USA > Massachusetts > Middlesex County > Chelmsford > Town annual report of Chelmsford 1936 > Part 9
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1935
2,026.85
2,465.10
Outstanding December 31, 1935
25,167.85
$207,431.30
Outstanding January 1, 1936 $ 25,167.85
Overpayments refunded January 1 to June 25, 1936 5.00
Commitment list in excess of warrant 21.75
Transferred to tax titles in error 24.00
Overpayments to be refunded 2.00
Payment after abatement, to be refunded 3.75
$ 25,224.35
Payments to treasurer Jaunary 1 to June 25, 1936 $ 17,691.89
Abatement January 1 to June 25, 1936 166.65
Abatement of taxes 1934 reported as taxes 1933. . 2.00
Transferred to tax titles
January 1 to June 25, 1936 2,072.10
Outstanding June 25, 1936, per list
5,291.71
$ 25,224.35
TAXES-1935
Commitment per warrant $238,079.71
Additional commitment 571.86
Abatements after payment refunded 125.13
Overpayments refunded
4.66
$238,781.36
160
Payments to treasurer $153,846.93
Abatements 1,873.93
Abatements of taxes 1935 reported as taxes 1933 19.25
Error in reporting warrant .30
Outstanding December 31, 1935
83,040.95
$238,781.36
Outstanding January 1, 1936 $ 83,040.95
Refund of taxes 1935 charged to motor vehicle
excise taxes 1935 in error 22.75
Abatements after payment, to be refunded 37.61
Overpayments to be refunded
5.58
$ 83,106.89
Payments to treasurer
January 1 to June 25, 1936 $ 27,252.47
Abatements January 1, to June 25, 1936 10.00
Adjustments-Abatements not reported : 1935 $ 84.25
29.38
January 1 to June 25, 1936
113.63
Outstanding June 25, 1936, per list
55,730.79
$ 83,106.89
OLD AGE ASSISTANCE TAXES-1932
Outstanding June 17, 1934, per previous audit
.$
320.00
Abatements rescinded 4.00 Adjustment :
Taxes 1932 reported as old age
assistance taxes 1932 1.00
$
325.00
Payments to treasurer June 17 to December 31, 1934 $ 120.00
Abatements June 17 to December 31, 1934 157.00
Old age assistance taxes 1932
reported as taxes 1932 47.00
Adjustment-Abatement not reported 1.00
$
325.00
OLD AGE ASSISTANCE TAXES-1933
Outstanding June 17, 1934, per previous audit. . . $ 763.00
Payments to treasurer : June 17 to December 31, 1934 $ 258.00
1935 205.00 $ 463.00
161
Abatements :
June 17 to December 31, 1934
29.00
1935 141.00
170.00
Old age assistance taxes 1933
reported as taxes 1933 130.00
$ 763.00
Adjustment :
Payments after abatement $ 3.00
Abatements January 1 to June 25, 1936 $ 1.00
Adjustments :
Abatement of old age assistance
taxes 1933 reported as taxes 1933 1.00
Collection of old age assistance
taxes 1933 reported as taxes 1933 1.00
$ 3.00
MOTOR VEHICLE EXCISE TAXES-1931
Outstanding June 17, 1934, per previous audit $ 3.56
Abatements June 17 to December 31, 1934
3.56
MOTOR VEHICLE EXCISE TAXES-1932
Outstanding June 17, 1934, per previous audit,. .. $ .50
Abatements June 17, to December 31, 1934 $ .50
MOTOR VEHICLE EXCISE TAXES-1933
Outstanding June 17, 1934, per previous audit. .. $ 851.99
Payments after abatement, refunded June 17 to December 31, 1934 1.47
$ 853.46
Payments to treasurer :
June 17 to December 31, 1934, $ 469.42
1935
44.25 $ 513.67
Abatements :
June 17 to December 31, 1934 $ 333.56
1935
6.23
339.79
$ 853.46
162
MOTOR VEHICLE EXCISE TAXES-1934
Outstanding June 17, 1934, per previous audit. .. . $ 1,083.99 Commitments per warrants :
June 17 to December 31, 1934. $ 4,319.92 1935 142.88
$ 4,462.80
Abatements after payment, refunded :
June 17 to December 31, 1934 $ 284.82
1935
112.64 $ 397.46
Abatements cancelled, 1935
1.86
Adjustment of abatements, 1935
.01
Payments to treasurer :
June 17 to December 31, 1934 $ 3,767.73 1935 1,390.39 $ 5,158.12
Abatements :
June 17 to December 31, 1934 $ 328.84 436.26
1935
$ 765.10
Outstanding December 31, 1935
22.90
$ 5,946.12
Outstanding January 1, 1936 $ 22.90
Overpayment to be refunded 2.00
$ 24.90
Payments to treasurer January 1 to June 25, 1936.$ 5.79
Outstanding June 25, 1936, per list. 19.11
$ 24.90
MOTOR VEHICLE EXCISE TAXES-1935
Commitment per warrants
$ 11,229.16
Abatements and payments refunded. 565.34
$ 11,794.50
Payments to treasurer $ 9,601.09
Abatements
912.90
Outstanding December 31, 1935
1,280.51
$ 11,794.50
Outstanding January 1, 1936 $ 1,280.51 Commitment per warrant January 1 to June
25, 1936
280.46
$
5,946.12
163
Adjustments :
Abatements in error, cancelled. $ 3.39
Abatements reported in error, 251.18
Overpayment .10
Abatements and payments refunded January 1
$ 254.67 to June 25, 1936. $ 76.17
Abatement after payment, to be refunded. 2.00
$ 1,893.81
Payments to treasurer, January 1 to June 25, 1936.$ 1,073.82 Abatements January 1 to June 25, 1936 170.79
Refund of taxes 1935 charged to motor vehicle excise taxes 1935 in error. 22.75
Outstanding June 25, 1936, per list. 626.45
$
1,893.81
MOTOR VEHICLE EXCISE TAXES-1936
Commitment per warrants January 1 to June 25, 1936 $ 6,587.33
Abatements after payment refunded. 63.79 $ 6,651.12
Payments to treasurer January 1 to June 25, 1936.$ 5,616.59
Abatements January 1 to June 25, 1936 103.17
Outstanding June 25, 1936, per list. 931.36
$ 6,651.12
INTEREST AND COSTS ON TAXES
Collections June 17, 1934 to June 25, 1936 :
Interest :
Taxes :
Levy of 1932
$ 2,289.42
Levy of 1933
4,549.93
Levy of 1934
3,977.90
Levy of 1935
761.01
Motor vehicle excise taxes :
Levy of 1933
44.97
Levy of 1934
104.06
Levy of 1935
101.87
Levy of 1936
25.69
$ 11,854.85
164
Costs :
Taxes :
Levy of 1932 $ 99.10
Levy of 1933
28.30
Levy of 1934
150.50
Levy of 1935
72.10
$ 350.00
$ 12,204.85
Payments to treasurer :
June 17 to December 31, 1934
$ 4,740.32
1935
4,717.04
January 1 to June 25, 1936
2,747.49
$ 12,204.85
EAST CHELMSFORD WATER DISTRICT-TAXES 1934
Commitment per warrants $ 2,435.83
Interest collections, 1935 27.95
$ 2,463.78
Payments to district treasurer, 1935 .$ 2,027.20
Abatements :
June 17 to December 31, 1934 $ 1.00
1935
187.96
$ 188.96
Outstanding December 31, 1935
247.62
$ 2,463.78
Outstanding January 1, 1936 $ 247.62
Interest collections January 1 to June 25, 1936.
13.94
$ 261.56
Payments to district treasurer January 1 to June 25, 1936 $ 126.18
Abatements January 1 to June 25, 1936 10.14
Outstanding June 25, 1936, per list 82.07
Cash in town treasury June 25, 1936
43.17
$ 261.56
EAST CHELMSFORD WATER DISTRICT-TAXES 1935
Commitment per warrant $ 2,338.14
Interest collections
1.35
$ 2,339.49
165
Payments to district treasurer $ 1,362.78 Abatements 3.13
Outstanding December 31, 1935
973.58
$ 2,339.49
Outstanding January 1, 1936 $ 973.58
Interest collections January 1 to June 25, 1936. 6.53
$
980.11
Payments to district treasurer January 1 to June 25, 1936 $ 199.16
Outstanding June 25, 1936, per list 651.91
Cash in town treasury June 25, 1936 129.04 $ 980.11
NORTH CHELMSFORD FIRE DISTRICT
TAXES-1926
Outstanding June 17, 1934, per previous audit $ .10
Outstanding June 25, 1936, per list $ .10
TAXES-1931
Outstanding June 17, 1934, per previous audit. ... $
29.03 Interest collections :
June 17 to December 31, 1934. $ 1.75
1935 1.40
$
3.15
$ 32.18
Payments to district treasurer, 1935 $ 20.22
Abatements June 17 to December 31, 1934
10.08
Outstanding December 31, 1935
1.88
$ 32.18
Outstanding January 1, 1936 $ 1.88
Interest collections
January 1 to June 25, 1936
.12
$ 2.00
Cash in town treasury June 25, 1936
$ 2.00
166
NORTH CHELMSFORD FIRE DISTRICT TAXES-1934
Commitment per warrant
$ 2,808.52
Interest collections :
June 17 to December 31, 1934 $ .08
23.06
$ 23.14
Collection in error, refunded 1935
$ 2,843.21
Payments to district treasurer, 1935 $ 2,625.53
Abatements June 17 to December 31, 1934
2.25
Collections in error, refunded 1935 :
Taxes $ 11.55 .99
$ 12.54
Outstanding December 31, 1935
202.89
$ 2,843.21
Outstanding January 1, 1936 $ 202.89
Interest collections
January 1 to June 25, 1936 8.14
Payments after abatement January 1 to June 25, 1936, adjusted
4.20
$ 215.23
Payments to district treasurer
January 1 to June 25, 1936 $ 83.23
Abatements January 1 to June 25, 1936 34.28
Outstanding June 25, 1936, per list. 75.05
22.67
$ 215.23
TAXES-1935
Commitment per warrant $ 1,548.02 .57 $ 1,548.59
Interest collections
Payments to district treasurer $ 1,161.48
Outstanding December 31, 1935 387.11
$ 1,548.59
Outstanding January 1, 1936. $ 387.11
Interest collections
January 1 to June 25, 1936 2.24
$ 389.35
167
1935
11.55
Interest
Cash in town treasury June 25, 1936.
Payments to district treasurer January 1 to June 25, 1936 $ 58.34
Outstanding June 25, 1936, per list 295.99
Cash in town treasury June 25, 1936
35.02
$
389.35
TAX TITLES
On hand June 17, 1934, per previous audit. $ 5,757.19
Transferred to tax titles :
June 17 to December 31, 1934.
Taxes 1932
$ 5,234.62
Interest and costs
834.43 $ 6,069.05
1935.
Taxes 1926 $ 100.50
Taxes 1933
4,293.68
Interest and costs
249.02 $ 4,643.20
$ 16,469.44
Tax titles redeemed :
June 17 to December 31, 1934 $ 1,298.48 1935 5,941.36 $ 7,239.84
Transferred to tax titles in error :
Taxes 1932
160.65
On hand December 31, 1935
9,068.95
$ 16,469.44
On hand January 1, 1936
$ 9,068.95
Transferred to tax titles
January 1 to June 25, 1936.
2,072.10
Adjustments :
Transferred to tax titles :
Taxes 1928 $ 72.02
Taxes 1929
170.80
Taxes 1930
189.10
Taxes 1931
195.20
Interest and costs
36.16
$ 663.28
Costs on tax titles not reported.
127.70
$ 11,932.03
Tax titles redeemed
January 1 to June 25, 1936. $ 1,402.81
168
Adjustments :
Tax titles disclaimed :
Taxes 1928 $ 72.02
Taxes 1929
170.80
Taxes 1930
189.10
Taxes 1931
195.20
Interest and costs
25.21
Tax titles foreclosed
Transferred to tax titles in error :
Taxes 1933 $ 25.92
Taxes 1934
24.00
$
49.92
Tax titles reported as interest and costs
66.00
On hand June 25, 1936, per list 9,506.84
$ 11,932.03
SELECTMEN'S DEPARTMENT-ACCOUNTS RECEIVABLE
Charges 1935
$ 27.39
Payments to treasurer
$ 15.39
Outstanding December 31, 1935
12.00
$ 27.39
Outstanding January 1, 1936
$ 12.00
Charges January 1 to June 25, 1936
1.69
$ 13.69
Payments to treasurer
January 1 to June 25, 1936 $ 12.19
Outstanding June 25, 1936, per list
1.50
$ 13.69
TOWN CLERK'S DEPARTMENT-ACCOUNTS RECEIVABLE
Charges 1935
$ 47.00
Payments to treasurer, 1935
$ 47.00
Charges January 1 to June 25, 1936.
$ 42.00
Payments to treasurer January 1 to June 25, 1936
$ 42.00
169
$
652.33
254.13
TOWN HALL-ACCOUNTS RECEIVABLE
Outstanding June 17, 1934, per previous audit ... $
18.62 Charges :
June 17 to December 31, 1934 $ 75.00
162.50 1935 $ 237.50
$
256.12
Payments to treasurer :
June 17 to December 31, 1934 $ 87.50 150.00
1935
$ 237.50
Outstanding December 31, 1935 18.62 $ 256.12
Outstanding January 1, 1936 $ 18.62
Charges January 1 to June 25, 1936. 60.41 $ 79.03
Payments to treasurer
January 1 to June 25, 1936 $ 72.91
Outstanding June 25, 1936, per list
6.12
$ 79.03
POLICE DEPARTMENT-ACCOUNTS RECEIVABLE
Outstanding June 17, 1934, per previous audit ... $ 10.00 Charges :
June 17 to December 31, 1934 $ 10.00 1935 70.00 $ 80.00
Payments to treasurer, 1935 $ 10.00 $ 90.00
Outstanding December 31, 1935 and June 25, 1936, per list 80.00
$ 90.00
TREE WARDEN-ACCOUNTS RECEIVABLE
Outstanding June 17, 1934, per previous audit. . . . $ 12.00 Outstanding June 12, 1936, per list. $ 12.00
170
MOTH DEPARTMENT-ACCOUNTS RECEIVABLE
Charges 1935 $ 30.00 Payments to treasurer, 1935 $ 30.00
BOARD OF HEALTH-ACCOUNTS RECEIVABLE
Outstanding June 17, 1934, per previous audit .... $ 23.93 Charges :
June 17 to December 31, 1934. $ 122.14
1935
158.15 $ 280.29
$ 304.22
Payments to treasurer, 1935 $ 280.29
Outstanding December 31, 1935 and June 25, 1936,
per list 23.93
$
304.22
HIGHWAY DEPARTMENT
Accounts Receivable
Outstanding June 17, 1934, per previous audit .... $
220.88
Charges :
June 17 to December 31, 1934 $ 52.50
1935
401.25 $ 453.75 $ 674.63
Payments to treasurer :
June 17 to December 31, 1934. $ 132.00
1935
136.50
Outstanding December 31, 1935
$ 268.50 406.13
$ 674.63
Outstanding January 1, 1936 $ 406.13
Charges January 1 to June 25, 1936
72.00
Collections in excess of charges 20.25
$ 498.38
Payments to treasurer January 1 to June 25, 1936. . $
45.00
Outstanding June 25, 1936, per list. 453.38
$ 498.38
171
PUBLIC WELFARE DEPARTMENT
Accounts Receivable
Outstanding June 17, 1934, per previous audit. ... $ 7,890.99 Charges :
June 17 to December 31, 1934 $ 6,333.43 12,335.07
1935
$ 18,668.50
Collection in error, refunded 1935
459.80
$ 27,019.29
Payments to treasurer :
June 17 to December 31, 1934 $ 2,803.19 1935 10,728.42
$ 13,531.61
Abatements, 1935
4,751.11
Outstanding December 31, 1935 8,736.57
$ 27,019.29
Outstanding January 1, 1936
$
8,736.57
Charges January 1 to June 25, 1936. 160.95
$ 8,897.52
Payments to treasurer January 1 to June 25, 1936. . $ 5,730.19
Abatements January 1 to June 25, 1936 50.37
Adjustment of charges disallowed. 1,551.56
Outstanding June 25, 1936, per list
1,565.40
$ 8,897.52
BUREAU OF OLD AGE ASSISTANCE
Accounts Receivable
Outstanding June 17, 1934, per previous audit .$ 3,059.87
Charges :
1935 4,125.72
$ 7,185.59
Payments to treasurer :
June 17 to December 31, 1934 $ 2,315.97 1935 3,523.81
$ 5,839.78
Abatements, 1935
203.39
Outstanding December 31, 1935
1,142.42
$ 7,185.59
Outstanding January 1, 1936 $ 1,142.42
Charges January 1 to June 25, 1936 5,275.57
172
Adjustments :
Detailed list in excess of charges $ 7.00 Collections not charged 137.00
144.00
$
6,561.99
Payments to treasurer
January 1 to June 25, 1936 $ 134.00
Adjustment of charges disallowed 716.61
Outstanding June 25, 1936, per list
5,711.38
$ 6,561.99
SCHOOL DEPARTMENT
Accounts Receivable
Outstanding June 17, 1934, per previous audit $ 377.98
Charges :
June 17 to December 31, 1934
$
400.72
1935
923.46
1,324.18
$
1,702.16
Payments to treasurer :
June 17 to December 31, 1934 $ 393.94 1,199.06 $ 1,593.00
1935
Outstanding December 31, 1935
109.16 $ 1,702.16
Outstanding January 1, 1936 $ 109.16
Charges January 1 to June 25, 1936
492.32 $ 601.48
Payments to treasurer
January 1 to June 25, 1936 $ 492.32
Adjustment of charges disallowed
25.28
Outstanding June 25, 1936, per list
83.88
$ 601.48
ADAMS EMERSON LIBRARY FUND
Savings
Deposits
Total
On hand June 17, 1934
$164.05
$164.05
On hand at end of year 1934
$169.00
$169.00
173
5
On hand at end of year 1935
$173.68
$173.68
On hand June 25, 1936
$173.68
$173.68
Receipts
Payments
June 17 to December 31, 1934
Income $4.95 Deposited in savings bank ... . .$4.95
1935
Income
$4.68
Deposited in savings bank ... . $4.68
JOSEPH WARREN LIBRARY FUND In Custody of Library Trustees
Savings Deposits
Total
On hand June 17, 1934
$898.23
$898.23
On hand at end of year 1934
$809.54
$809.54
On hand at end of year 1935
$8.31.94
$831.94
On hand June 25, 1936
$831.94
$831.94
Receipts
Payments
June 17 to December 31, 1934
Withdrawn from savings
bank
$88.69
Transferred to Library
Income
27.14
treasurer
$115.83
$115.83
$115.83
1935
Income
....
$ 22.40 Deposited in savings bank . . $ 22.40
SELINA G. RICHARDSON LIBRARY FUND In Custody of Library Trustees
Savings Deposits
Total
On hand June 17, 1934
$439.50
$439.50
On hand at end of year 1934
$452.78
$452.78
On hand at end of year 1935
$465.30
$465.30
On hand June 25, 1936
$465.30
$465.30
174
Receipts
Payments June 17 to December 31, 1934 $ 13.28 Deposited in savings bank .$ 13.28
Income
1935
Income
$ 12.52
Deposited in savings bank.$ 12.52
GEORGE LIBRARY FUND In Custody of Library Trustees
Savings Deposits
Total
On hand June 17, 1934
$2,131.74
$2,131.74
On hand at end of year 1934
$2,196.16
$2,196.16
On hand at end of year 1935
$2,130.40
$2,130.40
On hand June 25, 1936
$2,130.40
$2,130.40
Receipts
Payments
June 17 to December 31, 1934
Income
$ 64.42 Deposited in savings bank .$ 64.42
1935
Withdrawn from savings
deposits
$ 65.76
Income
59.24
Transferred to library treasurer
$125.00
$125.00
$125.00
AMOS F. ADAMS LIBRARY FUND
In Custody of Library Trustees
Savings Deposits
On hand June 17, 1934
$10,042.77
Total $10,042.77
On hand at end of year 1934
$10,346.29
$10,346.29
On hand at end of year 1935
$10,616.39
$10,616.39
On hand June 25, 1936
$10,466.39
$10,466.39
175
Receipts
Payments June 17 to December 31, 1934 $303.52
Income
Deposited in savings bank .$303.52
1935
Income
$270.10 Deposited in savings bank . $270.10
January 1 to June 25, 1936
Withdrawn from
savings bank
$150.00
Transferred to library treasurer
$150.00
AARON GEORGE CEMETERY FUND
In Custody of Library Trustees
Savings Deposits
Total
On hand June 17, 1934
$1,016.28
$1,016.28
On hand at end of year 1934
$1,016.99
$1,016.99
On hand at end of year 1935
$1,014.94
$1,014.94
On hand June 25, 1936
$1,014.94
$1,014.94
Receipts
Payments
June 17 to December 31, 1934
Income
$ 30.71
Deposited in savings bank $ Transferred to library treasurer
.71
$ 30.00
$ 30.71
$ 30.71
1935
Withdrawn from
savings bank
$ 2.05
Transferred to
Income
27.95
library treasurer
$ 30.00
$ 30.00
$ 30.00
176
CEMETERY PERPETUAL CARE FUNDS
In Custody of Town Treasurer
Cash In General Treasury
Savings Deposits
Total
On hand June 17, 1934.
$24,427.26
$24,427.26
On hand at end of year 1934
$24,625.03
$24,625.03
On hand at end of year 1935
$24,982.61
$24,982.61
On hand June 25, 1936 $ 550.00
$24,982.61
$25,532.61
Receipts
Payments
June 17 to December 31, 1934
Withdrawn from
savings bank
730.61
Income
728.38
Deposited in savings bank.$ 928.38
Bequests
200.00
Transferred to town
730.61
$1,658.99
$1,658.99
1935
Withdrawn from savings bank
$ 756.52
Income
664.10
Deposited in savings bank. $1,114.10
Bequests
450.00
Transferred to town 756.52
$1,870.62
$1,870.62
January 1 to June 25, 1936
Bequests
$ 550.00
Cash in general treasury June 25, 1936
$ 550.00
$ 550.00
$ 550.00
HARRIET N. EDWARDS CEMETERY FUND
In Custody of Town Treasurer
Savings
Deposits
Total
On hand June 17, 1934
$256.38
$256.38
On hand at end of year 1934
$258.12
$258.12
177
On hand at end of year 1935
$262.25
$262.25
On hand June 25, 1936
$262.25
$262.25
Receipts
Payments
June 17 to December 31, 1934
Income
$ 7.74
Transferred to town 6.00
$ 7.74
$ 7.74
1935
Deposited in savings bank .$ 4.13
Income
$ 7.13
Transferred to town 3.00
7.13
$ 7.13
ADAMS EMERSON CEMETERY IMPROVEMENT FUND In Custody of Town Treasurer
Savings
Deposits
Total
On hand June 17, 1934
$147.28
$147.28
On hand at end of year 1934
$151.73
$151.73
On hand at end of year 1935
$155.92
$155.92
On hand June 25, 1936
$155.92
$155.92
Receipts
Payments
June 17 to December 31, 1934
Income
$ 4.45 Deposited in savings bank .$ 4.45
1935
Income
..... $ 4.19 Deposited in savings bank .$ 4.19
178
Deposited in savings bank.$ 1.74
INSURANCE INVESTMENT FUND
In Custody of Insurance Fund Commissioners
Savings Deposits
Total
On hand June 17, 1934
$36,307.44
$36,307.44
On hand at end of year 1934
$37,639.29
$37,639.29
On hand at end of year 1935
$38,385.24
$38,385.24
On hand June 25, 1936
$38,385.24
$38,385.24
Receipts
Payments
June 17 to December 31, 1934
Deposited in savings
Income
$1,331.85
bank
$1,331.85
1,331.85
$1,331.85
1935
Deposited in savings
Income
$ 745.95
bank
$ 745.95
$ 745.95
$ 745.95
WORKMEN'S COMPENSATION FUND
In Custody of Insurance Fund Commissioners
Savings
Deposits
Total
On hand June 17, 1934
$116.77
$116.77
On hand at end of year 1934
$ 41.11
$ 41.11
On hand at end of year 1935
$ 42.13
$ 42.13
On hand June 25, 1936
$ 42.13
$ 42.13
-
179
Receipts
Payments
June 17 to December 31, 1934
Withdrawn from savings
bank
$ 75.66
Income
2.34
Transferred to town
$ 78.00
$ 78.00
$ 78.00
1935
Income
$ 1.02
Deposited in savings bank $ 1.02
$ 1.02
$ 1.02
180
TOWN OF CHELMSFORD Balance Sheet-June 25, 1936 GENERAL ACCOUNTS
ASSETS
LIABILITIES AND RESERVES
Cash :
Temporary Loans :
In Anticipation of Revenue :
Petty Cash :
1935
$ 30,000.00
Treasurer
50.00
1936
80,000.00
Infirmary
50.00
110,000.00
Taxes to be refunded
79.70
Tailings
502.45
Taxes :
Levy of 1933
$ 25.92
Levy of 1934
5,285.96
Levy of 1935
55,687.60
$ 60,999.48
Motor Vehicle Excise Taxes :
Levy of 1934
$ 17.11
Levy of 1935
624.45
Levy of 1936
931.36
1,572.92
East Chelmsford Water District
Departmental :
Revenue
172.21
Selectmen
$ 1.50
Dog Licenses-due County
48.00
Town Hall
6.12
Unexpended Appropriation Balances .
132,897.95
Police
80.00
Reserve Fund-Overlay Surplus
19,416.43
Bequest 550.00
Cemetery Sale of Lots and Graves
Fund 1,138.50
Sale of Real Estate Fund
1,875.00
Surplus War Bonus Fund
3,104.95
North Chelmsford Fire District
Revenue 59.69
General $ 19,764.71
$ 19,864.71
Accounts Receivable :
Cemetery Perpetual Care Fund
Tree Warden
12.00
Overlays Reserved for Abatements :
Health
23.93
Levy of 1933 $ 25.92
Highway
453.38
Levy of 1934 522.37
Public Welfare
1,565.40
Old Age Asssitance
5,711.38
School
83.88
Revenue Reserved Until Collected :
Motor Vehicle Excise Tax
$
1,572.92
Tax Titles
9,506.84
Departmental 7,937.59
Tax Title 9,506.84
Revenue 1936 :
Appropriations .$283,729.07
Surplus Revenue
19,017.35 79,837.36
Maturing Debt 14,416.00
298,145.07
Less Estimated Receipts Collected
30,330.27
267,814.80
Old Age Assistance Tax Abatements ... .
170.00
Accounts Overdrawn :
Board of Health Maintenance $ 34.63
Public Welfare Outside Relief 1935 612.86
Workmen's Compensation 31.40
Unpaid Bills 1935 .52
Interest
1,428.82
Dog Officer-Fees 1935
27.00
2,135.23
$370,001.57
$370,001.57
Levy of 1935 753.69
1,301.98
7,937.59
DEBT ACCOUNTS
Net Funded or Fixed Debt
$ 44,664.00
Chelmsford Centre Grammar School Loan Middlesex County Sanatorium Loan . .
$ 34,664.00 10,000.00
$ 44,664.00
$ 44,644.00
TRUST ACCOUNTS
Trust and Investment Funds : Cash and Securities :
Adams Emerson Library Fund. $ 173.68
Joseph Warren Library Fund 831.94
In Custody of Town Treasurer
$ 25,400.78
Selina G. Richardson Library Fund 465.30
In Custody of Library Trustees
15,082.65
George Library Fund 2,130.40
Amos F. Adams Library Fund 10,466.39
In Custody of Insurance Fund Commissioners
$ 38,427.37
Aaron George Cemetery Fund
1,014.94
Cemetery Perpetual Care Funds . $ 24,982.61
Harriet M. Edwards Cemetery Fund . . 262.25
Adams Emerson Cemetery Improvement Fund 155.92
25,400.78
Insurance Investment Fund
38,385.24
Workmen's Compensation Fund 42.13
38,427.37
$ 78,910.80
$ 78,910.80
$15,082.65
Warrant For Annual Town Meeting March 1, 1937 and March 8, 1937 COMMONWEALTH OF MASSACHUSETTS
Middlesex, ss.
To John J. Buchanan, Constable, or any suitable person of the Town of Chelmsford.
GREETING :
In the name of the Commonwealth aforesaid you are hereby requested to notify and warn the legal voters of said Chelmsford to meet in their several Polling Places, viz :
Precinct 1. Town Hall, Chelmsford Centre.
Precinct 2. Town Hall, North Chelmsford.
Precinct 3. Fire House, West Chelmsford.
Precinct 4. School House, East Chelmsford. Precinct 5. Liberty Hall, South Chelmsford.
Precinct 6. Golden Cove School House, Westlands.
on Monday, the first day of March, 1937, being the first Monday in said month, at 12 o'clock noon, for the following purposes :
To bring in their votes for the following officers : Moderator for one year. One Selectman for three years.
One Member of the Board of Public Welfare for three years.
Treasurer and Tax Collector for one year.
One Assessor for three years.
Tree Warden for one year.
One Member of the Board of Health for three years.
One Member of the Board of Health for two years to fill an unexpired term.
One Park Commissioner for three years.
One Cemetery Commissioner for three years. Two Trustees of Adams Library for three years. One Sinking Fund Commissioner for three years. One Constable for one year.
184
One School Committee Member for three years. And to vote on the following question :
Shall an act passed by the General Court in the year 1937 entitled, "An act placing the Chief of Police and the members of the regular or permanent police force of the Town of Chelmsford under Civil Service Laws," be accepted ?
All on one ballot.
The polls will be open from 12 noon to 8 P. M., and to meet in the Town Hall at Chelmsford Centre on the following Monday, the eighth day of March, 1937, at 10 o'clock in the forenoon, then and there to act upon the following articles, viz :
ARTICLE 1. To hear reports of Town Officers and Commit- tees ; or act in relation thereto.
ARTICLE 2. To raise and appropriate such sums of money as may be required to defray Town charges for the cur- rent year ; or act in relation thereto.
ARTICLE 3. To see if the Town will vote to establish a planning Board under the provisions of General Laws, Chapter 41, Section 81A and 81F to 81J inclusive, with amendments that have been made to these sections of said chapter ; or act in relation thereto.
ARTICLE 4. To see if the Town will vote to raise and ap- propriate the sum of Fifty ($50) Dollars for the prepara- tion of a Zoning scheme under the direction of the Plan- ning Board; or act in relation thereto.
ARTICLE 5. To see if the Town will authorize the Select- men to act as its agent in any suit or suits which may arise during the current year, with authority to settle and adjust any claims or demands for or against the Town; and to employ counsel whenever in their judgment it is necessary ; or act in relation thereto.
ARTICLE 6. To see if the Town will authorize the Trea- surer, with the approval of the Selectmen to borrow money in anticipation of the revenues of the current financial year ; or act in relation thereto.
185
ARTICLE 7. To see if the Town will vote to raise and ap- propriate a sum not exceeding Two Thousand ($2,000) Dollars to be used as a Reserve Fund at the discretion of the Finance Committee, as provided in General Laws, Chapter 40, Section 6; or act in relation thereto.
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