USA > Massachusetts > Hampshire County > Williamsburg > Town Annual Report of the Officers of the Town of Williamsburg 1962 > Part 2
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150.00
54.63
150.00
150.00
Sealer, Weights and Measures
150.00
150.00
150.00
150.00
Tree Warden :
Street Trees
1,000.00
999.14
1,500.00
1,500.00
Pulic Nuisance
500.00
494.36
500.00
500.00
Public Nuisance,
State Liability
500.00
500.00
500.00
500.00
Dutch Elm Control
1,700.00
1,393.84
1,700.00
1,700.00
Dutch Elm Control,
State Liability
1,450.59
1,450.59
570.00
570.00
4,150.59
4,837.93
4,770.00
4,770.00
Total Protection of Persons
and Property
14,758.00
15,918.18
15,670.00
15,395.00
HEALTH AND SANITATION
Public Health:
Chairman's Salary
100.00
100.00
100.00
100.00
Administration
100.00
78.25
100.00
100.00
Public Health,
Sanatorium, Etc.
1,200.00
1,185.00
3,741.25
3,741.25
Barn and Animal
Inspector
100.00
36.00
100.00
100.00
Dairy Inspection
75.00
75.00
75.00
Slaughter Inspection
75.00
70.00
75.00
75.00
Garbage Collection
3,190.00
3,141.66
3,190.00
3,190.00
22
Telephones
Approp. 1962
Expended 1962 1,316.66
Request 1963 1,400.00
Recom- 1963
Rubbish Collection
1,400.00
Dump Caretaker
728.00
652.50
728.00
728.00
Dump Maintenance
600.00
905.00
600.00
600.00
Well Child Clinic
300.00
298.41
300.00
300.00
Polio Clinic
300.00
159.60
100.00
100.00
Total Health and Sanitation
8,168.00
7,943.08
10,509.25
10,509.25
Highways:
Chapter 81
3,150.00
3,157.16
3,150.00
3,150.00
Chapter 90
Construction
5,000.00
5,000.71
4,500.00
4,500.00
Chapter 90
Maintenance
2,000.00
2,000.39
2,000.00
2,000.00
Winter and General
16,000.00
18,992.43
19,000.00
19,000.00
Bridges and Railings
1,500.00
1,519.60
1,000.00
1,000.00
Sidewalk Repair
400.00
368.54
400.00
400.00
Tool Account
200.00
177.74
200.00
200.00
New Equipment
375.00
369.64
750.00
750.00
Superintendent's
Expenses
35.00
35.00
35.00
35.00
Town Shed and
Garage
200.00
166.82
575.00
575.00
Street Lights
3,371.52
3,371.52
3,391.68
3,391.68
Total Highways
32,231.52
35,159.55
35,001.68
35,001.68
CHARITIES AND SOLDIERS' BENEFITS
Public Welfare:
General Relief
7,500.00
2,047.44
3,000.00
3,000.00
Disability
Assistance
10,000.00
7,751.38
6,000.00
6,000.00
Aid to Dependent Children
3,000.00
5,302.65
8,000.00
8,000.00
Medical Aid to Aged
6,000.00
6,000.00
8,000.00
8,000.00
Old Age
Assistance
15,000.00
15,037.80
10,000.00
10,000.00
Director's Salary
2,000.00
2,000.00
2,000.00
2,000.00
Director's Expenses
200.00
200.00
200.00
200.00
43,700.00
38,339.27
37,200.00
37,200.00
23
1,400.00
Approp. 1,962
Expended 1962
Request 1963
Recom- 1963
Veterans' Benefits : Agent's Salary and Maintenance Benefits
1,035.20
1,035.20
994.30
994.30
7,500.00
9,498.60
10,000.00
10,000.00
Total Charities and
Soldiers' Benefits
52,235.20
48,873.07
48,194.30
48,194.30
SCHOOLS AND LIBRARIES
Schools:
Teachers' Salaries
172,462.00
174,400.13
197,736.00
197,736.00
Guidance and
Adjustment
Counselors
5,386.00
5,386.60
13,080.00
13,080.00
Janitor Salaries
13,130.00
13,593.93
14,250.00
14,250.00
Superintendent's
Salary
3,287.50
3,281.28
3,575.00
3,575.00
Nurse
2,800.00
2,928.00
3,500.00
3,500.00
Secretary Salaries
6,060.00
6,229.01
6,873.30
6,873.30
Athletics
1,033.00
1,021.90
1,033.00
1,033.00
Books
3,890.00
3,893.38
4,050.00
4,050.00
Classroom Supplies
4,560.00
4,905.38
4,850.00
4,850.00
Committee Salaries
275.00
275.00
275.00
275.00
Dentist
350.00
164.00
350.00
350.00
Electricity
3,000.00
3,556.81
3,000.00
3,000.00
Fuel
5,500.00
5,483.08
5,500.00
5,500.00
Insurance
2,220.00
2,219.30
2,245.00
2,245.00
Janitor Supplies
1,300.00
1,254.25
1,300.00
1,300.00
New Equipment
2,315.00
2,477.21
1,057.90
1,057.90
Office Supplies
350.00
260.43
350.00
350.00
Physical Education
641.00
502.39
575.00
575.00
Physicians
500.00
500.00
500.00
500.00
Repairs
3,615.00
5,138.27
3,200.00
3,200.00
Special Class
5,450.00
3,848.86
3,420.00
3,420.00
Special
Transportation
770.00
407.95
770.00
770.00
Sundries
1,770.95
1,799.94
1,895.00
1,895.00
Telephone
950.00
1,066.26
1,103.00
1,103.00
Transportation
11,430.00
11,656.00
12,510.00
12,510.00
Vocational Trans.
896.00
211.03
844.00
844.00
Union Expense
450.00
375.00
450.00
450.00
Vocational Tuition
6,720.00
4,275.18
6,360.00
6,360.00
24
Approp. 1962 400.00
Expended 1962
Request 1963
Recom- 1963
P.L. 864, Title III
Cafeteria Equipment
500.00
500.00
500.00
500.00
262,011.45
262,010.57
295,752.20
295,752.20
Libraries:
Haydenville Library
530.00
507.34
430.00
430.00
Total Schols and
Libraries
262,541.45
262,517.91
296,182.20
296,182.20
RECREATION AND UNCLASSIFIED
Recreation :
Recreation Committee
350.00
341.65
350.00
350.00
Athletic Field
545.00
540.96
425.00
425.00
Unclassified :
Town Clocks
175.00
147.08
175.00
175.00
Town Reports
496.00
496.00
500.00
500.00
Memorial Day
200.00
160.53
200.00
200.00
Wood Lot
12.00
10.95
12.00
12.00
Workmen's
Compensation
2,000.00
2,134.24
2,300.00
2,300.00
2,883.00
2,948.80
3,187.00
3,187.00
Total Recreation and Unclassified
3,778.00
3,831.41
3,962.00
3,962.00
ENTERPRISES AND CEMETERIES
Water Department:
Pipe Line
Maintenance
7,465.00
13,889.30
6,000.00
6,000.00
Pumping Station
Operation
2,000.00
1,012.78
1,000.00
1,000.00
Pumping Station Maintenance
200.00
173.43
200.00
200.00
Chlorinator
Operation
500.00
583.05
500.00
500.00
Chlorinator
Maintenance
500.00
248.00
500.00
500.00
Watershed
Maintenance
1,000.00
85.43
1,000.00
1,000.00
895.00
882.61
775.00
775.00
25
400.00
600.00
600.00
Extensions
Approp. 1962 1,000.00
Expended 1962
Request 1963 2,500.00
Recom- 1963 2,500.00
Pumping Station Note
2,000.00
2,000.00
2,000.00
2,000.00
Pumping Station Interest
135.00
135.00
90.00
90.00
Administration
200.00
405.33
200.00
200.00
15,000.00
18,532.32
13,990.00
13,990.00
Cemeteries :
Mountain Street
75.00
75.00
75.00
75.00
Old Village Hill
180.00
175.00
180.00
180.00
255.00
250.00
255.00
255.00
Total Enterprises and
Cemeteries
15,255.00
18,782.32
14,245.00
14,245.00
Interest
500.00
150.00
1,000.00
1,000.00
SUMMARY OF BUDGETS AND EXPENDITURES
General Government
15,184.00
14,559.20
16,354.00
14,754.00
Protection of Persons
and Property
14,878.07
15,918.18
15,670.00
15,395.00
Health and Sanitation
8,168.00
7,943.08
10,509.25
10,509.25
Highways
35,231.52
35,159.55
35,001.68
35,001.68
Charities and Soldiers' Benefits
52,235.20
48,873.07
48,194.30
48,194.30
Schools and Libraries
262,541.45
262,517.91
296,182.20
296,182.20
Recreation and
Unclassified
3,778.00
3,831.41
3,962.00
3,962.00
Enterprises and Cemeteries
15,255.00
18,782.32
14,245.00
14,245.00
Interest
500.00
150.00
1,000.00
1,000.00
Total of Budgets and Expenditures
$407,771.24 $407,734.72
$441,118.43
$439,243.43
26
Town Clerk's Report
DOGS
There were 282 dog licenses issued in 1962, as follows : 155 males, 31 females, 91 spayed females. Five kennel licenses were issued. The sum of $630.00 was paid to the Town Treasurer.
FISH AND GAME
There were 522 sporting licenses issued in 1962 as fol- lows: 169 resident fishing licenses, 164 resident hunting licenses, 84 resident sporting licenses, 38 resident minor fishing licenses, 30 resident female fishing licenses, 1 resi- dent minor trapping license, 1 special non-resident fishing license, 5 non-resident fishing licenses, 10 duplicate li- censes, 17 resident sporting licenses, (free), 3 resident paraplegic or old age assistance sporting licenses, (free) and 19 deer stamps. The amount of $2,158.50 was returned to the Division of Fisheries and Game.
VITAL STATISTICS
BIRTHS
A total of 50 births were recorded in 1962. JANUARY
1 Diane Marie Lentner
3 Peter Merrill McAvoy
9 John Peter Viliesis
17 Naomi Elizabeth Wilson
17 Deborah Louise Harry
19 Dianne Lee Gulow
23 Deborah Lynne Sabey
24 Roger Bruce Wade
27
FEBRUARY
5 Anthony Francis Vayda
8 Edward William Hathaway
10 Lynne Robin Everett
17 Michele Margaret Macomber
MARCH
4 Stephen Frank Liebenow
30 Thomas Daren Phaneuf
APRIL
8 David Andrew Brown
13 Martha Lorraine Arnold
23 Robert Raymond Jablonski
26 Deanne Evelyn Bates
29 Cynthia Ann Bachand
MAY
16 Joseph Marsh Mathers
20 Mark Anthony Tirrell
22 Joshua David Fitch
24 Caren Elizabeth Parker
26 JoAnne Bisbee
JUNE
7 John Patrick Chatterton
24 Janice Arlene Culver
JULY
9 Catherine Ellen Line
16 James Arthur Snow
21 Carl Joseph Lulek
24 Michael John McColgan
24 Denise Marie Cronin
31 Diana Lee Masloski
AUGUST
8 Karen Marie Nye
9 Jeffrey Alan Culver
15 Lisa Joan Deyette
21 Gary John Karowski
28
SEPTEMBER
12 Dean Eli Dextraze
20 Mark Westbrook Jones
OCTOBER
3 Edward Taylor Warner
27 Norrene Ann Patten
27 William Douglas Adair
27 Lynne Marie Ames
28 Robert Wilfred Lavalle
29 Carolyn Joan Decker
31 Jean Parsons Kellogg
NOVEMBER
Janet Anne Duff 7
DECEMBER
12 Maureen Frances Beattie
18 John William Cummings
27 Robert Edward Judd, Jr.
28 Beverly Ann Fuller
MARRIAGES
There were 27 marriages recorded in 1962, as follows :
Jan. 20 William Sporbert, Haydenville, Mass. June (Asher) Finch, Haydenville, Mass.
Feb. 24 Robert Donald Dextraze, Haydenville, Mass. Verna Thayer, Cummington, Mass.
Mar. 3 Stephen Johnson, Haydenville, Mass. Joan M. Robbins, Salem, Mass.
April 16 David R. Lane, Sheffield, Pennsylvania Carol A. Weiser, Sheffield, Pennsylvania
May 12 Henry Seward Swayze, Hamburg, N.J. Cornelia Mary DeNood, Haydenville, Mass.
May 12 Robert W. Kreps, Williamsburg, Mass. Edwina E. Allen, Amherst, Mass.
29
May 26 Floyd Michael McGuirt, Haydenville, Mass. Ute Simon, Bremerhaven Sud, Germany May 26 Joseph John Larareo, Northampton, Mass. Jeanette Marian Watling, Williamsburg, Mass.
June 16 John L. Judd, Goshen, Mass. Pearl L. Adams, Williamsburg, Mass.
June 23 Raymond F. Morin, Haydenville, Mass. Carole J. Seymour, Haydenville, Mass.
June 23 Jose Bonilla, Hadley, Mass. Barbara (Rice) Daviau, Haydenville, Mass.
June 27 Austin W. Magoon, Williamsburg, Mass. Hazel R. (Hammonds) Lockwood, Northampton, Mass.
June 30 Daniel Charles Lashway, Amherst, Mass. Diana Wells Damon, Williamsburg, Mass.
July 14 James Edward Collier, Manchester, Conn. Dorothy Ethel (Smith) Collier, Santee, Calif.
July 14 George L. Bird, Haydenville, Mass. Myrtle (Peck) Bouvier, Haydenville, Mass.
Aug. 4 Peter G. Cerreta, Haydenville, Mass. Marian Gagnon, Haydenville, Mass.
Aug. 25 Louis Harry Theriault, Cummington, Mass. Margaret Winona Lockwood, Williamsburg, Mass.
Sept. 3 Paul W. LaRochelle, Haydenville, Mass. Patricia A. Lyons, Haydenville, Mass.
Sept. 3 Richard W. Bisbee, Williamsburg, Mass. Sylvia M. Ferron, Williamsburg, Mass.
Sept. 9 Woodroe Allen Donovan, Hawley, Mass. Joanne Frances Brooks, Haydenville, Mass.
Sept. 29 Charles Fremont Sears, Jr., Goshen, Mass. Esther Louise Snow, Haydenville, Mass.
30
Oct. 13 Frank T. Pudlo, Holyoke, Mass. Margaret F. Snow, Haydenville, Mass.
Oct. 27 William Jerome Ames, Goshen, Mass. Beverly Ann Morin, Haydenville, Mass.
Nov. 4 Richard Joseph Roberge, Williamsburg, Mass. Charlotte Ann Parker, Williamsburg, Mass.
Nov. 22 Walter W. Boucher, Jr., Williamsburg, Mass. Joyce E. Parrow, Northampton, Mass.
Nov. 22 Martin Chipman, Silver Spring, Maryland Lida Dee Sherk, Williamsburg, Mass.
Dec. 22 Thomas C. Mills, Detroit, Michigan Andrea J. Culver, Williamsburg, Mass.
DEATHS
There were 22 deaths recorded in the Town of Wil- liamsburg in 1962, as follows :
1962
Date
Name
Yr. Mo. Da.
Jan.
21 Almon Edwin Everett
81
5 19
Feb. 7 Lizzie (Pollard) Bisbee
82
10
25
10 Ethel (Packard) Graves
59
3
11
23 Martin Mullaly
81
7
13
Mar. 18 Nicholas Papageorge
78
Apr
11 Jessie Elizabeth (Fuller) McGahie
88
6
3
14 Leon Roy McKusick
73
6
10
May
5 Matilda Elizabeth (Reece) Graves
92
11
20
24 Kenneth Arel
40
1
23
31 Joseph J. Batura
46
11
2
June
9 Carroll F. Jenkins
60
9
27
31
July 11 Eva (Montplaisir) Todt
68
7
11
Aug.
2 George R. Dolan
70
9
11
7 Bernard A. Reardon
56
11 25
15 James S. Dunstan
83
3
28
Sept.
5 Guy Charles Rindge
1
8
8
11 Stephen Kopka
73
8
16
12 Walenty S. Kulas
75
8
28
Oct.
1 Ethel (Whipple) Peck
77
0
2
Nov.
1 George Albert Munson
60
8
11
13 Stephanie (Richards) Lupien
86
7
4
Dec.
23 Mattie Guilford
78
1 23
32
Report of Recreation Committee
ATHLETIC FIELD
Mowing
$125.00
Wire
98.71
Labor and loam
97.50
M. W. Holich & Co.
45.75
Wirthmore Feed Store
24.00
American Legion
(State Drum Corps meet)
50.00
Transfer to black top account
100.00
$540.96
RECREATION
Mohawk Trout Hatchery 100 (6"-7")
$32.00
Little League equipment
133.85
Labor
40.50
Hallowe'en Party, Haydenville
25.00
Evelyn Kmit
50.00
Earl Tonet
50.00
E. C. Addis & Co.
10.30
$341.65
SPECIAL ACCOUNT
Black top Court (outdoor)
Appropriated
250.00
Transferred from Athletic Field Acct. 100.00
$350.00
Respectfully submitted,
PETER B. SHUMWAY, Chairman RICHARD CHILDS EDWARD LLOYD
33
Report of Sealer of Weights and Measures
During 1962 I inspected and sealed weights and mea- sures at seventeen places of business.
The units were as follows :
4 scales between 100 to 500 lbs.
11 scales under 100 lbs.
1 scale over 10,000 lbs.
27 metric weights
1 kerosene pump
16 gasoline meters
8 oil and grease meters
1 grease meter condemned
I collected $42.30 sealing fees and turned same over to town treasurer.
Respectfully submitted,
KENNETH H. TAYLOR, SR. Sealer of Weights and Measures
34
Treasurer's Report
Receipts and payments for the year 1962 were as follows :
Balance January 1, 1962
$189,463.79
Receipts for the year 1962
641,071.21
$830,535.00
Payments for the year 1962 $666,781.29
Balance January 1, 1963
163,753.71
$830,535.00
Stabilization Fund Established At The Annual Town Meeting March 5, 1962
Stabilization Fund $25,000.00
Interest to 1-15-63
691.59
Total Amount of Stabilization Fund
$25,691.59
March 7, 1963
Included in the above receipts are taxes, both for the current year and previous years, licenses, permits, reim- bursements, interest, etc., which you will find in the Ac- countant's Report.
Disbursements or payments were made in accordance with about 53 Selectmen's Warrants. Approximately 5,800 checks were issued, an increase of approximately 356 checks over the number issued in 1961.
I wish to thank all those who so kindly co-operated with me in carrying out the responsibilities of my office.
Respectfully submitted,
HARRY S. WILLISTON
Treasurer
35
Report of Town Accountant
To the Honorable Board of Selectmen
Town of Williamsburg, Massachusetts
Gentlemen :
As required by Section 61, Chapter 41 of the General Laws, I submit the annual report of the Accountant's De- partment.
The following is a statement of the receipts and ex- penditures for the year 1962,together with a summary of the appropriations and a balance sheet showing the finan- cial condition of the Town as of December 31, 1962.
An audit of the books and accounts of the Town was made by the Bureau of Accounts, Department of Corpor- ations and Taxation as of November 30, 1962. A detailed report of their findings will not be available for this an- nual report but will be a part of the 1963 Town Report.
I take this opportunity to thank all persons who have assisted me during the past year.
Respectfully submitted,
WARREN E. MCAVOY
Town Accountant
36
RECEIPTS GENERAL REVENUE
Cash on hand January 1, 1962
$189,463.79
Taxes :
Current Year :
Poll
$888.00
Personal Property
9,168.26
Real Estate
186,362.79
196,419.05
Previous Years :
Poll
30.00
Personal Property
604.58
Real Estate
43,554.60
44,189.18
Licenses :
Liquor
4,500.00
Other
301.50
4,801.50
Pistol and Dealer Permits
61.00
Fines and Forfeitures : Court
19.30
Grants from Federal Government :
Disability Assistance :
Administration
76.88
Assistance
2,325.30
Aid to Dependent Children :
Administration
718.74
Aid
2,482.00
Medical Aid to Aged :
Administration
76.86
Aid
6,623.00
37
Old Age Assistance : Administration
311.90
Assistance 10,952.60
Schools, P. L. 81-874, Education 6,655.00 Schools, P. L. 864, Title III, Education 1,621.95
31,844.23
Grants and Gifts from State :
School, Chapter 70
38,307.03
School, Retarded Children
1,972.87
School, Blind Children
363.64
School, State Wards Tuition and Transportation
1,030.74
School, Vocational Tuition and Transportation
3,658.49
School Superintendent
1,400.00
Youth Service Board
3,600.00
School Building Assistance Commission
17,482.15
Income Tax
5,980.00
Meals Tax
1,126.64
Highways, Chapter 81, 1961
2,612.62
Highways, Chapter 81, 1962
8,308.39
Animal Inspection
32.50
Corporation Tax
9,811.92
95,686.99
Loss of Taxes, State :
State Owned Land
148.09
Paraphlegic Veterans
796.50
944.59
Grant from County : Dog Licenses 302.31
38
COMMERCIAL REVENUE
Privileges :
Motor Vehicle Excise :
Current Year
21,364.01
Previous Years
9,384.36
Farm Animal Excise :
Current Year
227.48
Previous Year
63.19
31,039.04
General Government:
Selectmen
5.00
Tax Collector
274.65
License Commissioners
35.53
Sealer of Weights and Measures
42.30
Dog Officer
36.00
Health, Tuberculosis
103.57
497.05
Highways :
State, Chapter 90 Construction 1961
10,000.00
State, Chapter 90
Maintenance 1961
2,000.00
County, Chapter 90
Construction 1961
5,000.00
County, Chapter 90 Maintenance 1961
2,000.00
Truck and Tractor Earnings, State and County
3,705.05
Truck and Tractor Earnings, Town
3,570.25
Culvert
67.20
26,342.50
39
Public Welfare:
General Relief
795.02
Disability Assistance, State
3,864.35
Disability Assistance Administration, State
38.44
Aid to Dependent Children : State Aid
1,989.21
Aid to Dependent Children
State-Administration
331.29
Medical Aid to Aged, State
4,268.39
Medical Aid to Aged,
Administration, State
38.42
Old Age Assistance, State
6,493.24
Old Age Assistance,
Old Age Assistance,
Administration, State
294.08
Cities and Towns
628.93
18,741.37
Veterans' Benefits : State Benefits
2,882.56
Schools :
Town, Tuition
57,071.95
Town, Telephones
250.56
Miscellaneous Sales
20.28
Gymnasium Rent
195.00
57,537.79
Sale of Town Histories
35.00
School Cafeteria :
State
9,249.57
Local
20,728.37
29,977.94
1,086.24
School Athletic Fund Library Fines 25.59
40
Water Department :
Rates
14,716.00
Service Connections
and Repairs
2,437.75
Water Connections and Entrances, Deposits
390.00
Sale of Timber
378.00
Fees
2.00
17,923.75
Interest :
On Deposits
2,051.88
On Deferred Taxes
1,513.26
On Farm Animal Excise
.93
On Motor Vehicle Excise
260.66
On Charity Funds
1,774.66
On School Funds
4,639.08
On Clock Fund
80.00
10,320.47
Municipal Indebtedness : Front End Loader
10,000.00
Agency, Investment and Trust :
Dog Licenses for County
626.50
Cemetery Perpetual Care Funds
46.38
Collins School Fund
13.72
Federal Withholding Taxes
36,596.17
State Withholding Taxes
3,391.45
Blue Cross and Blue Shield
4,025.22
County Retirement System, Employees' Deductions
2,739.20
Teachers' Retirement
8,597.86
Tailings, Unclaimed Checks
14.00
Town Garage Plans and Deposits
3,550.00
59,600.50
41
Refunds and Transfers :
Public Welfare,
Old Age Assistance
59.30
Veterans' Benefits
114.00
Tree Warden
.85
Treasurer
56.20
Highway Department
363.55
Selectmen
5.00
Assessors
5.00
Town Accountant
5.00
Finance Committee
5.00
Police Department
18.00
School Department
124.68
Withholding Tax Compensation,
State
36.68
793.26
$830,535.00
PAYMENTS GENERAL GOVERNMENT
MODERATOR
Appropriation
$35.00
Expense
35.00
SELECTMEN
Appropriation
Salaries
$800.00
Expenses
300.00
Advertising
75.00
Check returned
5.00
1,180.00
Payments ®
Salaries
800.00
42
Stationary and Postage
62.88
Dues
31.00
Books
10.74
Repairs
15.00
Flowers
5.00
Meetings, Mileage
and Telephones
179.00
Advertising
58.34
1,161.96
Balance
18.04
TOWN ACCOUNTANT
Appropriation
Salary
1,300.00
Expenses
150.00
Check returned
5.00
1,455.00
Payments
Salary
1,300.00
Meetings and Mileage
102.71
Stationery and Postage
26.47
Telephone
15.00
Dues
5.00
1,449.18
Balance 5.82
TREASURER
Appropriation
Salary
1,500.00
Expenses
800.00
Special Town Meeting October 29, 1962
110.00
43
Checks refund Checks returned
51.20 5.00
2,466.20
Payments
Salary
1,500.00
Stationery and Postage
402.83
Bond and Insurance
195.30
Adding Machine
153.40
Miscellaneous Supplies
93.10
Telephone and Mileage
56.00
Clerk
25.00
Meetings
15.00
Safe Deposit Box
10.00
Certification of Notes
10.00
Dues
4.00
2,464.63
Balance
1.57
TAX COLLECTOR
Appropriation
Salary
1,200.00
Expenses
900.00
2,100.00
Payments
Salary
1,200.00
Bonds and Insurance
308.40
Stationery and Postage
370.52
Postage Meter
72.00
Telephone
70.00
Transportation
42.50
Legal
6.00
Machine Repair
20.55
44
Dues
4.00
Meeting
3.00
2,096.97
Balance
3.03
ASSESSORS
Appropriation
Salaries
1,000.00
Expenses
250.00
Special Town Meeting June 1962
100.00
Finance Committee Transfer, Tax Map Maintenance 1962 Check returned
33.56
5.00
Tax Map Maintenance 1960A from 1961
200.00
Tax Map Maintenance 1961B from 1961
150.00
Tax Map Maintenance 1962
250.00
1,988.56
Payments
Salaries
1,000.00
Mileage
75.00
Office Supplies
69.11
Wages
55.00
Abstracts
46.15
Machine Repair
36.80
Assessor's School
27.00
Meetings
26.78
Dues
12.00
STREET LISTINGS
375.00
Appropriation
375.00
Payments
Enumerators
200.00
45
Office Supplies Clerical Work
22.25
150.00
372.25
Balance
2.75
ELECTOR, OLIVER SMITH WILL
Appropriation
10.00
Payment
10.00
10.00
TOWN HALL
Appropriation
750.00
Payments
Insurance
48.38
Janitor
17.38
Electricity
13.32
Repairs
17.50
96.58
Balance
653.42
TOWN OFFICE
Appropriation
1,800.00
Transfer, Finance Committee December 1962
38.65
Payments
1,838.65
Janitor
510.00
Fuel
608.91
Electricity
112.83
Telephones
219.32
46
Janitor's Supplies Repairs Book Case Insurance
32.00
47.30
77.95
220.34
1,828.65
Balance
10.00
TOWN SECRETARY
Appropriation
1,625.00
Payments
Wages
1,440.45
Postage
7.50
Office Supplies
10.77
1,458.72
Balance
166.28
MASSACHUSETTS LAWS ANNOTATED
Appropriation
406.08
Payment
406.08
406.08
Tax Map Maintenance 1960A
200.00
Tax Map Maintenance 1961B
85.00
Tax Map Maintenance 1962
283.56
1,916.40
Balance
72.16
FINANCE COMMITTEE
Appropriation 100.00
47
Check returned
5.00
Finance Committee Transfer December 1962 26.00
131.00
Payments
Dues
15.00
Meetings
60.36
Secretary
25.00
Stationery and Postage Books
4.64
131,00
TOWN COUNSEL
Appropriation
400.00
Payments
Encumbered for Anticipated Bill 125.00
125.00
Balance
275.00
TOWN CLERK
Appropriation
Salary
300.00
Expenses
375.00
675.00
Payments
Salary
300.00
Vital Statistics
110.00
Meetings and Mileage
75.00
Office Supplies
45.24
Clerk
75.00
Telephone
50.00
48
26.00
Dues
9.50
Bond
10.00
674.74
Balance
.26
Elections and Registrations
Appropriation
889.00
Appropriation Special Town Meeting October 1962
40.00
Brought forward from 1961
147.50
1,076.50
Payments
Registrars
205.00
Election Officers
550.00
Stationery, Printing etc.
210.90
Janitor
99.00
Repairs
5.12
1,070.02
Balance
6.48
TOTAL GENERAL GOVERNMENT
$15,172.18
PROTECTION OF PERSONS AND PROPERTY
POLICE DEPARTMENT
Appropriation
3,500.00
Transfer from Finance Committee December 1962
414.54
3,914.54
Payments
Salaries
200.00
Labor
1,329.25
Legal
255.00
49
Mileage
489.25
Court
138.15
Clothing
123.15
Dog Tax Collection
37.95
Stationery and Postage
21.60
Telephones
141.68
Miscellaneous
2.00
School Officers
1,176.51
3,914.54
FIRE DEPARTMENT
Appropriation
6,807.41
Transfer from Finance Committee December 1962
163.67
6,971.08
Payments
Salaries
840.00
Telephones
902.04
Electricity
143.63
Insurance
933.75
Labor
1,582.50
Fuel
273.79
Equipment Maintenance
791.03
New Equipment
1,042.21
Building Maintenance
133.47
Administration
318.66
6,961.08
Balance
10.00
CIVIL DEFENSE
Appropriation
150.00
50
Brought forward from 1961
157.25
-
307.25
Payments Administration, Mileage and Meetings
54.63
54.63
Balance to 1963
252.62
SEALER, WEIGHTS AND MEASURES
Appropriation
150.00
Payments
Insurance
22.50
Labor and Supplies
127.50
150.00
TREE WARDEN
Appropriation
1,000.00
Brought forward from 1961
428.90
1,428.90
Payments
Contractors
1,126.33
Labor
233.06
Equipment
68.65
1,428.04
Balance
.86
Public Nuisance Appropriation
500.00
500.00
51
Payments Labor Equipment
30.00
12.75
Spray Material
146.94
Spraying
200.00
Weed Control
104.67
494.36
5.64
Public Nuisance
State Liability Appropriation
500.00
500.00
Payments
Labor
16.00
Weed Control
335.33
Equipment
6.80
Spray Material
141.87
500.00
500.00
Dutch Elm Control Appropriation
1.700.00
Transfer from Finance Committee December 1962
6.52
1,706.52
Payments
Labor
714.52
Equipment
324.85
Contractors
604.17
Tools
62.98
1,706.52
52
Dutch Elm Control State Liability Appropriation Brought forward from 1961
570.66
879.93
1,450.59
Payments
Labor
516.66
Equipment
421.25
Tools
68.74
Contractors
443.94
1,450.59
DOG OFFICER
Payments 80.00
80.00
TOTAL PROTECTION OF
PERSONS AND PROPERTY
$16,739.76
HEALTH AND SANITATION
PUBLIC HEALTH
Appropriation
9,168.00
Transfer from Finance Committee September 1962
244.00
Transfer from Finance Committee December 1962
61.00
9,473.00
Payments
Chairman's Salary
100.00
Administration
78.25
Sanatorium
1,185.00
Barn and Animal Inspection
36.00
53
Slaughter Inspection
70.00
Garbage Collection
3,141.66
Rubbish Collection
1,316.66
Dump Caretaker
652.50
Dump Maintenance
905.00
Well Child Clinic
298.41
Polio Clinic
159.60
Public Health Nurse
1,000.00
8,943.08
Balance to Garbage Collection 1963
48.34
Balance to Rubbish Collection 1963
83.34
Balance
398.24
TOTAL PUBLIC HEALTH
8,943.08
HIGHWAYS
Winter and General
Appropriations
16,000.00
Appropriations
Special Town Meeting June 1962
3,000.00
19,000.00
Payments
Labor
5,796.80
Equipment
2,859.75
Private Equipment
4,444.70
Sand and Gravel
957.84
Salt
2,356.23
Patch
34,31
Blades
1,168.69
Chains, repairs and parts
978.67
Flares
115.84
Tree Damage
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