USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1960 > Part 14
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$5,355.00
Ahearn, James
86.40
Bickford, Robert
53.60
Carlstrom Bus Lines
500.65
Curley, James
48.00
Davoren, David I.
250.00
DiAntonio, Charles
143.20
DiGirolamo, Nicholas
124.80
O'Brien-Rizoli Bus Company
9,250.00
Ruggiero, John
136.00
Smith, Charles
68.00
Stewart, George O. Bus Company
10,480.00
Ted's Taxi
105.25
Tessicini, Richard
55.20
Town Taxi
695.34
Tredeau, Harris
54.40
White, William K.
5,382.00
$32,787.84
TUITION
Framingham, Town of
$132.30
Worcester, City of
3,150.97
$3,283.27
ATHLETIC EQUIPMENT
Bright, Karl A. Insurance Agency, Inc.
$675.00
Collegiate House, Inc.
23.36
Harold's, Inc.
344.25
Horace Partridge
396.97
Ivory System
151.50
Medart, Fred Products, Inc.
236.06
238
San-Col Cleaners Shaw's Sporting Goods
68.35 303.20
$2,198.69
NEW EQUIPMENT
Aldrich, Robert
$63.45
Bailey Woodworking Company
1,018.40
Bavosi, Catherine V.
460.15
Carbeau, Inc.
722.00
Denoyer-Geppert Co.
90.29
Dick, A. B. Products Company
895.87
DiGiannantonio, Alex
125.00
Egan, John H.
85.00
Ferris and Larkin, Inc.
327.59
Gledhill Brothers, Inc.
823.20
Johnson, George T. Company
140.00
Mainco Trading Company
2,482.96
Morin's Studio and Camera Shop
953.19
Mussulli Cabinet Shop
400.81
Music Nook, The
56.08
Palley Office Supply Company
208.00
Petnov Radio and TV
310.00
Silcraft Corporation, The
229.37
Stimpson, G. E. Company
3,722.48
Teachers' Visual Aids-Audionics
43.00
Underwood Corporation
322.50
United Restaurant Equipment Company
172.60
$13,651.94
REPAIRS
Birmingham, William H.
$51.57
Builders' Realty Corporation
30,925.99
Bradbury-Locke Company
702.52
Carbeau, Inc.
190.00
Consigli Construction Company
461.90
Durran, John F.
51.00
Draper, Luther O. Shade Company
191.45
Ferrante and Lancisi
2,080.69
Frieswick, Oliver
9.20
H and S Electrical Company, Inc.
138.51
239
Highland Construction Company
180.00
Jaques, L. N. and Son
99.00 405.39
Lombardi, Americo W.
Lord and Den Hartog and Associates
1,870.15
M.R.M. Sheet Metal Company
53.45
Niro, Augustino
6,994.46
Niro and Niro, Inc.
1,692.77
Nobilini, Ned and Sons
133.80
O'Donnell, William J.
1,908.13
Pantano, A. M.
1,897.25
Parente's Floor Coverings
1,650.00
R and R Plumbing Supply Corporation
299.56
Rolen Construction Company
878.40
Rosenfeld Washed Sand and Stone
120.00
Rubenstein Electrical Supply Company
385.00
Sabatinelli, Guido and Sons
275.00
Stimpson, G. E. Company
536.55
Tile-O-Rama
9,612.02
Vogel, H. Company
66.49
Zocchi, Leon
224.65
$64,084.90
MISCELLANEOUS
Aborn Chemical Company
$32.00
Aldrich's Lawnmower Service
63.50
American Fire Equipment Company
3.75
Arnold, J. O., M.D.
25.00
Birmingham, William H.
157.95
Bradbury-Locke Company
101.53
Brulin and Company
911.40
Buddy Products
32.22
C and I Venetian Blind Shop
3.50
Casey, John J., Insurance
67.50
Casey, William H. Store, Inc.
644.53
Central Landscape Service
326.82
Central Supply Company
277.21
Charlie's Amoco Service Station
20.57
Consigli Construction Company
566.05
Coyne Industrial Laundry
35.50
Croft Chemical Products, Inc.
117.50
Curran Lumber and Supply Company
8.00
240
Curtiss, H. M. Coal Company
151.32
Davoren's Drive-In Pharmacy
2.50
Deconing, Louis A.
17.00
DiPietro's Paint and Hardware
78.43
Dolge, the C. B. Company
458.84
Dupree Brothers
44.50
Ernie's Radio and T.V.
15.10
Ferrante and Lancisi
251.71
Ferraro's Trucking Company
39.00
Flagg, George A. Company, Inc.
162.00
Gainey's Construction Newsletter
11.10
Greene Metal Products, Inc.
9.90
Guterman, Burte, M.D.
25.00
Home Laundry, The
15.22
Jaques, L. N. and Son
62.10
Johnson Service Company
54.40
Kelley, John
38.80
Kunz, David C.
15.00
Lancisi, Frank
144.00
Lombardi, B. J.
44.20
Lyman, John R. Company
87.98
Manella, Joseph R.
27.84
Massachusetts, Commonwealth of
44.63
Mid-State Janitor Supply Company
30.85
Milford Auto Parts
2.75
Milford Daily News
150.75
Milford Glass and Mirror Company
242.11
Milford Locksmith
140.90
Milford Water Company
1,417.79
Milford Welding Company
102.00
M.R.M. Sheet Metal Company
9.10
National Chemsearch Corporation
24.90
New England Door Closer, Inc.
7.75
New England Telephone and Telegraph Company
2,122.55
Niro, Augustino
220.00
Niro and Niro, Inc.
59.95
O'Donnell, William J.
89.45
Packer Commercial Combustion Company
86.62
Pantano's Service Station
20.00
Petty Cash
325.00
Railway Express Agency
3.01
R and R Plumbing Supply Corporation
3.23
241
Ray's Auto Repair Rinehart Writing System Rochester Germicide Company
20.27 2,100.00 575.74 305.90
Rolen Construction Corporation Rose Machine Shop
46.50
Rosenfeld's Garage
173.50
Rosenfeld Washed Sand and Stone
116.68
Sheinkopf, Jacob, M.D.
35.00
Sherwin-Williams Company, The
20.97
Silcraft Corporation
30.65
Spindel, Earl, Jr.
160.00
Standard Auto Gear Company
1.82
Standard Fuse and Appliance
108.00
Stetson, M. D. Company
3,996.03
Trotta's Gulf Service
6.37
Weston Emergency Lights Company
16.00
Worcester County Electric Company
6,062.38
Worcester Gas Light Company
1,455.67
U.S. Post Office
44.00
Zocchi, Leon
1,421.52
$26,950.81
NATIONAL DEFENSE EDUCATION ACT, TITLE V-GUIDANCE
College Bindery, The
$93.60
Parente's Floor Coverings
675.00
O'Donnell, William J.
292.70
Reimbursement Petty Cash
25.00
Central Landscape Service
256.60
H. M. Curtiss Coal Co.
299.23
The Quincy Oil Company
774.91
Karl A. Bright Insurance Agency, Inc.
130.00
Rolen Construction Company
678.03
Encyclopedia Britannica Films, Inc.
344.00
City of Worcester
1,370.34
Consigli Construction Company
146.50
Augustino A. Niro
158.84
Worcester County Electric Company
43.84
Niro and Niro Company
136.30
Coan Brothers
437.06
1
242
Charlescraft Press
66.85
Emmanual College
2.00
Charles Scribner's Sons
45.95
The Macmillan Company
55.93
William H. Casey Store, Inc.
81.33
Row, Peterson and Company
613.22
Gledhill Brothers, Inc.
809.10
Nicholas DiLegge
20.00
J. Allen Rice and Company
37.32
Builders Realty Corporation
355.16
$7,948.81
243
Annual Report of the Board of Selectmen
Your Board was re-elected at the annual Town Meeting held on March 7, 1960. It was organized on March 8, 1960. Anthony E. Allegrezza was elected Chairman.
The annual town meeting was held on March 16th. A special Town Meeting was held on November 14th. It was at this special meeting that authority was given to raze the South Grammar and Brick Schools, both having been used in the education of our youth for over a century.
The various buildings under the control of the board were maintained as economically as possible. We have paid special attention this past year to some needed repairs to the roof, gutters and windows of Memorial Hall. We are recommending further improvements and repairs to this building in order to bring it to its optimum condition.
The contract for the first phase of the Charles River flood control program has been awarded by the State Department of Waterways. The contract, amounting to almost $150,000.00, will divert the flow of water of the Charles River near the Archer Rubber Company when it reaches flood proportions. Work on the contract is expected to begin in the spring of 1961.
The second phase of this flood control program will consist of the laying of a culvert from the Charles River on East Main Street to a point near the Highway Department Garage on Central Street. The third phase involves the diversion of the Godfrey Brook from the West Walnut Street area through culverts in an easterly direction to the Milford Pond.
The Town has already appropriated the sum of $115,000.00 for this work. As soon as work on the first phase is started your Board will petition the Department of Waterways for plans on the second phase.
Street lighting was increased as much as the budget would allow, in the interest of public safety. It is planned to continue the program this year as much as funds will permit and in accordance with recommendations of our Police or Fire Chief.
244
The Board members were active in attending the various meet- ings of the Worcester County Selectmen's Association and the Massachusetts Selectmen's Association and the Seminar held at the University of Massachusetts. The Board arranged a meet- ing of the Worcester County Selectmen's Association to be held in Milford for the second time in the last five years. The regular attendance of these meetings furnishes the Board with valuable knowledge of municipal matters which assists us in solving the complex problems which arise in our community.
Finally, a word should be said about our present financial position. Our bonded indebtedness is close to $1,250,000.00, not to far from the maximum allowable under present state law. Under our system almost all of our expenditures, operating and capital, are met by receipts from taxes levied on our real estate. Our yearly increase in real estate assessments is barely enough to defray our increases in the operating budget.
An analysis of our budgets for the past four years reveals that our school department is responsible for the greater part of our increased expenditures. The high cost of municipal government in reality has become the high cost of public education.
What then can be done to relieve the ever increasing burden on our tax payer. One solution is a broader tax base. Another form is relief in the form of a sales tax. And unless there is some form of relief in the near future we face the curtailment of needed capital expenditures.
The Board has worked in harmony with other elected Boards and Committees and is appreciative of the cooperation of all other Boards and Departments.
Respectfully submitted,
ANTHONY E. ALLEGREZZA JOHN P. PYNE MARCO A. BALZARINI
245
Assessors' Report for 1960
To the Honorable Board of Selectmen:
Town Appropriations
$2,219,009.73
Deficit in Overlay Account-1953, 1955 1956, 1957 and 1958 3,367.87
$2,222,377.60
1960 Estimates
State Parks and Reservations
7,013.52
State Audit of Municipal Accounts
2,691.84
State Examination of Retirement System
57.68
9,763.04
County Tax
74,534.35
Tuberculosis Hospital Assessment
33,618.99
108,153.34
Overlay of current year
60,000.00
Gross amount to be raised
$2,400,293.98
Estimated Receipts and Available Funds
Income Tax
$142,556.26
Corporation Taxes
79,856.51
Reimbursement on account of publicly owned land
518.60
Old Age Tax (Meals) Chapter 64B, S. 10
7,826.31
Motor Vehicle and Trailer Excise
142,791.70
Licenses
25,000.00
Fines
300.00
Special Assessments
7,000.00
General Government
5,000.00
Protection of Persons and Property
1,000.00
Health and Sanitation
1,200.00
Highways
2,900.00
Charities ( other than federal grants )
137,000.00
Old Age Assistance ( other than federal grants )
104,000.00
246
Veterans' Services
School
22,000.00 19,652.00
Libraries
200.00
Recreation
1,800.00
Cemeteries
1,600.00
Interest
11,717.00
State Assistance for School Construction-
Chapter 645, Acts of 1948
13,698.00
Farm Animal Excise
87.51
Housing Authority
2,500.00
Total estimated receipts 730,203.89
1959 Overestimates to be used as Available
Funds
20,554.69
Total Available Funds
108,000.00
Total Estimated Receipts and Available Funds
858,758.58
Net Amount To Be Raised by Taxation on Polls and Property $1,541,535.40
Number of Polls, 4941 at $2.00 each
$9,882.00
Total Valuation of Personal Property
$2,044,800.00 at $82.00 per thousand
167,673.60
Total Valuation of Real Estate
$16,633,900.00 at $82.00 per thousand
1,363,979.80
Total Tax Levied on Polls and Property
$1,541,535.40
Excise Commitments of Year
$170,316.13
Tax Rate for 1960-$82.00
Financial Report
Salary Appropriation
$10,886.81
Donald F. Phillips
$1,584.00
Paul F. Bruno
4,377.83
Christopher C. Morcone
1,584.00
Mary F. Introini
3,340.98
$10,886.81
247
Expense Appropriation
$1,650.00
Association of Mass. Assessors
$9.00
Banker & Tradesman
28.00
H. Wendell Beal
121.40
Burroughs Corporation
25.00
Cahill's News Agency, Inc.
2.26
Clarke Printing Co.
22.95
D. C. Collins Co.
26.75
Anthony Compagnone
10.00
Expenses to Meetings
129.00
Hire of Car
30.00
Hobbs & Warren, Inc.
261.41
Johnson Office Supply Co.
42.25
N. E. Tel. & Tel. Co.
176.80
Royal McBee Corporation
518.33
Taylor Abstract Co.
47.44
U. S. Post Office
23.65
Warren's Jeweler
14.36
Worcester District Registry of Deeds
161.40
$1,650.00
Our sincere appreciation is extended to all those who in any way cooperated with this board during the year.
Respectfully submitted,
DONALD F. PHILLIPS, Chairman PAUL F. BRUNO, Clerk CHRISTOPHER C. MORCONE
248
Report of the Contributory Retirement System 1960
Schedule of Membership December 31, 1960
Active Members January 1, 1960
167
Enrollments in 1960
8
Total
175
Retirements in 1960
2
Withdrawals in 1960
7
Total
9
Total Membership December 31, 1960
166
Pensioners
Inactive Members January 1, 1960
36
Retirements in 1960
2
Total
38
Deaths of Pensioners 1960
3
.
Total Pensioners December 31, 1960
35
Total Active and Inactive Members 12/31/60
201
BALANCE SHEET
Assets
Book Value of Stocks and Bonds
$221,122.10
Deposits in Banks on Interest
93,386.99
Co-Operative Banks Paid-up Shares
31,000.00
Accrued Interest on Bonds 12/31/60
1,703.63
Cash in Office and Checking Account
4,253.60
$351,466.32
Liabilities
Annuity Savings Fund
$275,379.81
Annuity Reserve Fund
28,187.36
Pension Fund
31,797.99
Expense Fund
408.16
Military Service Credit
4,352.38
Undistributed Income
11,340.62
-$351,466.32
249
RECEIPTS AND PAYMENTS
Receipts
Town of Milford
$28,326.00
Members Deductions
25,344.91
Pro-rata Payments from Other Systems
459.98
Gross Interest on Investments
6,996.74
Interest on Bond Deposits
4,262.75
Accrued Interest on Bonds
308.53
Balance January 1, 1960
325,150.58
$390,849.49
Payments
Annuities Paid
$2,642.58
Pensions Paid
29,475.48
Expenses Paid
745.24
Pro-rata Payment to Other Systems
276.45
Refunds on Account of Deaths and Withdrawals 3,607.60
Accrued Interest on Investments
227.40
Decrease in Market Value of Stocks
2,408.42
39,383.17
$351,466.32
Balance Account
Cash in Office and Checking Account
$4,253.60
Stocks and Bonds
221,122.10
Co-Operative Banks-Paid-up Shares
31,000.00
Savings Bank Deposits
93,495.32
Accruals
1,703.63
$351,574.65
BOND SCHEDULES
Value
Description
Acquired
Dec. 31, 1960
U. S. Government-Series G
1949
$23,000.00
U. S. Government-Series G
1950
10,000.00
U. S. Government-Series G
1951
10,000.00
U. S. Government-Series K
1952
10,000.00
U. S. Government-Treasury '78-835
1953
21,000.00
U. S. Government-Treasury '64
1959
25,253.70
U. S. Government-Treasury '64
1960
20,000.00
250
Chesapeake & Ohio R.R. '96
1959
4,350.52
Commonwealth Edison '88
1959
4,638.05
American Tel. & Tel. '90
1959
4,648.89
Illinois Bell Telephone '94
1959
4,995.40
Philadelphia Electric Co. '89
1959
10,030.20
Alabama Power Co.
1959
5,088.91
So. California Edison Co. '82
1959
5,142.13
Pacific Gas & Electric Co. '92
1960
10,036.04
American Tel. & Tel. Co. '92
1960
5,086.76
The Mountain States Tel. & Tel. Co. '88
1960
4,932.03
Boston Edison Co. '87
1960
10,158.02
$188,360.65
STOCK SCHEDULE
New England Trust Co. 200s-1956
$7,800.00
Rockland Atlas Bank 50s
2,150.00
The Hanover Bank of N. Y. 100s
4,725.00
Irving Trust Co. 100s
3,887.58
Manufacturers Trust Co. 61s
3,505.12
Morgan Guaranty Trust Co. 40s
3,900.00
The American Insurance Co. 150s
4,368.75
First Pennsylvania Bank & Trust 50s
2,425.00
$32,761.45
CO-OPERATIVE BANKS-PAID-UP SHARES
Dean Co-Operative Bank
$4,000.00
Medway Co-Operative Bank
9,000.00
Wellesley Co-Operative Bank
10,000.00
Sandwich Co-Operative Bank
8,000.00
$31,000.00
BANK DEPOSIT SCHEDULE
Benjamin Franklin Savings Bank
$6,291.80
Marlboro Savings Bank
7,479.67
Milford Federal Savings & Loan Association
12,000.00
Milford Savings Bank
20,025.73
Millbury Savings Bank
18,030.15
Natick Five Cents Savings Bank
4,977.45
Uxbridge Savings Bank
3,349.48
Whitman Savings Bank
5,991.99
Whitinsville Savings Bank
3,304.86
251
11,935.86
Ware Savings Bank
$93,386.99
RETIRED MEMBERS-DECEMBER 31, 1960
Name Date Retired
Retirement Allowance
Adams, James L .- April 30, 1946
$137.88
Adams, Percy E .- September 30, 1953
1,301.40
Allen, Maria A .- August 3, 1958
101.76
Andreano, Matthew P .- November 15, 1959
2,965.56
Billings, George W .- November 1, 1946
173.04
Bufalo, Salvatore-June 1, 1957
2,463.60
Clancey, Benjamin J .- March 10, 1949
931.32
Clancy, William F .- March 3, 1947
446.76
Comba, Mae A .- January 3, 1950 Casey, James J .- May 8, 1946
95.52
Dewing, Carroll B .- February 28, 1955
1,463.40
DiAntonio, Charles-October 31, 1948
92.04
Dugan, Elizabeth-October 19, 1951
316.32
Duggan, Edward C .- July 1, 1939
280.67
Edwards, James J .- April 30, 1946
135.24
Ferdenzi, John B .- January 1, 1960
222.00
Fertitta, William A .- February 12, 1948
2,240.04
Glennon, Mary R .- September 3, 1950
2,239.92
Gubana, Joseph L .- May 1, 1949
73.08
Hennessy, Mary J .- October 30, 1950
68.40
Hixon, William C .- April 30, 1951
160.92
Joy, Irving W .- April 1, 1951
632.28
Larkin, Esther M .- November 30, 1953
837.60
Lombardi, Ernest E .- February 21, 1952
2,781.72
Macchi, Jeremiah V .- March 31, 1952
748.80
Manuel, John L .- March 1, 1959
187.32
McCabe, John A .- February 1, 1959
3,360.60
Murphy, Francis A .- October 17, 1956
1,635.48
Murphy, Harold-November 25, 1956
2,828.04
Pyne, Henry M .- January 1, 1959
3,221.64
Ruhan, James F .- April 30, 1946
130.20
Tomassini, Batista-October 31, 1949
115.68
Tredeau, Freda-July 10, 1955
99.12
252
1,009.56
Young, William-November 11, 1942
287.69
Respectfully submitted,
JOHN F. ADAMS, Chairman DR. FRANK J. MOSCHILLI MICHAEL J. HANNIGAN
Town Accountant's Report
To the Honorable Board of Selectmen:
Herewith I submit my Annual Report of the financial transac- tions of the Town of Milford for the year ending December 31, 1960.
Included is the usual Balance Sheet, a detailed report of the Receipts from all sources of income, a detailed report of the Expen- ditures of each Department and Account, a Recapitulation Schedule showing the Appropriations, Receipts, and Transfers, Expenditures, and Balance, and also the estimated cost to run the various depart- ments as submitted by them for the coming year. Also included is a schedule showing the Salaries and Wages paid to all Employees except Employees in the School Department, and a Debt Schedule showing the Outstanding Debt and the Maturity by years.
I wish at this time to thank all the Departments for their co- operation during the past year.
Respectfully submitted, MICHAEL J. HANNIGAN, Town Accountant
253
TOWN OF MILFORD - BALANCE SHEET - DECEMBER 31, 1960 General Accounts
ASSETS
LIABILITIES
Cash in Office and Banks Accounts Receivable:
$340,616.91
Taxes to be refunded
$64.67
Sale of Cemetery Lots and Graves
4,645.00
Taxes-Real Estate, Personal and Poll:
Levy of 1951
$96.90
Levy of 1952
102.60
Levy of 1953
119.97
U. S. Bonds
1,821.31
Levy of 1954
181.00
Federal Taxes
14,756.24
Levy of 1955
616.66
State Taxes
1,253.38
Levy of 1956
1,156.95
Levy of 1957
2,452.02
Group Insurance
323.94
Levy of 1958
3,709.18
Levy of 1959
49,224.05
Levy of 1960
194,894.12
Overlays Reserved for Abatements
7,922.25
Overlay Reserve
4,456.53
Taxi Badge Reserve
430.00
Road Machinery Fund
9,324.71
Fire Losses
2,110.00
Recoveries:
Disability Assistance 2,949.19
Aid to Dependent Children
15,998.45
Old Age Assistance 22,613.85
58,776.73
Estate of Deceased Persons Tax
15,492.35
Boncompagni Gift-Draper Park
41,561.49 1,000.00
254
18,219.63
Parking Meter Collection Account
18,794.86
252,553.45
Taxes-Motor Vehicle and Excise:
Levy of 1955 1,001.47
Levy of 1956
1,592.95
Levy of 1957
1,753.51
Levy of 1958 2,261.75
Levy of 1959
7,849.48
Levy of 1960
44,317.57
Anticipation of Bond Issue Loan
25,000.00
Treasurer's Tailings
829.56
Payroll Deductions:
Blue Cross and Blue Shield 64.76
Special Assessments: Unapportioned Sewers- 1953-1960 2,157.54 Apportioned Sewers- 1955-1960 281.06
Appropriation Balances: Town Hall-Painting and Repairs
2,466.00
Town Hall-New Cells 2,291.16
Personnel and Reclassification Board 1,940.79
2,438.60
Departmental:
Health
634.25
Welfare
5,045.12
Medical Home
8,321.03
Aid to Dependent Children
6,421.58
Old Age Assistance
989.86
Veterans Benefits 28,492.53
Purchase and Medway Sts.
293.04
Cemetery 794.00
Medway, Agnes, Semple and Blanchard
13,227.66
Aid to Highways:
John St.
352.27
Pumping Station
5,000.00
County Aid to Highways 12,209.41
33,881.03
Overdrafts:
Chapter 90 Construction-
Main and Congress
14,000.00
Highway Construction-
Carver Road
538.80
Snow Removal 9,599.69
West Fountain St.
3,010.17
Washington St.
1,862.50
Improvements to Chas. River 19,667.60
Richards St. 825.00
54,415.94
Mitchell Road
800.00
Town Hall-New Equipment 175.00
Traffic Signals-Water St. 638.00
Fire-Install Underground Cable 167.00
Dental Clinic-New Equipment 847.30
Sewer Construction-
50,698.37
State Aid to Highways
21,671.62
Chapter 90 Construction- Main St. 846.15
Worcester County T.B. Assessment 2,685.49
Chapter 90 Maintenance 3,082.88
Execution of Judgments 19,380.28
255
BALANCE SHEET - CONTINUED
Overlay Deficits:
Ackerly St. 411.75
Highway-
New Drainage 1,230.28
Planning New Drainage 1,929.00
State and County Assessments Due
2,218.10
Tax Titles
15,968.29
Town Possessions
8,837.88
Trust Funds
79,240.01
New Sidewalks 13,247.71
Off Street Parking Area 4,627.85
A. D. Federal Assistance
2,937.01
A. D. Federal Administration
669.63
Medical Home-Fire Escape
1,000.00
A. D. C. Federal Assistance
10,447.76
A. D. C. Federal Administration
1,149.31
O. A. A. Federal Assistance
24,219.33
O. A. A. Federal Administration 1,656.66
School Lunch Program 3,094.00
School Milk Program 1,947.40
School Athletic Program 959.46
777.50
School New Shower Room 226.00
New Elementary School Constr. 957.48
School-Exterior Doors 292.21
School -- Dismantle South Grammar and Claflin 2,000.00
School-George Barden Fund 220.00
256
Levy 1957
317.65
Levy 1958
138.80
456.45
Widen Godfrey Brook 5,000.00
Drainage Housing Authority 3,580.00
Repair Flood Damage to Brooks 521.63
School New Floors
257
School-National Defense Education 30.96
Care of Draper Park .37
Swimming Facilities Construction 103.55
Fino Field Lighting Equipment 340.50
Christmas Lights 200.00
Civilian Defense
574.08
Tax Title Foreclosures
216.00
Acquiring Archer Rubber Co. Land 10,000.00
Income Trust Fund U.G.C. 38.70
Income Trust Fund No. Purchase 140.10
Cemetery Perpetual Care Funds 63,577.50
Cemetery Perpetual Care
Income Fund 6,798.91
Post War Rehabilitation Fund 9,492.13
223,895.61
Revenues Reserved Until Collected:
Aid to Highways
33,881.03
Departmental 50,698.37
Sewer 2,438.60
M. V. Excise Tax 58,730.06
Estates of Deceased Persons 15,492.35
Tax Titles 24,806.17
186,046.58
Excess & Deficiency (Surplus Revenue)
371,293.22
$915,594.11
$915,594.11
BALANCE SHEET - CONTINUED Retirement System Accounts
Municipal Retirement Funds- Cash and Securities Accrued Interest on Bonds
Annuity Saving Fund
$275,408.02
$349,348.13
Annuity Reserve Fund
28,187.36
1,703.63
Pension Accumulation Fund
31,275.10
Expense Fund
408.16
Undistributed Income
11,420.74
Military Service Credit
4,352.38
$351,051.76
$351,051.76
258
Deferred Revenue Accounts
Sewer Revenue-Apportioned but Not Due $284.69 Apportioned Sewer Assess. Due 1961-1966 $284.69
Municipal Indebtedness
$964,000.00
Sewer Construction Loan 1952
$16,000.00
Sewer Construction Loan Dilla St.
Sewer Construction Loan Facilities
9,000.00 210,000.00
Highway Equipment Loan 1957 2,000.00
Fire Equipment Loan 1957
2,000.00
New Elementary School Loan 1958
665,000.00
Off Street Parking Loan 1958
60,000.00
$964,000.00
$964,000.00
Net Funded or Fixed Debt
RECEIPTS 1960
Taxes
Current Year:
Poll
$6,978.00
Personal
136,982.47
Real Estate
1,148,918.54
Motor Vehicle Excise
120,108.93
$1,412,987.94
Previous Years :
Poll
468.00
Personal
10,658.11
Real Estate
111,801.00
Motor Vehicle Excise
61,153.66
Estate of Deceased Persons
From the State:
Income Taxes
174,172.66
Corporation Taxes
92,256.51
Meal Taxes
7,564.17
Payment in Lieu of Taxes
273,993.34 3,476.60
Total for Taxes
$1,875,777.97
Licenses
Liquor
25,607.50
Pedlars
44.00
Sunday
200.00
Pool and Bowling
132.00
All Other
597.01
Total for Licenses
26,580.51
Fines and Forfeits
Court Fines Tax Titles
815.16
919.04
Total for Fines and Forfeits
1,734.20
259
184,080.77 1,239.32
Grants and Gifts
For Old Age Assistance
108,407.62
For Aid to Dependent Children
33,168.76
For Aid to Disabled
9,166.99
For Vocational Schools
11,135.64
For High School Tuition and Transportation 2,023.55
George Barden Fund
220.00
Dog Tax from County
1,681.24
School Building Aid
13,698.58
National Defense Education Act
876.48
180,378.86
Special Assessments
Unapportioned Sewer Assessments
2,574.61
Apportioned Sewer Assessments
554.69
3,129.30
DEPARTMENTAL REVENUE General Government
Treasurer
5.58
Town Clerk
3,524.70
Assessors
239.50
Town Hall
1,690.00
Total for General Government
5,459.78
Public Safety
Police-Meter Collection
18,638.49
Police-Miscellaneous
401.40
Fire-Sale of Old Materials
25.00
Fire-Damage to Car
45.00
Sealer of Weights and Measures
248.25
Services of Dog Officer
432.00
Total for Public Safety
19,790.14
Health and Sanitation
Tuberculosis 1,245.02
260
Other Health
172.03
Dental Clinic
97.50
Sewer Rental Plumbing Fees
470.00
395.00
Total for Health and Sanitation
2,379.55
Highways
General
45.65
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