USA > Massachusetts > Middlesex County > Chelmsford > Town annual report of Chelmsford 1934 > Part 7
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121.72
3.67
4.00
121.39
26 Pickard, D. J.
141
29981
50.00
52 21
1.56
1.00
52.77
27 Scoboria, John
97
119553
100.00
129.43
3.91
4.00
129.34
28 Spaudling, Benjamin
15287
100.00
126.06
3.79
6.00
123.85
29 Spaulding, Isiah B.
139468
100.00
111.43
3.37
2.00
112.80
30 Spaulding, Orrin
37
119552
100.00
130.84
3.93
5.00
129.77
Total
$3,375.00
$4,018.21
$119.53
$110.00
$4.027.74
RIVERSIDE CEMETERY NORTH CHELMSFORD December 31, 1934
No. Donations
Lot No. Bank Book
Principal
On Hand 12-31-33
Income
Paid Out 1934
On Hand 12-31-34
1 Adams, Clara A. H.
101
90532
$ 200.00
$ 301.83
$ 9.11
$ 8.00
$ 302.94
2 Adams, Willie
158
106994
100.00
135.86
4.09
5.00
134.95
3 Asmus, J. H. M.
62
84375
200.00
274.94
8.30
8.00
275.24
4 Barton, James
130
129655
100.00
132,26
3.99
4.00
132.25
5 Batchelder, Ann M.
131854
150.00
213.66
6.44
5.00
215.10
6
Biggs, John and Mary
98
42944
100.00
100.00
7 Blodgett, Hattie M.
29975
150.00
152.59
4.59
4.00
153.18
8
Burgess, James C.
29974
150.00
151.57
4.55
4.00
152.12
9 Burnham, Roswell
117
133025
100.00
106.00
3.20
5.00
104 20
10 Carlton, Phineas
120
74702
150.00
202.28
6.11
5.00
203,39
11 Carr, Samuel
C.
136081
100.00
114.24
3.44
5.00
112.68
12
Clark, John H.
91
106060
300.00
525.55
15.88
9.00
532.43
13
Davidson & Ripley Fund.
55
100957
200.00
319.85
9.65
8.00
321.50
14 Ebert and Weaver
37-46
100018
200.00
284.70
8.58
6.00
287.28
15
Edwards, Harriet N. and Howard
82
69924
200.00
256.38
7.74
6.00
258.12
16 Edwards, N. B.
120988
250.00
379.43
11.47
8.00
382.90
17 Hamblett, William
88
100958
100.00
121.62
3.67.
6.00
119.29
18
Hatch, E. V.
273
150487
100.00
102.20
3.08
4.00
101 28
19
Holgate, John
341
29979
100.00
100.50
3.03
3.00
100.53
20 Huckins, Thomas S.
141
87092
100.00
111.65
3.37
3.00
112 02
.
21 Hyde, George
7
102844
100.00
100.00
2.52
3.00
99.52
22 Leavitt, Charles S.
313
150485
100.00
101.16
3.05
3.00
101 21
23 Marinel, John, Sr.
330
105266
100.00
163.45
4.93
5.00
163.38
24 McCoy, Charles M.
152
16006
100.00
135.44
4.07
5.00
134.51
25 Miller, James R.
280
102845
100.00
100.00
2.52
3.00
99 52
26 Mosher, Harry
40
2198
100.00
101.57
2.51
3.00
101.08
27 Nolte, Justin
36
136843
100.00
105.93
3.19
4.00
105.12
28 Page, Francis A.
307
123009
100.00
108.12
3 26
6.00
105.38
29 Parker, Angelina
173
100016
100.00
110.66
3.33
3.50
110.49
30
Pease, Joseph W.
142
87094
100.00
116.12
3.50
3.00
116.62
31
Phelps Lot
6
138600
75.00
79.37
2.39
4 00
77.76
32 Pratt, Marshall
164
104414
100.00
105.59
3.19
4.00
104.78
33
Riddings Lot
155
150483
75.00
75.00
2.27
2.25
75.02
34
Ripley, Henry T.
A
150486
100.00
104.74
3.15
3.00
104.89
35 Ritchie, Olive M.
15
144438
100.00
113.19
3.41
3.00
113.60
36
Sheldon, Arthur
227
149049
100.00
101.11
3 05
4.11
100.05
37
Silver Fund.
74248
100 00
198.65
5.99
5.50
199.14
38
Smith, George H.
148
87095
100.00
116.65
3.51
4.00
116.16
39 Whittemore, Susan H.
60
84377
100.00
105.65
3.19
4.50
104.34
40
Wilson, S. C. and Chamberlin, R. B.
128
42451
300.00
300.00
6.02
5.00
301.02
41 Wood, Samuel Fox
Tomb B
74701
300.00
740.45
22.37
8.00
754.82
42 Woods, Isaac
57
87093
100.00
117.54
3.55
6.00
115.09
43
Worden, Charles H.
260
29976
100.00
100.36
3.01
3.00
100.37
Total
$5,700.00
$7,387.86
$218 27
$200.86
$7,505.27
.
WEST CHELMSFORD CEMETERY
WEST CHELMSFORD December 31, 1934
No. Donations
Lot No. Bank Book
Principal
On Hand 12-31-33
Income
Paid Out 1934
On Hand 12-31-34
1
Billson, George
26
144434
$ 75.00
$ 82.04
$ 2.48
$ 2.50
$ 82.02
2 Bowers Sewell
77
82305
100.00
110.70
3.33
3.50
110.53
3
Brown, James and Quist, Margaret
113-114
92864
200.00
265.67
8.02
5.00
268.69
4 Brown, Lottie
112
150482
75.00
77.71
2.33
2.50
77.54
5 Brown, William H.
36
107534
75.00
83.05
2.51
2.00
83.56
Bussey, Sarah
135
16371
50.00
53.01
1.58
2.00
52.59
7
Butterfield, Jonas
65
97894
100.00
113.84
3.43
3.00
114.27
8
Clark, William H.
79
103452
100.00
105.00
3.17
4.00
104.17
Cooke, Amos
301
29980
75.00
76.28
2.29
1.00
77.57
10 Dawson and Pollard Lot
129215
100.00
112.02
3.38
3.50
111.90
11
Decatur, H.
20
144436
50.00
52.96
1.58
2.00
52.54
12 Edwards, W. C.
121-122
2197
100.00
104.12
2.61
3.50
103.23
13 Fletcher Fund
98
136844
100.00
117.51
3.55
4.50
116.56
14 Fox, John
42
125666
75.00
86.55
2.60
2.50
86.65
15 Fox, Richard H.
43
136962
75.00
81.82
2.47
2.50
81.79
16 Furlong, Emma L.
57
105269
100.00
106.09
3.20
4.00
105.29
17 Gill, S.
138
149054
75.00
78.88
2.37
2.50
78.75
18 Hodson, Fred
85
135530
100.00
119.32
3.61
2.50
120.43
19
Hodson, Henry R.
86
130498
100.00
115.92
3.49
2.50
116.91
20 Holt, Alice A.
118
134491
100.00
123.17
3.73
2.50
124.40
21 Holt, Mary
112
144435
50.00
54.09
1.62
2.50
53.21
22 Hoyt, J. J.
54
125668
100.00
124.48
3.75
9.45
118.78
23 Jaquith, E. B. K. and Winn, J. P.
14-31
80047
150.00
258.40
7.80
5.00
261.20
24 LeDuke Fund
44-45
126580
150.00
164.19
4.95
5.00
164.14
25 Lee, William
120
128152
100.00
113.98
3.43
5.00
112.41
26 Longley, Jonas and Eliza
55
93846
100.00
113.90
3.43
3.00
114.33
27
MacNaughton, I. and Taylor, J.
403-A-B
30591
75.00
75.37
2.26
1.00
76.63
28 Naylor Lot
10
141911
100.00
113.63
3.43
2.50
114.56
29
Olsen, Carl
151
141912
75.00
83.34
2.51
3.00
82.85
30
Parkhurst, Alfred G.
146
15782
100.00
115.90
3.47
5.60
113.77
31 Parkhurst, A. W.
7
92865
100.00
116.72
3.51
3.00
117.23
32 Perry, John
47
92565
100.00
117.19
3.53
3.00
117.72
33 Petterson, Alfred
62
149052
75.00
78.38
2.36
2.50
78.24
34 Rudkin Lot
370
147078
75.00
80.00
2.42
2.50
79.92
35
Spalding, Oscar R.
138598
100.00
108.95
3.27
3.50
108 72
36 Snow, George F.
6
15606
200.00
256.48
7.74
7.20
257.02
37 Toye, Dr. John E.
J
30592
75.00
75.37
2.26
1.00
76 63
38
Walker, Janet
38
129214
100.00
122.93
3.69
2.50
124.12
39 Wheeler, Samuel F
87
78015
100.00
116.01
3.50
2.50
117.01
40 Whidden Lot
128
146984
100.00
108.70
3.27
2.50
109.47
41 Whidden, John H.
130
105270
100.00
114.66
3.45
3.50
114.61
42 Winship, Marcus
66
107918
100.00
125.99
3.79
2.50
127.28
Total
$4,050.00
$4,704.32
$141.17
$136.25
$4.709.24
PINE RIDGE CEMETERY OFF RIVERNECK ROAD_CHELMSFORD CENTRE December 31, 1934
No.
Donations
Lot No. Bank Book
Principal
On Hand 12-31-33
Income
Paid Out 1934
On Hand 12-31-34
1 Colpitts, Fred M.
286
42945
$ 100.00
$
$
$
$ 100.00
2 Hazen, Curtis and Frances B.
381
17651
50.00
49.99
1.48
1.00
50.47
3 Holbrook, C. A.
304
2196
100.00
102.09
2.52
4.00
100.61
4 Howe, Edwin C. A.
297
129654
50.00
50.38
1.52
1.50
50.40
5 MacElroy, Adam F.
144433
100.00
100.31
3.02
3.00
100.33
6 Morse, Freemont
224
123010
100 00
100.61
3.03
3.00
100.64
7 Pearson, Henry
347
125667
100.00
101.85
3.07
4.00
100.92
8 Perry, George
313
124193
100.00
100.59
3.03
3.00
100.62
9 Robinson, J.
30593
75.00
76.87
2.31
2.50
76.68
10 Walker, Melvin
296
124194
50.00
51.00
1.54
2.50
50.04
Total
$ 825.00
$ 733.69
$ 21.52
$ 24.50
$ 830 71
SUMMARY OF PERPETUAL CARE FUNDS Number of Lots 194
Cemetery
Principal
On Hand 12-31-33
Income
Paid Out 1934
On Hand 12-31-34
Forefathers'
$ 7,557.12
$ 7,839.56
$ 235.63
$ 265.00
$ 7,810.19
Hart Pond
3,375.00
4,018.21
119.53
110.00
4,027.74
Riverside
5,700.00
7.387.86
218.27
200.86
7,505.27
West Chelmsford
4,050.00
4,704.32
141.17
136.25
4,709.24
Pine Ridge
825.00
733.69
21.52
24.50
830.71
Total
$ 21,507.12
$ 24,683 64
$ 736.12
$ 736.61
$ 24,883.15
(To balance the last four columns, subtract the amount of new accounts ($200 00) from the amount on hand December 31,1934.)
HAROLD C. PETTERSON,
December 31, 1934.
Town Treasurer.
APPROPRIATIONS AND TRANSFERS ADDITIONS-REFUNDS AND EXPENDITURES-BALANCES
Transfers Additions .
GENERAL GOVERNMENT :
Appro- priations
Refunds
Total 10.00
Expended 10.00
Balance
Moderators Salary
$
10.00
Selectmen's Salary
675.00
675.00
675.00
Selectmen's Expense
230.00
.84
230.84
230.84
Town Accountant Salary
1,620.00
1,620.00
1,620.00
Town Accountant Expense
100.00
100 00
47.10
52.90
Town Clerk Salary
180 00
180.00
180.00
Town Clerk Expense
100.00
100.00
91.35
8 65
Town Treasurer and Tax Collector Salary
1,800.00
1,800.00
1,800.00
Town Treasurer and Tax Collector Expense
1,025 00
450 00
1,475.00
1,471.49
3.51
ยท Town Treasurer and Tax Collector Bond
480.00
480.00
480.00
Foreclosing Tax Titles
1,000.00
1,000.00
150 00
850.00
Assessors' Salaries
1,900.00
1,900.00
1,900.00
Assessors' Expense
600 00
22 50
622.50
500.92
121.58
Town Counsel Salary
280.00
280.00
280.00
Elections
878.79
878.79
868.57
10.22
Registration of Voters
600.00
600.00
430.73
169.27
Finance Committee, Expense
20.00
20.00
4.00
16.00
Public Buildings-Janitor Salaries
855.00
855.00
855.00
Public Buildings-Fuel, Light, Water
1,800 00
1,800.00
1,702.16
97.84
Public Buildings-Other Expense
400.00
10.03
410.03
366.16
43.87
Total
$ 14,553.79
$ 483.37
$ 15,037.16 $ 13,663.32
$ 1,373.84
PROTECTION OF PERSONS AND PROPERTY :
Appro- priations
Transfers Additions Refunds
Total
Expended
Balance
Police Department
$
8,600.00
$ 8,600.00
$ 8,598.67
$ 1.33
Fire Department-Administration
3,765.00
3,765.00
3,762.00
3.00
Fire Department-Maintenance
3,700.00
3,700.00
3,690.49
9.51
Fire Department-Fires
600.00
1.00
601.00
406.74
194 26
Fire Department-Hydrant Service, Centre
500.00
500.00
500.00
Fire Department-Hydrant Service, North
500.00
500.00
500.00
Fire Department-Hydrant Service, West
20.00
20.00
20.00
Sealer of Weights and Measures
175.00
175.00
170.89
4.11
Moth Department
1,300.00
1,300.00
1,290.83
9.17
Tree Warden
150.00
150.00
149.18
.82
Forest Fire Department
900.00
27.41
927.41
927.41
Fish and Game Warden
100.00
100.00
100.00
Total
$ 20,310.00
$ 28.41
$ 20,338.41
$ 20,116.21
$ 222.20
HEALTH AND SANITATION :
Appro- priations
Transfers Additions Refunds
Total
Expended
Balance
Health Department-Salaries
$ 630.00
$ 630.00
$ 630.00
$
Health Departmenet-Agent's Salary
315.00
315.00
315.00
Health Department-Aid
1,500.00
1,500.00
717.99
782.01
Health Department-Maintenance
200.00
3.00
203.00
190.38
12.62
Health Departmenet-Meat Inspector Salary
607.00
607.00
607.00
Health Department-Milk Inspector Salary
315.00
315.00
315.00
Health Department-Care of Dumps
75.00
75.00
50.00
25.00
Health Department-Physician Salaries
90.00
90.00
90 00
Health Department-Animal Inspector Salary
180.00
180.00
180.00
Health Department-Plumbing Inspection
200.00
200.00
200.00
Total
$ 4,112.00
$ 3.00
$ 4,115.00
$ 3,295.37
$ 819.63
HIGHWAYS:
Highway-Superintendent's Salary
$ 1,800 00
$ 1,800.00
$ 1,800.00
$
General
17,000.00
154.35
17,154.35
17,149.86
4.49
Truck Maintenance
2,000.00
16.00
2,016.00
2,005.44
10 56
Oil
7,000 00
7,000.00
6,974.00
26.00
Street Lights
11,000.00
11,000.00
10,654.18
345.82
Sylvan Avenue
100.00
100.00
99.63
.37
Linwood Street
100.00
100.00
100.00
North Road
4,000.00
9,329.51
13,329.51
15,920 27
*2,590.76
Jensen Street
200.00
200.00
199.72
.28
Middlesex Street
4,000 00
8,094.12
12,094.12
11,990.85
103.27
Dunstan Street
200.00
200 00
200.00
Twist Road
200.00
200.00
199.60
.40
Automobile Truck
2,285.00
2,285.00
2,176 58
108.42
Power Grader
2,700.00
2,700.00
2,673.00
27.00
Chapter 90, Various Roads
2,500.00
4.996.33
7,496.33
7,494.73
1.60
Total
$ 55,085.00
$ 22,590.31
$ 77,675.31
$ 79.637.86
$ 1,962.55
*Due from County and State
1
CHARITIES AND SOLDIERS' BENEFITS :
Board of Public Welfare-Salaries
$ 292.50
$
$
$
Board of Public Welfare-Investigator
1,300.00
1,300.00
1,300.00
Board of Public Welfare-Maintenance
300.00
300.00
254.17
45 83
Board of Public Welfare-Outside Aid and Old Age Assistance.
27,000 .. 00
323.42
27,323.42
28,958.03
*1,634.61
Infirmary-Supt. Salary
810.00
810.00
810.00
Infirmary-Expense
2.300.00
300.00
2,600.00
2,596.66
3.34
Infirmary-Repairs
100.00
100.00
100.00
State Aid
200.00
200.00
122.00
78.00
Soldiers' Relief
1,000.00
1,000.00
1,022.14
*22.14
Military Aid
250.00
250.00
80.00
170.00
Total
$ 33,552.50
FA 623.42
$ 34,175.92
$ 35,535.50
$ 1,359.58
*Ovedraft.
SCHOOLS AND LIBRARIES :
Schools Administration
$
$
$
$
$ 9 25
Schools-Instruction
1.97
Schools-New Equipment
300.00
146 60
School Department-Operation and Maintenance
17,125.00
125.00
17,250.00
17,240.45
9.55
School Department-Auxiliary Agencies
10,415.00
10,415.00
10,404.98
10 02
School Department-Vocational School
1,200.00
1,155.47
2,355.47
2,291.45
64.02
Adams Library
2,000.00
67.88
2,067.88
2,059.66
8.22
North Chelmsford Library
1,200.00
1,200.00
1,200.00
Total
$100,775.00
$ 1,348.35
$102,123.35
$101,873.72
$ 249.63
Appro- priations
Transfers Additions Refunds
Total 292.50
Expended 292.50
Balance
$
Appro- priations 3,810.00 64,725.00
Transfers Additions Refunds
Total 3,810.00 64,725.00 300.00
Expended 3,800.75 64,723.03 153.40
Balance
RECREATION AND UNCLASSIFIED :
Parks
$
Appro- priations 1,000.00
$ 300.00
$
Total 1,300.00
Expended 1,294.25
Balance
Memorial Day, Centre
150.00
150.00
140.50
9.50
Memorial Day, North
150.00
150.00
150.00
Town Clock
30 00
30.00
30.00
Public Buildings-Insurance
800.00
800.00
786.85
13.15
Middlesex County Sanatorium
793.95
202.85
996.80
996.80
Town Reports
774.00
162.50
936.50
936.50
Constable
60.00
60.00
55.75
4.25
Unpaid Bills 1933
1,636.51
1,636.51
1,636.51
Insurance Sinking Fund-Treas. Bond
40.00
10.00
50.00
40.00
10.00
Emergency Educational Program
11.04
11.04
11.04
Workmen's Compensation
78.00
78.00
78.00
Land and Personal Damages
619.98
619.98
619.98
Defending and Prosecuting Law Suits
675.00
675.00
234.00
441.00
Redemption .of Tax Title
96.16
96.16
96.16
Fire Department, Automobile Truck
1,200.00
1,200.00
1,197.43
2.57
Police Department, Strike Duty
219.00
219.00
219.00
Traffic Light, North Road
78.00
78.00
19.27
58 73
Common, North Chelmsford
675.00
252.84
927.84
927.84
New Lavatories, Princeton Street School
1,700.00
1,700.00
1,700.00
New Chairs, North Chelmsford Town Hall
680.00
680.00
680.00
C. W. A. Expenses, Administrator
50.00
50.00
50.00
Emergency Relief Administration Projects
10,500.00
127.01
10,627.01
10,615.26
11.75
Total
$ 21,156.44
$ 1,915.40
$ 23,071.84
$ 22,515.14
$ 556.70
$
$ 5 75
Transfers Additions Refunds
Appro- priations
Transfers Additions Refunds
ENTERPRISES AND CEMETERIES :
Cemetery Commissioners' Salaries
$ 105.00
$
Total 105.00
Expended
Balance
Forefathers' Cemetery
400.00
400.00
394.70
5 30
Hart Pond Cemetery
400.00
400.00
398.90
1.10
Pine Ridge Cemetery
400.00
400.00
399.65
.35
Riverside Cemetery
400.00
400.00
400.00
West Chelmsford Cemetery
400.00
400.00
391.77
8.23
Fairview Cemetery
250.00
250.00
250.00
Care and Improvement
736.61
736.61
736.61
Total
$ 2,355.00
$ 736.61
$ 3,091.61
$ 3,076.63
$ 14.98
INTEREST :
Temporary Loans
$
$
$
1,611.50
High School Loan
325 00
New Grammar School Loan
2,253.16
Middlesex County Sanatorium
975.00
Total
$
5,164.66
MATURING DEBT :
High School Loan
$ 3,250.00
New Grammar School Loan
8,666.00
Middlesex County Sanatorium Loan
2,500.00
Total
$ 14,416.00
$ 105.00
.
EXPENDED FROM REVENUE:
Agency, Trust and Investment :
Appro- priations
Transfers Additions Refunds
Total Expended
Balance
State Tax
$ 9,784.06
County Tax .....
9,450.95
Temporary Loans
155.000.00
Cemetery Perpetual Care Funds
200.00
Refunds
731.88
Tailings
1.79
County, Dog Licenses
1,229.40
Total
$176,398.08
Grand Total
$475,692.49
BALANCE SHEET-January 1, 1935 GENERAL ACCOUNTS
ASSETS
LIABILITIES AND RESERVES
Cash :
General
$ 10,549.92
Petty Cash :
Treasurer
50.00
Taxes to be Refunded 4.38
71.76
Tailings
390.43
Sale of Cemetery Lots and Graves
738.50
Levy of 1933
$ 27,817.86
Levy of 1934
79,840.99
Sale of Real Estate 1,875.00
Surplus War Bonus Fund
3,104.95
Old Age Assistance Tax :
Levy of 1933
$ 476.00
Motor Vehicle Excise Taxes :
Levy of 1933
$ 50.48
Levy of 1934
1,592.16
$ 1,642.64
Departmental :
Overlay Reserved for Abatements :
Public Buildings
$ 6.12
Levy of 1933
$
3,178.00
Police
20.00
Tree Warden
12.00
Health
146.07
Highway
141.38
Public Welfare
11,421.23
Old Age Assistance
743.90
Schools
384.76
Temporary Loans :
In Anticipation of Revenue $ 15,000 00
Infirmary
50.00
Taxes Overpaid
$ 10,649.92
Accounts Receivable :
Taxes :
$107,658.85
Reserve Fund, Overlay Surplus
27,428 98
Foreclosing Tax Titles 850 00
Tax Abatement Defence 506.00
Insurance Sinking Fund, Bond
10.00
Levy of 1934
2,717.00
5 5,895.87
$ 12,875.46
Overlay Deficits :
Due North Chelmsford Fire District
Levy of 1928
$ 60.62
Levy of 1929
23.35
Levy of 1932
83.55
$ 167.52
Departmental
12,875.46
Tax Titles
$ 10,367.11
Tax Title
10,367.11
Revenue 1935
9,547.79
Accounts Overdrawn :
Old Westford Road
$ 30.00
North Road (Due from County)
2,590.76
Outside Poor and Old Age Assistance
1,634.61
Maturing Debt and Interest
343.19
Soldiers' Relief
22.14
$ 4,620.70
$158,005.99
$ 1,848.05 Due East Chelmsford Water District ...... 917.01 Revenue Reserved Until Collected : Motor Vehicle Excise Tax $ 1,642.64
$ 24,885.21
Excess and Deficiency
$ 74,479.85
$158,005.99
1
DEBT ACCOUNTS DECEMBER 31, 1934
$ 6,500.00
Middlesex County Sanatorium Loan 15,000.00
$ 73,496.00
$ 73.496.00
TRUST AND INVESTMENT ACCOUNTS
Trust and Investment Funds : Cash and Securities :
Joseph Warren Library Fund
$ 809.54
Adams Emerson Library Fund
169.00
Selina G. Richardson Library Fund 452.78
Aaron George Cemetery Fund
1,016.99
George Library Fund
2,196.16
Amos F. Adams Library Fund
10,346.29
Cemetery Perpetual Care Funds
24,619.03
Harriet N. Edwards Cemetery Fund
258.12
Adams Emerson Cemetery Improvement Fund
151.73
Insurance Investment Fund 37,639.29
Workmen's Compensation Fund 41.11
$ 77,700 04
$ 77,700.04
WINTHROP A. PARKHURST,
Town Accountant.
In Custody of Town Treasurer $ 25,028.88
In Custody of Library Trustees 14,990.76
In Custody of Insurance Fund Commissioners ...... 37,680.40
High School Loan Centre Grade School Loan 51,996.00
Net Funded or Fixed Debt
$ 73,496.00
PRINCIPAL PAYMENTS OF TOWN DEBT TO BE RAISED ANNUALLY BY TAXATION
Year
New High School
Building, 1916
New Grade School
at Centre, 1925*
New Grade School
at Centre, 1925
Middlesex County
Sanatorium Loan,
Totals
Interest Rate
4%
4%
4%
6%
1935
April 1
June 1
June 1
March 15
$ 3,250.00
-$ 6,666.00
$ 2,000.00
$ 2,500.00
$ 14,416.00
1936
April 1
June 1
June 1
March 15
$ 3,250.00
$ 6,666.00
$ 2,000.00
$ 2,500.00
$ 14,416.00
1937
June 1
June 1
March 15
$ 6,666.00
$ 2,000.00
$ 2,500.00
$ 11,166.00
1938
June 1
June 1
March 15
$ 6,666.00
$ 2,000.00
$ 2,500.00
$ 11,166.00
1939
June 1
June 1
March 15
$ 6,666.00
$ 2,000.00
$ 2,500.00
$ 11,166.00
1940
June 1
June 1
March 15
$ 6,666.00
$ 2,000.00
$ 2,500.00
$ 11,166.00
Total
.. $ 6,500.00
$ 39,996.00
$ 12,000.00
$ 15,000.00
$ 73,496.00
1940
*Outside Debt Limit.
INTEREST PAYMENTS OF TOWN DEBT TO BE RAISED ANNUALLY BY TAXATION
Year
New High School
Building, 1916
New Grade School
at Centre, 1925*
New Grade School
at Centre, 1925
Middlesex County
Sanatorium
Totals
1935
.$ 195.00
$ 1,466.52
$ 440.00
$ 825.00
$ 2,926.52
1936
65.00
1,199.88
360.00
675.00
2,299.88
1937
933.24
280.00
525.00
1,738.24
1938
666.60
200.00
375.00
1,241.60
1939
399.96
120.00
225 00
744.96
1940
133.32
40.00
75.00
248.32
Total
.. $
260.00
$ 4,799.52
$
1,440.00
$ 2,700.00
$ 9,199.52
*Outside Debt Limit.
Town Treasurer's Report For Year Ending December 31, 1934
Balance on hand January 1, 1934 $ 35,806.20
RECEIPTS
GENERAL REVENUE
Taxes of 1934
$125,602.56
Taxes of Previous Years
96,409.35
Motor Vehicle Excise Tax 1933
1,811.49
Motor Vehicle Excise Tax 1934
8,757.30
Taxes from State
46,518.58
Licenses and Permits
2,607.33
Fines and Forfeits
457.16
Grants and Gifts
33,142.99
Motor Vehicle Excise Tax 1932
56.25
Tax Title Redemptions
3,066.72
$318,429.73
COMMERCIAL REVENUE
General Government
$ 1,845.00
Protection of Persons and Property
323.66
Health
405.71
Highways,
178.00
Infirmary
907.92
Charities
5,952.86
Soldiers Benefits
156.00
Schools
551.70
Libraries
47.21
Unclassified
5.38
Cemeteries
455.00
Interest
7.536.40
Agency and Trust
2,765.06
Refunds
876.58
Anticipation of Revenue Loans
110.000.00
$132,006.48
$486,242.41
PAYMENTS
Paid Out on 81 Warrants Containing Items Au- thorized by the Board of Selectmen and the Town Accountant
$475,692.49
Balance on Hand December 31, 1934
10,549.92
$486,242.41
141
RECONCILIATION OF TREASURER'S CASH
Bank Balance December 31, 1934:
Appleton National Bank
$ 17,053.65
Union Old Lowell National Bank
1,497.79
$ 18,551.44
(As per statements on following pages.)
Checks Outstanding December 31, 1934
8,001.52
Check Register Balance
$ 10,549.92
The large amount of outstanding checks is caused by reason of a War- rant being issued on December 31, 1934, and consequently the checks issued for payment of these accounts could not be cancelled in Decem- ber 1934.
The Treasurer's books of accounts are always open for public inspection to any citizen of Chelmsford, if any information is desired the Treasurer will be glad to assist any person in the matter.
HAROLD C. PETTERSON,
Town Treasurer.
142
INSURANCE RECORD DECEMBER 31, 1934
The following is a list of properties insured against fire, casualty, burglary and holdup on file and in custody of the Town Treasurer.
School Buildings :
Company
Amount
Expires
South Chelmsford
Lowell Mutual Fire Ins. Co.
$ 7,500.00
Jan. 14, 1935
Highland Avenue
Federal Mutual Fire Ins. Co
7,500.00
May 27, 1935
Westlands
Federal Mutual Fire Ins. Co. 7,500.00
May 27, 1935
West Chelmsford (Quessy)
Federal Mutual Fire Ins. Co 5,000.00
May 26, 1935
West Chelmsford (Quessy )
Lowell Mutual Fire Ins. Co
10,000.00
May 27, 1935
West Chelmsford (Quessy )
Lowell Mutual Fire Ins. Co
10.000.00
May 27, 1935
East Chelmsford
Dorchester Mutual Fire Ins. Co.
3.500.00
May 26, 1935
East Cheimsford
Dedham Mutual Fire Ins. Co ..
1,500.00
May 26, 1935
East Chelmsford
Abington Mutual Fire Ins. Co ..
5,000.00
May 26, 1935
East Chelmsford
Federal Mutual Fire Ins. Co
5,000.00
May 26, 1935
East Chelmsford
Lowell Mutual Fire Ins. Co. 10,000.00
May 25, 1935
Total for School Buildings ......... $72,500.00
Public Halls :
Centre Hall
Firemen's Fund Ins. Co. $ 5,000.00
May 1, 1935
Centre Hall
Continental Ins. Co.
5,000 00
May 1, 1935
North Chelmsford Hall
Federal Union Ins. Co.
3,000.00
May 1, 1935
North Chelmsford Hall
Norwich Union Ins. Co.
3,000.00
May 1, 1935
Total for Public Halls $16,000.00
AUTOMOBILE CASUALTY INSURANCE
Highway Dept. :
International 1925 2-ton truck .... Travelers Ins. Co. $10,000.00
June 22, 1935
International 1934 2-ton truck .. .. Travelers Ins. Co. 10,000.00
July 11, 1935
International 1930 5-ton truck .... Aetna Casualty Ins. Co.
10,000.00 Jan. 1,1935
Federal 1925 2-ton truck. Hartford Accident Ins. Co. 10,000.00 Apr. 4,1935
BURGLARY AND HOLDUP INSURANCE
[own Treasurer, Tax Collector :
Cash and Securities in Safe and Office
Century Indemnity Co. $ 2,675.00 July 22, 1935
Cash and Securities Outside
Century Indemnity Co. 2,000.00 July 22, 1935 Office
HAROLD C. PETTERSON,
Town Treasurer.
143
UNION OLD LOWELL NATIONAL BANK Lowell, Mass.
TOWN OF CHELMSFORD HAROLD PETTERSON, Town Treasurer STATEMENT OF YOUR ACCOUNT Balance Brought Forward
Date Checks in Detail
Deposits Date
Balance
Dec. 1, '34 $ 1,501.87
Dec. 1, '34 $ 4.08
Dec. 1,'34 1,497.79>
KEY
Lst-List. IN-Interest. RT -- Return. 00 *- Closed Account. OD -- Overdraft. DN-Service Charge. PLEASE EXAMINE AT ONCE If no errors are reported in ten days the account will be considered correct. Notify of any permanent change in Address. The Last Amount in the Column Is Your Balance.
1
STATEMENT OF ACCOUNT with APPLETON NATIONAL BANK Lowell, Mass. TOWN OF CHELMSFORD
KEY
CC-Certified Check. 00 *-- Closed Account.
CM-Credit Memo.
DM-Debit Memo. IN-Interest.' Lst-List. OD -- Overdraft. SC -- Service Charge for Preceding Month. TX-Tax on Checks for Preceding Month. RT-Returned. The Last Amount in This Column Is Your Balance Detailed figures necessary for your income tax return are on this statement. Please Preserve it for future reference.
Checks Paid BALANCE FROM LAST STATEMENT
Deposits Balance
Dec. 1, '34 $118,585.31
$
42.75
$ 12.00
$ 32.50
$
82.07
125.41
6.50
4.00
42.75
50.00
12.00
492.40
23.20
12.00
8.00
12.00
12.00
Dec. 1,'34 117,615.73*
135.00
81.00
12.00
12.00
24.00
56.00
81.68
64.12
40.62
1.00
47.02
4.00
12.00
55.57
38.47
8.45
2.00
42.75
59.85
55.57
59.85
366.23
36.34
8.78
144
Checks Paid
Deposits
Dec.
3,'34
116,301.29*
1,593.32Lst
4,475.84Dec.
4, '34
119,183.81*
3,785.23Lst
14.40
6.60
1.10
4.00
67.50
Dec.
5,'34
115,304.98*
2,785.07Lst
Dec.
6,'34
112,519.91*
533.30Lst
1.00
4.50
3,152.91
10.00
10.00
113.80
76.80
8.00
Dec.
7.'34
114,915.42*
36.34
10.00
12.00
3.00
3.00
15.00
12.00
7.50
6.00
11.55
10.00
10.00
10.00
5.00
1.89
13.00
4.00
3.00
Dec. 8, '34
114,742.14*
731.28Lst
682.42Lst
2.50
5.00
Dec. 10, '34
114,010.86*
5.00
14.50Dec. 11, '34
114,468.69*
1,138.25
15.00
19.00
18.04
5.40
5.76
7.50
7.20
6.75
5.40
1.00
10.80
10.80
70.83
.50
6.00
29.17
19.50
69.00
110.98
4.00
27.27
6.71
3.64
4.00
74.24
64.12
3.00
13.91
7.88
7.88
6.55
Dec. 12, '34
113,826.86*
12.00
1.00
3.00
6.75
7.65
5.40
2.00
5.76
12.00
16.00
7.20
6.75
12.50
7.68
Dec. 13, '34
113,721.17*
12.00
135.60
30.00
60,000.00
2.00
1.50
6.08
6.75
5.40
6.75
2,027.00Dec. 14,'34
55,542.09*
1.00
7.65
7.20
7.20
6.75
5.40
4.00
5.76
Dec. 15, '34
55,497.13*
10.00
.50
12.00
2.75
260.98
270.00
171.00
21.60
21.60
6.00
5.40
32.50
5.00
5.00
10.00
Dec. 17, '34
54,662.80*
4.00
7.50
7.88
126.35
815.00
2.00
12.00
4.73
4.00
145
Balance .54
8.00
1.60
BALANCE FROM LAST STATEMENT Checks Paid
Deposits
Balance
4.00
10.00
12.00
12.00
135.37
1.20
108.30
171.47
81.55
14.26
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