Town annual report of Plymouth, MA 1890-1893, Part 19

Author:
Publication date: 1890
Publisher: Town of Plymouth
Number of Pages: 584


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of Plymouth, MA 1890-1893 > Part 19


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11


May 24 .- Voted, That the land and buildings on School street now occupied for school purposes, when abandoned, be placed in the hands of the Selectmen to be sold, leased or applied to such purposes as they may consider for the best interests of the Town.


May 24 .- Voted, That the vacant lot of land on North Russell street westerly of the Russell street school house, now owned by the Town, be placed in the hands of the School Committee to build thereon a school house to accom- modate the schools.


May 24 .- Voted, That the School Committee be and are hereby authorized to purchase land and erect a school house for the accommodation of the schools now occupying the school house on the north side of South street.


May 24 .- Voted, That the School Committee be and are hereby authorized to purchase land and erect a school house in the northerly part of the town, north of Centennial street.


May 24 .- Voted, That the sum of twelve thousand dollars be and is hereby appropriated for the purchase of land and the erection of school houses as voted.


May 24 .- Voted, That the Selectmen be and are hereby authorized to draw their warrant on the Treasurer for a sum not exceeding twelve thousand dollars to carry into effect this vote, to borrow money for said purpose, and to issue notes or bonds therefor upon such terms, and for such time, as they deem expedient within the requirements of the law.


May 24 .- Voted, That the School Committee be and are hereby authorized to purchase a lot of land adjoining the school house near Barnabas Hedge's, and that the sum of fifty dollars be appropriated therefor.


12


May 24 .- Voted, That the vote passed at [the last annual meeting authorizing the sale of the old High School build- ing be reconsidered, and that the Selectmen be instructed to permit the building to be used for any public purpose which, in their opinion, may be for the interest of the Town, until otherwise ordered by the Town.


May 24 .- Voted, To authorize the Water Commissioners to remit the amount now due the Town from the Rider Home, and supply the Home with water without charge as long as it continues to be used for charitable purposes.


May 24 .- Voted, To authorize the Water Commissioners to lay a pipe in the new street around Spooner's pond and appropriate the sum of two thousand dollars and charge the same to the water account.


May 24 .- Voted, That the Selectmen be authorized to al- low the Fire Department the use of any public building not used for other purpose.


May 24 .- Voted, That the Selectmen be authorized to ex- pend such an amount as may be necessary in altering build- ings for the use of the Fire Department.


May 24 .- Voted, That the Town of Plymouth adopt the sys- tem of sewerage substantially as shown in the plans sub- mitted by Charles F. Chase, subject to such modifications and alterations as the Committee on Sewerage may approve, and appropriate for the construction and care of said sew- ers the sum of twenty thousand dollars, and such further sums as may from time to time be paid for the right to en- ter them.


May 24 .- Voted, That a committee of three be chosen to be known as the Committee on Sewerage, which shall have sole charge of the construction and care of said sewers and any


13


extension of them ; to serve until the next anuual meeting, when the Town shall choose their successors.


May 24 .- Voted, That the Selectmen for the time being are hereby authorized to draw their warrants on the Treas- urer for the sums hereby appropriated for the construction of sewers, and to borrow money from time to time for said purpose, and are further authorized to issue the notes or bonds of the Town in a sum not exceeding twenty thousand dollars upon such terms and for such times as they shall deem expedient.


May 24 .- Voted, That the Committee of Three be ap- pointed by the Chair.


May 24 .- Article 9 was taken up as follows : "To see if the Town will investigate the manner and lawful methods by which Oak Grove Cemetery, a private corporation, was transferred to the Town for a public burial ground.


Voted, That the Article be referred to a Committee of Three to report at the next Town meeting.


December 9 .- Voted, That the Selectmen be authorized to borrow the sum of fifteen thousand dollars and to issue therefor the notes ot the Town, each for the sum of seven hundred and fifty dollars, bearing interest at the rate of of 43 per centum per annum, payable semi-annually, dated November 1, 1893, and payable one at the end of one year from the said day, and one at the end of each successive year thereafter until the whole are paid, the said notes to be signed by the Treasurer and approved by a majority of the Selectmen of the Town.


December 9 .- Voted, That the above vote be in substitu- tion for the vote passed May 24th, appropriating twenty thousand dollars for the same purpose.


14


December 9 .- Voted, That the further consideration of Article 3 be postponed to the next Town meeting, and that the By-Laws directed by Chapter 447 of Acts of 1893, which may be proposed by the Board of Health for adop- tion by the Town, be printed and copies of the same be dis- tributed throughout the Town.


December 9 .- Voted, That the Park Commissioners be instructed not to interfere with any fisherman or farmer on Beach Park, and that permission be given to persons, now occupying the Beach, to continue the buildings on said Park free of rent until the further vote of the Town.


December 9 .- Voted, That the Town accept and allow the extension of Water street as laid out by the Selectmen.


December 9 .- Voted, That the Town accept and allow the Town way called Hall street as laid out by the Selectmen.


December 9 .- Voted, That the Town accept and allow the Town way called Atlantic street as laid out by the Select- men.


December 9 .- Voted, That the Selectmen be authorized to transfer the appropriation for macadamizing made at the last annual meeting to the appropriation for "new roads" and "roads and bridges."


December 9 .- Voted, To accept the report of the Com- mittee of the Town appointed at the last meeting to exam- ine into the transfer of Oak Grove Cemetery to the Town.


REPORT OF THE TREASURER


FOR THE YEAR ENDING DEC. 31, 1893.


The Treasurer is charged with -


Cash on hand, Jan. 1, 1893. $19,122 22


Water rates, labor and materials 17,830 48


Sewer loan


15,000 00


Temporary loan 51,000 00


Fire department 6,000 00


Agawam and Half-way Pond fishery


754 00


School department reimbursement


18 25


Poor department reimbursement


1,278 29


Road department reimbursement


400 51


Sewer entry. 30 00


Morton Park reimbursement


77 50


Manomet Cemetery, sale of lots, etc


7 20


Chiltonville Cemetery, sale of lots, etc


22 48


Vine Hills Cemetery, sale of lots, etc.


147 93


Widows reimbursement.


12 00


Old Colony Bank, dividend


400 00


Murdock fund, interest


36 50


New schools reimbursement


17 00


Burial Hill, lease


1 00


Beach Park, storage


2 00


Town Records, sale of books


145 80


Liquor licenses


5 00


Seal bounty from County


246 00


Amount carried forward. $112,554 16


16


Amount carried forward $112,554 16


Military aid reimbursements


17 70


State aid reimbursements from State


2,955 00


Indigent aid from State. 413 46


Indigent aid from State reimbursement


14 00


Dog fund from County


920 12


Insane poor reimbursements


848 70


Armory rent from State


400 00


Fines from District Court.


412 92


Licenses


130 25


New schools loan


10,000 00


Interest on taxes


432 27


Rebate of interest


112 84


Warren fund income


50 00


Corporation tax from State


7,668 10


Bank tax from State.


2,198 36


Taxes of 1893, including abatement of$1,619 07. 95,467 36


" 1892,


66


66 503 01.


7,440 89


" 1891,


356 33.


1,636 23


" 1890,


66


59 71.


356 83


66 1889,


66


2 00.


38 56


$244,067 75


17


The Treasurer is charged with the following payments :-


Temporary loan repaid $51,000 00


Schools 29,937 56


Water department 18,032 84


Roads and bridges


13,743 15.


New schools.


10,877 72


Notes and bonds paid


13,570 00


Contingent account.


5,612 04


State tax


6,800 00.


County tax


8,421 05


National Bank tax


4,964 .31


Interest account


5,133 75


Poor department


7,895 32


Fire department


13,310.90


New roads


8,743 28


Watch and police


2,186 67


Insane poor


3,064 11


Sidewalks


1,087 37


Burial Hill


177 07


Sewers


10,041 36


Assessors


1,223 77


Collector


699 97


Treasurer


700 00


Abatements .


2,540 12


Vine Hills Cemetery


563 04


Cedarville Cemetery


50


Chiltonville Cemetery


1 50


Manomet Cemetery


5 37


Sexton


125 00


Duxbury & Cohasset R. R.


1,500 00


Public Library


600 00


Amount carried forward.


$222,557 77


2


18


Amount brought forward.


$222,557 77


Agawam and Half-way Pond fishery


97 50


Indigent aid


650 96


State aid


3,265 00


Military aid


958 05


Liquor licenses to State


1 25


Seal bounty


261 00


Burton Park.


7 19


Training Green


202 72


Morton Park .


702 91


Beach Park


213 95


Bates Park


60 27


Publication of Town Records


251 00


Widows


146 00


Lighting streets and town house.


5,728 66


Suspense


41 88


Cash, Dec. 31, 1893


8,921 64


$244,067 75


The undrawn balances of the several appropriations are as follows :-


Vine Hills Cemetery


$357 56


Abatements


1,192 30


Fresh Brook.


13 92


Burton Park


4 73


Beach Park.


16 79


Morton Park


61


Warren fund


1,128 81


Collector


1 55


Amount carried forward. $2,716 27


19


Amount brought forward


$2,716 27


Water works .


456 23


Manomet Cemetery


69 84


Widows.


34


Watch and police


13 33


Murdock fund


730 00


Poor.


632 64


Lighting streets and town house


162 75


New school house


4,139 28


Bates Park


14 73


Public Library


600 00


Sewers


4,988 64


Chiltonville Cemetery


4 15


$14,528 20


The overdrawn balances of the several appropriations are as follows :-


Indigent aid


$638 77


Town Records.


1,545 74


Cedarville Cemetery


109 76


Military aid.


960 35


Insane poor


15 41


Schools


1,919 31


Town debt and interest


1,317 66


Training Green.


36 57


New High school house


3,673 66


Contingent account.


404 37


Fire department.


2,310 90


Roads and bridges 383 39


Amount carried forward. $13,315 89


20


Amount brought forword $13,315 89


Sidewalks 83 45


Assessors 23 77


Burial Hill


130 87


$13,553 98


TOWN DEBT. WATER LOAN FUNDED.


58,800 four per cent. bonds dated June 1st, 1885, payable within twenty years in an- nual payments of $2,800. $58,800 00


31,200 four per cent. bonds dated August 1st, 1890, of which the sum of $1,300 is payable annually 31,200 00


20,000 six per cent. bonds due August 1st, 1894, 20,000 00


2,400 four per cent. notes due August, 1894. . . 2,400 00


$112,400 00


DUXBURY AND COHASSET RAILROAD LOAN.


. Note to Plymouth Savings Bank,


due April 1st, 1894, 4 per cent. $750 00


Note to Plymouth Five Cents Sav- ings Bank, due April 1, 1894, 4 per cent 750 00


1,500 00


CONSOLIDATED LOAN.


Consolidated loan at Plymouth


Savings Bank, dated April


Amount carried forward. $113,900 00


21


Amount brought forward. $113,900 00


1st, 1891, $2,200 payable an- nually, 4} per cent. $17,600 00


Consolidated loan at Plymouth Five Cents Savings Bank, dated April 20th, 1891, $670 payable annually, 43 per cent. 5,360 00 22,960 00


HIGH SCHOOL HOUSE LOAN. Note to Plymouth Savings Bank,


dated July 1st, 1891, 4 per cent. $2,000 payable annually $16,000 00 Note to Plymouth Five Cents Sav- ings Bank, dated July 1st, 1891, 4 per cent., $2,000 pay- able annually . 16,000 00


32,000 00


PLYMOUTH AND MIDDLEBORO R. R. LOAN. Note dated Jan. 7, 1892, 4 per cent. payable $5,000 annually $45,000 00 45,000 00


NEW SCHOOL HOUSES.


Note dated July 3d, 1893, 5 per


cent. payable $500 annually . $5,000 00


Note dated December 9th, 1893, 43 per cent., payable $500 an- nually ... 5,000 00 10,000 00


FIRE DEPARMENT LOAN.


Note dated July 1st, 1893, 5 per cent., payable $1,000 annually $5,000 00 Note dated December 9th, 1893, 43 per cent., payably $200 an- nually 1,000 00


6,000 00


Amount carried forward. $229,860 00


22


Amount brought forward. $229,860 00


SEWER LOAN.


Notes dated November 1st, 1893, 43 per cent., payably $750 an- nually


$15,000 00


15,000 00


Indebtedness December 31st, 1893.


$244,860 00


31st, 1892. 233,030 00


Increase for the year


$11,830 00


There is due the Town as follows :


Uncollected taxes, 1890


$107 91


1891


600 01


66


1892


2,978 14


1893


11,344 36


$15,030 42


Indigent aid due from State


319 38


State aid due from State


3,281 50


Seal bounty due from County 261 00


$18,892 30


CONTINGENT.


CR.


By-


Appropriation. .


$4,000 00


for deficiency.


1,011 20


Armory rent


400 00


Fines.


412 92


Miscellaneous receipts


396 25


Balance overdrawn 404 37


$6,624 74


23


DR.


To-


Overdrawn balance of old account $1,011 20


Stationery 55 27


Surveying 57 00


Inspector of Cattle 150 00


Fuel 111 62


Incidentals 135 97


Clerk of the Selectmen 160 40


Town meeting expenses.


222 20


Returns of births, deaths, etc. 258 35


Legal expenses, deeds, recording, etc.


23 00


Fire in the woods 141 24


Services of Selectmen


775 06


Post-office bills.


95 10


Board of Health and expenses. 538 52


Repairs at town house.


23 94


Janitor of town house


180 81


Board of Registration and expenses.


266 35


Fees and expenses of arrest. 133 68


Expenses of State election 141 10


Armory rent, heat and light and rifle range. 1,020 00


Advertising and printing, including town report. 716 70


Expressage


6 10


Auditor


75 00


Highway damage 10 00


Care of town clock 25 00


Closets at Armory for uniforms.


124 00


Protecting and trimming trees. 164 13


Selling herring stream . 3 00


$6,624 74


24


ROADS AND BRIDGES.


CR.


By-


Appropriation


$14,000 00


Undrawn balance of old account.


202 53


Reimbursements from sewers.


175 00


66


66


Poor department.


49 25


66


Fire department.


18 41


66


66


Small accounts


59 05


66


66


Pilgrim Society


13 50


66 N. Y., N. H. & H. R. R.


49 00


66


66 P. & K. Street R. R. . .


36 30


Balance overdrawn


383 39


$14,986 43


DR.


To-


Payments in 1893.


$13,743 15


Transfer to new roads.


1,243 28


$14,986 43


NEW ROADS.


CR.


By-


By appropriation. . $7,500 00


481 95


Transfer from roads and bridges.


1,243 28


$9,225 23


DR.


To-


Balance overdrawn, old account


$481 95


Court street widening, 2,957 45


Amount carried forward $3,439 40


for deficiency .


25


Amount brought forward. $3,439 40


Howes Lane land damage and referee


550 00


Water street,


land damage and working. 1,227 13


Darby one-half


300 00


Spooner street working


1,172 02


Ship Pond road


2,412 43


Middle street surveying.


102 00


Atlantic


4 75


Sever 66


8 00


Hall Place


66


9 50


$9,225 23


LIGHTING STREETS AND TOWN HOUSE.


CR.


By-


Appropriation.


$5,800 00


Balance undrawn of old account.


91 41


$5,891 41


DR.


To-


Payments in 1893.


$5,728 66


Undrawn balance.


162 75


$5,891 41


TOWN DEBT AND INTEREST.


CR.


By-


Appropriation. $10,500 00


Balance from old account


440 98


Rebate of interest.


112 84


Amount carried forward.


$11,053 82


26


Amount brought forward $11,053 82


Interest on taxes 432 27


Transfer of unappropriated money.


5,900 00


Balance overdrawn


1,317 66


$18,703 75


DR.


To-


Notes and bonds paid.


$13,570 00


Interest paid.


5,133 75


$18,703 75


INSANE POOR.


CR.


By -


Appropriation


$2,200 00


for deficiency 51 48


Reimbursements


848 70


Balance overdrawn.


15 41


$3,115 59


DR.


To-


Payments in 1893


$3,064 11


Balance overdrawn on old account


51 48


$3,115 59


VINE HILLS CEMETERY.


CR.


By -


Balance undrawn of old account.


$672 67


Sale of lots, etc. 247 93


$920 60


27


DR.


To-


Payments in 1893


$563 04


Balance undrawn


357 56


$920 60


ABATEMENTS.


CR.


By -


Undrawn balance of old account


$1,439 96


Overlay of taxes


2,292 46


$3,732 42


DR.


To-


Abatement in 1893


$2,540 12


Balance undrawn


1,192 30


$3,732 42


SEXTON.


CR.


By-


Appropriation


$125 00


To-


Payment in 1893


$125 00


FRESH BROOK.


CR.


By-


Undrawn balance of old account $13 92


DR.


To-


Balance undrawn $13 92


DR.


28


DUXBURY AND COHASSET RAILROAD.


CR.


Appropriation


By- $1,500 00


To-


Payments in 1893 on notes


$1,500 00


MURDOCK FUND.


CR.


By-


Balance undrawn of old account


$730 00


Interest


36 50


$766 50


DR.


To-


Payments in 1893


$36 50


Balance undrawn


730 00


$766 50


BURIAL HILL.


CR


By-


Balance undrawn old account


$45 20


Lease of land.


1 00


Balance overdrawn


130 87


$177 07


DR.


To-


Payments in 1893 $177 07


DR.


29


FIRE DEPARTMENT.


CR.


Appropriation


By- $11,000 00


Deficiency . . .


509 42


Balance overdrawn


2,310 90


$13,820 32


DR.


To-


Payments in 1893


$13,310 90


Overdrawn balance old account


509 42


$13,820 32


NEW SCHOOL HOUSES.


CR


By-


Appropriation


$12,000 00


Transfer from new grade schools


3,000 00


Reinbursement


17 00


$15,017 00


DR.


To-


Payments in 1893


$10,877 72


Balance undrawn


4,139 28


$15,017 00


POOR.


CR.


By -


Appropriation $5,000 00


Undrawn balance of old account 2,248 17


Amount carried forward. $7,248 17


30


Amount brought forward. $7,248 17


Murdock fund


18 25


Reimbursements


1,260 04


$8,526 46


DR.


To-


Payments in 1893


$7,893 82


Balance undrawn


632 64


$8,526 46


WARREN FUND.


CR.


By -


Undrawn balance of old account


$1,078 81


Interest


50 00


DR.


To balance undrawn $1,128 81


ASSESSORS.


CR.


By -


Appropriation


$1,200 00


Deficiency


57 93


Balance overdrawn


23 77


$1,281 70


DR,


To -


$1,223 77


Payments in 1893


Overdrawn balance, old account


57 93


$1,281 70


$1,128 81


31


COLLECTOR OF TAXES.


DR.


By -


Appropriation


$600 00


Undrawn balance of old account


101 52


$701 52


DR.


To -


Payments in 1893


$699 97


Balance undrawn


1 55


$701 52


TREASURER.


CR.


By-


Appropriation


$700 00


DR.


To-


Salary of 1893


$700 00


WATCH AND POLICE.


CR.


By -


Appropriation


$2,200 00


Appropriation for deficiency


86 65


$2,286 65


DR.


To-


Payments in 1893


$2,186 67


Balance overdrawn on old account


86 65


Balance undrawn 13 33


$2,286 65


32


MORTON PARK.


CR.


By -


Appropriation


$600 00


Sales of wood.


75 50


Reimbursements


2 00


Balance undrawn, old account


26 02


$703 52


DR.


To-


Payments in 1893


$702 91


Balance undrawn


61


$703 52


MANOMET CEMETERY.


CR.


By -


Undrawn balance of old account


$68 01


Sales of lots


7 20


DR.


To-


Payments in 1893


$5 37


Balance undrawn


69 84


$75 21


WIDOWS.


CR.


By -


Undrawn balance of old account $0 34


One-third dividend Old Colony National Bank. . 134 00


Reimbursements, not called for 12 00


$146 34


$75 21


33


DR.


To-


Payments in 1893


$146 00


Balance undrawn


34


$146 34


CHITONVILLE BURYING GROUND.


CR.


By-


-


Sales of lots


$22 48


DR.


To-


Balance overdrawn of old account


$16 83


Payments in 1893


1 50


Balance undrawn


4 15


$22 48


TRAINING GREEN.


CR.


By-


Appropriation


$200 00


Balance overdrawn.


36 57


DR.


To-


Overdrawn balance of old account


$33 85


Payments in 1893. 202 72


$236 57


$236 57


3


34


BATES PARK. CR.


By-


Appropriation


$75 00


DR.


To-


Payment in 1893


$60 27


Balance undrawn


14 73


$75 00


BEACH PARK.


CR.


By-


Appropriation


$200 00


Storage


2 00


Undrawn balance of old account


28 74


$230 74


DR.


To-


Payments in 1893


$213 95


Balance undrawn


16 79


$230 74


SEWERS.


CR.


By-


Appropriation


$15,000 00


Entry fee


30 00


$15,030 00


DR.


To-


Payments in 1893


$10,041 36


Balance undrawn 4,988 64


$15,030 00


e


35


DECORATION DAY.


CR.


By -


Appropriation


$150 00


DR.


To-


Payment in 1893


$150 00


PUBLIC LIBRARY.


CR.


By -


Dog fund.


$920 12


Appropriation.


279 88


$1,200 00


DR.


To-


$600 00


Balance undrawn.


600 00


$1,200 00


AGAWAM AND HALF-WAY POND FISHERY.


CR.


By-


Sale of fishing right


$750 00


Reimbursement Wareham.


4 00


DR.


To-


$97 50


Expenses


Balance turned into Treasury


656 50


$754 00


Payment in 1893


$754 00


36


INDIGENT AID. CR.


By -


Appropriation.


$415 27


Cash received from State.


413 46


66 reimbursement 14 00


Balance overdrawn


638 77


DR.


To-


Overdrawn balance of old account.


$830 54


Payments in 1893.


650 96


$1,481 50


STATE AID. 3


CR.


By -


Cash received from State.


$2,955 00


Balance overdrawn.


3,281 50


$6,236 50


To -


DR.


Overdrawn balance of old account. $2,971 50


Payments in 1893.


3,265 00


$6,236 50


NEW HIGH SCHOOL HOUSE.


CR.


By-


Balance overdrawn $3,673 66


$1,481 50


37


SIDEWALKS.


CR.


By -


Appropriation.


$1,000 00


Undrawn balance of old account


3 92


Balance overdrawn.


83 45


$1,087 37


DR.


To-


Payments in 1893.


$1,087 37


BURTON PARK.


CR


By-


Balance undrawn of old account.


$11 92


DR.


To-


Payments in 1893.


$7 19


Balance undrawn.


4 73


$11 92


TOWN RECORDS.


CR.


By -


Receipts from sales.


$145 80


Balance overdrawn .


1,545 74


$1,691 54


DR.


To -


Overdrawn balance of old account $1,441 54


Payments in 1893. 250 00


$1,691 54


38


CEDARVILLE CEMETERY.


CR.


By -


Balance overdrawn.


$109 76


DR.


To-


Payments in 1893


$0 50


Balance overdrawn old account.


109 26


$109 76


SCHOOLS.


CR.


By-


Appropriation $26,200 00


Appropriation for books and supplies. 1,800 00


Murdock fund. 18 25


Appropriation for deficiency 35 82


Balance overdrawn. 1,919 31


$29,973 38


DR.


To-


Payments in 1893


$29,937 56


Overdrawn balance, old account 35 82


$29,973 38


LIQUOR LICENSES.


CR.


By-


Cash for five licenses


$5 00


39


DR.


To-


Cash paid the State


$1 25


Balance paid into the Treasury


3 75


$5 00


SEAL BOUNTY.


CR.


By-


Cash received from County


$246 00


Balance overdrawn.


261 00


$507 00


DR.


To-


Overdrawn balance of old account


$246 00


Payments in 1893


261 00


$507 00


MILITARY AID.


CR.


By -


Appropriation for deficiency


$629 00


Cash from Whitman.


17 70


Balance overdrawn


960 35


$1,607 05


DR.


To-


Overdrawn balance of old account


$649 00


Payments in 1893 958 05


$1,607 05


40


WATER WORKS.


CR.


By-


Balance of old account .


$658 59


Receipts from water, etc.


17,830 48


$18,489 07


DR.


To-


Payments in 1893


$18,032 84


Balance undrawn.


456 23


$18,489 07


Respectfully submitted,


GEORGE S. DYER, Treasurer.


The accounts of the different Treasurer's have been ex- amined and vouchers have been shown for all payments. The amount of cash on hand at the close of the year was found to be $8,921.64, as stated in the Treasurer's report.


I have also examined the accounts of the Collector of Taxes and find that the amounts received by him for taxes. and interest correspond with the amounts receipted for by the Treasurer.


JAMES D. THURBER, Auditor.


PLYMOUTH, January 31, 1894.


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REPORT OF TOWN CLERK.


MARRIAGES REGISTERED IN PLYMOUTH IN 1893. January 1. Jesse Nuns and Katie Victorine, both of Plymouth.


January 1. Victor White and Adeline Rogers, both of Plymouth.


January 1. William U. Sampson and Mary E. Perry, both of Plymouth.


January 3. Joseph T. Collingwood and Mary E. Morton, both of Plymouth.


January 14. Charles M. P. Sampson and Mary Hedge, both of Plymouth.


January 19. Harry W. Bumpus and Mabel F. Dunham, both of Plymouth.


January 28. Jacob Dries, Jr., and Dora Mayser, both of Plymouth.


January 30. Sylvanus N. Thrasher and Mary L. Russell, both of Plymouth.


February 4. John Wiseburger and Frauziske Moker, both of Plymouth.


February 4. George L. Nickerson and Carrie S. Davis, both of Plymouth.


February 7. Lyman Ward and Caroline M. Robbins, both of Plymouth.


42


February 13. John Parker Pope of Boston and Grace Rus- sell Atwood of Plymouth.


February 21. Henry L. Douglass and Mary A. Hipson, both of Plymouth.


February 23. Henry I. Seymour and Fanny E. Hadaway, both of Plymouth.


February 27. Roland Warren Cox of Brockton and Annie Kate McLane of Plymouth.


March 9. Miles Standish, Jr., of Plymouth and Fanny E. Tribou of Middleborough. Married in Middleborough


March 11. Lewis Morton and Annie A. Standish, both of Plymouth.


March 14. Henry H. Fowler and Elizabeth E. Atwood, both of Plymouth.


March 18. Bradford J. Blades and Edith R. Valler, both of Plymouth.


March 22. Alonzo H. Perry and Marion F. Rice, both of Plymouth.


March 23. George M. Enman of Cambridgeport and Eliza- beth J. Nodwell of Plymouth. Married in Boston.


April 5. George T. Burt and Delemeda E. Robbins, both of Plymouth.


April 6. Herbert L. McMahon and Mary A. Fitton, both of Plymouth.


April 9. Frederico Gavoni and Rosa Gavoni, both of Plymouth. Married in Boston.


April 16. Edward F. Buchanan of Plymouth and Lena J. Herring of Boston. Married in Boston.


April 17. John H. Gardner and Stella I. Nash, both of Plymouth.


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April 25. Charles F. Brown of Quincy and Caroline W. King of Plymouth.


April 26. Henry H. Knights and Julia E. Braley, both of Plymouth.


April 29. Isaac H. Perkins and Fanny A. Sartoris, both of Plymouth. Married in Stoughton.


April 29. John Scheid and Mary Gellar, both of Plymouth.


May 13. Augusto Brandoli of Plymouth and Lidovina Al- berghini of Boston. Married in Boston.


May 29. Eugene Braunecker and Annie Magel, both of Plymouth.


May 29. Herbert W. Wood and Katie M. White, both of Plymouth.


June 7. Lewis J. Bridgman of Melrose and Annie P. Campbell of Plymouth.


June 7. Charles Engels and Dagmar W. Anderson, both of Plymouth.


June 19. Frank Davis and Mary I. Stott, both of Plymouth.


June 21. Justus L. Cozad of Cleveland and Lydia A. Newell of Plymouth. Married in Boston.


June 27. John B. Robinson, Jr., of Boston, and Regnia Petit.


June 30. Alexander Dale and Jane Gault, both of Plymouth.


July 2. George W. Chase and Elizabeth Williams, both of Plymouth.


July 2. Guiseppi Gilli and Clementina Balboni, both of Plymouth. Married in Boston.


-


44


July 3. Frank Albert Carleton and Minnie McLalon, both Somerville.


July 3. James M. Cameron and Margaret J. Savoy, both of Plymouth.


July 6. David Webster O'Neil of Newark, N. J., and Ella Clay Whipple of Plymouth.


July 18. Joseph Henry Adams of New York, N. Y., and Anna Wilhelmina Lincke of Toronto, Can.


July 29. Rofilo Cantor and Teresa Ottani, both of Plymouth.


August 5. Frederick E. Gould and Emma F. Robbins, both of Plymouth.


August 9. William Brown Welch and Lillian I. Peckham, both of Plymouth.


August 12. Eugene Sance and Celine Boutemain, both of Plymouth.




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