Town annual report of Middleborough, Massachusetts 1960, Part 5

Author: Middleboro (Mass.)
Publication date: 1960
Publisher: s.n.
Number of Pages: 222


USA > Massachusetts > Plymouth County > Middleborough > Town annual report of Middleborough, Massachusetts 1960 > Part 5


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McCann, Virginia E., 6 Forest Street McCrillis, Clifton A., 108 Oak Street McManus, Albert V., Jr., 11 Pearl Street McQuade, James B., 30 Webster Street Mercer. Frank A., 66 North Street Michael, George J., 56 Vine Street Michael, Joseph D., 84 R. Oak Street


Carpenter Carpenter Phone Operator Salesman Express Agent Housewife State Employee N. E. Tel. & Tel. Co. Car Dealer Shipper Housewife Shoeworker Student Architect Treasurer Housewife Merchant Machinist Manager Shoeworker Retired Charity Worker Clerk Truck Driver At Home State Employee Truck Driver Housewife Engineer Telephone Co. Housewife Balfour Co. Treasurer Carpenter Real Estate Salesman Cranberry Grower Student Shoeworker Stockman Florist


Manager Machinist Civil Engineer Manager Bank Employee Shoeworker Insurance Agent Phone Operator P. O. Employee Postal Employee Clerk Manufacturer State Employee Shoeworker


67


ANNUAL REPORT


Moskoff, Benjamin, Bedford Street Newcomb, Leon E., River Street Nichols, Gordon E., 17 Webster Street Norvish, Constantine, 26 Rock Street Noyes, Robert, Benson Street Ohlund, Harold A., 116 Cherry Street Olson, Alice P., Taunton Street Ortelt. Joseph B., Sachem Street O'Toole, Arthur F., 63 East Main Street Perkins, Faelton C., Jr., Plymouth Street Picard, Emil L., 16 Lovell Street Pierce. Verna E., 49 Barden Hill Road Preti, Vincent J., 24 West Grove Street Richards, Charles, 13 North Street Riley, Joseph F., 88 School Street Roberts, Joseph, Jr., 1048 Center Street Rockwood, Marion S., 40 School Street Rose, William V., Wareham Street Ryder, George M., 73 Center Street Ryder, Samuel C., 227 E. Main Street Salley, Arnold C., 52 School Street Sampson, Harold E., Cherry Street Savard, Emil E., Everett Street Savas, Nicholas, 71 Oak Street Scanlon, John W., 37 Fairview Street Schubert, Madelene A., Everett Street Spataro, Gennerino J., 991/2 Pearl Street Sturtevant, Elmer, East Grove Street Sullivan, Paul D., 67 South Main Street Tharion, W. Warren, 89 North Street Thayer, Ewell P., Maple Road Thomas, Clayton H., 9 Summit Street Thomas, Weldon A., 19 Smith Street Tripp, Ralph W., Benson Street Vasel, Arthur P., 119 East Main Street Vigers, Helen A., 5 Frank Street Warren, Perley S., Spruce Street Walker, Joseph A., Sr., Precinct Street Washburn, John A., 62 Bourne Street Washburn, Maynard C., 10 Clifford Street Waterman, Wilmoth G., 1172 Center Street Waters, Charles J., Jr., 6 Coombs Street Weaver, Doris E., Miller Street Wiksten, Margaret E., 7 Court End Avenue Wilbur, Edgar E., Everett Street Wilbur, Melville D., Off Tispaquin Street Winberg, William, 67 Pearl Street


Merchant


Lumber Dealer Artist Shoeworker Retired Salesman Housewife Farmer State Employee Metallurgist R. R. Employee Clerk State Employee Mechanic Insurance Agent Poultryman Housewife Salesman Government Employee Laborer Window Washer Shoeworker Retired Merchant Insurance Agent Housewife Barber Insp. Farmer News Dealer Accountant Foreman General Electric State Employee Truck Driver Cabinet Maker Housewife Shoeworker Clerk Grain Mill Manager Compositor Electrician Housewife Housewife Mover


Maxim Motor


68


ANNUAL REPORT


REGISTRAR'S REPORT


December 31, 1960


Number of Registered Voters


Precinct 1 Precinct 2 Precinct 3


533 4,924 718


Total


6,175


WALDO S. THOMAS Clerk


ELECTION OFFICERS


1960 - 1961


PRECINCT ONE


Warden Deputy Warden Clerk


Deputy Clerk Inspector Inspector


Deputy Inspector Deputy Inspector


Jessie Carver Doris Thorson Inez Chandler Georgianna Townsend Madeline Davis Stella Fickert Mildred G. Teeling Mary Terwilliger


PRECINCT TWO


Warden Deputy Warden Clerk


Deputy Clerk Inspector Inspector


Deputy Inspector Deputy Inspector


Manuel J. Silvia Laura Norris A. Wilbur Fillmore Alice Sylvia Frank Minott Esther H. Robidoux Jeannette Bigelow Annie C. Healey


PRECINCT THREE


Warden Deputy Warden


Clerk Deputy Clerk Inspector Inspector Deputy Inspector Deputy Inspector


Men and Women


Walter Gillis Perley Perham* Francis Murray* Euphemia Lincoln Esther Neelon Alice H. Tripp Rhoda H. Maxim Frances E. MacAulay Mary F. Grishey


69


ANNUAL REPORT


REPORT OF THE TOWN TREASURER AND COLLECTOR


To the Citizens of Middleborough:


During the calendar year of 1960, your Treasurer received and took charge of a total of $3,161,119.32. Disbursements totaled $3,296,520.29 using a total of 29,600 checks to disburse this amount.


The year ending December 31, 1960 proved to be a good example of the facts set forth in my last year's report. With the aid of the account- ing machine, we were able to mail the majority of the Real Estate Tax bills by June 14th, the taxpayers continued their cooperation by paying earlier, thus your Treasurer did not have to borrow in anticipation of taxes, saving the cost of the interest thereon. In addition to this saving, because there was no borrowing, no interest was paid on the funds used to pay for the damage caused by the hurricane. Hurricane costs will be included in the 1961 budget.


Following are the municipal indebtedness accounts outstanding and the funds held in trust by your Treasurer:


OUTSTANDING INDEBTEDNESS


As of December 31, 1960


JR. AND SR. HIGH SCHOOL BONDS - PAID BY TAXATION


Amount


Date


Due Date


Interest


$50,000.00


Jan. 15, 1955


Jan. 15, 1961


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1962


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1963


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1964


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1965


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1966


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1967


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1968


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1969


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1970


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1971


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1972


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1973


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1974


2.10%


50,000.00


Jan. 15, 1955


Jan. 15, 1975


2.10%


WATER EXTENSION BONDS PAID BY TAXATION


Nos.


Amount


Date


Due Date


Interest


July 1, 1947


July 1, 1961


1.50%


609-654 655-700


$46,000.00 46,000.00


July 1, 1947


July 1, 1962


1.50%


70


ANNUAL REPORT


SEWERAGE BONDS PAID BY TAXATION


Nos.


Amount


Date


Due Date


Interest


184-199


$16,000.00


Dec. 1, 1949


Dec. 1, 1961


1.75%


200-215


16,000.00


Dec. 1, 1949


Dec. 1, 1962


1.75%


216-231


16,000.00


Dec. 1, 1949


Dec. 1, 1963


1.75%


232-247


16,000.00


Dec. 1, 1949


Dec. 1, 1964


1.75%


248-263


16,000.00


Dec. 1, 1949


Dec. 1, 1965


1.75%


264-279


16,000.00


Dec. 1, 1949


Dec. 1, 1966


1.75%


280-295


16,000.00


Dec. 1, 1949


Dec. 1, 1967


1.75%


296-311


16,000.00


Dec. 1, 1949


Dec. 1, 1968


1.75%


312-327


16,000.00


Dec. 1, 1949


Dec. 1, 1969


1.75%


ADDITIONAL BORROWING FOR SENIOR AND JUNIOR HIGH SCHOOL BONDS PAID BY TAXATION


Amount


Date Oct. 1, 1956


Due Date


Interest 2.70%


MAYFLOWER ELEMENTARY SCHOOL BONDS PAID BY TAXATION


Amount


Date


Due Date


Interest


$45,000.00


July 15, 1956


July 15, 1961


2.25%


SEWERAGE EXTENSION - NORTH - RELAND STREETS, ETC. PAID BY TAXATION


Date


Due Date


Interest


572


Amount $4,000.00


Dec. 15, 1956


Dec. 15, 1961


2.75%


573


4,000.00


Dec. 15, 1956


Dec. 15, 1962


2.75%


574


4,000.00


Dec. 15, 1956


Dec. 15, 1963


2.75%


575


4,000.00


Dec. 15, 1956


Dec. 15, 1964


2.75%


576


4,000.00


Dec. 15, 1956


Dec. 15, 1965


2.75%


577


4,000.00


Dec. 15, 1956


Dec. 15, 1966


2.75%


SEWERAGE EXTENSION - OAK AND SUNDRY STREETS PAID BY TAXATION


Note Nos.


Amount


Date


Due Date


Interest


586 587


$6,000.00 6,000.00


Dec. 18, 1957


Dec. 18, 1961


3.00%


Dec. 18, 1957


Dec. 18, 1962


3.00%


MAYFLOWER ELEMENTARY SCHOOL ADDITIONAL BORROWING PAID BY TAXATION


Note Nos. 582


Amount $5,000.00


Date Aug. 1, 1957


Due Date


Aug. 1, 1961


Interest 3.00%


$10,000.00


Oct. 1, 1961


Note Nos.


71


ANNUAL REPORT


EAST MAIN STREET WATER WELLS FIELD DEVELOPMENT PAID BY TAXATION


Note Nos.


Amount


Date


Due Date


Interest


597


$5,500.00


Dec. 12, 1959


Dec. 12, 1961


2.75%


598


5,500.00


Dec. 12, 1959


Dec. 12, 1962


2.75%


599


5,500.00


Dec. 12, 1959


Dec. 12, 1963


2.75%


600


5,500.00


Dec. 12, 1959


Dec. 12, 1964


2.75%


601


5,500.00


Dec. 12, 1959


Dec. 12, 1965


2.75%


602


5,500.00


Dec. 12, 1959


Dec. 12, 1966


2.75%


603


5,500.00


Dec. 12, 1959


Dec. 12, 1967


2.75%


604


5,500.00


Dec. 12, 1959


Dec. 12, 1968


2.75%


JACKSON STREET LAND TO BE PAID BY ESTATE OF THOMAS S. PEIRCE


Note Nos.


Amount


Date


Due Date


Interest


592


$5,000.00


Aug. 4, 1958


Aug. 4, 1961


2.00%


593


5,000.00


Aug. 4, 1958


Aug. 4, 1962


2.00%


SEWERAGE EXTENSION BLOOMFIELD AVE., ETC. PAID BY TAXATION


Note Nos.


Amount


Date


Due Date


Interest


607


$10,000.00


Aug. 19, 1959


Aug. 19, 1961


2.50%


BATH HOUSE AT CENTRAL PLAYGROUNDS TO BE PAID BY ESTATE OF THOMAS S. PEIRCE


Note Nos.


Amount


Date


Due Date


Interest


611


$10,000.00


May 5, 1960


May 5, 1961


3.00%


612


5,000.00


May 5, 1960


May 5, 1962


3.00%


613


2,000.00


May 5, 1960


May 5, 1963


3.00%


614


2,000.00


May 5, 1960


May 5, 1964


3.00%


615


2,000.00


May 5, 1960


May 5, 1965


3.00%


TRUST FUNDS IN CUSTODY OF TOWN TREASURER


As of December 31, 1960


Maria L. H. Peirce Fund:


Middleborough Trust Company, Savings Account


$ 3,674.02


Enoch Pratt Library Fund:


Middleborough Savings Bank


$ 268.80


Eaton and Howard, Inc. Balanced Mutual Fund, 486 shares


5,010.53


Boston Fund, Inc.


Mutual Fund, 389 shares


5,574.01


10,853.34


72


ANNUAL REPORT


Mary Hullahan Library Fund:


15 Shares Middleborough Co-operative Bank income to be used for purchase of books for children, to be placed in Middleborough Public Library, and to be known as the "Mary Hulla- han Collection"


3,000.00


$17,527.36


CEMETERY TRUST FUNDS


As of December 31, 1960


Middleborough Savings Bank


Middleborough Trust Company


Cemetery


Principal


Income $ 2,972.36


$24,018.37


$1,333.89


Drake


100.00


41.68


Fall Brook


200.00


251.32


100.00


106.64


Green


5,231.49


857.02


4,600.00


281.96


Halifax


150.00


46.01


Highland Street


100.00


26.66


Hope Rest


300.00


75.14


750.00


297.56


Nemasket Hill


11,840.00


1,826.49


12,490.54


1,679.05


Pierce (Marion Rd.)


95.00


68.29


Purchade


1,300.00


398.89


2,958.70


647.51


Rock


2,506.23


3,719.05


700.00


386.83


Sachem Street


150.87


317.54


So. Middleborough


4,830.00


308.28


2,250.00


34.75


St. Mary's


1,675.00


344.86


2,300.00


386.80


Summer Street


200.00


101.18


Taunton Avenue


100.00


98.52


Thomastown


2,410.00


1,647.18


1,555.00


472.17


Titicut Parish


2,276.34


1,252.16


5,054.88


1,867.92


Wappanucket


400.00


62.03


100.00


41.27


$64,409.95


$14,346.32


$57,177.49


$7,773.13


Reed (Marion Rd.)


100.00


168.44


Central


$30,745.02


Principal


Income


Anyone wishing a detailed list of Cemetery Trust Fund Accounts may apply at the Town Treasurer's Office.


73


ANNUAL REPORT


CASH RECONCILIATION


As of December 31, 1960


Middleborough Trust Company, General Account


$654,785.22


Merchants National Bank of Boston, General Account


5,000.00


Cash in Office, General Account


600.00


First National Bank of Boston, School Fund


5,000.82


First National Bank of Boston, Sewerage Bond


1,327.71


First National Bank of Boston, Elementary School


7.48


Middleborough Trust Company, School Projects Fund


388.46


Total Cash on Hand, December 31, 1960


$667,109.69


At the close of the year 1960, I would like to express my appre- ciation and thanks to my staff for their continuing and efficient support, to the departments of the town for their cooperation and especially to the people of Middleborough who have met their obligations so well. It has been my pleasure to have served as your Treasurer and Collector during 1960.


Respectfully submitted,


FRANKLIN G. HARLOW


Treasurer and Collector


COLLECTOR OF TAXES - Statement of Tax Revenue


1959 Real Estate Taxes Personal Property Taxes


Commitments $1,074,775.60 52,616.96


Refunds $2,015.47


Amount to be Collected $1,076,791.07 52,616.96 163,480.04 6,652.00 1,071.49


Collected $1,018,342.17 51,833.36 135,856.78 5,250.00 1,060.69


Abated $51,085.18 327.60 27,308.15 1,390.00


Added to Tax Titles $5,496.88


Uncollected $1,866.84


Motor Vehicle Excise Taxes Poll Taxes Farm Animal Excise Taxes


158,763.29


4,716.75


315.11


6,640.00


12.00


12.00


1,071.49


10.80


Total Taxes of 1959


$1,293,867.34


$6,744.22


$1,300,611.56


$1,212,343.00


$80,110.93


$5,496.88


$2,660.75


1960


Real Estate Taxes


$1,100,888.60


$2,670.75


$1,103,559.35


$954,767.03


$54,326.75


$5,026.34


$89,439.23


Personal Property Taxes


52,944.82


71.20


53,016.02


47,757.80


485.05


4,773.17


Motor Vehicle Excise Taxes


141,459.61


2,527.50


143,987.11


107,297.56


22,843.47


13,846.08


Poll Taxes


6,568.00


18.00


6,586.00


5,122.00


1,324.00


140.00


Farm Animal Excise Taxes


1,013.10


1,013.10


869.70


143.40


Total Taxes of 1960


$1,302,874.13


$5,287.45


$1,308,161.58


$1,115,814.09


$78,979.27


$5,026.34


$108,341.88


Betterment Assessments:


Commitments Refunds


Total to Collect $2,219.83


Collected


Abated


Uncollected


Sewer (apportioned) Added to'60 R. E. Tax


$2,152.15


$67.68


$2,154.65


$15.68


$49.50


Water (apportioned) Added to'60 R. E. Tax Street (unapportioned)


160.36


5.86


166.22 1,060.64


121.74


44.48


1,060.64


451.86


608.78


Sewer (apportioned) Paid in advance


2,321.61


2,321.61


Water (apportioned) Paid in advance


150.67


150.67


Committed Interest - Paid in advance


14.67


14.67


Committed Interest - Added to'60 R. E. Tax


846.67


16.86


863.53


808.74


54.99


Totals


$6,706.77


$90.40


$4,310.22


$6,023.94


$15.68


$757.57


Liens:


Commitments


Refunds


Collected


Abated


Tax Titles Uncollected


Water Liens - Added to '60 R. E. Tax


$2,788.14


$92.89


$2,881.03


$1,864.88


$136.74


$879.41


Sewer Liens - Added to '60 R. E. Tax


160.52


160.52


137.91


22.61


Totals


$2,948.66


$92.89


$3,041.55


$2,002.79


$136.74


$902.02


Added to


Total to Collect


Added to Tax Titles


456.00


TOWN COLLECTOR - Statement of Revenue


Town Services:


Commited


Refunds & Bad Debts


Total to Collect


Collected


Abated


Taken as Liens


Uncollected


Gas & Electric


$967,464.71


$14,308.74


$981,773.45


$831,927.07


$1,086.89


$148,759.49


Water Rates


81,478.64


81,478.64


68,147.22


64.13


$2,673.12


10,594.17


School


18,470.96


18,470.96


9,505.71


8,965.25


Veterans Services


17,863.81


17,863.81


17,795.06


68.75


Sewer Rentals


12,673.32


12,673.32*


11,393.39


45.23


145.12


827.66


Welfare


10,134.13


10,134.13


2,892.62


50.00


7,191.51


Water Construction


3,512.92


3,512.92


3,427.66


.60.32


24.94


Rents


2,700.00


2,700.00


2,700.00


Old Age Assistance


1,749.52


1,749.52


1,049.87


26.48


673.17


Water Repairs


914.96


914.96


634.85


23.82


54.70


201.59


Sewer Services


768.27


768.27


737.47


15.40


15.40


Moth


594.00


594.00


389.00


42.00


163.00


Highway


566.11


566.11


566.11


Water Renewals


320.57


320.57


264.57


56.00


Police - Ambulance


255.00


255.00


255.00


Water


250.35


250.35


250.35


Forest Fire


128.00


128.00


102.00


26.00


Civil Defense


50.00


50.00


50.00


Tree Warden


32.00


32.00


32.00


Health


20.00


20.00


20.00


Town Manager - Permit


2.00


2.00


2.00


Totals


$1,119,949.27


$14,308.74


$1,134,258.01


$952,109.95


$1,407.30


$2,948.66


$177,530.18


*Minus $261.92 Audit Adjustment


76


ANNUAL REPORT


REPORT OF THE TOWN ACCOUNTANT


For the Year Ending December 31, 1960


CLASSIFICATION OF RECEIPTS


Taxes


Current Year


5,104.00


Polls


47,232.70


Personal


953,095.64


Real Estate


105,612.81


Previous Years


Polls


6,867.84


Real Estate


87,799.28


Excise


31,031.23


Total Taxes


$1,236,773.50


Licenses and Permits


Liquor


8,175.00


Pedlars


18.00


Sunday


38.00


Milk


61.50


Marriages


214.00


All Other


2,586.60


Total Licenses and Permits 11,093.10


Fines and Forfeits


Court Fines 783.79


Total Fines and Forfeits


783.79


Gifts and Grants


Federal Grants


For Old Age Assistance


106,333.79


For Aid to Dependent Children


40,375.20


For Disability Assistance


19,613.84


Dog Fund


2,246.41


Dog Licenses from Individuals


2,223.90


Peirce Trustees - Playground


6,700.00


Total Gifts and Grants


177,493.14


Excise


30.00


Personal


77


ANNUAL REPORT


General Government


Treasurer and Collector


2,984.89


Selectmen


2.00


Town Clerk Civil Defense


50.00


Town Hall


272.50


Total General Government 5,628.00


Protection of Persons and Property


Police (incl. rent)


3,164.35


Sealer of Weights and Measures


427.45


Insect and Pest Extermination


440.00


Forest Fires


141.00


Total Protection of Persons and Property 4,172.80


Health Department


Sewer Maintenance and Connections


793.57


Sewer Rentals


11,393.39


Sewer Betterments


7,331.78


Sewer Liens


192.02


Misc.


20.00


Total Health Department 19,730.46


Highway Department


Chapter 90 - State


29,970.05


Chapter 90 - County


16,694.71


Road Machinery


581.50


Betterments


451.86


All Other


237.61


Total Highway Department 47,935.73


Town Farm


Sale of Pigs, etc. 4,888.28


Total Town Farm


4,888.28


Welfare Department


From State


7,306.66


From Cities and Towns


1,906.00


Individuals


20.00


Total Welfare Department 9,232.66


Aid to Dependent Children


From State 24,399.80


Total Aid to Dependent Children 24,399.80


2,318.61


78


ANNUAL REPORT


Old Age Assistance


From State From Cities and Towns Recovery Account


111,824.20 1,049.87 7,181.66


Total Old Age Assistance


120,055.73


Disability Assistance


From State 27,974.63


Total Disability Assistance


27,974.63


Veterans' Service


From State 18,340.90


Total Veterans' Service


18,340.90


School Department


Tuition-Transportation-State Wards


40,714.86


Tuition-Cities-Towns


7,604.50


Milk-Lunch-Athletics


98,323.25


State Project 5


1,031.90


All Other inc. rent


1,658.37


Total School Department 149,332.88


Library


Fines and Sales All Other


243.01


Total Library


1,498.80


Unclassified


Jackson Street Property


5,564.00


Park Swimming Pool


1,725.65


Public Building


420.00


Tailings Account


171.17


All Other


14.39


Total Unclassified


7,895.21


Water Department


Metered Rates


68,724.85


Hydrants Service


3,710.00


Lakeville Sanitarium


4,027.63


Service and Repairs Liens


607.85


2,216.14


Construction


3,427.66


1,255.79


ANNUAL REPORT 79


Renewals Betterments All Other


264.57 288.41 251.35


Total Water Department 83,518.46


Electric Light Department


For Lighting


529,517.87


For Power


101,513.37


For Street Lighting


12,958.74


Jobbing


19,471.93


Deposits


8,423.00


Bad Debts


41.01


Refunds


14,267.73


Total Electric Light Department 686,193.65


Gas Department


For Lighting and Power 154,179.96


Total Gas Department


154,179.96


Municipal Indebtedness


Bath House Loan Park 21,000.00


Total Municipal Indebtedness


21,000.00


Interest on Municipal Indebtedness


On Deferred Taxes


2,956.79


On Jackson Street Property


150.00


On Sewer and Water Betterments


834.99


On Tax Titles Redeemed


1.10


On Bath House Loan


315.00


Trust Funds


Mary Hullahan Trust Fund


110.85


M. L. H. Peirce Trust Fund


195.40


Enoch Pratt Trust Fund


429.13


Total Interest Municipal Indebtedness 4.993.26


Agency and Trust


State Taxes


Income


48,377.89


Corporation


54,303.50


Loss of Taxes


415.15


Schools


Nat. Day Education


2,981.94


Aid - Chap. 70


95,611.84


Chap. 645 Acts 1948


53,109.80


Reimbursements Buildings


25,385.57


80


ANNUAL REPORT


Herring Fisheries Adelia Richards Fund Cemetery Perpetual Care


1,300.00


1,085.39


Bequests Income Federal Withholding


141,287.86


State Withholding


10,554.31


Retirement Fund


26,568.21


Total Agency and Trust


463,543.86


Refunds


Departmental


15,489.36


1959 Real Estate Tax


699.12


1959 Excise Tax


1,422.96


1960 Real Estate Tax


2,761.03


1960 Poll Tax


18.00


1960 Personal Tax


71.20


1960 Excise Tax


2,554.45


Tax Titles


76.78


Committed Interest added to taxes 1959


2.84


Committed Interest added to taxes 1960


26.46


1959 Sewer Betterments


7.14


Sewer Betterments added to taxes 1960


67.68


Water Liens added to 1960 Real Estate


98.75


Collectors Costs


3.00


Total Refunds 23,298.77


TOTAL RECEIPTS


$3,303,957.67


Cash Balance - January 1, 1960 Revenue


$680,436.76 11,930.88


Non-Revenue


692,367.64


GRAND TOTAL


$3,996,325.31


CLASSIFICATION OF EXPENDITURES


Finance Committee


Expenses


Approp. $350.00


Drafts $310.50


Balance $39.50


Total Finance Committee


310.50


1,850.00


712.40


81


ANNUAL REPORT


Planning Board


Expenses


200.00


65.29


134.71


Total Planning Board


65.29


Law Department


Town Counsel - Salary


1,650.00


1,650.00


.00


Filing Fees - Court Costs


150.00


150.00


.00


Total Law Department


1,800.00


Moderator


Salary


75.00


75.00


.00


Total Moderator


75.00


Zoning Board of Appeals


Expenses


200.00


3.58


196.42


Total Zoning Board of Appeals


3.58


Civil Defense


Expenses


2,000.00


1,876.53


123.47


Total Civil Defense


1,876.53


Business and Industrial Commission


Expenses


1,200.00


614.28


585.72


Total Business and Industrial Commission


614.28


Selectmen


Misc. Board Expense


500.00


308.70


191.30


Salary Clerk


150.00


150.00


.00


Town Reports


1,675.00


1,671.00


4.00


Surveying


500.00


21.43


478.57


Expenses


320.00


316.23


3.77


Total Selectmen


2,467.36


Town Manager


Salaries


Town Manager Secretary


8,000.00


8,000.00


.00


3,393.00


3,393.00


.00


Part time clerk


943.50


875.00


68.50


82


ANNUAL REPORT


Operation and Mtce. of Car


250.00


191.55


58.45


Travel and Expense


200.00


145.83


54.17


Out of State Convention Expenses


500.00


500.00


.00


459.00


459.00


.00


Total Town Manager


13,564.38


Town Clerk and Accountant


Salaries


Town Clerk and Accountant


5,800.00


5,800.00


.00


Secretary


3,132.00


3,132.00


.00


Part time clerk


500.00


500.00


.00


Transportation


120.00


120.00


.00


Conventions


50.00


7.15


42.85


Expenses


600.00


599.48


.52


Total Town Clerk and Accountant


10,158.63


Town Treasurer and Collector


Salaries


Treasurer and Collector


4,900.00


4,900.00


.00


Principal Clerk


3,132.00


3,132.00


.00


Junior Clerk #1


3,132.00


3,132.00


.00


Junior Clerk #2


3,001.50


3,001.50


.00


Junior Clerk #3


1,700.00


1,700.00


.00


Expenses


6,070.55


5,985.74


84.81


Total Treasurer and Collector


21,851.24


Assessors


Salaries


Chairman


1,417.00


1,417.00


.00


Field Man


1,789.00


1,789.00


.00


Clerk


1,044.00


1,044.00


.00


Principal Clerk


3,132.00


3,132.00


.00


Jr. Clerk Part Time


225.00


162.09


62.91


Accounting Machine (1/2 cost)


101.20


101.20


.00


Legal Expense


300.00


.00


300.00


Transportation


180.00


180.00


.00


Expenses


1,535.00


1,506.01


28.99


Total Assessors


9,331.30


Election and Registration


Salaries: Registrars


668.80


668.80


.00


Wages: Election Officers


2,020.00


2,020.00


.00


Ballot Box


300.00


153.00


147.00


Expenses


2,800.00


2,640.40


159.60


Total Election and Registration


5,482.20


83


ANNUAL REPORT


Town Hall


Salaries


Agent


3,502.50


3,502.50


.00


Agent's Assistant


765.00


765.00


.00


Vacation


80.00


80.00


.00


Fuel


1,600.00


1,595.04


4.96


Repairs and Maintenance


5,000.00


3,477.85


1,522.15


Generator


300.00


.00


300.00


Expenses


925.00


887.48


37.52


Total Town Hall


10,307.87


Public Service Building


Fuel, Light, Water


2,600.00


2,127.28


472.72


Maintenance and Repairs


1,200.00


1,152.89


47.11


Completion of New Building


2,500.00


2,470.99


29.01


Hurricane


10,519.69


10,519.69


Total Public Service Building


16,270.85


Police Department


Salaries


Chief


5,481.00


5,481.00


.00


Deputy Chief


4,698.00


3,618.00


1,080.00


Sergeant #1


4,437.00


4,437.00


.00


Sergeant #2


4,437.00


4,437.00


.00


Patrolmen (11)


42,090.00


42,026.25


63.75


Clerk - Typist


2,590.60


2,590.60


.00


Janitor


2,801.60


2,617.40


184.20


Specials and Matrons


3,809.40


3,809.40


.00


Equipment, Mtce. and Oper.


2,000.00


1,999.43


.57


Gas, Heat, Fuel


1,600.00


1,478.41


121.59


Building Mtce. and Oper.


550.00


520.63


29.37


Road Paint and Labor


350.00


328.72


21.28


New Cruiser


1,900.00


1,874.02


25.98


Radio Mtce. and Oper.


150.00


147.67


2.33


New Equipment


425.00


420.78


4.22


Ambulance Service


4,160.00


4,160.00


.00


Uniforms


900.00


898.90


1.10


Police School


200.00


153.13


46.87


Out of State Convention


200.00


200.00


.00


Expenses


935.00


921.57


13.43


Total Police Department


82,119.91


Fire Department


Salaries


Chief


5,220.00


5,220.00


.00


Deputy Chief


4,437.00


4,437.00


.00


Regulars


47,893.50


47,878.00


15.50


Call Men


7,170.55


7,139.85


30.70


(DR.)


84


ANNUAL REPORT


Supt. Fire Alarm


400.00


400.00


.00


Hydrant Rentals


3,710.00


3,710.00


.00


Fire Alarm, Oper. and Maint.


900.33


900.33


.00


Equipment Oper. and Maint.


2,000.00


1,984.19


15.81


Building Oper. and Maint.


600.00


402.14


197.86


Fuel


1,250.00


1,071.46


178.54


South Middleboro Unit


350.00


350.00


.00


Uniforms


275.00


275.00


.00


Expenses


1,340.00


1,236.54


103.46


Hurricane


.00


180.90


180.90


(DR.)


Total Fire Department


75,185.41


Forest Fires


Wages


1,500.00


1,383.85


116.15


Equipment Oper. and Maint.


450.00


432.20


17.80


Transportation


300.00


300.00


.00


Total Forest Fires


2,116.05


Inspector of Wires


Salary


900.00


900.00


.00


Transportation


150.00


150.00


.00


Total Inspector of Wires


1,050.00


Insect and Pest Control


Town Spraying


4,000.00


3,961.79


38.21


Dutch Elm Disease


4,500.00


4,500.00


.00


Gypsy Moth


2,304.04


.00


2,304.04


Total Insect and Pest Control


8,461.79


Sealer of Weights and Measures


Salary


1.044.00


1.044.00


.00


Transportation


200.00


200.00


.00


Expenses and Equipment


52.17


52.17


.00


Total Sealer of Weights and Measures


1,296.17


Tree Warden


Removing and Trimming Trees


1,000.00


1,000.00


.00


Seedlings


100.00


98.00


2.00


Expenses


50.00


49.73


.27


Stump Removal


900.00


900.00


.00


Total Tree Warden


2,047.73


85


ANNUAL REPORT


Dog Officer


Salary


750.00


750.00


.00


200.00


200.00


.00


Transportation Expenses


125.00


125.00


.00


Total Dog Officer


1,075.00


Health Department


Salaries


Health Officer


2,240.00


2,240.00


.00


Part Time Clerk


150.00


52.50


97.50


Nurse


1,168.00


1,168.00


.00


Plumbing Inspector


1,175.00


1,175.00


.00


Animal Inspector


500.00


500.00


.00


Milk Inspector


500.00


500.00


.00


Dentist


950.00


950.00


.00


Wages


Rubbish - Garbage - Dump


13,728.60


13,612.26


116.34


Vacation and Sick Leave


1,055.64


884.78


170.86


Transportation


Health Officer


200.00


200.00


.00


Plumbing Inspector


200.00


200.00


.00


Animal and Milk Inspector


140.00


140.00


.00


Dental Clinic


750.00


659.50


90.50


Truck Chassis


4,600.00


4,046.98


553.02


Garbage Truck Body


3,850.00


3,850.00


.00


Truck Maint. and Oper.


2,000.00




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