Town Annual Report of the Officers of the Town of Milford, Massachusetts 1963, Part 10

Author: Milford (Mass.)
Publication date: 1963
Publisher: The Town
Number of Pages: 270


USA > Massachusetts > Worcester County > Milford > Town Annual Report of the Officers of the Town of Milford, Massachusetts 1963 > Part 10


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Robert M. Bickford


Commissioner


Joseph L. DeLuca.


Commissioner


John L. Moschilli


Clerk


Respectfuly submitted,


GUIDO SABATINELLI, Chairman ROBERT M. BICKFORD JOSEPH L. DELUCA JOHN L. MOSCHILLI, Clerk


Board of Sewer Commissioners


138


Tax Collector's Report


January 13, 1964


Honorable Board of Selectmen Milford, Mass.


Gentlemen:


We herewith submit the report of the Tax Collector's Office for the year 1963.


Our expenditures are listed as required by law and also the figures covering the financial activities and the results of our work.


The ever increasing paper work connected with the collection of the motor vehicle taxes, the bills sent out, the abatements, adjust- ments, refunds, corrections needed in the amounts, the followups resulting from changes of address both within the state and to other states, and the preparation of warrants for delinquencies have resulted in swamping the bookkeeping in this office. The motor vehicle tax will soon be a full time assignment for one member of the office force.


Right now we need additional clerical help for the peak collection periods, for preparation of bills and to allow the vaca- tions authorized by the Town Meeting.


As we are handling and keeping records of $2,000,000 annually, it is my duty to call to your attention the need of a new and modern safe in this office for the protection of money and records. The insurance engineers that check our equipment say that even a slow burning fire of low heat would ruin the records in our present safe.


This report gives me a chance to thank Chief Fitzpatrick and his men for their protective vigilance and many services they per- form for this department.


Sincerely,


CYRIL F. KELLETT, Collector of Taxes


139


FINANCIAL REPORT FOR 1963 Salaries


Appropriation


$ 11,095.00


Expenditures:


Cyril F. Kellett


$ 6,775.00


Frances C. Hennessy


4,000.00


Anna M. Beyer


240.00


Eileen M. Woods


80.00


Total


$ 11,095.00


Expenses


Appropriation


$ 2,400.00


Expenditures:


A. W. LaFond and Co. $ 308.40


H. Wendell Beal


171.00


Cahill's News Agency


266.15


Clarke Printing Co.


22.00


Hobbs & Warren, Inc.


68.31


Johnson Office Supply


8.95


Mass. Coll. and Treas. Ass'n.


7.00


Norm's Office Equipment


20.25


New Eng. Tel. and Tel. Co.


178.10


Registering Deeds and Expenses


64.00


Julian Roberts, Deputy


100.00


Royal McBee Corp.


35.00


Stimpson's


34.60


T. D. Mulhall Trans., Inc.


5.50


United States Post Office


1,099.50


Expenses to Meetings


11.00


Balance


.24


Total


$


2,400.00


Bond Account


Appropriation


$ 500.00


Expenditures:


Karl A. Bright Ins. Agency $ 410.65


Chandler, Hoover and Giles, Inc.


20.00


Balance


69.35


Total


$ 500.00


140


REPORT OF THE TAX COLLECTOR, JANUARY 1, 1963 to JANUARY 1, 1964


Taxes Outstanding or Committed


Adjust- ments


Refunds


Abate- ments


Tax Collections


Added to Tax Titles


Audit Adjust- ment


Balance


Interest


Charges


TAX LEVY OF 1951 Real Estate


$


20.40 $


$


$ 20.40


$


S


$


$


$


TAX LEVY OF 1952 Real Estate


21.60


21.60


TAX LEVY OF 1953 Real Estate Personal


21.20


21.20


26.50


19.27


TAX LEVY OF 1954 Real Estate Personal


23.60


23.60


29.50


29.50


TAX LEVY OF 1955 Real Estate Personal


25.60


25.60


185.60


32.00


69.98


2.00


TAX LEVY OF 1956 Real Estate


28.80


28.80 301.20


72.00


108.00


32.30


3.00


TAX LEVY OF 1957 Real Estate Personal


29.20


29.20


438.00


226.30


73.00


138.70


39.87


2.00


45.77


141


59.00


307.20


89.60


Personal


481.20


TAX LEVY OF 1958 Real Estate


29.60


29.60 458.80


74.00


37.00


26.70


2.00


TAX LEVY OF 1959


Real Estate


22.30


40.00


31.60


30.70


Personal


838.30


30.70


355.50


171.40


342.10


Motor Vehicle


1,571.54


378.92


1,192.62


695.12


41.00


TAX LEVY OF 1960


Real Estate


733.30


17.00


492.00


492.00


717.50


32.80


Personal


2,045.90


451.00


1,250.50


344.40


Poll


176.00


92.00


84.00


Motor Vehicle


3,366.89


1,694.25


1,672.64


325.22


157.40


TAX LEVY OF 1961


Real Estate


42,744.48


330.00


169.00


1,049.80


39,488.79


2,144.30


23.50


276.09


Personal


3,826.45


697.00


2,233.65


330.00


565.80


Poll


468.00


180.00


258.00


30.00


Motor Vehicle


7,243.39


6.50


5.31


3,247.51


4,007.69


3,555.53


383.75


TAX LEVY OF 1962


Real Estate


176,910.66


460.20


625.26


4,463.40


112,590.67


1,415.40


59,526.15


Personal


10,791.60


19.00


6,676.08


4,134.52


Poll


1,456.00


14.00


500.00


696.00


274.00


Motor Vehicle


54,040.85


2,578.60


15,959.72


29,678.10


10,981.63


3,693.59


1,125.95


142


Personal


569.80


TAX LEVY OF 1963


Real Estate


1,496,564.77


3,171.10


61,531.54


1,248,792.32


6,255.93


183,156.08 10,333.20


Personal


188,364.35


178,031.15


Poll


10,090.00


10.00


1,788.00


994.00


Motor Vehicle


264,025.78


20.17


1,969.71


19,039.22


7,318.00 189,368.99 47.12


21.72


57,585.73


Farm Animal


60.00


12.88


398.88


90.90


SEWER ASSESSMENTS


Unapportioned 1957-1962


4,623.30


440.22


2,083.40


2,099.68


Apportioned 1955-1962


614.94


536.51


78.43


Totals ยท$2,272,679.77 $ 923.57 $9,034.98 $108,223.30


$1,825,811.46 $9,880.03 $ 405.92 $338,056.11 $8,837.19 $1,806.20


143


Report of the Milford Finance Committee


January 18, 1964


Honorable Board of Selectmen


Milford, Massachusetts


Gentlemen:


The Finance Commission respectfully submits the following financial report for the year ending December 31, 1963. $ 800.00


Appropriation


Expenditures:


Salaries and Wages


$ 300.00


General Expenses:


Association Dues


$


50.00


Meetings and Dinners


42.75


Reimbursements


33.75


Clarke Printing


205.25


Charlescraft Press


50.35


$ 382.10


Total Expenses


682.10


Unexpended Balance


$ 117.90


Commission members wish to thank all town officials and other citizens whose cooperation aided the commission in any way during the past year.


Respectfully, ROY F. LOVELL, Chairman


Milford Finance Commission


144


Report of the Milford Town Library


To the Honorable Board of Selectmen:


The Trustees of the Milford Town Library submit the following report for 1963.


FINANCIAL REPORT


Salaries and Wages Appropriation


$ 15,900.00


Salaries and Wages Expended:


Henry J. Pyne


$ 4,800.00


Cecelia Wallace


3,700.00


Alice Morgan


3,700.00


Grace Rooney


3,700.00


$ 15,900.00


General Expense Appropriations


$ 8,700.00


BOOKS


Affiliated Publishers


$ 4.06


Americana Corporation


12.00


American Technical Society


26.29


Associated Libraries, Inc.


7.60


Boston Law Book Co.


4.00


Cahill News Agency


628.83


Children's Press, Inc.


31.96


Collier-MacMillan Lib. Div.


153.90


Congressional Quarterly


196.00


Creative Educational Society, Inc.


34.38


Daughters of St. Paul


165.71


Doubleday & Co., Inc.


1,112.72


Fedeler Co.


24.96


Field Enterprises Educ. Corp.


240.40


Franklin Watt, Inc.


39.50


Charles M. Gardner Co.


31.02


Garrard Publishing Co.


22.74


Ginn & Co.


52.97


Golden Press, Inc.


39.50


Greater Milford Newspaper Distr.


47.40


Grolier Society, Inc.


80.68


Hart Publishing Co.


8.25


C. S. Hammond


10.11


A. A. Haubner


168.15


P. J. Murphy & Associates


8.25


145


Martin Murray Corp.


174.47


Prentice-Hall, Inc.


57.00


Public Service Publication


17.50


Readers Digest Condensed Books


10.96


Scientific American


6.00


Charles Scribners & Sons


258.68


Thames Book Co.


1,954.83


W. A. Wilde Co.


465.67


H. W. Wilson


61.00


$ 6,157.49


GENERAL EXPENSES AND SUPPLIES


Cahill News Agency


$ 7.40


Clarke Printing Co.


126.00


Fordham Equipment Co.


79.36


Gaylord Bros., Inc.


237.64


Krizik & Corrigan


473.48


Massachusetts Electric


332.08


Milford Daily News


30.00


F. J. Miller


23.00


N. E. Tel. & Tel.


184.75


G. E. Stimpson


19.45


M. E. Kaufman, Library Consultant


200.00


Total


$ 7,870.65


Balance


829.35


$ 8,700.00


CIRCULATION REPORT


Total Circulation


66,433


Days Open


279


Average Circulation


252


New Readers


757


Total Registration


3,642


CLASSIFIED


History


825


Biography


1,646


Law and Politics


33


Travel


476


Science


2,709


Fiction


19,938


Miscellaneous


3,422


Religion


147


Poetry and Plays ..


414


Juvenile


30,300


$ 1,713.16


146


Vital Records


160 5,365


Periodicals


66,433


Number of Books per Catalogue


37,480


Books Added


1,813


Reference Room Attendance


8,332


Periodicals Circulation


5,365


ANGELO J. ROBERTI, Chairman


RICHARD P. RAE, Secretary


ROBERT E. MCGINNIS


PAUL F. RAFTERY


EMILIO A. PIGHETTI


JOSEPH C. DIANTONIO


Board of Trustees


Report of the Milford Planning Board


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


The Planning Board held regular bi-monthly meetings during the year at its office at 126 Main Street, with the exception of June, July, and August when only one meeting was held each month. The Board also held many "Special Meetings".


Many plans, not requiring approval, were submitted to and signed by your Board; also a number of subdivisions were sub- mitted for consideration. The following were approved: Kellett Subdivision of 20 lots, and the Cassasantra & Bedrosian Subdivision off Purchase Street, 65 lots of 139 lots submitted. There are several proposed subdivisions for investigation before your Board totalling approximately 700 lots.


147


After much investigation, the Planning Board selected the firm of Economic Development Associates, Inc. of Boston, Massachu- setts to conduct a Master Plan Program for the Town, which was approved at the annual Town Meeting in March. This 'Study' is now in progress and should be completed by 1965.


The Board is presently working on having the Town of Milford adopt a Building Code. A committee, to be known as 'The Building Code Committee' will be named soon.


We wish to thank our town officials for their co-operation throughout the year.


Appropriation


$ 2,350.00


Expenditures:


Mass. Federation of Planning Board- Dues


$ 40.00


Zoning Bulletin-Subscription


12.00


Milford Daily News


102.00


N. E. Tel. & Tel.


101.95


Cahill's News Agency


23.20


Henry Acquafresca-Reimbursement


10.00


Alfred N. Tumolo-Reimbursement


6.00


Helen Consoletti-Reimbursement


25.75


Petnov Radio


15.00


Clarke Printing Co.


9.50


Eastman & Corbett, Reg. Civil Engineers


36.00


Frank's Floor and Window Service


27.00


Marshall's


4.74


Trotta's Service Station


4.50


Sidney Smith-Rent


540.00


Clerical Salary-Helen Consoletti


350.00


Balance


1,042.36


Total


2,350.00 $


Special Appropriation for Master Plan


$ 8,000.00


Respectfully submitted,


HENRY R. ACQUAFRESCA, Chairman


ALFRED N. TUMOLO, Secretary DOMINIC J. BLASIO


JOHN V. IADAROLA VINCENT W. MANCINI


148


Treasurer's Report


January 18, 1964


To the Honorable Board of Selectmen:


The Cash Reconciliation and Itemized Expenditures of the Treasury Department for the year 1963 are as follows:


Cash Reconciliation


Cash Balance, January 1, 1963


$ 528,164.67


Receipts during the year


3,573,810.43


$4,101,975.10


Disbursements Per Warrants


3,635,337.08


Cash Balance, December 31, 1963


$ 466,638.02


Treasurer's Bond


Appropriation


$ 153.17


Expended:


Karl A. Bright Insurance Co.


153.17


$ 0.00


Salaries


Appropriation


$ 8,475.00


Expended:


Lawrence L. DelVecchio


$ 4,900.00


Rose Snell


3,575.00


8,475.00


$ 0.00


General Expenses


Appropriation


$ 1,600.00


Expended:


F & E Check Protector Sales $ 96.00


Mass. Treasurers' Ass'n


7.00


Underwood Corp.


33.85


Royal McBee Corp. 258.50


Interstate Motor Freight


5.40


H. Wendell Beal


14.00


B. John Palumbo Ins. Co.


37.50


149


Gilbertville Trucking Co., Inc.


4.70


G. E. Stimpson Co.


4.99


Seaver's Express, Inc.


2.45


W. E. Aubuchon Co., Inc.


2.37


Home National Bank


6.00


American Bank Note Co.


17.82


Rubenstein Electric Supply Co.


13.20


Clarke Printing Co.


40.05


Lawrence DelVecchio (Travel Reimbursement )


15.00


U. S. Post Office


338.18


N. E. Tel. & Tel. Co.


204.77


Cahill's News Agency, Inc.


23.72


Palson's, Inc.


164.11


Krizik & Corrigan, Inc.


310.39


1,600.00


$ 0.00


Respectfully,


LAWRENCE L. DELVECCHIO,


Town Treasurer


Report of Town Hall Custodian


To the Honorable Board of Selectmen:


Financial Report


Salary Appropriation


$


4,950.00


John O'Connor


$


4,800.00


John Tosches 150.00


$


4,950.00


General Expense Appropriation $ 4,850.00


Expenditures:


Sidney H. Beaumont, Inc. $ 19.79


Boston Janitors Supply Co. 22.75


Bradbury-Locke Co. .48


150


John J. Casey Insurance Co., Inc.


22.31


Wm. H. Casey Store, Inc.


13.96


Clark-Shaughnessy, Inc.


2,022.82


The C. B. Dolge Co.


107.31


Gob Shop


40.50


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


27.60


Massachusetts Electric Co.


1,096.75


Milford Locksmith


12.00


Milford Water Co.


142.99


Niro & Dec Co.


226.96


Odorite Co.


22.00


Paper Trading Corporation


22.42


Bill Power


320.15


Edward M. Reid


19.60


Rochester Germicide Co.


76.50


Rose Machine Shop


2.75


Rosenfeld's Garage


89.80


Rubenstein Electrical Supply Co.


4.95


M. D. Stetson Co.


125.74


Town Hall Service Station


1.15


J. Volpe & Son


45.00


Werber & Rose, Inc.


124.65


Worcester Gas Light Co.


51.09


Leon Zocchi


171.14


Balance


16.84


$


4,850.00


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


Respectfully submitted,


JOHN O'CONNOR,


Custodian


151


Report of Board of Health


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


Dr. Nicholas J. Capece was re-elected Chairman of the Board for the twenty-second year. Other members are Frank Calzone and Harris Tredeau.


The Board appointed the following: Clerk, Agent, Sanitary Inspector, Adam F. Diorio; Nurse, Alice Fitzpatrick; Physician, Dr. Eugene E. Allen; Dentist, Dr. Hugo A. Andreotti; Plumbing Inspec- tor, Charles J. Ferrante and Savino N. Mele; Meat Inspector, Philip Roy; Assistant Inspector, Adam F. Diorio; Burial Agent, Oscar Ayotte; person to receive and report contagious disease, Adam F. Diorio.


The rat control program is proving very beneficial to the town. The town dump is free of these pests and the Godfrey Brook has been cleared by this program.


Tree Warden Joseph Graziano has done a remarkable job on the mosquito control program. Due to the small appropriation voted by the town meeting members, the program has been some- what restricted. It is hoped that a larger amount will be appro- priated this year.


Due to broader power that has been given to the local boards of health by the Legislature, the Milford board has had two con- demned houses torn down. One at Church Street and another at West Walnut Street. The Board is sending letters to owners of other condemned dwellings and is hoping for co-operation from townspeople in this program to clear the town of old and unsightly and rat infested homes that have become eyesores.


Milk Dealer Permits 23


Manufacture of Ice Cream 7


Sale of Oleomargarine 21


Undertakers Licensed


9


Transport of Offal 2


Manufacture of Sausage


10


REPORT OF SANITARY INSPECTOR


All markets dealing in meats and provisions and grocery stores were inspected by Inspector Adam F. Diorio and Meat Inspector Philip Roy at various intervals.


Number of Complaints Investigated During 1963 1752


Bakeries Inspected 3


152


Eating and Drinking Establishments :33 Number of Stores and Markets 40


Lavatories in all the Milford Schools were inspected and ap- proved.


Lavatories in all Milford factories were inspected. Several visits were necessary before approval was given to two factories.


Lavatories in theatre and public buildings were inspected and approved.


REPORT OF PLUMBING INSPECTORS


During the year of 1963 there were 253 permits for plumbing and gas installations. Inspections were made by Inspectors Charles J. Ferrante and Savino N. Mele.


Total Number of Applications Filed 253


Total Number of Permits Issued 253


Total Number of Inspections Made 506


Total Number of Master Plumbers in Town 17


Total Number of Journeymen Plumbers in Town 7


Total Number of Plumbers Registered to do


Work in Milford . 54


REPORT OF DENTAL CLINIC


Filling Teeth


1284


Extractions of Temporary Teeth


2


Extractions of Permanent Teeth


0


Cleaning Teeth


336


Total Number of Patients


1567


Total Number of Operations 1703


Amount Collected $


61.90


DENTAL CLINIC SALARIES


Appropriation


$ 2,500.00


Expended:


Dr. Hugo A. Andreotti $ 2,500.00


DENTAL CLINIC EXPENSES $ 400.00


Appropriation


Expended:


New England Towel Supply Co. $ 31.75


Williams Dental Cream Co. 121.45


Eastern Dental Co.


40.60


Block Drug Co. 75.03


Smith-Holden Co. 98.60


Celia DiPietro's Market


13.21


153


DiPietro's Hardware & Paints


385.08


Balance


$ 14.92


GENERAL APPROPRIATION Salaries


Appropriation


$ 13,875.00


Expended:


Alice Fitzpatrick


$


4,650.00


Adam F. Diorio


4,300.00


Adam F. Diorio


121.00


Nicholas J. Capece, M.D.


121.00


Frank Calzone


121.00


Harris Tredeau


121.00


Philip Roy


1,500.00


Eugene E. Allen, M.D.


1,110.78


Adam F. Diorio


250.00


Charles J. Ferrante


1,074.85


Savino N. Mele


420.38


Clinics


84.00


13,874.01


Balance


$ .99


MOSQUITO CONTROL


General Appropriation


$ 2,000.00


Expended:


J. W. Virchow Co.


2,000.00 $


REPORT OF SLAUGHTERING INSPECTOR


Number of Cattle Inspected


32


Number of Hogs Inspected


145


Number of Calves Inspected


5


Number of Sheep Inspected


54


Total Number of Animals Inspected


236


Expenses


Appropriation


$ 51,420.00


Expended:


John Molinari $ 13,000.00


James Ferrucci


10,000.00


154


4.44


Worcester Sanatorium


13,790.75


P. Eugene Casey


960.00


Arthur LeBlanc


400.00


Framingham Union Hospital


375.90


A. H. Sweet & Co.


425.81


Adam F. Diorio


331.44


Davoren's Pharmacy


188.70


Cahill's News Agency


120.51


George L. Sprague, Sr.


215.00


Worcester County Electric Co.


52.80


Milford Daily News


124.00


Adam F. Diorio-Reimbursement


209.46


New England Tel. & Tel. Co.


226.50


Town Taxi


147.25


Bertha DiAntonio


80.00


Hobbs & Warren


78.65


Clarke Printing


27.00


Rubenstein Electric


22.05


W. H. Casey Co.


33.19


Gilman Bros.


13.66


Royal McBee Co.


17.80


Eugene E. Allen, M.D.


39.00


Milford Hospital


66.50


DiPietro's Market


31.71


DiPietro's Paints & Hardware


24.30


Key Stores, Inc.


3.87


Merck & Co.


7.50


J. Allen Rice


13.24


Smith-Holden Co.


55.00


United Consumers


6.83


Block Drug Co.


28.78


Carmichael's Pharmacy


117.15


Williams Dental Supply


92.75


Central Board of Health


1.00


Framingham News


46.20


Sherwin Williams Co.


14.17


Raymond Jenson


80.00


Cooper's Cut-Rate


4.47


C. J. Ferrante


135.00


Sentinel Press


37.50


Worcester Telegram


42.91


41,688.35


Balance


$


9,731.65


DOCTOR'S AND NURSE'S REPORT


Total Enrollment of St. Mary's School 1,050


155


-


Total Enrollment of Sacred Heart School


412


1,462


Spaced physical examinations were given to the students by the Board of Health physician, Eugene Allen, M.D. Notices of defects found, were sent home to the parents or guardians for corrections to be made.


The Massachusetts Vision Test and the Audiometer Hearing Tests are given during the school year and follow-up work done on the failures, to be sure corrections have been made.


The Dental Clinic is held each school day morning for all students in all schools up to the sixth grade. Hugo A. Andreotti, D.M.D., is the school dentist.


Any special health problems of the children are referred to the Wrentham State School, Boston Children's Hospital or to the various Worcester Clinics.


CLINICS


A Double and Triple Antigen Clinic was held at the Memorial School for the Pre-primary at Sacred Heart, and for all the first grade pupils in all the schools. Booster doses were given to all who had request slips signed by their parents or guardians. Eugene E. Allen, M.D., the Board of Health physician, is the practicing phy- sician at all the clinics.


A Double Antigen Clinic was held at the Memorial School for all the students in the Junior High School Classes and in the sixth grades. Booster doses were given to all who requested them.


The Sabin Oral Polio Clinics were held in March, for Type II vaccine. All students in all the schools in the town were given their drink. The Pre-school children also were given Type II at the Memorial School Clinics.


COMMUNICABLE DISEASES REPORTED


Mumps 13 Chicken Pox 23


Measles


3


Scarlet Fever 8


Whooping Cough 1


Dog Bites 34


Mononucleosis 3


Infectious Hepatitis 2


Tuberculosis 2


TUBERCULOSIS REPORT


New Cases Reported


2


New Cases Admitted to Sanatorium 2


Old Case Readmitted to Sanatorium 1


Patients Admitted to Sanatorium 11


156


3


Deaths Reported from Sanatorium


Patients Discharged from Sanatorium 4


Total Number of Patients in Sanatorium at End of Year 4


A Chest X-ray Clinic is held at the Milford Hospital the second Wednesday of each month, excepting the months of July and December. This clinic is held from 3 to 5 P.M. Patients using this clinic must be referred by their family physician. Appointments must be made for these clinics by calling the Board of Health Office.


BURIAL AGENT


Cases reported to Mr. Oscar Ayotte, the Burial Agent of Mil- ford: 189. The Board wishes to thank Mr. Ayotte, proprietor of A. H. Sweet Pharmacy, for compiling this record without compensa- tion and for the storage space alloted the drugs used by the Health Physician and Nurse.


Respectfully submitted,


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


157


Report of the 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 1963 and disposition made of them.


Number of cases heard 23


Number of cases approved 20


Number of cases rejected


3


Appropriation for 1963


$ 380.00


Expenditures:


John L. Moschilli (Reimbursement) $ 30.00


George O. Stewart ( Reimbursement) 103.00


Clarke Printing Co. 32.00


Cahill's, Inc.


215.00


$ 380.00


Respectfully submitted,


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


Board of Appeal of Milford


158


Annual Report of The School Department of Milford, Massachusetts


SCHOOL YEAR 1962-63 FISCAL YEAR 1963


Approved as the report of your School Committee


SCHOOL COMMITTEE (as of December 31, 1963)


Term Expires


Michael J. DeCesare, Chairman


1964


Atty. Pacifico M. DeCapua, Vice-Chairman 1966


Thomas J. Cullen 1966


Ernest A. Lombardi


1965


Thomas P. DePalo, M.D.


1964


Robert E. McGinnis


1965


Sub-Committees


Teachers and Salaries: Atty. Pacifico M. DeCapua, Chairman, Ernest A. Lombardi and Robert E. McGinnis.


Curriculum, Rules and Regulations: Robert E. McGinnis, Chair- man, Thomas J. Cullen and Thomas P. DePalo, M.D.


Buildings and Transportation: Thomas P. DePalo, M.D., Chairman, Atty. Pacifico M. DeCapua and Ernest A. Lombardi.


159


Finances: Ernest A. Lombardi, Chairman, Thomas P. DePalo, M.D. and Robert E. McGinnis.


Books and Supplies: Thomas J. Cullen, Chairman, Robert E. Mc- Ginnis and Atty. Pacifico M. DeCapua.


Auditorium: Robert E. McGinnis, Chairman, and Ernest A. Lom- bardi.


Athletics: Atty. Pacifico M. DeCapua, Chairman, and Thomas J. Cullen.


SUPERINTENDENT OF SCHOOLS AND SECRETARY OF THE SCHOOL COMMITTEE


DAVID I. DAVOREN


Superintendent's Office, Milford High School Building, Tele- phone 473-0505.


Residence of Superintendent, 169 Congress Street, Telephone 473-1137.


The Superintendent's office is open week days throughout the year from 8:30 A.M. to 4:30 P.M.


The Superintendent's office hours on school days are from 9:00 A.M. to 9:30 A.M. and 4:00 P.M. to 4:30 P.M. by appointment.


SCHOOL CALENDAR - 1963-64


Opening of School: September 4, 1963.


School Year: September 4, 1963 to June 19, 1964.


Holidays: November 1, 1963, November 11, 1963, November 28- 29, 1963 and March 27, 1964.


High School Graduation: June 10, 1964.


All Schools Close: June 19, 1964.


160


SCHOOL SESSIONS


High School: 8:00 A.M. to 2:10 P.M.


Special Class: 8:30 to 11:30 A.M .; 12:00 to 1:30 P.M.


Stacy Junior High School: 8:30 A.M. to 12:10 P.M .; 1:00 P.M. to 2:30 P.M.


Elementary Schools: 8:45 A.M. to 11:45 A.M .; 1:00 P.M. to 3:15 P.M.


NO-SCHOOL SIGNAL


The signal for closing schools is the sounding of three blasts of the local fire alarm system, repeated four times.


The signals have the following meanings:


At 7:10 A.M .- All grades close for the morning session.


At 7:30 A.M .- All grades below the high school close for the morning session.


At 12:10 P.M .- All grades below the high school close for the afternoon session.


Announcements will also be made over radio stations WBZ, WTAG, WKOX, WSRO and WMRC between 6:55 A.M. and 7:45 A.M.


TUITION RATES


High School: $10.26 per week; Grades: $6.80 per week; payable four weeks in advance.


SUMMARY OF STATISTICS


Number of School Buildings 9


Number of Teachers Employed 102


High School 29


Grades 62


Supervisors 11


161


MEMBERSHIP AND ATTENDANCE


Total Enrollments


Elementary


High 377


1236


Girls


779


332


1111


1638


709


2347


Non-Resident Pupils


11


6


17


Average Daily Attendance


1555


670


2225


Number of Sessions


182


183


182


NET COSTS FOR 1963


Gross Costs for 1963 $868,130.66


Receipts


(Other than School Appropriations)


State Aid Fund (Chapter 643)


$120,038.40


Tuition and Transportation-State Wards


3,511.53


Miscellaneous Receipts


2,745.15


Transportation Reimbursement


15,909.24


Special Schools (Chapter 703) and Sub-Special


8,120.21


Trade Schools-Tuition and Transportation


4,324.66


George-Barden Fund


200.00


Adult Vocational Arts Program


1,312.18


National Defense Education Act


837.68


Reimbursements-Total


$156,999.05


Net Costs for 1963: $711,131.61


BALANCE SHEET - 1963


Item I-Available for Salaries and Wages


Appropriation


$708,812.00


Adjustment


20.00


George-Barden Fund


200.00


$709,032.00


162


Total


Boys


859


Teachers' Salaries


$593,406.11


Supervision ( Superintendent, Secretary and Attendance Officer )


20,477.12


Care (Custodians' Salaries )


55,593.99


Adult Civic Education (Salaries )


268.00


Adult Vocational Education ( Salaries )


3,260.00


Health (School Physicians and School Nurse)


6,830.72


Cafeteria


10,752.13


$690,588.07


Balance: $18,443.93


Item II-General and Transportation-Available


Appropriation for 1963:


General


$138,370.00


Transportation


34,641.00


National Defense Education Act


837.68


Adjustment (General)




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