USA > Massachusetts > Essex County > Middleton > Town annual report of Middleton, MA. 1946 > Part 2
Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).
Part 1 | Part 2 | Part 3 | Part 4 | Part 5
EXPENDITURES
Labor
$5,973 60
Truck hire
2,033 15
Equipment hire
3,036 55
Gravel
2,593 40
Asphalt
470 79
Supplies
497 87
Total expenditures
$14,605 36
Balance carried forward
494 64
$15,100 00
PARK AVENUE-SPECIAL :
Appropriation
500 00
EXPENDITURES
Labor
254 90
Truck
195 00
Total expenditures
449 90
Transferred to Chapter 81
50 00
Transferred to revenue
10
500 00
LAKEVIEW AVENUE-SPECIAL :
Appropriation
350 00
EXPENDITURES
Labor
100 80
Truck hire
84 00
Asphalt
115 01
Total expenditures
299 81
Transferred to Chapter 81
50 00
Transferred to revenue
19
350 00
SPRING STREET-SPECIAL :
Appropriation
200 00
EXPENDITURES
Labor
33 60
Gravel
116 40
Total expenditures
150 00
Transferred to Chapter 81
50 00
200 00
27
HIGHWAY DEPARTMENT
PEABODY STREET BRIDGE :
Appropriation
$1,700 00
EXPENDITURES
Labor
$ 176 60
Grating and beams
1,329 94
Welding
140 00
Total expenditures Transferred to revenue
26
1,700 00
SNOW REMOVAL :
Appropriation
10,900 00
EXPENDITURES
Labor
5,653 80
Truck hire
3,102 50
Sand and salt
1,343 10
Supplies and repairs
505 00
State road
51 68
Total expenditures
10,856 08
Transferred to revenue
43 92
ROAD MACHINERY FUND :
Balance January 1, 1946
2,667 98
Receipts
1,825 90
EXPENDITURES
Gasoline and oil
965 25
Repairs and parts
601 70
Supplies
334 89
Storage
509 82
Insurance
80 34
Registration
8 00
Total expenditures
2,500 00
Balance carried forward
1,993 88
4,493 88
STREET LIGHTING :
Appropriation
2,500 00
EXPENDITURES
Middleton Electric Light Dept.
2,500 00
1,699 74
10,900 00
4,493 88
28
CHARITIES ACCOUNT
CHARITIES
PUBLIC WELFARE SALARIES :
Appropriation
$325 00
EXPENDITURES
Leslie Merrifield
$125 00
Charles Pasquale
100 00
Wilbur Rundlett
100 00
Total expenditures
325 00
PUBLIC WELFARE MAINTENANCE :
Appropriation
3,000 00
EXPENDITURES
GENERAL EXPENSES:
Transportation-investigation
49 44
Supplies, postage, telephone
5 02
54 46
Cash payments
728 00
Groceries, fuel, clothing, etc.
625 37
Medical aid
85 87
Other towns
705 85
2,145 09
Total expenditures
2,199 55
Transferred to revenue
804 50
3,000 00
OLD AGE ASSISTANCE-AID :
Appropriation
16,500 00
Federal grants
8,548 47
Refunds
51 68
25,100 15
EXPENDITURES
Cash payments
24,095 36
Other towns
208 50
Total expenditures Transferred to revenue
24,303 86
796 29
25,100 15
.
/
1
29
CHARITIES ACCOUNT
OLD AGE ASSISTANCE-ADMINISTRATION :
Appropriation
$500 00
Federal grants
284 93
Balance January 1, 1946
96 06
$880 99
EXPENDITURES
A. C. Peabody, agent
545 70
Transportation
55 31
Office supplies, postage
35 25
Total expenditures
636 26
Transferred to revenue
244 73
880 99
AID DEPENDENT CHILDREN-AID :
Appropriation
2,200 00
Federal grants
393 00
Refunds
56 24
Balance January 1, 1946
12 94
2,662 18
EXPENDITURES
Cash payments
2,599 08
Total expenditures
2,599 08
Transferred to revenue
63 10
2,662 18
AID DEPENDENT CHILDREN-ADMINISTRATION :
Appropriation
50 00
Federal grant
16 74
66 74
EXPENDITURES
A. C. Peabody, agent
47 60
Transportation
2 34
Total expenditures
49 94
Transferred to revenue
16 80
66 74
30
SOLDIERS' BENEFITS
SOLDIERS' BENEFITS
STATE AID :
Appropriation
$150 00
EXPENDITURES
Transferred to revenue
150 00
SOLDIERS' RELIEF :
Appropriation
1,000 00
EXPENDITURES
On order
556 19
Total expenditures
556 19
Transferred to revenue
443 81
1,000 00
WAR ALLOWANCES :
Appropriation
400 00
Refund
15 00
EXPENDITURES
On order
230 00
Total expenditures
230 00
Transferred to revenue
185 00
415 00
MEMORIAL DAY :
Appropriation
300 00
Transferred from reserve
90 00
390 00
EXPENDITURES
Band
192 00
Flowers, wreaths, flags
79 75
Speaker and music
39 00
Refreshments, school children
40 23
Printing
7 00
Total expenditures
$357 98
Transferred to reserve
32 02
390 00
415 00
31
SCHOOL DEPARTMENT
SCHOOLS
Appropriation
$39,651 00
EXPENDITURES
SALARIES:
Teachers and supervisors
$16,899 08
Nurse and Doctor
562 00
Attendance officer
50 00
17,511 08
GENERAL EXPENSES:
Salary-superintendent
365 04
Salary-clerk
100 00
Expenses-superintendent
132 94
Expenses-office
79 45
677 43
Books and supplies
751 79
Tuition
12,124 81
Transportation
4,647 50
Janitor service
1,782 71
Building and grounds maintenance
1,822 43
Fuel and light
227 79
Graduation expenses
31 27
Lunchroom equipment
57 05
21,445 35
Total expenditures Transferred to revenue
39,633 86
17 14
39,651 00
VOCATIONAL EDUCATION :
Appropriation
200 00
Transferred from reserve
73 05
EXPENDITURES
Transportation
203 05
Tuition
70 00
273 05
Total expenditures
273 05
32
LIBRARY AND PARK DEPARTMENTS
LIBRARY :
Appropriation
$1,500 00 365 01
Dog tax refund
$1,865 01
EXPENDITURES
On order
1,865 01
(For detailed report see Trustees' report)
PARK:
Appropriation
550 00
EXPENDITURES
Labor
309 48
Supplies
39 15
Equipment
201 20
Total expenditures
549 83
Transferred to revenue
17
550 0.0
.
BASEBALL DIAMOND:
Appropriation
500 00
EXPENDITURES
Labor
94 35
Truck hire
118 00
Supplies
193 01
Total expenditures
405 36
Transferred to revenue
94 64
500 00
33
CEMETERY DEPARTMENT
CEMETERY
CEMETERY SALARIES : Appropriation
$90 00
EXPENDITURES
R. N. Maxwell, superintendent of burials
$30 00
Clarence Richardson, Commissioner
20 00
Roger Lovelace
20 00
H. Oscar Swain
20 00
Total expenditures
90 00
CEMETERY MAINTENANCE :
Appropriation
1,450 00
Endowment funds
416 40
1,866 40
EXPENDITURES
Labor
1,758 83
Truck hire
39 50
Supplies
32 29
Water
14 33
Total expenditures
1,839 95
Transferred to revenue
26 45
1,866 40
OPENING GRAVES :
Appropriation
350 00
Transferred from reserve
85 40
435 40
EXPENDITURES
Labor
394 90
Truck hire
40 50
Total expenditures 435 40
34
CEMETERY DEPARTMENT
CEMETERY ASPHALT-SPECIAL:
Appropriation
$125 00
EXPENDITURES
Asphalt
125 00
CEMETERY EQUIPMENT-SPECIAL:
Appropriation
150 00
EXPENDITURES
Lot markers
$ 95 23
Lawn mower and hose
46 60
Total expenditures
141 83
Transferred to revenue
8 17
150 00
CEMETERY ENDOWMENT :
Received
1,405 00
EXPENDITURES
Deposited in Savings Banks
1,405 00
1
35
UNCLASSIFIED
UNCLASSIFIED
CONTINGENT FUND :
Appropriation
$800 00
EXPENDITURES
Printing and delivering town reports
$331 90
Maintenance old school
47 25
Scales, weighing fees
35 45
Flag pole maintenance
22 42
Funeral pieces
36 00
Honor roll
3 00
Printing building laws and forms
187 34
Services, zoning laws
72 65
Entertaining, Selectmen's Association
30 98
Essex Street water
4 51
Total expenditures
771 50
Transferred to revenue
28 50
800 00
INSURANCE :
Appropriation
1,255 00
EXPENDITURES
Workmen's liability
493 60
Building liability
60 00
New school
366 70
Sealer's equipment
23 80
Fire department
69 50
Clerk's bond
5 00
Collector's bond and burglary insurance
102 07
Treasurer's " 66
87 00
Total expenditures Transferred to revenue
$1,207 67
47 33
$1,255 00
INTEREST :
Appropriation
480 00
EXPENDITURES
School construction notes
480 00
36
UNCLASSIFIED
RESERVE FUND : Appropriation
$1,500 00
Transferred to:
Fire Department
$ 419 00
Police Department
216 30
Elections
109 21
Memorial Day
90 00
Opening Graves
85 40
Vocational Education
73 05
Revenue
507 04
1,500 00
MANSFIELD FUND :
Balance January 1, 1946
160 84
Received from Old Colony Trust Co.
850 00
1,010 84
EXPENDITURES
Band concerts
366 60
Picnic
324 75
Thanksgiving and Christmas baskets
285 00
Total expenditures
976 35
Balance carried forward
34 49
1,010 84
POST-WAR REHABILITATION FUND :
Appropriation 2,000 00
EXPENDITURES
War Bonds purchased
1,998 00
Total expenditures
1,998 00
Transferred to revenue
2 00
2,000 00
-
37
UNCLASSIFIED
REPAIRS TO OLD SCHOOL :
Balance January 1, 1946
EXPENDITURES
$128 54
Roof repairs
39 52
Total expenditures 39 52
Balance carried forward
89 52
$128 54
VETERANS' CELEBRATION :
Appropriation
2,000 00
EXPENDITURES
Balance carried forward $2,000 00
38
ELECTRIC LIGHT DEPARTMENT
ELECTRIC LIGHT DEPARTMENT
RECEIPTS
Balance January 1, 1946
$ 7,126 14
Energy
56,244 36
Refunds
125 53
Labor and supplies
1,933 90
Depreciation fund
1,660 00
Street lighting appropriation
2,500 00
$69,589 93
EXPENDITURES
ENERGY PURCHASED:
Eastern Mass. Elec. Co.
36,530 32
Danvers Electric Light Dept.
53 71
Reading Electric Light Dept.
6 75
36,590 78
MAINTENANCE AND CONSTRUCTION:
Labor
11,040 13
Poles and wire
2,063 51
Meters and Transformers
1,556 37
Supplies
3,567 41
Insurance
359 21
Truck maintenance
1,242 49
20,597 78
ADMINISTRATION:
A. B. Harrington, manager
1,500 00
Charles Bates, Commissioner
50 00
Richard B. Floyd, 66
50 00
Gus Fischer,
50 00
Office supplies
600 99
Office equipment
266 24
Office salaries
910 00
3,427 23
Depreciation fund
2,268 94
Meter deposit interest
224 93
Total expenditures
63,109 66
Transferred to Town
2,500 00
Balance carried forward
3,980 27
$69,589 93
39
ELECTRIC LIGHT DEPARTMENT
DEPRECIATION FUND :
Balance January 1, 1946
$11,186 37 2,268 94
Transferred to fund
$13,455 31
EXPENDITURES
Transferred to construction account
1,660 00
Balance carried forward
11,795 31
13,455 31
METER DEPOSIT FUND :
Balance January 1, 1946
2,198 50
Receipts
520 00
2,718 50
EXPENDITURES
Refunds
1,641 50
1,641 50
Balance carried forward
1,077 00
2,718 50
METER DEPOSIT INTEREST :
Balance January 1, 1946
15 26
Interest on deposit
38 12
Transferred to account
224 93
278 31
EXPENDITURES
Payments
278 31
40
MUNICIPAL INDEBTEDNESS
MUNICIPAL INDEBTEDNESS
MATURING DEBT :
Appropriation
$3,000 00
EXPENDITURES
School construction notes
3,000 00
COUNTY CHARGES :
County tax
$4,224 71
Dog tax
713 40
4,938 11
EXPENDITURES
County treasurer
4,938 11
STATE CHARGES:
State tax
1,750 00
State parks
140 72
Beverage license
10 00
Auditing municipal accounts
1,166 82
3,067 54
EXPENDITURES
State treasurer
3,067 54
FEDERAL CHARGES :
Withholding Tax
5,544 80
EXPENDITURES
Collector of Internal Revenue
5,544 80
TAX ABATEMENTS-REFUNDS :
1946 motor vehicle excise tax 1 54
1946 real estate tax 136 44
$137 98
BALANCE SHEET DECEMBER 31, 1946-GENERAL ACCOUNTS
ASSETS
Land Sale Funds -
$ 5,552 12
Cash on hand
$81,370 59
Mansfield Fund Income
34 49
Cemetery Lots Fund -
990 00
Road Machinery Fund
1,993 88
Real Estate $ 8,801 31
Personal property 186 84
Motor Vehicle Excise 268 79
1
Poll 58 00
Appropriation Balances ,
3,970 08
Reserve Fund-Overlay Surplus -
1,386 24
TAX TITLES AND POSSESSIONS:
Tax titles
1
3,062 42
Tax title possessions 2,170 37
5,232 79
DEPARTMENTAL:
Public Welfare
600 95
Motor Vehicle Excise -
268 79
Aid Dependent Children 189 96
Municipal Light - 6,605 38
Public Health - 202 14
Highways - 13,166 63 1
$ 993 05
Municipal Light
6,605 38
State Aid to Highways
9,466 63
County Aid to Highways
3,700 00
State Tax-Deficit 52 77
1946 Appropriation to be raised 1947 3,300 00
$120,036 15
$120,036 15
42
BALANCE SHEET
Surplus revenue I
-
26,266 64 62,123 87
-
ACCOUNTS RECEIVABLE: TAXES-Levy of 1946
Electric Light, meter deposits 1,077 00 .“ depreciation 11,795 31
cash 3,980 27
16,852 58
9,314 94
OVERLAY RESERVED FOR ABATEMENTS: Levy of 1946 - - -
866 25
REVENUE RESERVED UNTIL COLLECTED : Departmental 993 05
Tax Titles 5,232 79
-
.
LIABILITIES
DEBT ACCOUNTS
ASSETS Net Funded or Fixed Debt - $21,000 00
LIABILITIES
School Construction Notes - $21,000 00
TRUST FUNDS ACCOUNTS
ASSETS
LIABILITIES
Trust Funds Cash and Securities:
David Cummings Fund
$10,815 62
In Custody of Town Treasurer
$40,812 18
Cemetery Perpetual Care Fund
20,524 56
In Custody of Library Trustees
8,907 01
Post War Rehabiliation Fund
9,472 00
In Custody of Naumkeag Trust Co.
10,215 79
Charles L. Flint Library Fund
5,681 87
Mary E. Emerson Book Fund
3,325 14
B. F. Emerson Library Fund
10,215 79
$60,034 98
$60,034 98
,
BALANCE SHEET
43
44
TREASURER'S REPORT
TREASURER'S REPORT December 31, 1946
Balance January 1, 1946
$88,938 27
RECEIVED FROM TAX COLLECTOR:
1945 Tax
$7,070 23
Interest
159 22
Advertising
3 75
Excise Tax
46 85
Interest
32
Personal Property
132 30
Interest
2 16
1946
Tax
62,277 17
Interest
38 43
Excise tax
2,377 52
Interest
3 22
Poll tax
984 00
Interest
38
Demand
12 60
Personal property
5,537 70
Interest
26 24
RECEIVED FROM ELECTRIC LIGHT DEPARTMENT:
Collections
56,244 36
Deposits
520 00
Depreciation Fund
2,268 94
Interest
38 12
New Eng. Tel. & Tel. Co.
517 00
Private work
1,101 58
Refunds
125 53
Street lights
2,500 00
Supplies sold
315 32
HIGHWAY DEPARTMENT:
Salary transfer
40 00
Middleton Servicemen's Fund
25 00
ROAD MACHINERY FUND:
Machinery rentals
1,673 40
Private Rentals
137 50
Sales
15 00
45
TREASURER'S REPORT
CEMETERY :
Endowments
· $1,405 00
Graves, opening
479 00
Graves and lots sold
120 00
Sods sold
5 00
COUNTY OF ESSEX:
Dog officer
20 00
Dog tax refund
365 01
LICENSES:
Auctioneer
2 00
Innholders
10 00
Junk
10 00
Liquor and advertising
1,832 00
Mfg. soda beverages
20 00
Motor vehicles, gas and alcohol
21 00
Oleo
2 00
Pasteurization
10 00
Slaughtering
1 00
Sunday
8 00
Victualler's
5 00
OLD AGE ASSISTANCE:
Cambridge
21 70
Danvers
72 06
Essex
55 80
Somerville
102 60
Swampscott
64 60
Winthrop
133 58
Woburn
105 34
TAX TITLES:
Redemptions
154 72
20% WITHHOLDING TAX
Collector of Internal Revenue
5,544 80
MISCELLANEOUS:
Adjustments
56 24
Cancelled checks
67 40
Dog tax
713 40
Fees
104 08
46
TREASURER'S REPORT
Fines
$ 35 00
Health
30 00
Interest
416 40
Land sales
7,019 00
Mansfield Fund
850 00
Miscellaneous sales
388 50
Refunds:
50 00
Reimbursements
857 21
Rent-Electric Light Dept.
228 00
Rent of Town Hall
671 90
STATE TREASURER:
Aid dependent children:
Administration
16 74
State aid
811 50
U. S. Grant
393 00
Child guardianship:
Transportation
7 08
Tuition
34 52
Contagious diseases
583 50
Corporation tax
8,080 68
Department of Public Health
478 57
Department of Agriculture
90 63
Dept. of Public Works:
Division of Highways, Chapter 81-1945 2,186 27
66
Chapter 81-1946 5,133 37
Chapter 90-Maint. 500 00
Highways, gasoline tax
2,863 20
High School:
Transportation
5,710 94
Tuition
3,473 09
Income tax
10,567 50
Mass. School Fund
1,057 50
Old Age Assistance:
Administration
257 63
Meal tax
974 31
State aid
10,241 45
U. S. grant
8,575 77
Reimbursement-loss of taxes
749 24
School superintendents
225 54
.
47
TREASURER'S REPORT
Support of indigent persons
47 00
Veterans aid and pensions
125 00
Vocational education
80 80
Total receipts
$229,516 01
$318,454 28
EXPENDITURES
Selectmens' orders
$237,083 69
Balance December 31, 1946
81,370 59
$318,454 28
INVESTMENTS
Twenty-five United States War Bonds (Town of Middleton)
$9,472 00
Two United States War Bonds
(Middleton Electric Light Dept. )
1,480 00
Transferred from Meter Deposit Fund to
Danvers Sav. Bank
1,500 00
Interest to October 1, 1946
53 38
Respectfully submitted, MARION E. MITCHELL,
Treasurer.
48
TREASURER'S REPORT
LAND OWNED BY TOWN December 31, 1946
The Town owns the following parcels of land. These parcels have been deeded to the Town by the Treasurer:
SUMMIT VIEW PARK:
Lots Numbered 9, 30/34 inclusive; 51, 57, 74/79 inclusive; 94, 136/ 148 inclusive; 164/169 inclusive; 212, 213, 215/218 inclusive; 242/ 251 inclusive; 257/270 inclusive; 288/301 inclusive; 311/318 inclusive; 321, 326/330 inclusive; 333/337 inclusive; 344/371 inclusive; 376, 378, 387/398 inclusive.
MIDDLETON PINES:
Lots Numbered 294, 295, 767/769, inclusive; 1007/1010 inclusive.
RIVERVIEW PARK SECTION 1:
Lots Numbered 52/55 inclusive.
RIVERVIEW PARK SECTION 2:
Lots Numbered 158/159; 167/182 inclusive.
WOODLAND PARK :
Lots Numbered 83-91 inclusive; 125; 135-138 inclusive; 332, 575, 576. RECREATION PARK:
Lots Numbered 54, 55, 56, A-B-C-D; 61/68 inclusive; Lot H; 71/82 inclusive; 103/123 inclusive; 128/130 inclusive; 231, 232, 243/246 inclusive; Elliott Lot; 2nd Pasture Woodland and Meadow; Par- ker Lot; Island Pasture; 1st lot of 9th Parcel; Gray Lot; Smith Lot; Sutton Lot.
HASWELL PARK:
Lots Numbered 155.
LIBERTY STREET:
Land on the westerly side of Liberty Street, about 22,500 sq. ft.
FORECLOSED BY LAND COURT DECREES:
Land in Woodland Park, being Lots 113/117 inclusive.
Land in Middleton Pines, being Lots 351/355 inclusive.
MARION E. MITCHELL, Treasurer.
49
TREASURER'S ACCOUNT
Cemetery Endowment Account-1946
NAME
No. of Lot
Fund
Balance 1945
Interest Received
Amount Paid Out
Balance 1946
Atwood, L. Frank
360
$100 00
$121 45
$3 04
$3 00
$121 49
Atwood, Morrison
128
150 00
161 61
4 05
3 00
162 66
Averill, Edward P.
52
100 00
105 74
2 65
3 00
105 39
Averill, Joseph
346
100 00
104 65
2 61
3 00
104 26
Baker, Charles, Jr.
398
150 00
63
150 63
Barnaby, Caroline V.
646
100 00
114 28
2 87
3 00
114 15
Bastable, Arthur
10
150 00
153 25
3 85
3 00
154 10
Batchelder, Harold T.
528
75 00
80 12
2 01
1 50
80 63
Berry, Allen & Catherine 112
125 00
139 10
3 49
2 50
140 09
Berry, Milton
718
150 00
150 00
Berry, William
178
100 00
105 85
2 65
3 00
105 50
Bouchard, Louis
706
100 00
106 03
2 67
2 50
106 20
Bradstreet, H. H.
1 150 00
152 88
3 83
3 00
153 71
Brown, Sarah F.
֏ of434 50 00
53 46
1 34
1 25
53 55
Bryer, Allen D.
526
100 00
105 47
2 64
3 00
105 11
Bryer, Lillian L.
606
150 00
151 20
3 80
3 50
151 50
Carleton, Loring
84
200 00
202 16
5 08
4 00
203 24
Carter, Mary O.
137
150 00
154 66
3 88
2 50
156 04
Conlon, Mary A.
100 00
106 05
2 67
2 50
106 22
Curry, Mary A.
342
100 00
107 71
2 70
2 50
107 91
Curtis, Phoebe
50 00
53 73
1 34
1 25
53 82
Dame, John
284
150 00
162 40
4 08
3 50
162 98
Day, Mrs. Geo. E.
588
50 00
53 22
1 32
1 25
53 29
Day, Weaver
248
150 00
155 80
3 90
3 00
156 70
Demsey, J. W.
156
100 00
105 41
2 64
3 00
105 05
Dennett, Ruth H.
24
75 00
78 83
1 97
1 00
79 80
Densmore, Stanley
B3
150 00
151 72
3 80
3 00
152 52
Downing, William H.
626
100 00
115 16
2 89
1 25
116 80
Duncan, Reuben
489
150 00
150 95
3 78
3 00
151 73
Eaton, Irvin L.
168
75 00
77 20
1 94
2 00
77 14
Emerson, Benjamin F. .
214
150 00
165 62
4 15
3 50
166 27
Emerson, Ellen M.
138
100 00
103 72
2 60
2 50
103 82
Emerson, Eunice W.
166
100 00
107 50
2 69
2 50
107 69
Emerson, Henry P.
496
500 00
525 97
13 21
10 00
529 18
Estey and Hutchinson
48
100 00
106 03
2 67
3 00
105 70
Esty, Allena A.
258
200 00
233 72
5 86
4 00
235 58
Esty Annie E.
572
100 00
104 45
2 61
3 00
104 06
Esty, Loren G.
538
100 00
124 86
3 13
3 00
124 99
Fletcher, Samuel A.
130
100 00
102 38
2 57
2 50
102 45
Flint, George B.
152
66 30
70 77
1 77
1 50
71 04
-
50
TREASURER'S ACCOUNT
Cemetery Endowment Account-Continued
NAME
No. of Lot
Fund
Balance 1945
Interest Received
Amount Paid Out
Balance 1946
Flint, Harley A.
256
$100 00
$102 60
$2 57
$2 50
$102 67
Fowler, Alonzo
12
250 00
257 94
6 47
3 50
260 91
Frame, L. Maria
516
125 00
132 97
3 33
2 50
133 80
Frost, Chas. O.
340
150 00
171 45
4 30
2 50
173 25
Fuller, Abijah
110
150 00
172 47
4 33
3 00
173 80
Fuller, Daniel
628
100 00
105 31
2 64
3 00
104 95
· Fuller, Jeremiah
70
125 00
140 51
3 53
3 00
141 04
Fuller, Lida A.
686
100 00
105 97
2 65
3 00
105 62
Fuller, Luella F.
158
150 00
154 84
3 88
2 50
156 22
Fuller, Lydia & Timothy
268
100 00
105 90
2 65
3 00
105 55
Fuller, Sophronia -
236
200 00
238 87
5 99
4 00
240 86
Fuller and Taylor
644
150 00
154 39
3 88
3 00
155 27
Fuller, William H.
336
100 00
104 72
2 63
3 00
104 35
Gifford, William
180
100 00
105 14
2 64
2 50
105 28
Gilbert, James
188
100 00
105 82
2 65
3 00
105 47
Godfrey, William R.
714
100 00
101 52
2 54
2 50
101 56
Goodwin, Ira E. Heirs of
380
100 00
109 04
2 74
2 00
109 78
Goswiler, Carl B.
716
150 00
176. 19
4 43
1 50
179 12
Gould, Andrew
352
50 00
54 40
1 37
1 25
54 52
Gould, Eben
514
100 00
107 17
2 69
3 00
106 86
Gould, Porter I.
414
100 00
105 58
2 64
3 00
105 22
Gould, Walter
578
150 00
150 &2
3 78
2 50
152 10
Graham, Benj. & Edythe
139
150 00
63
150 63
Graves, D. Augustine
234
100 00
103 10
2 59
3 00
102 69
Graves, Kendall E.
586
100 00
103 61
2 59
3 50
102 70
Hall, E. P.
106
100 00
107 39
2 69
3 00
107 08
Ham, Elinor P.
356
125 00
135 31
3 40
3 00
135 71
Harlow, Levi F.
684
100 00
106 13
2 67
2 50
106 30
Haskell, Ella C.
390
200 00
205 47
5 16
4 50
206 13
Higgins, Lewis S.
264
100 00
108 68
2 73
2 50
108 91
Hilton, Ellen
492}
150 00
150 00
Hobbs, Kathryn
֏ of 588
50 00
53 33
1 32
1 25
53 40
Hoelzel, William
5-6
150 00
152 68
3 83
3 00
153 51
Howe, Benjamin
160
150 00
150 31
3 78
2 50
151 59
Hutchinson and Russell -
518
100 00
101 61
2 54
2 50
101 65
Hutchinson, Caroline A.
253
100 00
104 13
2 61
3 00
103 74
Hutchinson, Elisha P.
740
100 00
103 85
2 60
2 50
103 95
Johnson, Frank E.
804
100 00
113 44
2 84
2 00
114 28
Jones, John E.
372
100 00
104 14
2 61
2 50
104 25
Jones, Samuel
290
100 00
106 19
2 67
3 00
105 86
Leavitt, Jerome
62
150 00
160 63
4 03
3 50
161 16
51
TREASURER'S ACCOUNT
Cemetery Endowment Account-Continued
NAME
No. of Lot
Fund
Balance 1945
Interest Received
Amount Paid Out
Balance 1946
Lee & Meade
82
$150 00
$1 56
$151 56
Leonard & Henderson
141-3
300 00
6 28
$5 00
301 28
Martin, William
150 00
150 95
3 78
3 00
151 73
Metcalf, John -
624
150 00
63
150 63
Millett, Annie L.
150 00
150 00
McGlauflin, Benjamin T.
76
150 00
153 05
3 84
3 00
153 89
McIntire, Abraham
132
75 00
78 62
1 97
2 00
78 59
McIntire, Annie M.
338
100 00
110 21
2 77
2 50
110 48
McKenne, Thomas
532
150 00
151 07
3 79
2 50
152 36
Nelson, Roy
910
150 00
151 27
3 80
3 00
152 07
Paine, Walter
7
150 00
152.36
3 83
3 00
153 19
Peabody & Hutchinson
182-84
150 00
159 32
4 00
3 50
159 82
Peabody, Andrew
56
100 00
103 66
2 59
2 50
103 75
Peabody, A. W.
90
200 00
246 54
6 19
4 00
248 73
Peabody, Dean
344
100 00
101 38
2 54
2 00
101 92
Peabody, John L. -
196
100 00
107 24
2 69
2 50
107 43
Peabody, John W., 2nd
192
150 00
152 21
3 83
3 00
153 04
Peabody, Laura E.
534
100 00
104 60
2 61
3 00
104 21
Peabody, Merrill
754
100 00
105 58
2 64
2 50
105 72
Peabody, Samuel M.
204
100 00
105 54
2 64
3 00
105 18
Peabody, S. Maria
584
100 00
105 73
2 65
2 50
105 88
Peabody, William M.
100 00
105 10
2 64
3 00
104 74
Phelps, Annie H.
146
150 00
170 85
4 28
3 00
172 13
Phelps, William A.
148
100 00
104 76
2 63
3 00
104 39
Pike, Sarah J.
412
125 00
135 41
3 40
2 50
136 31
Putney, Lucretia
104
150 00
151 54
3 80
3 00
152 34
Richardson, Benj. F.
164
100 00
104 84
2 63
3 00
104 47
Richardson, Daniel
100 00
105 19
2 64
3 00
104 83
Richardson, Rev. D. W.
410
100 00
104 39
2 61
2 50
104 50
Richardson, Eli
363
150 00
164 68
4 13
3 00
165 81
Richardson, Lucy G.
80
100 00
104 63
2 61
3 00
104 24
Richardson, William J.
250
150 00
156 37
3 93
3 50
156 80
Russell, George
114
150 00
154 42
3 88
4 00
154 30
Russell, Harriett W.
100 00
105 32
2 64
3 00
104 96
Russell, P. B.
430
200 00
229 27
5 76
4 00
231 03
Russell, Serena
477
150 00
152 05
3 81
3 00
152 86
Sargent, James A.
750
100 00
104 85
2 63
2 50
104 98
Sheldon, Lucy J.
212
150 00
153 70
3 85
2 50
155 05
Skinner & Wilkins
400
100 00
105 60
2 64
2 50
105 74
Smith, E. D. & M. J.
436
100 00
102 96
2 58
3 00
102 54
Smith, George H.
764
100 00
108 10
2 71
2 50
108 31
-
52
TREASURER'S ACCOUNT
Cemetery Endowment Account-Continued
NAME
No. of Lot
Fund
Balance 1945
Interest Received
Amount Paid Out
Balance 1946
Smith, Sarah F.
102
$150 00
$169 35
$4 25
$4 00
$169 60
Soper, Polly A.
298
100 00
104 18
2 61
3 00
103 79
Stiles, David
150 00
171 08
4 30
3 50
171 88
Stiles, Farnham
10
100 00
104 13
2 61
2 50
104 24
Stiles, Hiram A.
30
150 00
162 84
4 08
3 50
163 42
Stiles, Osgood F.
424
150 00
162 43
4 08
3 50
163 01
Stiles, Sumner P.
482
150 00
162 86
4 08
3 50
163 44
Symonds, Charles H.
448
100 00
104 41
2 61
2 50
104 52
Taylor, Benjamin H.
334
100 00
104 67
2 61
2 50
104 78
Tedford, Joseph A.
810
150 00
158 54
3 98
3 50
159 02
Thomas, H. Amelia
64
75 00
78 61
1 97
2 00
78 58
Thompson, C. E. & Ellen 392
200 00
245 16
6 16
4 00
247 32
Townsend, Edward
468
150 00
150 00
2 82
2 00
150 82
Townsend, Ernest
454
150 00
150 00
2 82
2 00
150 82
Tufts, Wilbur
486
100 00
103 51
2 59
3 00
103 10
Tyler, Ansel P.
540
150 00
181 92
4 56
3 00
183 48
Wellman, John R.
40
200 00
222 04
5 58
5 00
222 62
Weston, Samuel W.
36
200 00
211 34
5 30
5 00
211 64
White, Henry F.
208
75 00
83 61
2 09
2 00
83 70
Whitman, Carl N.
116
100 00
104 06
2 61
2 50
104 17
Wiggins, Alexander
- 806
150 00
150 00
Wilkins, Charles
459
150 00
150 00
Wilkins, H. H. & C. B. 440-442
300 00
309 15
7 77
5 00
311 92
Wilkins, Edward W.
172
150 00
185 83
4 66
3 00
187 49
Wilkins, Henry A.
254
100 00
104 81
2 63
2 50
104 94
Wilkins, Luther
176
150 00
175 02
4 40
3 00
176 42
Wilkins, Samuel H.
230
100 00
105 49
2 64
3 00
105 13
Wilkins, Susan A.
596
100 00
103 23
2 59
2 50
103 32
Wilkins, Timothy
50
100 00
108 46
2 71
2 50
108 67
Wilkins and Young
614
150 00
151 38
3 80
3 00
152 18
Young, John
278
100 00
103 82
2 60
2 40
104 02
Totals
$19,104 02
$486 94
$416 40
$20,524 56
Section C 1/2 Graves
99 21
1 61
157 08
-
1
53
TREASURER'S REPORT
CUMMINGS FUND December 31, 1946
Balance, January 1, 1946
United Shoe Machinery Corp., Shares
$9,690 44 975 00
RECEIPTS
United Shoe Machinery, dividends
$121 90
Salem Savings Bank, interest
119 07
Salem Five Cents Savings Bank, interest
120 47
361 44
Total income
11,026 88
Trustees' orders
211 26
$10,815 62
Balance, December 31, 1946
Salem Savings Bank
$4,852 97
Merchants National Bank
78 00
Salem Five Cents Saving's Bank
4,909 65
United Shoe Machinery, shares
975 00
$10,815 62
Respectfully submitted,
MARION E. MITCHELL,
Treasurer.
ANNUAL REPORTS
OF THE
Various Departments
OF THE
Town of Middleton
FOR THE
Year Ending December 31, 1946
PART II
57
PAYROLL ANALYSIS
PAYROLL ANALYSIS
HIGHWAY DEPARTMENT
Labor
Truck
Charles Arling
$ 32 20
Ebbett Baldwin
445 60
Lawrence Bathlemy
28 00
Thomas Bott
1,827 70
Need help finding more records? Try our genealogical records directory which has more than 1 million sources to help you more easily locate the available records.