Personal Property


182,275.00


Total Value of Personal Estate


$1,593,825.00


Value of Assessed Real Estate


Buildings, exclusive of land


$10,241,625.00


Land, exclusive of buildings


2,806,775.00


Real Estate


$13,048,400.00


Personal


1,593,825.00


Total Value of Assessed Estates


$14,642,225.00


44


Taxes for State, County and Town including Overlays as of January 1, 1945


On Personal Estate


$ 60,565.35


On Real Estate 495,839.20


On Polls 10,120.00


On December Levy


898.60


Total Taxes Assessed


$567,423.15


Number of Live Stock Assessed


Number of Horses


20


Number of Cows 108


Number of Yearlings 12


Number of Swine


104


Number of Fowl


11,825


All Other 21


Number of Dwelling Houses Assessed


2,502


Number of Acres of Land Assessed


8,116 acres and 24,208 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 1945


Salary Appropriation William F. Clancy $1,200.00 John F. Maher 1,700.00


$5,452.00


45


Frederick A. Nealon


1,200.00


Esther M. Larkin


1,352.00


$5,452.00 $600.00


Expense Appropriation


Association Dues


$6.00


Becker & Co. 5.00


Burroughs Adding Machine Co.


16.60


Cahill's New Agency


4.25


Clarke Printing Co.


23.75


Columbia Ribbon Co.


11.42


Curran's Express, Inc.


2.16


Higgiston, John E. P. M.


39.00


Hobbs & Warren, Inc.


118.67


Johnson Office Supply Co.


28.57


Liberty Typewriter Co.


7.50


Maher, John F. (Transportation)


45.00


New Eng. Tel. & Tel. Co.


98.10


Woods Product Co.


5.50


Worcester County Abstract Co.


186.41


Total Expenses $597.93


Balance


$ 2.07


Approved:


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


46


Town Accountant's Report


To the Honorable Board of Selectmen and the Voters of Milford:


Herewith I submit my annual report of the financial transactions of the Town of Milford for the year ending December 31, 1945.


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, and Balance December 31, 1945 and the estimated cost to run the various departments as submitted by them for the coming year.


Included also is the usual Balance Sheet, a table showing the Salaries paid Town Officers and also a De- tailed Summary of the Net Funded or Fixed Debt of the Town.


I wish to thank all the Departments for their co- operation during the past year.


Respectfully submitted,


MICHAEL J. HANNIGAN,


Town Accountant


TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1945


General Accounts


ASSETS


Cash in Office and Banks ·Advance for Petty Cash


164,543.84 10.00


Sale of Cemetery Lots and Graves


2,457.00


Appropriation Balances:


Civilian Defense


6,231.31


Rationing Board


281.91


Levy of 1932


12.39


Town Hall-Heating Apparatus


1,410.00


Levy of 1934


10.38


Levy of 1939


7.72


Town Hall-Painting and Repairing Exterior


9,006.52


Levy of 1940


91.96


Town Hall-Emergency Lights


28.28


Levy of 1941


438.60


Town Hall-Repairs to Cells 499.00


Levy of 1942


615.70


Fire-Incidentals 211.17


Levy of 1943


478.72


Fire-Repairs to Alarm System


150.00


Levy of 1944


19,962.35


Sewer Construction-Florence St.


410.14


Levy of 1945


73,742.25


M. V. Excise Tax 1945


385.71


Drainage-John St. 99.66


Bridge-Fiske Mill Road


337.01


Special Assessments:


Apportioned Sewer 1942-1945


46.58


Unapportioned Sewers 1945


597.68


Road Machinery Account


225.00


U. S. Grant A. D. C. Assistance


1,895.54


U. S. Grant A. D. C. Administration 232.06


Departmental: Health


463.21


U. S. Grant O. A. A. Assistance


1,839.71


47


Drainage-Central St. 143.84


95,745.78


Reconstruction of Camp St. 530.48


Highway-New Equipment 29,217.10


644.26


LIABILITIES


Accounts Receivable:


Taxes:


TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1945


Welfare


1,675.24


U. S. Grant O. A. A. Administration 52.70


Infirmary


266.63


School-General Expenses 406.00


Aid to Dependent Children


3,684.03


Vocational Education of Defense Workers U. S. Grant 8.50


Old Age Assistance


503.47


Military Aid


185.00


Town Park-Rebuilding Bleachers 183.50


War Allowance


109.50


Honor Roll-Adding Names


55.20


School


824.59


Income Rehabilitation Fund


437.50


Cemetery


120.00


Install and Repair Street Signs 172.25


7,831.67


Preparing Plans and Specifications


460.90


Tax Judgments:


1926


157.10


1931


1,363.67


New Power Mower


110.00


1932


812.66


Improvements to Vernon Grove Cemetery Avenues


117.75


3,031.94


Income Vernon Grove Trust Funds 156.48


Overlay Deficits:


Income North Purchase Trust Funds 49.95


55,639.90


Levy 1941


73.50


State Parks and Reservations Tax


154.74


Dog Licenses for County


19.20


Payroll Deductions-War Bonds


788.50


Payroll Deductions-Federal Taxes


16.20


Overlay 1944-Reserved for Abatements


1,433.93


County Taxes: Deficit


739.17


Overlay 1945-Reserved for Abatements 762.45


Overlay Reserve 1,638.10


48


1940-Levy


62.23


Levy of 1942


60.90


Levy of 1943


1,860.10


2,056.73


1933


698.51


Advisory Committee-Rehabilitation of Veterans 680.44


TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1945


Tax Title Redemption-Reserve for


Payment of Loan


46.37


Taxi Badge Reserve 12.00


Road Machinery Fund


1,887.64


Treasurer's Tailings 1,417.87


Fire Loss-Sewer Department


210.00


Revenues Reserved Until Collected:


Uncollected Court Judgments 3,031.94


49


Petty Cash-Advance 10.00


Departmental Revenue 7,831.67


Sewer Revenue 644.26


M. V. Excise Tax Revenue


385.71


11,903.58


Excess and Deficiency


196,215.91


274,603.39


274,603.39


TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1945


Trust and Investment Accounts


Trust Funds-Cash and Securities Municipal Retirement Funds- Cash and Securities


44,068.32


Cemetery and Perpetual Care Funds


34,068.32


Post War Rehabilitation Fund 10,000.00


Annuity Savings Fund 49,871.19


Annuity Reserve Fund


2,748.99


Pension Accumulation Fund


47,504.54


Expense Fund


122.55


Undistributed Income


1,959.42


Military Service Credits-Retirement System 692.05


146,967.06


146,967.06


50


Deferred Rev enue Accounts


Sewer Assessments: Apportioned but not due


Apportioned Sewer Assessments:


246.96


Due 1946


41.16


Due 1947


41.16


Due 1948 41.16


Due 1949


41.16


Due 1950 41.16


Due 1951


41.16


246.96


246.96


102,898.74


TOWN OF MILFORD BALANCE SHEET, DECEMBER 31, 1945


Debt Accounts


Net Funded or Fixed Debt 152,309.16


Sewer Construction Loan 1922


14,000.00


Sewer Construction Loan 1935 20,000.00


Tax Title Loan


4,309.16


High School Addition Loan


80,000.00


High School Addition Loan 1935


2,000.00


Chapter 58 Acts of 1938 Loan 14,000.00


Cedar Swamp Development Loan


18,000.00


152,309.16


152,309.16


51


Tax Accounts


Tax Titles Tax Title Possessions


10,992.18


Tax Title Revenue


17,319.08


6,326.90


17,319.08


17,319.08


52


RECEIPTS Taxes


Current Year:


Poll


6,736.00


Personal


55,537.55


Real Estate


417,036.45


M. V. Excise


10,197.52


489,507.52


Previous Years:


Poll


148.00


Personal


7,187.18


Real Estate


86,875.91


M. V. Excise


315.65


94,526.74


From the State:


Income Tax


60,322.27


Corporation Tax


40,286.26


Meal Tax


3,586.99


104,195.52


Tax Title Redemptions


1,063.01


Total Taxes


689,292.79


Licenses


Liquor


22,620.00


Pedlars


84.00


Sunday


746.25


Pool, Billiard and Bowling


40.00


All other


555.50


Total Licenses


24,045.75


Fines


Court Fines 80.03


53


Grants and Gifts


From U. S. Government:


Old Age Assistance


52,394.57


Aid to Dependent Children


7,265.86


Vocation Schools


549.36


From the State:


Schools 3,271.75


Highway Fund


17,457.97


From County:


Dog Licenses


1,660.96


Total for Grants and Gifts 82,600.57


Special Assessments


Apportioned Sewer Assessments 58.00


Unapportioned Sewer Assessments 723.24


Total for Special Assessments 781.24


DEPARTMENTAL REVENUE General Government


Treasurer:


Release Tax Titles 8.00


Tax Collector:


Charges on Taxes and Assessments 232.07


Town Clerk:


By-Laws .50


Assessors:


Valuation Books 50.00


Town Hall:


Rentals 967.84


Total for General Government 1,258.41


54


Protection of Persons and Property


Sealer of Weights and Measures:


Fees 133.65


Total for Protection of Persons and Property 133.65


Health and Sanitation


Health:


Contagious Diseases


68.17


Dental Clinic


14.00


Tuberculosis


896.43


Slaughtering Fees


408.50


Safe


10.00


Total for Health


1,397.10


Sanitation:


Sewer Rentals


185.00


Plumbing Permits


81.50


Sewer-Sink


50.00


Total for Sanitation 316.50


Total for Health and Sanitation 1,713.60


Highway


General:


Chapter 90 Maintenance:


State


999.96


County


999.96


Total for Chapter 90 Maintenance 1,999.92 Fiske Mill Bridge:


State 170.00


County


170.00


Total for Fiske Mill Bridge 340.00


55


Rental of Equipment Snow Removal


428.60


149.25


Fire Loss-Grader


443.42


Sundries


39.44


Total for Highways


3,400.63


Charities


General Aid:


State


2,142.22


Cities and Towns


436.30


Individuals


144.71


Total General Aid


2,723.23


Aid to Dependent Children:


State


7,636.17


Old Age Assistance:


State


60,928.68


Cities and Towns


1,199.37


Individuals


575.08


Total for Old Age Assistance 62,703.13


Infirmary:


Board


5,151.43


Total for Charities


78,213.96


Soldiers' Benefits


War Allowance


1,627.00


Schools


Tuition for State Wards


95.40


Other Tuition


438.19


Rental of Buildings


201.52


Total for Schools 735.11


56


Library


Fines


183.71


Recreation


Rental of Athletic Field


552.15


Unclassified


Rental of Building


5.00


Sale of Real Estate


55.00


Total Unclassified 60.00


Vernon Grove Cemetery


Sale of Lots


394.00


Sale of Graves


27.00


Care of Lots


432.00


Sale of Materials


26.00


Internments


550.00


Markers


30.00




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