Town Annual Report of the Officers of the Town of Milford, Massachusetts 1959, Part 7

Author: Milford (Mass.)
Publication date: 1959
Publisher: The Town
Number of Pages: 286


USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1959 > Part 7


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


Collecting System:


Periodic flushing and cleaning of main and branch sewer lines as required has been accomplished during the Summer months.


102


New construction was added by the Department in Purchase Street to near Silver Hill Street and in Medway Road from Route 16 to the Railroad crossing.


Lengths of new sewers constructed are as follows :--


Location


Size


Purchase Street


8" A.C.


Length 815 ft.


Medway Road


10" A.C.


1025 ft.


Total


1940 ft. = 0.349 miles


Previously constructed to 1959


33.329 miles


Total length of main sewers


33.678 miles


Service Connections:


Thirty-seven (37) additional service connections were installed, for a total number of services of 2656.


Pumping Stations:


Work on pumping stations consisted of routine maintenance and operation.


Existing stations operated by the Department are as follows :-


1. Charles Street.


2. Medway Road and East Main Street.


3. Billa Street-near Lake Louisa.


4. Purchase Street-beyond Harris Avenue.


Treatment Plant:


Reconstruction and additions to the sewage treatment plant were completed during the year, greatly increasing the plant capacity and improving the effectiveness of treatment. New primary and secondary settling tanks were constructed, rotary distributors added to the trickling filters, and vacuum sludge drying equipment installed in a new operating building, enabling this work to proceed on a year-round basis and without objectionable odors. Effluent is chlorinated before discharge into the Charles River. This plant is the first in the State to employ vacuum filtration of raw sludge.


103


An "Open House" was held on October 24, 1959 for public inspection of the new facilities, but was very lightly attended due to inclement weather. The Board extends an invitation to all citizens to visit this plant during working hours.


Additional work required for the sewerage works includes in- creased capacity for the main outfall sewer to carry. high rates of flow to the plant, installation of permanent measuring flume now done by 'temporary 'structure, new comminutor, roadway and walk paving, and improved wash water pumping equipment, which items were not included in the plant reconstruction.


Problems in regard to proposed developments outside the present sewered areas are under study by the Board, in cooperation with the Planning Board and the Board of Health.


The Board thanks the various departments for their assistance during the year, especially the Highway Department and Fire Department.


Respectfully submitted,


GUIDO SABATINELLI


ROBERT M. BICKFORD JOSEPH L. DELUCA


Board of Sewer Commissioners


JOHN L. MOSCHILLI, Clerk


FINANCIAL REPORT FOR THE YEAR 1959


Salaries and Wages


Appropriation


$12,250.48


John Roberti-Labor


$ 4,198.58


Leo Morcone-Labor


3,983.48


Primo Candini-Labor


1,447.20. '


Guido Sabatinelli-Supt. 1,320.00


: John L. Moschilli-Clerk 500.00


Guido Sabatinelli-Chairman 302.00


Robert Bickford-Commissioner .


242.00


104


Joseph DeLuca-Commissioner


242.00


Total


12,235.26


Balance


CA 15.22


General Expense 1


Appropriation


$ 7,000.00


Worcester County Elec .- Power $2,332.61


H. M. Curtiss Coal Co .- Fuel and Lime 633.46


Guido Sabatinelli, Jr .- Materials and Repairs


611.75


New Eng. Pump & Mach. Co .- Equipment


528.36


Howe & French-Chloride 487.91


Fields Point Mfg .- Chlorine


414.00


Town of Hopedale-Water.,


328.40 .


Town Hall Service-Materials


304.55


Station-


J. E. Greenlaw-Oil


249.17


New Eng. Tel. Co .- Telephone


212.44


American Oil Co .- Gas for Truck


166.60


Ray's Auto Repair- Repairs


141.90


Wm. H. Casey-Materials


118.91


Sanfax Co .- Chemical


100.20


B. J. Clancey-Insurance


95.52


Milford Water Co .- Water


86.24


Aldrich Lawn Mower Service


30.35


Stanley R. Keene-Rent of Land


25.00


L. N. Jaques & Sons-Materials


16.93


Milford Neon Co .- Sign


16.00


Abretti's Variety Store-Materials


13.90


DiPietro's Hardware-Materials


13.53


John L. Moschilli-Postage


12.00


Rubenstein Elec. Co .- Materials


8.25


Milford Daily News-Advertising


8.00


Wallace & Tiernan, Inc .- Materials


7.50


Milford Products Co .- Materials


5.47


Bristol Co .- Materials


4.60


Wm. J. O'Donnell-Materials


4.50


105


B.I.F. Industries-Materials 3.91


O'Brien Transportation-Truck Service 2.45


Fitzpatrick & Serrano-Stickers


1.00


Total


Balance


6,985.41 $ 14.59


BOARD OF SEWER COMMISSIONERS


Guido Sabatinelli, Chairman Robert Bickford Joseph DeLuca


Report of Town Hall Custodian


To the Honorable Board of Selectmen:


Financial Report


Salary Appropriation


$4,037.31


John O'Connor


$3,937.31


Frank Compagnone


50.00


John Tosches


50.00


$4,037.31


General Expense Appropriation


Boston Janitors' Supply Co., Inc.


$ 109.80


Charlie's Amoco Service Station


.47


B. J. Clancey


17.74


Clark-Shaughnessy, Inc.


1,315.58


Commonwealth of Massachusetts


25.00


C. B. Dolge Co.


65.15


Oliver Frieswick


60.19


J. I. Holcomb Mfg. Co., Inc.


73.70


S. N. Mele


25.59


Milford Locksmith Co.


8.50


$4,525.00


106


Milford Water Co.


213.98


Niro & Niro Co.


367.50


Odorite Co.


22.00


Bill Power


9.50


Ray's Floor & Janitor's Service


48.00


Rose Machine Shop


2.50


Rosenfeld's Garage


110.25


Rubenstein's Elec. Supply Co.


25.05


Seaver's Express, Inc.


2.00


M. D. Stetson Co.


143.10


Stimpson's


9.00


Thompson Oil Co., Inc.


429.76


Tile-O-Rama


292.20


Worcester County Electric Co.


1,042.02


Worcester Gas Light Co.


24.67


Leon Zocchi


78.48


Balance


3.27


$4,525:00


I wish to extend my sincere thanks to all those who co-operated with this department during the year.


Respectfully submitted,


JOHN O'CONNOR, Custodian


Vernon Grove Cemetery January 1, 1995 to December 31, 1959


To the Honorable Board of Selectmen:


Receipts


Appropriation (wages and salaries )


$3,800.00


(Expenses ) 700.00


Withdrawn from Perpetual Care Funds 1,517.83


$6,017.83


107


Expenditures


Wages and Salaries:


Henry Bouchard 34612 hrs. at 1.00 p.h. $ 346.50


Roger Boulanger


71/2 hrs. at 1.00 p.h. 71.50


Francis Canali 6 hrs. at 1.00 p.h. 6.00


John Davis 581 hrs. at 1.00 p.h. 581.00


Franklyn DeWolfe 352 hrs. at 1.00 p.h.


35.50


Robert Eldredge 62 hrs. at 1.00 p.h. 62.00


Lee French 8 hrs. at 1.00 p.h. 8.00


Ronald Griswold 103 hrs. at 1.00 p.h.


103.00


Fred McAndrews 2029 hrs. at 1.10 p.h.


2,231.90


W. Malmquist 90% hrs. at 1.00 p.h.


90.50


J. J. Marshall, Jr. 20 hrs. at 1.00 p.h.


20.00


Arthur Spoffard 504 hrs. at 1.00 p.h. 504.00


Francie Sweeny


24 hrs. at 1.00 p.h. 24.00


Walter Walent


56 hrs. at 1.00 p.h.


56.00


Dwight L. Watson, salary as secretary


600.00


3937 hrs.


4,739.90


Expenses :


Aldrich's Lawn Mower Service


187.20


Casey's Store


10.99


Cahill's Store


9.10


Costa, Robert


10.00


Electric Motor Sales


175.33


Evergreen Cemetery


90.00


Iacovelli Oil


124.53


Jaques Hardware


14.53


Milford Water Company


44.34


Frank Murphy


381.53


Rose Machine Shop


16.50


Standard Auto Gear, Inc.


3.67


Sullivan Brothers


35.20


Varney Brothers


18.00


Dwight L. Watson (reimbursement)


157.01


1,277.93


$6,017.83


108


Income Not Available for Expenditures


Care of Lots


Interments Perpetual Care Sale of Lots and Graves


$ 270.00


1,395.00


875.00


210.00


$2,750.00


Respectfully submitted,


DWIGHT L. WATSON


POMEROY EDWARDS


HUGO V. LARSON


ARTHUR DELFANTI


JESSE E. PEASLEE


HENRY F. BULLARD


The Trustees


Tax Collector's Report


January 12, 1960


To Honorable Board of Selectmen Milford, Mass.


Gentlemen:


Herewith is the itemized list of the annual expenditures of the department in charge of the Tax Collector.


The Town Report also gives us the opportunity to thank the members of all the other departments that make up our Town Government for their help through the year.


Respectfully yours,


CYRIL F. KELLETT, Tax Collector


109


FINANCIAL REPORT FOR 1959 Salaries


$8,919.50


Appropriation


Cyril F. Kellett


$5,649.52


Frances C. Hennessy


3,269.98


Total


$8,919.50


Expenses


Appropriation


$1,900.00


A. A. LaFond & Co.


$ 401.90


H. Wendell Beal


28.50


Cahill's News Agency


37.75


Clarke Printing Co.


38.95


Expenses to Meetings


6.00


Hobbs & Warren, Inc.


63.45


Frances C. Hennessy


33.08


Jenkins-Simmons Trans. Co., Inc.


2.30


Johnson Office Supply Co.


22.19


Mass. Coll. & Treas. Ass'n.


7.00


Milford Daily News


32.25


Transport Clearing of N. E. Inc.


2.30


New Eng. Tel. & Tel. Co.


180.30


The New England Paper Co.


4.92


Norm's Office Equipment Co.


17.40


Royal McBee Corp.


17.20


Standard Duplicator Sales, Inc.


8.01


Ellis Traub Business Machines


2.00


U. S. Post Office


973.26


Worc. Dist. Registry of Deeds


19.00


Balance


2.24


Total


$1,900.00


Bond Account


Appropriation


$ 518.75


Karl A. Bright Insurance Agency $ 411.75


110


Balance


107.00


Total


$ 518.75


Burglary Insurance


Appropriation B. J. Clancey Insurance $ 216.00


$ 216.00


Report of Board of Appeal


Honorable Board of Selectmen Milford, Massachusetts


Gentlemen:


We are herewith submitting our report of the number of cases heard during the year 1959 and disposition made of them.


Number of cases heard 21


Number of cases approved and accepted 18 Number of cases rejected 3


Appropriation for 1959 $75.00


Expenditures:


George O. Stewart ( Reimbursement ) $27.32


Clarke Printing Co. of Milford 16.20


Balance $31.48


Respectfully submitted, JOHN L. MOSCHILLI, Chairman WILLIAM L. WHALEN GEORGE O. STEWART, Secretary


Board of Appeal of Milford


111


Assessors' Report for 1959


To the Honorable Board of Selectmen:


Town Appropriations


$2,067,376.67 :


Deficit in Overlay Account-1952, 1956 and 1957 873.70


$2,068,250.37


1959 Estimates


State Parks and Reservations


8,806.94 >


State Audit of Municipal Accounts


3,187.53


State Examination of Retirement System


65.67


12,060.14


County Tax


82,392.03


Tuberculosis Hospital Assessment


46,204.14


128,596.17


1958 Underestimates


17,323.70


145,919.87


Overlay of current year


56,000.00


Gross amount to be raised


$2,282,230.38


Estimated Receipts and Available Funds


Income Tax


145,375.80


Corporation Taxes


66,586.03


Reimbursement on account of publicly owned land


504.20


Old Age Tax ( Meals) Chapter 64B, S. 10


6,966.88


Motor Vehicle and Trailer Excise


152,649.44


Licenses 25,900.00


Fines


1,800.00


Special Assessments


700.00


General Government


4,900.00


Protection of Persons and Property


1,700.00


112


Health and Sanitation


2,300.00


Highways


1,100.00


Charities (other than federal grants )


113,000.00


Old Age Assistance ( other than federal grants )


121,000.00


Veterans' Services


18,000.00


School


14,519.96


Libraries


100.00


Recreation


2,100.00


Cemeteries (other than trust funds and sale of lots )


900.00


Interest


16,455.08


State Assistance for School Construction-


Chapter 645, Acts of 1948


13,698.58


Farm Animal Excise


89.51


Housing Authority


2,484.00


Total estimated receipts


712,829.48


1958 Overestimates to be used as


Available Funds


1,502.93


Total Available Funds


105,300.00


Total Estimated Receipts and Available Funds 819,632.41


Net Amount to Be Raised by Taxation on Polls and Property $1,462,597.97


Number of Polls, 4969 @ $2.00 each 9,938.00


Total Valuation of Personal Property


$2,004,600.00 @ $79.00 per thousand 158,363.40


Total Valuation of Real Estate


$16,883,500.00 @ $79.00 per thousand


1,294,296.57


Total Taxes Levied on Polls and Property $1,462,597.97


Excise Commitments of Year $ 140,732.76


Tax Rate for 1959-$79.00


113


Special Appropriation (Valuation Book)


$ 2,000.00


The Clarke Printing Company


$ 4.00


Milford Daily News


15.75


Cahill's News Agency, Inc.


7.50


Expenses in connection with checking, typing and preparation of material for printer D. C. Collins Company


200.00


1,772.75


$ 2,000.00


Financial Report


Salary Appropriation


$10,589.93


Donald F. Phillips


$ 1,584.00


Paul F. Bruno


4,209.45


Christopher C. Morcone


1,584.00


Mary F. Introini


3,212.48


$10,589.93


Expense Appropriation


$ 1,200.00


Association of Mass. Assessors


$ 9.00


Banker & Tradesman


24.00


H. Wendell Beal


78.25


Burroughs Corporation


20.80


Cahill's News Agency, Inc.


194.00


Clarke Printing Company


37.00


Expenses to meetings


53.75


Hire of car


50.00


Hobbs & Warren, Inc.


171.45


Johnson Office Supply Co.


56.46


N. E. Tel. & Tel. Co.


178.65


Royal McBee Corporation


35.00


Taylor Abstract Co.


48.44


U. S. Post Office


36.00


114


Special Appropriation


Worcester District Registry of Deeds 207.20


$ 1,200.00


Our sincere appreciation is extended to all those who in any way co-operated with this board during the year.


Respectfully submitted, DONALD F. PHILLIPS, Chairman PAUL F. BRUNO, Clerk CHRISTOPHER C. MORCONE


Report of Highway Surveyor


Herewith I submit my report as Highway Surveyor for the year 1959.


I wish to thank the employees of this department, the Honor- able Board of Selectmen, the Town Accountant, Chief of the Fire Department, and all other Town Departments, as well as the towns- people for their cooperation and good will during the past year.


Respectfully submitted,


EDWARD C. CARROLL,


Highway Surveyor


Salaries and Wages


Appropriation:


$85,319.44


Expenditures :


Cahill, J. Frank


$ 1,875.00


Carini, William


2,480.60


Carroll, Edward C.


5,981.85


Morte, Dorothy


3,212.48


115


Bega, Antonio


5,038.08


Slavin, Edwin


4,216.01


Bega, Peter


4,229.60


Bradley, James


4,042.60


Charzenski, Henry


4,221.10


Darney, Charles


4,261.90


Delmonte, Gaetano


4,027.30


Miller, Dean


4,175.20


O'Keefe, David


4,037.50


Perry, Paul


4,161.60


Timlege, Daniel


4,392.80


Tomaso, Salvatore


4,233.00


Morte, Dominic


2,400.75


Ferrante, Gaetano


3,486.12


Simonetta, Alfred


3,160.86


Bromley, Richard


1,251.00


Transient Labor


5,618.50


Total Expended:


80,503.85


Balance:


$ 4,815.59


General Expenses


Appropriation:


$12,000.00


Expenditures :


American Oil Co.


$273.73


American Pamcor, Inc.


47.11


AGA


35.14


Atlantic Service Station


11.19


Bright, Karl A. Ins., Inc.


177.88


Bega, Antonio


.50


Bradbury-Locke Co.


33.46


Bancroft Oil Co.


292.68


Bert's Auto Sales


279.64


Blake, Geo. F., Inc.


45.20


Barr's Auto Electric Service


68.71


Brookline Machine Co.


46.07


Casey, John J., Inc.


344.00


Casey, Wm. H. Store, Inc.


136.96


116


Clancey, B. J. Insurance


285.58


Clarke Printing Co.


70.25


Curtiss, H. M. Coal Co.


7.84


Central Upholstering Studio


72.00


Carmichael's Pharmacy


.90


Cahill's News Agency


4.53


Carroll, Edward C.


3.20


Casey & Dupuis Equip. Corp.


17.05


Costa, Robert Co.


28.70


Central Supply Co.


38.58 ยท


Commonwealth of Massachusetts


1.00


DiPietro's Paint & Hardware Store


6.40


Duridas, John


35.00


Davis, H. F. Tractor Co.


71.05


Edson, E. F. Co., Inc.


601.85


Fitzgerald Glass & Mirror Co.


15.80.


Fitzpatrick & Serrano, Inc.


16.64


Frieswick, Oliver


202.91


Gar-Wood, Boston


143.35


Gar-Wood, Worcester


7.65


Gorman, Joseph H., Jr.


175.00


Hickey, J. F. Insurance Agency


302.00


Holmes Systems Clearings


2.30


International Harvester Co.


44.15


Julian's Oil Service


839.46


Joe's Auto Body Shop


30.00


Jaques, Leonard N. & Sons


.60


Jenkins & Robinson, Inc.


26.18


Lucier, Leo


5.00


Morcone, Joseph-Sons


77.38


Mann, F. E. & Son


61.00


Milford Auto Parts, Inc.


384.31


Milford Water Co.


60.46


Middlesex Wiping Cloth Co.


24.05


Morcone Bros.


61.50


Milford Daily News


5.87


Mass. Correctional Institution


68.32


Milford Auto Body Co.


40.00


Milford Vacuum Cleaner Service


50.00


117


New England Tel. & Tel. Co.


389.64


New York Central Railroad Co.


110.00


New England Towel Supply


59.50


Niro & Niro Co.


1,072.67


New England Electronics Co.


800.20


Norman, Charles P.


20.00


O'Brien Transportation Co., Inc.


2.30


Peterson Bros. Tool Co.


14.65


Park Avenue Distributors, Inc.


18.95


Gustavo Preston Co.


73.15


Rosenfeld's Garage


816.26


Ray's Auto Repair


854.52


Ryan, H. C. Motor Sales, Inc.


136.05


Rose Machine Shop


6.00


Roebling's, John A. & Sons


40.40


Seaver's Express, Inc.


12.56


Stimpson's Office Supplies


617.52


Shaughnessy, H. J. Oil Co.


175.45


Standard Auto Gear Co., Inc.


43.01


Slavin, Edwin


1.50


Simplex Time Recorder Co.


27.12


Scott-Ahearn Chevrolet, Inc.


1.15


Trubilt Truck Body Co., Inc.


18.65


Turner's Spring Service Co.


7.00


Town Hall Service Station


44.10


Ted's Diner


1.60


Underwood Corporation


30.85


U. S. Post Office


16.00


Varney Bros. Sand & Gravel, Inc.


33.84


White, George


55.20


Worcester County Electric Co.


353.94


Weston Emergency Light Co.


214.70


Worcester Oxy-Acetylene Supply Co.


102.14


Zocchi, Leon


37.85


Total Expenditures:


Balance:


11,888.60 $ 111.40


118


Resurfacing


Appropriation:


$19,000.00


Expenditures :


Atlantic Broom Service, Inc.


$ 1,458.00


Alexander, Louis A. Co.


4.80


American Oil Co.


1,385.63


B & M Crushed Stone Corp.


298.35


Bancroft Oil Co.


69.60


Builders' Equipment & Supplies Co.


72.25


Balian, Peter


19.50


Boston Janitors Supply Co., Inc.


90.81


Casey & Dupuis Equipment Corp.


303.13


Consigli Construction Co., Inc.


511.05


Costa, Robert Co.


199.85


Dyar Sales & Machinery Co.


517.39


Day Bros., Inc.


16.40


Eastman & Corbett, Inc.


48.00


Gar Wood-Worcester


33.56


Henley-Lundgren Co., Inc.


6,012.47


International Harvester Co.


10.52


Milford Daily News


36.00


Noqueira Tractor Service


662.00


New England Electronics Co.


16.75


Rosenfeld's Garage


57.67


Rose Machine Shop


2.00


Rosenfeld Sand & Stone Co.


1,307.70


Rolen Construction Co.


945.60


Ray's Auto Repair


32.00


Shaughnessy, H. J. Oil Co., Inc.


80.07


Standard Auto Gear Co., Inc.


4.09


Seaver's Express, Inc.


4.45


Sabatinelli, E. L. Sons, Inc.


125.00


Town Hall Service Station


24.44


Trubilt Truck Body Co., Inc.


25.15


Trimount Bituminous Products Co.


3,096.35


Varney Bros. Sand & Gravel, Inc.


601.57


Volpe, Joseph & Son


846.07


119


Worcester Oxy-Acetylene Supply Co. 29.71


Total Expenditures:


18,947.93


Balance


$ 52.07


New Sidewalk Construction


Appropriation :. ..


$12,422.58


Expenditures :


Albert's


$ 22.70


American Oil Co.


281.20


Blake, George F., Inc.


606.06


Bradbury-Locke Co.


19.15


Consigli Construction Co.


257.05


Casey, Wm. H. Store, Inc.


32.98


Curtiss, H. M. Coal Co.


18.95


Davis, H. F. Tractor Co.


35.00


Edson, E. F. Co., Inc.


157.60


Eastman & Corbett, Inc.


269.00


Fletcher, H. E. Co.


1,319.45


Gar Wood-Worcester


50.85


Guerriere, A.


222.50


Henley-Lundgren Co., Inc.


248.45


Labor


276.00


Milford Heating & Cooling


17.50


Morley Equipment Co., Inc.


2.00


Rosenfeld's Garage


436.95


Varney Bros. Sand & Gravel, Inc.


193.57


Volpe, Joseph & Son


284.75


Total Expenditures: 4,751.71


Balance:


$ 7,670.87


New Drainage Construction


Appropriation:


$10,725.46


Expenditures :


American Oil Co. $ 259.65


120


Atlantic Brick Co.


53.00


Bradbury-Locke Co.


56.16


Corbett Concrete Pipe Co., Inc.


1,204.08


Camosse Bros., Inc.


431.07


Consigli Construction Co., Inc.


2,000.85


Commonwealth of Massachusetts


96.00


Curtiss, H. M. Coal Co.


17.74


C & J Automotive


7.00


Costa, Robert Co.


468.28


Chase, Parker & Co., Inc.


145.59


Eastman & Corbett, Inc.


955.00


Edson, E. F. Co., Inc.


157.60


Gar Wood-Boston


515.30


Jenkins & Robinson, Inc.


5.25


Labor


652.85


Morley Equipment Co., Inc.


102.48


Milford Auto Parts, Inc.


138.76


Medway Block Co.


6.50


Milford Heating & Cooling


8.75


Nogueira Tractor Service


648.00


Penn Culvert Co.


548.66


Rosenfeld Sand & Stone Co.


83.21


Rosenfeld's Garage


336.03


Ryan, H. C. Motor Sales, Inc.


286.50


Sabatinelli, Guido & Sons


145.00


Varney Bros. Sand & Gravel, Inc.


422.14


Total Expenditures:


9,751.45


Balance:


$ 974.01


Agnes Road Construction


Appropriation:


$ 529.80


Expenditures :


Eastman & Corbett, Inc.


$ 48.00


Total Expenditures:


48.00


Balance:


$


481.80


121


ladarola Avenue


Appropriation :


$


816.98


Expenditures : None


Balance:


$


816.98


Main Street Drain


Appropriation:


$ 1,210.69


Expenditures: None


$ 1,210.69


Sumner Street Extension


Appropriation:


$ 1,343.55


Expenditures :


Builders' Equipment & Supplies Co. $ 455.05


Total Expenditures: 455.05


Balance:


$


888.50


Granite Curb-Walnut Street


Appropriation:


$ 1,500.00


Expenditures : Fletcher, H. E. Co.


$ 1,118.00


Labor


261.20


Nogueira Tractor Service


56.00


Varney Bros. Sand & Gravel, Inc.


45.84


Total Expenditures: 1,481.04


Balance:


$ 18.96


Blanchard Road (Chapter 718)


Appropriation:


$11,550.00


122


Balance:


Expenditures :


American Oil Co.


$ 73.20


Consigli Construction Co., Inc.


4,360.95


Corbett Concrete Pipe Co.


928.08


Camosse Bros., Inc.


327.83


Curtiss, H. M. Coal Co.


54.85


Costa, Robert Co.


333.89


Eastman & Corbett, Inc.


523.00


Labor


1,471.14


M C I South Walpole


569.54


Rosenfeld Sand & Stone Co.


110.36


Shaughnessy, H. J. Oil Co.


13.05


Trimount Bituminous Products Co.


294.28


Varney Bros. Sand & Gravel, Inc.


261.16


Volpe, Joseph & Son


134.00


Total Expenditures :


9,455.33


Balance:


$ 2,094.67


West Fountain Street


Appropriation :


$19,077.69


Expenditures: None


$19,077.69


Balance:


Carven Road


Appropriation:


$ 700.00


Expenditures:


Consigli Construction Co., Inc. $ 161.20


161.20


Total Expenditures:


$


538.80


DiVittorio Drive


$ 950.00


Appropriation:


123


Balance:


Balance: Expenditures: None


$ 950.00


1


Sidewalk Repairs


Appropriation:


$ 4,000.00


Expenditures :


Bradbury-Locke Co.


$ 78.90


B & M Crushed Stone Corporation


5.75


Costa, Robert Co.


309.82


Cape Cod Overland Express, Inc.


4.47


Con-treat Products Co.


159.64


Curtiss, H. M. Coal Co.


164.35


Casey, Wm. H. Store, Inc.


39.98


Corbett Concrete Pipe Co., Inc.


2.40


DeIeso, Steve


61.04


-


Edson, E. F. Co., Inc.


420.85


Hallemite Mfg. Co.


48.75


Hemingway Bros. Trucking Co.


4.68


Jaques, Leonard N. & Sons


1.00


Milford Heating & Cooling


15.05


Rosenfeld Sand & Stone Co.


508.07


Rolen Construction Co.


97.50


Seaver's Express, Inc.


4.83


Stonehard Co., Inc.


69.30


Sabatinelli, E. L. Sons, Inc.


325.00


Sabatinelli, Guido & Sons


75.00


Varney Bros. Sand & Gravel, Inc.


1,004.71


Volpe, Joseph & Son


266.54


Weston Emergency Light Co.


86.40


Zocchi, Leon


6.59


Total Expenditures: 3,760.62


Balance:


$ 239.38


Town Improvements


Appropriation: $ 500.00


124


Expenditures :


Aldrich's Lawn Mower Service


$ 3.95


Bradbury-Locke Co. 47.29


Consigli Construction Co., Inc.


342.90


Casey, Wm. H. Store, Inc.


44.26


Nogueira Tractor Service


28.00


Total Expenditures: 466.40


Balance:


$ 33.60


Street and Square Signs


Appropriation:


$ 500.00


Expenditures:


Blake, George F., Inc.


$ 15.86


Central Supply Co.


22.48


Milford Sign Studio


186.00


Standard Sign & Signal Co., Inc.


15.00


Sharon Bolt & Screw Co.


23.44


Total Expenditures:


262.78


Balance:


$ 237.22


Snow Removal


Appropriation:


$34,000.00


Expenditures :


American Oil Co.


$ 1,006.99


Blake, George F., Inc.


270.00


Balian, Peter


43.25


Barr's Auto Electric Service


6.25


Bert's Auto Sales


97.84


Boston Janitors Supply Co., Inc.


34.50


Bradbury-Locke Co.


377.04


Costa, Robert Co.


265.25


Cyr, Gene


5,807.27


Consigli Construction Co., Inc.


135.00


Central Upholstering Studio


516.15


125


Casey, John J., Inc.


72.50


Costigan, Charles


218.25


Curran Lumber Co.


220.50


Ciccarelli, John


139.50


Chemical Corp.


428.00


Dyar Sales & Machinery Co.


1,457.75


Davis, H. F. Tractor Co.


1,537.32


Duffy's Diner


4.65


Dingley Manufacturing Co.


21.40


Day Bros., Inc.


84.50


Eutectic Welding Alloys


56.92


Fitzpatrick's Express


168.75


Fitzgerald Glass & Mirror Co.


12.00


Feccia, Frank


45.00


George's Lunch


25.25


Gar Wood-Worcester


163.88


Hickey, J. F. Insurance


245.75


Highland Construction Co.


337.50


International Salt Co.


3,264.00


Julian's Oil Service


355.05


Labor


4,233.71


Larson, Robert


662.00


Molinari, John


372.30


Mancuso, James


209.25


Milford Auto Parts, Inc.


112.50


Nogueira Tractor Service


867.50


New York Central Railroad Co.


10.00


New England Electronics Co.


130.24


New England Engine & Parts Co.


74.50


O'Brien Transportation Co., Inc.


4.29


Ryan, H. C. Motor Sales, Inc.


24.73


Rose Machine Shop


51.00


Rolen Construction Co.


524.00


Rosenfeld Sand & Stone Co.


3,686.21


Rockwood, Richard


157.50


Rosenfeld's Garage


123.41


Ray's Auto Repair


95.65


Standard Auto Gear Co., Inc.


118.24


Sabatinelli, Guido & Sons


945.50


126


Shaughnessy, H. J. Oil Co., Inc.


19.79


Ted's Diner


169.15


Trubilt Truck Body Co., Inc.


86.48


Tusino, John


840.50


Turnpike Truck Parts, Inc.


12.00


Trettel, James


78.00


Torrey's Garage & Welding Service


1,336.83


Volpe, Joseph & Son


586.25


Weston Emergency Light Co.


18.60


Worcester Oxy-Acetylene Supply Co.


46.71


Webster, Arthur J.


263.25


Walnut Farms, Inc.


96.00


Weather Services, Inc.


250.00


Young, Jack Co.


68.94


Total Expenditures :


33,693.04


Balance:


$ 306.96


New Car


Appropriation:


Expenditures :


Milford Daily News


$ 15.75


Ryan, H. C. Motor Sales, Inc.


1,991.69


Total Expenditures :


Balance:


$ 8.31


Sidewalk Tractor


Appropriation:


$ 5,000.00


Expenditures :


$ 3,900.00


Davis, H. F. Tractor Co.


15.75


Milford Daily News


3,915.75


Total Expenditures:


Balance:


$ 1,084.25


127


1,975.94


$ 2,000.00


Brooks-Flood Damages


Appropriation:


$ 3,100.02


Expenditures : . Costa, Robert Co.


$ '899.11 899.11


Total Expenditures:


Balance:


$ 2,200.91


Chapter 90 Maintenance


Appropriation:


$ 6,000.00


Expenditures :


Charzenski, Henry


$ 80.00


Corbett Concrete Pipe Co.


93.00


Henley-Lundgren Co., Inc.


270.81


Labor


2,594.32


Noqueira Tractor Service


104.00


Road Machinery Fund


2,854.00


Total Expenditures: 5,996.53


Balance:


$ 3.47


Report of Police Department


January 7, 1960


The Honorable Board of Selectmen Town Hall, Milford, Massachusetts


Gentlemen:


It is my pleasure to submit the following report of arrests and other duties performed by your Police Department during 1959.


Sgt. John J. McGrath, Director of the Auxiliary Police, has con- tinued the fine progress with this Unit for the year 1959. They are


128


a most essential unit in an emergency, for without their assistance we in the Police Department would be sorely taxed.


Sgt. Edward J. Rizoli was graduated from the Police Officers Training School, sponsored by the Massachusetts Chief's Associa- tion and connected with the State Police Training School at Fra- mingham, Mass. Since the school has been operating we have sent two Sergeants and fourteen patrolmen who have graduated. We commend the school and hope to continue our policy of sending our men there.




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.