Town Annual Report of the Officers of the Town of Milford, Massachusetts 1950, Part 10

Author: Milford (Mass.)
Publication date: 1950
Publisher: The Town
Number of Pages: 306


USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1950 > Part 10


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907.20


Total Expenditures 1,999.20


Balance $.80


DUTCH ELM DISEASE CONTROL


Appropriation


$500.00


Expenditures :


Payroll 500.00


Balance None


Respectfully submitted,


MATTHEW A. ANDREANO, Tree Warden and Moth Supt.


199


Report of the Inspector of Wires


To the Honorable Board of Selectmen :


The following report of the Inspector of Wires for the fiscal year ending December 31, 1950, includes the inspections made by both the late Angus McKenzie and David Rubenstein (appointed September 7, 1950).


Inspections for the year included 250 homes for changing of services, installation of 150 oil burners, in- stallation of 60 electric ranges.


Increased construction of new homes, buildings, and remodelling of business establishments required a greater number of inspections than ever before made by this office.


Due to the increased use of electrical appliances in homes, this office has insisted on strict compliance with the National Electric Code requiring one family houses to be wired with 3-6 Service Entrance Cable; two-family houses with 3-4 Service Entrance Cable, together with 60 ampere combination range cabinets. All electric plugs in the kitchen, dining-room, and laundry must be of No. 12 wire.


I earnestly request the general public and all elec- tricians to see that this regulation is adhered to.


I wish to thank the Honorable Board of Selectmen. Public Utilities, Electricians, and the general public for their cooperation during the past year.


Respectfully submitted,


DAVID RUBENSTEIN,


Inspector of Wires.


200


Report of the Board of Health


To the Honorable Board of Selectmen and the Citizens of the Town of Milford:


The Board of Health respectfully submits the follow- ing report for the year ending December 31, 1950.


ORGANIZATION AND APPOINTMENTS


Dr. Nicholas J. Capece was reelected Chairman of the Board for the year at the organization meeting on March 7, 1950.


The appointments made were as follows: Clerk and Agent, Louis A. Marino; Nurse, Alice Fitzpatrick; Phy- sician, Dr. Eugene E. Allen; Dentist, Dr. Joseph MacLel- lan ; Plumbing Inspector, Charles J. Ferrante and John F. Power, additional Plumbing Inspector; Burial Agent, Oscar Ayotte; Meat and Slaughtering Inspector, Jere- miah Macchi; Emergency Slaughtering Inspector, Nelson C. Dion; Person to Receive and Report Contagious Di- seases, Louis A. Marino.


During the year twenty-four regular meetings, three Special Meetings, one Hearing and several Conferences were held.


TRAINING COURSE FOR FOODHANDLERS


The third annual Foodhandlers' training course was conducted in May with Theodore Shepardson, District Sanitary Officer of the Department of Public Health, directing the classes. He was assisted by Karl Wisnieski, Sanatarian of the Fitchburg district.


201


The first day of the three day course was devoted to Restaurant and Diner workers, the second day a special session for Beverage workers was held and the third day covered subjects related to Fountain Service. The classes were fairly well attended.


GARBAGE CONTRACTS


The two contracts for the collection of garbage were awarded to Genevieve Geneseo for one year for $2600. and to John Molinari for one year for $2800.


MILK SURVEY


The Agent of the Board with State Sanitarian, Theo- dore Shepardson, visited and inspected all Dairies and Milk Sheds of dealers selling milk in Milford.


MILK REGULATION


After considerable study and to provide for safer milk, a regulation was adopted so that all milk sold in Milford must be certified according to the provisions of the law, or pasteurized as provided in Section 1, Chap- ter 94 of the General Laws.


This Regulation becomes effective January 1, 1951.


LICENSES AND PERMITS ISSUED


Manufacture of Ice Cream (Retail 6), (Wholesale 2)


10


Burial Permits 221


Conduct Undertaking establishments 7


Sale of Milk 10


Sale of Oleomargine 7


Conduct Slaughter Houses 2


Conduct Poultry Slaughter Houses 2


Sale of Denatured Alcohol 42


Permit to Remove or Transfer Garbage or Offal 2


202


The amount of money collected and delivered to the Treasurer:


for Licenses and Permits


$808.35


for Reimbursements 20.00


Sale of Booklets on Plumbing Regulations 3.00


REPORT OF THE SLAUGHTERING INSPECTOR


Number of Cattle inspected 78


Number of Hogs inspected 613


Number of Calves inspected 43


Number of Sheep inspected


42


Markets dealing in Meats and Provisions were peri- odically inspected. Sanitary conditions were found to be carried out in a satisfactory manner and complying with Health Department regulations.


REPORT OF PLUMBING INSPECTOR


Total number of applications filed 186


Total number of permits issued 186


Total number of inspections made 178


Number of Master plumbers in town 8


Number of Journeymen plumbers in town 6


REPORT OF SANITARY INSPECTOR


Number of complaints investigated


51


Land posted 11


Bakeries inspected 5


Eating and Drinking establishments inspected 31


Number of Garbage complaints 127


REPORT ON DENTAL CLINIC


Extractions


493


Extractions (Permanent Teeth)


121


Fillings-Temporary 968


203


Fillings-Permanent


474


Prophylactic Treatments


389


Total Operations


2445


Total Visits


1090


Total Amount Collected


$88.15


PHYSICIAN'S REPORT


Spaced physical examinations were given to the stu- dents of the Sacred Heat and St. Mary's Parochial schools and any defects that were found were reported to the parents or guardian for correction by the school nurse on the forms provided for this purpose by the state in accordance with Chapter 71, Section 56 of the General Laws.


TOXOID CLINICS


This year Diphtheria and Tetanus toxoid was pro- vided by the State to be given to the children. In the past only Diphtheria toxoid was given.


Two of the Toxoid Clinics were held in November and December and the remaining two will be held in January and February.


VACCINATION CLINICS


Two smallpox clinics were held during the month of June. Total number given were 131 vaccinations.


HEALTH NURSE'S REPORT


Total enrollment of St. Mary's and Sacred Heart schools 1105.


The Massachusetts Vision test was given to the students of both schools. The parents of the pupils who failed, were notified, and advised to take the child to an oculist. There has been a decrease in the number of


204


failures due to the use of the Massachusetts Vision test, which is a more accurate test. The parents have been very cooperative in taking the children promptly to the oculist.


The Audiometer hearing test was given to the students. There were very few failures.


All students were weighed and measured during the school year.


The Dental Clinic is held every week-day A.M. at the Board of Health rooms. Appointments to the clinic are given to the children of the first four grades of all schools in the town. Emergency cases are also taken care of.


The Crippled Children's Clinic is held the third Fri- day of the month at the Worcester City Hospital.


Rheumatic Fever Service-Hospitalization at North Reading Sanatorium is available to any child in the acute or convalescent stage of rheumatic fever under twenty- one years of age living in Massachusetts.


Cerebral Palsy Service-Hospitalization is available at Lakeville State Sanatorium to any child with Cerebral Palsy under twenty-one years of age, living in Massa- chusetts, provided that the child is normal mentally and shows evidence of being able to benefit from a treatment program.


Diphtheria and Tetanus Toxoid Clinics-This year the State provided both Diphtheria and Tetanus toxoid. Two of the clinics were held in November and December and two other clinics will be held in January and Febru- ary. The State advises four to six weeks intervals be- tween the injections so that arrangements were made to conduct the four clinics one each month. Three doses


205


are necessary. However, an extra clinic is held in case of illness. The toxoid can be given to children from the age of six months and up. .


COMMUNICABLE DISEASES


Pulmonary Tuberculosis


4


Chicken Pox


19


Measles


11


Suppurative Conjunctivitis


2


Mumps


69


Cerebro-spinal Meningitis


2


Whooping Cough


1


Poliomyelitis


1


Dog Bite


55


The Milford Consultation Clinic has been discon- tinued. These clinics were held monthly. They are now held weekly, every Tuesday and Thursday morning at the Worcester County Sanatorium in Boylston, Mass.


The last clinic in Milford was held in July. The number of patients x-rayed and examined at the clinics from January to July were-265. The number of people found with Tuberculosis at these clinics was-0.


REPORT OF THE TUBERCULOSIS CASES IN MILFORD


New patients reported 4


Number of patients in Sanatorium


during the year - 1950 13


Number of patients discharged from Sanatorium 5


Number of deaths from Tuberculosis this year 5


Number of patients in Sanatorium at end of year 7


Number of Pulmonary arrested cases at home 64


The follow-up work on the arrested cases is made by either visits to the patients, or by telephone or letter


206


to remind them to have yearly check-up x-rays, or sooner if indicated. The majority of the arrested cases are work- ing daily. They take very good care of themselves by having frequent x-rays. The report of x-rays made are sent to this office from the Sanatorium. Some of these cases have moved from town. Their records have been transferred to their new place of residence so that these cases can be followed up there.


DENTAL CLINIC


Salaries


Appropriation


$1,848.00


Dr. Joseph MacLellan


1,848.00


Balance December 31, 1950


None


General Expenses


Appropriation G. E.


$200.00


N. E. Towel Supply


$38.74


Worcester Sub. Electric Co.


15.80


J. J. Crimmings Co.


92.10


Williams' Dental Sup. Co.


48.35


194.99


Balance December 31, 1950


$5.01


GENERAL APPROPRIATIONS


Salaries


Appropriation


$7,515.40


Total Salaries 7,332.34


Balance December 31, 1950


$183.06


207


GENERAL APPROPRIATIONS


Expenses


Appropriation


$13,000.00


Total Expenditures


12,039.56


Balance December 31, 1950


$960.44


Tuberculosis


$4,896.00


Garbage Collection


4,779.65


Cahill's News Agency


70.90


Austin Davoren


207.00


Return of Deaths


56.25


Return of Births


162.25


Milford Daily News


53.15


L. A. Marino (Reimbursement)


13.16


Clarke Printing Co.


85.00


Leonard McGee


25.50


Pierina Ramelli


8.00


N. E. Tel. & Tel. Co.


129.25


Jimmie's Taxi Service


59.45


Crown Point Paper Co.


7.74


Milford W. Cleaning Co.


2.50


Wyeth, Inc.


9.75


Werber & Rose, Inc.


480.00


Leonardo L. Morcone


3.00


P. Levy, M.D.


42.00


Infectious Diseases


714.00


A. H. Sweet Co., Inc.


1


89.37


Royal Typewriter Co.


105.00


Hobbs & Warren


9.95


P-O's Furniture & Gift Shop


20.00


Rubenstein Electric Co.


10.69


$12,039.56


-


208


We wish to extend our sincere appreciation to all those who in any way co-operated with the Board of Health during the year.


Respectfully submitted,


NICHOLAS J. CAPECE, M.D., Chairman FRANK CALZONE HARRIS TREDEAU


Report of Inspector of Animals


December 31, 1950


Honorable Board of Selectmen:


Gentlemen :


I hereby submit my report for the year 1950 as In- spector of Animals for the Town of Milford.


The required annual barn and livestock inspection was conducted and 125 Cattle, 205 Pigs, 7 Sheep, 23 Goats, 27 Horses, 1 Donkey, 1 Mule were found to be free of any contagious, infectious disease. The premises were inspected and found to be satisfactory.


Since my term of office began April 1, 1950, I have quarantined 1 cat for bites and a total of 49 dogs for bites. No case of Rabies was discovered. The majority of dog bites were found to be due to children tormenting the animal or children trespassing on property not their own. I had one case of dog bite where the child was bitten, the child was not taken to a physician, the dog was not exam- ined by me, the owner having removed the dog from the


209


town without examination and refused to bring the dog to me for examination. My authority does not permit me to go outside the town limits to examine an animal. I would like to inform all owners, breeders, and handlers of dogs that it is required by law that a dog that has bitten anyone be immediately quarantined and observed for a period of fourteen days and that no one is allowed to de- stroy the animal from time of bite until the quarantine is lifted under order of State officials.


It is required by law that an animal crossing the state line shall have a health certificate and be inoculated. I inoculated one dog and placed it under quarantine and observed it for 21 days. The dog had been shipped from Pennsylvania without inoculation and health certificate. I investigated one report of dog bite where a child had fallen and injured itself. The police had been given an er- roneous report the child had been bitten, a later report by parents of child and owner of dog clarified the report. tion :


Respectfully submitted,


O. W. BEIERSDORF, D.V.M. Inspector of Animals.


Report of the Board of Sewer Commissioners 1950


To the Citizens of Milford :


We respectfully submit herewith our report on operation, maintenance and construction work of the sewerage facilities of the Town.


210


Collecting System


Sixty-three (63) particular sewers were connected in 1950 bringing the total number of connections to 2207. Lateral street sewers were constructed in Madden Ave- nue, and in the Florence Street extension district with outlet through Prairie Street, a total of 0.41 miles, bring- ing the total length of sewers to 29.30 miles.


Work on these extensions was done under contract, and awarded to the low bidder, Joseph V. Abretti & Sons. Sewers were put into operation in November.


Routine maintenance, flushing of sewers, was ac- complished during the summer period, covering entire system.


Pumping Stations


Routine operation and maintenance was accomplished at the pumping stations and odor control treatment by simple equipment feeding Cloroben was used at the Charles Street Station during the summer months. The ejector station on East Main Street is nearing the capa- city of present equipment and will require some revision as sewer connections are added in this area.


Treatment Plant


Plant operation has been improved throughout the year by operation of the sewage comminutor and by the construction of sludge pipe connections from the Imhoff tank to old sand filter areas for use as sludge drying beds to augment the existing beds, at a considerable saving in cost to the Town over construction of new beds, and al- lowing for greater amounts of sludge drawoff. A water supply main has been extended to the plant, from Hope- dale water main running towards South Milford.


211


The State Department of Health has ordered the installation of chlorination for the plant effluent and has approved plans submitted by our Engineers for this work, which is to be included in 1951 appropriation and put into operation before the summer of 1951.


366,615,000 gallons of sewage has been treated, an average of 1.0 MGD (million gallons per day) while the maximum month averaged 1.39 MGD and the minimum month 0.83 MGD.


SEWER DEPARTMENT


Financial Report for the Year 1950


Salaries and Wages:


Appropriation


$10,137.32


Labor


$6,886.32


Superintendent's Salary


(for 21 months service)


2,125.00


Commissioners Salaries


710.00


Clerk's Salary


336.00


$10,057.32


Balance


$80.00


General Expense :


Appropriation


$2,315.00


Worc. Sub. Elec. Co., power $1,$26.05


Joseph V. Abretti & Sons, sewer main repairs 200.78


Guido Sabatinelli,


sewer main repairs 189.00


New England Tel. Co., telephone 100.50


Milford Auto Sales,


gas and oil for truck 90.67


Ray's Auto Repair, repairs to truck 68.81 H. M. Curtiss Coal Co.,


fuel, pipe and lumber 65.06


N. L. Curry Oil Co.,


tools, asphalt paint 53.19


212


Rosenfeld Sand & Stone Co., sand 52.69


Central Motor Sales,


gas and oil for truck 41.26


Pacific Flush Tank Co.,


sprinklers and nozzles 41.25


Pete's Service Station, gas and oil for truck 37.23


Varney Bros. Co., sand 33.79


B. J. Clancey, truck insurance 32.80


Milford Products Co., recap of tires 27.00


Milford Water Co., water


27.80


C. Harland Aldrich,


materials for plant 14.80


Milford Locksmith Co.,


tools sharpened 10.50


J. L. Moschilli,


stationery and postage 9.00


Cahill's News Agency, stationery 8.55


T. E. Morse, materials for plant 8.50


L. N. Zocchi, materials for plant 8.21


G. A. Phillips, rent of land 8.00


Town of Hopedale, Water Dept. 7.89


L. N. Jaques, materials for plant


6.63


Acqua's Auto Service, repairs to truck 5.30


Edward J. Lucier, repairs at plant


5.00


Stanley R. Keene, rent of land


5.00


Seaver's Express, express


2.29


N. A. Cirioni,


lawn mower sharpened


2.00


$2,189.55


Balance $125.45


GUIDO SABATINELLI GEORGE F. COOPER RICHARD J. ABRETTI Board of Sewer Commissioners.


213


Report of Highway Surveyor


Herewith I submit my report as Highway Surveyor for the year 1950.


I wish to thank the employees of this department, the Honorable Board of Selectmen, the Town Account- ant, Chief of the Fire Department, and all other Town Departments, as well as the townspeople, for their co- operation and good will during the past year.


Respectfully submitted,


EDWARD C. CARROLL, Highway Surveyor.


HIGHWAY DEPARTMENT


Salaries and Wages


Appropriation


$53,367.32


Expended :


Cahill, J. Frank $1,675.00


Carroll, Edward C. 4,000.00


Payroll 47,247.42


Total Expended 52,922.42


Balance


$444.90


GENERAL EXPENSES


Appropriation


$10,700.00


Expenditures :


American Oil Co. $615.03


Ahearn's Amoco Station 16.70


214


Anchor Steel Co. 46.30


Archer Rubber Co.


4.20


Bright, Karl 49.50


Blake, George E., Inc.


673.49


Bradbury Locke Co.


23.05


Barney Coal Co.


5.50


Builders Equipment & Supply Co.


185.76


Clancey, B. J.


80.90


City Truck Co.


2.25


Commonwealth of Mass.


1.00


Casey, Wm. H., Inc.


21.69


Claugherty, Charles H.


2.97


Clyde Everett Equipment Co.


111.94


Cedar St. Super Service 1.17


Consigli & Sons Construction Co.


30.78


Cahill's News Agency


36.93


Clark Typewriter Service


27.00


Carroll, E. C.


6.00


Cicchetti, John R.


10.00


Casey, John J.


47.43


Chase, Parker & Co., Inc.


87.41


Curtiss, H. M., Coal Co.


1.25


Dyar Sales & Machinery Co.


498.66


Duro Test Corp.


17.46


Davis, H. F. Tractor Co.


339.25


Everetts' Broom & Service Co.


86.64


Eagle Oil & Supply Co.


7.84


Eastern Equipment Sales Co.


36.46


Eastman & Corbett, Inc.


17.50


Edson, E. F. Co., Inc. 59.18


Equipment Service Co., Inc.


47.93


Forbes, E. A. & Son Co.


23.19


Fuller & Wilson Express Co.


11.49


Franklin Paint Co.


20.29


Griffith, Helen


120.00


George T. Pascoe Co.


3.27


George H. Wahn Co.


139.27


G. Sabatinelli & Sons


250.00


Garvey Transportation Co.


.77


Gardella's Pharmacy


20.67


215


Hickey, J. F. Ins. Agency


79.00


Hedge & Mattheis Co. 19.02


Hopkins, Howard


3.30


H. J. Shaughnessy Oil Co.


86.76


Huff Manufacturing Co.


7.30


Homelite Corp.


34.52


Hannigan, M.


45.00


Iacovelli Oil Co.


718.05


Industrial Oil & Chemical Co.


223.17


Johnson Office Appliance Co.


50.00


Jenny Super Service Station


16.45


Koopman Tractor & Equipment Co. 5.00


Middlesex County House of Correction


75.10


Milford Water Co.


75.80


Mann, F. E. & Son


23.56


Morcone Insurance Agency


30.52


Milford Daily News


73.38


Middlesex Wiping Cloth Co.


24.86


Milford Auto Parts, Inc.


14.50


Milford Welding Service


28.50


Milford Locksmith


10.00


Lutsk, Abe


379.33


Lovejoy's Express


1.20


Jaques, Leonard N. & Sons


164.52


Lucier, Edward J.


32.00


New England Tel. & Tel. Co.


262.45


New England Towel Supply


33.00


Niro & Niro Co.


88.62


Nelson Motor Co.


58.96


Niles Auto Body


12.00


O'Brien Transportation Co.


1.20


Pressman, A.


15.00


Plains Pharmacy


3.85


Ray's Auto Repair


602.29


Ryan's Motor Sales


94.99


Rosenfeld's Garage


1,864.26


Railway Express Agency


24.67


Rose, E. O. & Son


46.55


Rugg, Edward H.


10.75


216


Robert Costa Co. 61.68


Seaver's Express, Inc.


16.66


Sheet Metal Specialties 9.34


Standard Auto Gear Co., Inc.


262.12


Stewart, Francis 25.90


Silcraft Corp.


6.44


Tighe, Edward


63.00


T. E. Morse Co.


49.24


Town Hall Service Station


5.08


The Clarke Printing Co.


29.45


Transcontinental & Western Air Service 8.84


Varney Bros. Sand & Gravel Co.


141.01


Vasco Electric Sales Co. 11.71


Vitilini, B. 4.80


Worcester Suburban Electric Co. 268.78


Worcester Oxy-Acetylene Supply


144.82


Woodworth Bros.


22.00


Western Emergency Light Co.


53.12


Zocchi, Leon


114.24


Total Expenditures 10,426.08


Balance


$273.92


RESURFACING STREETS


Appropriation


$15,000.00


Expenditures :


American Oil Co.


$598.53


Ashland Sand & Gravel Co.


150.00


Adams Asphalt Co.


74.25


B. & M. Asphalt Corp.


238.16


Corbett Concrete Pipe Co.


24.60


Consigli, P. & Sons Construction Co


638.49


City Truck Co., Inc.


1.50


Dyar Sales & Machinery Co.


709.79


George F. Blake, Inc.


52.46


217


H. J. Shaughnessy Oil Co. 52.80


Hedge & Mattheis Co. 37.60


Independent Coal Tar Co.


2,430.09


Middlesex County House of Correction 33.36


Milford Daily News


24.00


N. Y., N. H. & Hartford R. R.


6.00


Rosenfeld Sand & Stone Co.


2,615.22


Railway Express Agency


20.51


Rugg, Edw. H.


10.75


Seaver's Express, Inc.


5.74.


Traffic Road Equipment Co.


75.00


Trimount Bituminous Products Co. 2,584.89


Varney Bros. Sand & Gravel Co. 3,696.25


Total Expenditures 14,079.99


Balance


$920.01


MAINTENANCE AND CARE OF TOWN IMPROVEMENTS


Appropriation


$1,000.00


Expenditures :


Bradbury Locke Co.


$178.61


Corbett Concrete Pipe Co.


88.00


Costa, Robert


52.82


Consigli, P. & Sons Constr. Co.


34.45


Eastman & Corbett, Inc.


50.25


Davoren, Austin


12.00


Mahota, William J.


81.00


Rosenfeld Sand & Stone Co.


30.88


Shaughnessy, Joseph P.


470.00


Total Expenditures 998.01


Balance


$1.99


218


CONSTRUCTION OF ADAMS ROAD


Appropriation


$500.00


Expenditures :


American Oil Co. $ 83.36


Consigli Constr. Co., Inc. 203.50


Total Expenditures 286.86


Balance


$213.14


CONSTRUCTION OF CONGRESS TERRACE


Appropriation


$500.00.


Expenditures :


Corbett Concrete Pipe Co. $324.00


Consigli, P. & Sons Constr. Co. 162.15


Eastman & Corbett, Inc. 12.75


Total Expenditures 498.90


Balance $1.10


CONSTRUCTION OF CABOT ROAD


Appropriation


$500.00


Expenditures :


Consigli Constr. Co.


$220.00


H. J. Shaughnessy Oil Co. . 8.96


Total Expenditures 228.96


Balance $271.04


219


SURFACING GRAVEL ROADS


Appropriation


$8,000.00


Expenditures :


American Oil Co. $273.00


Consigli, P. & Sons Constr. Co. 760.50


Corbett Concrete Pipe Co. 206.29


Independent Coal Tar Co.


1,917.13


Poirier, Henry J. 774.50


Rosenfeld Sand & Stone Co. 612.47


Shaughnessy, H. J. Oil Co. 60.89


Varney Bros. Sand & Gravel Co. 3,275.44


Total Expenditures 7,880.22


Balance


$119.78


SURFACING HIGHLAND STREET


Appropriation


$2,000.00


Expenditures :


Consigli, P. & Sons Constr. Co. $450.00


Independent Coal Tar Co. 878.00


Rosenfeld Sand & Stone Co. 155.27


Shaughnessy, H. J. Oil Co. 40.35


Varney Bros. Sand & Gravel Co. 373.23


Total Expenditures 1,896.85


Balance $103.15


RECONSTRUCTION OF ASYLUM STREET


Appropriation


$2,448.00


Expenditures :


American Oil Co.


$214.27


Consigli, P. & Sons Constr. Co.


745.05


220


Corbett Concrete Pipe Co. 48.60


Clark, Bertha


283.50


Davis, H. F. Tractor Co.


71.40


Independent Coal Tar Co.


302.98


Payroll


54.74


Ruhan Signs


10.00


Rosenfeld Sand & Stone Co. 93.49


Seaver's Express, Inc.


.77


Shaughnessy, H. J. Oil Co.


76.41


Varney Bros. Sand & Gravel Co.


3.00


Volpe, Joseph 24.00


Total Expenditures


1,928.21


Balance


$519.79


SURFACE DRAINAGE - WEST MAPLE STREET


Appropriation


$353.70


Expenditures :


Clark, Bertha $ 9.00


Curry, M. L. Oil Co. 75.93


Rosenfeld Sand & Stone Co. 15.60


Varney Bros. Sand & Gravel Co.


248.70


Total Expenditures 349.23


Balance $4.47


SURFACE DRAINAGE - ARCHER AVENUE


Appropriation


$2,741.50


Expenditures :


M. L. Curry Oil Co. 75.93


Balance $2,665.57


221


REPAIRS TO SIDEWALKS


Appropriation


$2,000.00


Expenditures :


Adams Asphalt Co.


$416.18


Costa, Robert


1,065.32


Consigli, P. & Sons Constr. Co. 75.50


Milford Grain Co. 24.15


Mass. Broken Stone Co.


160.61


Rosenfeld Sand & Stone Co.


256.26


Total Expenditures 1,998.02


Balance $1.98


MAINTENANCE OF ROADS AND SIDEWALKS IN METERED AREA


Appropriation


$2,000.00


Expenditures :


Costa, Robert


$906.78


Eastman & Corbett, Inc.


7.50


Rosenfeld Sand & Stone Co.


628.00


Total Expenditures


1,542.28


Balance


$457.72


SIDEWALK - WEST MAPLE STREET


Appropriation :


$2,800.00


Expenditures :


Adams Asphalt Co.


$289.75


Bradbury Locke Co.


16.49


Eastman & Corbett, Inc. 49.50


Frieswick, Oliver


76.14


222


Mass. Broken Stone Co. 263.07


Nelson Cement Stone, Inc. 445.76


Shaughnessy, H. J. Oil Co. 14.58


Varney Bros. Sand & Gravel Co. 78.35


Volpe, Joseph 18.39


Total Expenditures 1,252.03


Balance


$1,547.97


SIDEWALK - WEST SIDE OF FREE STREET


Appropriation


$2,200.00


Expenditures :


Clark, Bertha $ 4.50


Eastman & Corbett, Inc. 10.50


Fantini & Trotta


139.50


Mass. Broken Stone Co.


204.68


Nelson Cement Stone, Inc.


291.44


Rosenfeld Sand & Stone Co.


24.00


Varney Bros. Sand & Stone Co.


33.35


Total Expenditures 707.97


Balance


$1,492.03


SIDEWALK - SUMNER AND GRANITE STREETS


Appropriation


$3,720.00


Expenditures :


Adams Asphalt Co. $ 517.00


Costa, Robert 211.84


Eastman & Corbett, Inc.


14.00


H. J. Shaughnessy Oil Co. 42.59


Mass. Broken Stone Co.


445.08


223


Nelson Cement Stone, Inc. 208.68


Varney Bros. Sand & Gravel Co. 164.95


Volpe, Joseph 62.39


Total Expenditures 1,666.53


Balance


$2,053.47


SIDEWALK - LAWRENCE STREET


Appropriation


$2,846.53


Expenditures :


Adams Asphalt Co.


$611.25


Bradbury Locke Co.


88.25


Clark, Bertha


9.00


Costa, Robert


36.00


Mass. Broken Stone Co.


475.39


Milford Welding Co.


55.50


Nelson Cement Stone, Inc.


347.80


Rosenfeld Sand & Stone Co.




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