Town annual report of Plymouth, MA 1928-1929, Part 11

Author:
Publication date: 1928
Publisher: Town of Plymouth
Number of Pages: 738


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of Plymouth, MA 1928-1929 > Part 11


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Fuel and Light-


Coal and Wood,


$11,584.75


Gas and Electricity,


1,457.09


13,041.84


Maintenance of Buildings and Grounds- Salary of Building Super- visor, $2,600.00


Carpentry, Painting, Mason- ry 5,984.35


Heating, Plumbing, Wiring,


2,817.63


Building Materials,


557.33


Flags and Flagstaffs,


147.38


Janitors' Supplies,


827.39


Telephones,


354.29


Ashes, etc. Removed,


399.50


All Other (Labor and Mater- ial on Grounds), 1,193.19


14,881.06


A


D


-217-


Furniture and Furnishings-


Desks and Chairs, $1,081.02


Manual Training Equipment, 848.00


All Other, 1,009.72


2,938.74


Rent-


Diplomas and Graduation-


Medical Inspection-


238.22


Physician, $1,620.00


Nurse and Assistant, 2,400.00


Dental Nurse,


1,540.00


Dental Clinic,


635.50


All Other,


757.66


6,953.16


Total Payments,


247,429.71


Balance to Excess and Deficiency, $1,592.50


PLANS' AND SPECIFICATIONS FOR SENIOR AND JUNIOR HIGH SCHOOLS


Appropriation, Dec. 1927, 2,000.00


Payments,


Frank Irving Cooper Corporation,


$2,000.00


HEDGE SCHOOL PLAYGROUND ADDITION


Balance from 1927, $801.40


Payments,


The Anchor Post Fence Company (for fence), 238.00


Balance Remaining, $563.40


PLYMOUTH PUBLIC LIBRARY Appropriation, Including 1927 Dog Tax, $8,500.00 Income from Gates Fund, 106.40


$8,606.40


420.00


-218-


Payments,


Salaries-


Librarian,


$1,780.00


Assistants,


3,295.00


Janitor,


560.00


$5,635.00


Books and Periodicals-


Book Repairs,


$218.25


Books and Periodicals,


1,849.71


2,067.96


Other Expenses-


Fuel,


$385.46


Light,


381.57


Repairs,


37.71


All Other,


98.70


903.44


Total Payments, $8,606.40


MANOMET PUBLIC LIBRARY


Appropriation,


$750.00


Payments,


Salaries-


Salary of Librarian,


$274.98


Salary of Janitor,


68.75


$343.73


Books and Periodicals,


194.29


Other Expenses-


Fuel and Light,


$44.75


Insurance,


53.92


Repairs,


113.31


211.98


Total Payments, $750.00


-219-


PARKS, TRAINING GREEN, PUBLIC CAMPING PLACES Appropriation,


Income from Morton Fund,


$8,500.00 121.80


$8,621.80


Transfer to Playgrounds, Nov. 24,


750.00


$7,871.80


Payments,


General-


Labor,


$4,195.68


Teams and Trucks,


567.55


Clerk,


91.66


Mowing Grass,


368.00


Supplies,


223.25


Repairs,


472.43


Improvements,


80.39


All Other,


1.90


$6,000.86


Bathing Beaches-


Labor,


$146.00


Teams and Trucks,


43.50


Caretakers,


651.00


Supplies,


108.87


Repairs,


769.27


All Other,


150.28


1,868.92


Total Payments, 7,869.78


Balance to Excess and Deficiency,


$2.02


PUBLIC PLAYGROUNDS


Appropriation, Transfer from Parks, Nov. 24,


$6,500.00


750.00


$7,250.00


-220-


Payments,


General-


Labor,


$1,196.70


Teams and Trucks,


280.66


Caretakers,


508.40


Instructors,


235.00


Supplies,


507.71


Repairs,


505.10


Improvements,


2,597.30


All Other,


$5,888.02


Bathing Beaches-


Teams and Trucks,


$8.00


Caretakers,


689.00


Supplies,


122.78


Repairs,


411.14


Improvements,


64.20


All Other,


60.10


1,355.22


Total Payments, 7,243.24


Balance to Excess and Deficiency,


$6.76


NEW BATHING HOUSE AT STEPHEN'S FIELD Balance from 1927,


$517.16


Payments,


Labor,


$26.25


Hardware and Paint,


100.00


Equipment,


27.50


All Other,


57.25


Total Payments, 211.00


Balance to Excess and Deficiency,


$306.16


57.15


-221-


EQUIPMENT FOR PLAYGROUND IN NORTH PLYMOUTH Balance from 1927, $60.00 No Payments,


LAND ON EASTERLY SIDE OF WATER STREET FOR PARK PURPOSES


Appropriation, March 27, 1926,


$1,600.00


No Payments,


BAND CONCERTS


Appropriation, $500.00


Payments,


To Plymouth National Band (2 concerts), $216.00


To Pilgrim Band,


150.00


To Plymouth National Band (Armistice Day Parade),


124.00


Other Expenses,


5.00


Total Payments, 495.00


Balance to Excess and Deficiency, $5.00


JULY 4TH AND FOREFATHERS' DAY


Appropriation,


$750.00


Payments, July 4th-


Base Ball Game Expenses,


$100.00


Orchestra,


45.00


Plymouth National Band,


262.00


Other Expenses,


43.00


$450.00


-222-


Forefathers' Day- Services of Speaker and Expenses,


Music,


$244.84 50.00


294.84


Total Payments, 744.84


Balance to Excess and Deficiency,


$5.16


MEMORIAL DAY


Appropriation, $550.00


Payments,


Observance of Memorial Day,


548.50


Balance to Excess and Deficiency,


$1.50


SEXTON


Appropriation, $200.00


Payments,


Salary of Sexton,


$200.00


PENSIONS FOR TOWN LABORERS


Appropriation,March 24,


$800.00


Appropriation, June 2,


330.00


Transfer from Reserve,


23.50


Payments,


To four men retired from Highway Department,


$1,153.50


MISCELLANEOUS ACCOUNT


Appropriation,


$3,200.00


Payments,


Legislative-


Moderator, $40.00


$1,153.50


-223-


Advisory and Finance Committee,


Secretary,


$50.00


Printing,


51.25


Stationery,


12.00


All Other,


11.40


124.65


$164.65


Certifying Notes,


36.00


Printing Town Reports,


1,714.95


Seal Bounty,


6.00


Ringing Bells,


10.00


Town Clock Expenses,


239.58


Flags on Training Green,


130.41


Pilgrim's Progress,


142.37


Recording, etc.,


39.90


Landing Float Expenses,


89.84


Herring Stream Expenses,


103.50


Fire Tower,


6.00


Printing,


27.00


Wiring Band Stand,


7.95


Auctioneer's Expenses,


20.00


Total Payments,


2,738.15


Balance to Excess and Deficiency,


$461.85


RESERVE ACCOUNT


Transfer from Reserve from Overlay of Taxes,


$5,000.00


Transfers to:


Election and Registration,


$292.07


Police Department,


250.00


Building Inspection,


10.00


Rifle Range,


2.10


Pensions for Town Laborers,


23.50


Town Clerk's Department,


30.66


Treasury Department,


10.00


-224-


Sealing of Weights and Measures,


29.66


Health Department, 53.43


Total Transfers, 701 42


Balance Returned to Overlay Reserve, $4,298.58


TOWN FOREST FOR PURCHASE OF LAND


Balance from 1927,


$245.00


No Payments


TOWN FOREST REFORESTING AND IMPROVEMENT


Balance from 1927,


$1,349.73


Appropriation,


2,000.00


Transfer from Public Welfare Dep't.,


100.00


$3,449.73


Payments,


Secretary,


$50.00


Labor,


1,156.12


Ploughing Fire Belts,


175.00


Fire Tower,


2,033.22


All Other,


34.65


Total Payments,


3,448.99


Balance to Excess and Deficiency,


$ .74


-225-


WATER DEPARTMENT, MAINTENANCE


Appropriation,


$28,000.00


Payments,


Administration-


Superintendent,


$2,000.00


Registrar,


450.00


Clerks,


1,464.00


Stationery, Printing, Postage,


492.70


Telephones,


238.06


All Other,


501.39


$5,146.15


General Expenditures-


Labor,


$8,041.47


Pipe and Fittings,


1,565.51


Hydrants,


291.33


Meters and Fittings,


2,701.43


Freight and Express,


229.29


Equipment and Repairs,


1,606.25


Auto Expense,


734.31


Liability Insurance,


297.93


All Other,


278.93


15,746.45


Service Connection-


Material, 49.68


Pumping Station-


Engineers,


$2,940.00


Boilers and Pumps,


83.23


Oil Waste, Packing,


221.45


Coal,


2,444.09


Plymouth Fifteen


-226-


Building,


73.96


All Other,


4.06


5,766.79


3


Total Payments,


26,709.07


Balance to Excess and Deficiency,


$1,290.93


WATER DEPARTMENT, CONSTRUCTION


Balance from 1927,


$225.52


Appropriation,


$5,225.52


Payments,


Labor,


$3,068.12


Pipe and Fittings,


1,966.17


All Other,


191.23


Total Payments, $5,225.52


WATER DEPARTMENT, CONSTRUCTION (ADDITIONAL HIGH SERVICE SYSTEM)


Balance from 1927,


$34,321.36


Payments,


Labor,


$3,284.90


Pipe and Fittings,


2,862.39


Contract for Standpipe,


3,775.08


All Other,


203.42


Total Payments,


3 10,125.79


Balance Remaining,


$24,195.57


I


5,000.00


-227-


OAK GROVE AND VINE HILLS CEMETERIES Appropriation, $11,500.00 2,281.09


Income from Trust Funds,


$13,781.09


Payments,


Salaries and Wages-


Superintendent,


$1,225.80


Labor,


8,519.90


Clerical Assistance,


228.90


$9,974.60


Other Expenses-


Teams,


$407.04


Loam and Fertilizer,


304.25


Trees, Shrubs, Grass Seed,


213.25


Tools, Paint,


177.01


Telephone,


30.04


Stationery and Postage,


101.83


Macadamizing,


2,072.70


Calcium Chloride,


138.00


Pipe and Cement,


194.10


Markers,


95.90


All Other,


71.10


3,805.22


Total Payments, 13,779.82


Balance to Excess and Deficiency,


$1.27


BURIAL HILL CEMETERY


Appropriation, Income from Trust Funds, 59.22


$2,000.00


$2,059.22


-228-


Payments, Salaries and Wages-


Superintendent,


$482.60


1,465.90


Labor, Clerical Assistance,


17.43


$1,965.93


Other Expenses-


Teams,


$15.50


Loam and Fertilizer,


6.75


Tools, Paint,


44.72


All Other,


25.48


92.45


Total Payments, 2,058.38


Balance to Excess and Deficiency,


$ .84


CHILTONVILLE, MANOMET, CEDARVILLE AND SOUTH POND CEMETERIES


Appropriation,


$300.00


Income from Trust Funds,


88.80


$388.80


Payments, Clerical Assistance,


$22.85


Chiltonville-


Labor,


$131.00


Repairs,


11.00


Loam,


4.00


146.00


L


Te


G


L


T


4


-229-


Manomet ----


Labor,


$132.00


Team,


1.00


Grass Seed,


.80


133.80


South Pond-


Labor,


$24.00


Truck,


3.00


27.00


Total Payments, 329.65


Balance to Excess and Deficiency,


$59.15


TOWN DEBT AND INTEREST


Appropriation,


$82,000.00


Payments,


Interest-


Loans in Anticipation of Taxes,


$5,144.14


On Award for Damages,


115.75


Town Hall Lot Loan,


517.50


Town Hall Loan,


9,860.00


Plymouth County Hospital,


918.75


Sewer Loan,


93.75


School Loans,


2,571.25


Public Landing Loan,


3,315.00


Water Loans,


1,777.50


Total Interest,


$24,313.64


Town Debt ----


Town Hall Lot Loan, $1,000.00


Town Hall Loan, 14,500.00


1


3


-230-


Plymouth Co. Hospital Loan, 5,000.00


Sewer Loan,


1,000.00


School Loans,


11,000.00


Public Landing Loan,


12,000.00


Water Loans,


10,666.66


Total Town Debt,


55,166.66


Total Payments,


79,480.30


Balancy to Excess and Deficiency,


$2,519.70


-231-


SCHEDULE C


ESTIMATED RECEIPTS'


Charges, Estimated in Making Tax Warrant.


Income Tax,


$72,841.80


Corporation Tax,


101,044.31


Bank Tax,


2,351.09


Licenses and Permits,


4,761.50


Fines,


2,128.66


Special Assessments,


646.35


General Government,


4,727.09


Protection of Persons and Property,


1,120.13


Health and Sanitation,


2,056.94


Highways,


86.55


Charities,


2,900.35


Soldiers' Benefits,


1,509.50


Schools,


2,389.26


Libraries,


Recreation,


1,525.73


Enterprises and Cemeteries-


Water Department,


$38,414.08


Herring Fisheries,


542.50


Town Wharf,


475.00


Cemeteries,


6,911.40


46,342.98


Interest on Deposits,


Interest on Taxes and Assessments,


3,643.11


All Other,


854.54


$250,929.89


Credits, Amounts Actually Received. Income Tax, Corporation Tax,


$91,310.00


99,317.21


Bank Tax,


2,623.88


-232-


--


Licenses and Permits,


1,715.50


Fines,


2,028.47


Grants and Gifts,


668.76


Special Assessments,


2,321.25


General Government,


5,000.17


Protection of Persons and Property,


819.36


Health and Sanitation,


1,537.53


Highways,


4.01


Charities,


3,493.96


Soldiers' Benefits,


1,346.00


Schools,


983.66


Libraries,


Recreation,


2,555.34


Enterprises and Cemeteries-


Water Department,


$37,044.30


Herring Fisheries,


1,525.00


Town Wharf,


975.00


Cemeteries,


6,065.99


45,610.29


Interest on Deposits,


Interest on Taxes and Assessments,


3,752.03


All Other,


930.23


$266,017.65


Excess of Actual Receipts,


$15,087.76


-233-


SCHEDULE D


REVENUE ACCOUNT 1928


Charges-


Appropriations March 24,


$748,418.75


Appropriations June 2, 23,460.00


$771,878.75


Less :


Appropriation from Excess and


Deficiency,


$30,000.00


Estimated Receipts,


250,929.89


280,929.89


Amount to be Assessed,


$490,948.86


Excess Revenue, (To Excess and Deficiency ) ,


15,967.50


$506,916.36


Credits-


Assessors' Warrant,


$482,830.86


Poll Tax Warrant,


8,118.00


Additional Warrant (Polls),


182.00


Additional Warrant (Property)


697.74


Total of Assessors' Warrants,


$491,828.60


Excess of Estimated Receipts,


15,087.76


$506,916.36


-234-


SCHEDULE E


EXCESS AND DEFICIENCY


Unexpended Balances, Credited-


Selectmen's Department,


$43.65


Accounting Department,


53.99


Treasury Department,


1.72


Tax Collector's Department,


68.20


Assessors' Department,


393.88


Law Department,


16.77


Engineering Department,


45.59


Town House Maintenance,


767.03


Town Hall Maintenance,


545.18


Police Department,


1.24


Fire Department,


2.56


Inspector of Buildings,,


2.72


Tree Warden's Department,


.42


Forest Warden's Department,


588.16


Inland Fisheries,


17.42


Street Cleaning,


60.76


Public Sanitaries,


96.24


Roads and Bridges,


6.63


Grading at Town Wharf,


94.80


Snow and Ice Removal,


987.27


Street Sprinkling,


1,453.82


Street Lighting,


303.62


Harbor Master,


50.00


Soldiers' Benefits,


450.86


School Department,


1,592.50


Park Department,


2.02


Public Playgrounds,


6.76


Memorial Day,


1.50


July 4th and Forefathers' Day,


5.16


Band Concerts,


5.00


-235-


Miscellaneous Account,


461.85


Water Department,


1,290.93


O. G. & V. H. Cemeteries,


1.27


Burial Hill Cemetery,


.84


C. M. C. & S. P. Cemeteries,


59.15


Town Debt and Interest,


2,519.70


Alden Street Drain,


1,500.00


Robbin's Lane Sewer Outlet,


508.81


New Public Sanitary,


32.35


Court, Main and Sandwich Sts., Repairs and Resurfacing,


.17


Stephen's Field Bath House,


306.16


Town Forest,


.74


$14,347.44


SCHEDULE F BALANCE SHEET - JANUARY 1, 1929


REVENUE ACCOUNTS


Cash,


$63,619.78


Overlay, Tax of 1928, $7,518.05


Uncollected Taxes :


Reserve from Overlays, 9,135.63


Herbert W. Bartlett, Collector,


Accounts Payable, Unpaid Warrants, 2,092.50


Tax of 1928, Property,


84,444.09


Unappropriated Revenue : Dog Tax from County, 1,756.80


Income from Bank Stock, Unexpended,


321.00


George B. Howland, Collector,


Water Rates 1927,


$1,039.10


Labor and Material 1927, 7.00


Water Rates 1928, 6,201.21


Labor and Material 1928, 68.00


Total Uncollected Water Rates, etc.,


7,315.31


Appropriated to Reduce 1928 Tax Levy, $30,000.00


Overdrafts :


Overlay, Tax of 1927,


$353.20


Public Welfare Department, 3,554.51


Corporation and Bank Tax of Prior


Total Overdrafts,


3,907.71


Years, Refunded


Departmental :


to State, 19.87


Health,


$253.75


Tax Titles, 95.04


Sewers,


51.33


Public Welfare,


4,265.83


389.03


Tax Titles,


Uncollected Water Rates, etc.


Unexpended Appropriation Balance : Planning Board, 553.82


Excess and Deficiency, Jan. 1, 1928, $134,052.23


Less :


Appropriations Nov. 24, 1928, 3,800.00


33,914.91


-236-


Schools,


155.75


Parks,


48.00


Cemeteries,


2,405.31


Total Departmental,


7,179.97


Balances, 1928, 14,347.44


Excess Revenue, 1928, 15,967.50


130,593.78


Revenue, Reserved Until Collected,


Tax Title,


389.03


Water Department,


7,315.31


Departmental,


7.179.97


$166,855.89


$166,855.89


-237-


$100,137.32


Add :


Additional 1927 Tax, 141.52


Unexpended Appropriation


1


NON-REVENUE ACCOUNTS


Cash,


$45,732.69 Memorial Town Hall, $42.35


Furnishings for Town Hall, 1,654.80


Parking Space at Town Hall, 312.47


Surfacing Way at Town Hall, 95.33


Hard-Surfacing Streets


228.01


Water Street Extension,


1,757.14


Lothrop Street,


227.04


Rounding Street Corners,


137.65


Main Street Extension,


Alterations and Sidewalk,


271.73


New Public Way, (Westerly),


4,705.16


Land Damage, Relocation of


State Highway at Ellisville,


2,546.50


Land Damage, Relocation of


State Highway, Jabez Cor- ner to Manomet, 200.00


Prince Street, Damages,


1,800.00


Prince Street, Construction,


2,506.40


Alvin Road, Construction and Sidewalk, 762.52


Sidewalks: Granolithic,


1,736.83


Market Street Sidewalk,


84.79


Hedge School Playground,


563.40


Land on Easterly Side of Water Street, 1,600.00


Equipment for Playground at North Plymouth, 60.00


Town Forest, Land, 245.00


Water Dept., New High Service Line, 24,195.57


Total Appropriation Balances,


$45,732.69


$45,732.69


$45,732.69


-238-


MUNICIPAL INDEBTEDNESS


Funded Debt Balancing Account,


$422,333.30


Town Hall Lot Loan,


$11,000.00


Memorial Town Hall Loan,


232,000.00


Plymouth County Hospital Loan,


15,000.00


2,000.00


Sewer Loan, New School House Loan,


55,000.00


$315,000.00


Public Landing Loan,


72,000.00


Water Loans,


35,333.30


$422,333.30


$422,333.30


TRUST AND INVESTMENT FUNDS


Cash and Investments,


$86,280.59


Murdock Poor and School Fund,


$730.00


Francis LeBaron Poor Fund,


1,350.00


Charles Holmes Poor Fund,


500.00


Julia P. Robinson Poor Fund,


300.00


Marcia E. Jackson Gates Public Library Fund,


2,000.00


Nathaniel Morton Park Fund,


2,000.00


Warren Burial Hill Cemetery Fund,


1,669.3.4


Cemetery Perpetual Care Funds,


72,413.43


Phoebe Clifford Perpetual Care Fund, (Deposited with State Treasurer),


200.00


St. Joseph's Cemetery Perpetual Care Fund,


117.82


$81,280.59


Old Colony National Bank Stock Investment Fund,


5,000.00


$86,280.59


$86,280.59


-239-


SCHEDULE G Summary of Funded Indebtedness, January 1, 1929, and Amounts due for Principal and Interest in 1929


Loans


Outstanding Jan. 1, 1928 $12,000.00


Added During 1928


Paid During 1928 $1,000.00


Outstanding Jan. 1, 1929 $11,000.00 232,000.00


Principal Due in 1929 $1,000.00 14,500.00


Interest ยท Due in 1929 $472.50 9,280.00


Town Hall Lot,


Memorial Town Hall,


246,500.00


14,500.00


Plymouth County Hospital,


20,000.00


5,000.00


15,000.00


5,000.00


656.25


Sewer,


3,000.00


1,000.00


2,000.00


1,000.00


56.25


School,


66,000.00


11,000.00


55,000.00


11,000.00


2,103.75


Public Landing,


84,000.00


12,000.00


72,000.00


12,000.00


2,805.00


Water,


45,999.96


10,666.66


35,333.30


10,666.66


1,352.50


$477,499.96


$55,166.66


$422,333.30


$55,166.66


$16,726.25


-240-


~241-


SCHEDULE H


Itemized Statement of the Funded Indebtedness January 1, 1929


Town Hall Lot Loan Four and one-half per cent bonds, dated Mar. 1, 1919, payable $1,000 annually, $11,000 00


Memorial Town Hall Loan


Four per cent bonds, dated Nov. 1, 1924, payable $14,500 annually, 232,000 00


Plymouth County Hospital Loan


Five and one-fourth per cent bonds, dated Apr. 1, 1921, payable $5,000 annually, 15,000 00


Sewer Loan


Three and three-fourths per cent notes, dated


July 1, 1903, payable $1,000 annually, 2,000 00


School Loan


Four and one-fourth per cent bonds, dated Feb. 1,


1924, payable $11,000 annually, 55,000 00


Public Landing Loan


Four and one-fourth per cent bonds, dated May 1, 1924, payable $12,000 annually, 72,000 00


Water Loans


Three and three-fourths per cent


notes, dated July 1, 1903, payable $666.66 annually, $3,333 30


Four per cent bonds, dated July 1, 1907, payable $1,000 annually, 4,000 00


Four per cent bonds, dated Feb. 15, 1908, payable $1,000 annually, 4,000 00


Four per cent notes, dated Aug. 1,


1926, payable $8,000 annually, 24,000 00


Total Water, 35,333 30


Total Funded Debt,


$422,333 30


Plymouth Sixteen


-242-


SCHEDULE I


TRUST FUNDS


CEMETERY PERPETUAL CARE FUNDS


Deposited in Plymouth Five Cents Savings Bank :


Russell Tomlinson,


$204 30


Betsey C. Bagnell,


383 62


Rebecca D. Ryder,


939 90


Lydia W. Chandler,


333 93


Curtis Howard,


518 07


Sarah F. Bagnell,


219 95


A. A. Whiting,


690 72


James Reed,


407 65


William H. Nelson,


691 48


Charles Holmes,


259 91


Louisa S. Jackson,


218 60


Judith S. Jackson,


568 96


John Donley,


100 97


David Drew,


111 30


Mary J. Brown,


50 28


Mary V. Lewis,


363 18


Priscilla L. Hedge,


236 47


Frederick Webber,


102 60


Nancie C. Wood,


1,035 91


Fannie Goodwin Bates,


1,014 69


Joshua Atwood,


117 45


Ichabod Shaw,


615 69


Edwin Morey,


805 33


Waldron and Dunham,


281 81


Timothy T. Eaton,


172 21


Heman Cobb,


243 86


Thomas Sampson,


244 06


Ephraim B. Holmes,


782 01


Lydia E. Jackson,


241 33


Jacob Jackson,


134 10


-243-


Charlotte R. Bearse,


227 56


Washburn portion, lot No. 42,


180 35


Helena B. Rich,


122 64


Winslow B. Rickard,


115 87


John Eddy,


106 62


Helen Covington,


236 24


Freemen E. Wells,


169 94


Eliza Burt,


150 32


David L. Harlow,


112 03


Benjamin Swift,


116 28


Ellis Benson,


102 22


James Deacon,


140 24


Ellis and Freeman,


100 16


Ansel F. Fish,


112 99


Taylor and Foss,


102 49


Mary A. Minter,


164 48


William R. Drew,


724 62


Adelaide Reed,


107 80


Elizabeth M. Ward,


278 68


Edward W. Bradford,


216 44


Harvey lot


111 83


Ephraim Churchill,


27 33


Franklin B. Holmes,


122 11


Linus B. Thomas,


50 15


Ephraim S. Morton,


118 20


Merriam lot,


255 31


B. O. Strong,


135 85


John C. Cave,


110 95


Winslow B. Standish,


115 42


Calvin S. Damon,


295 40


Finney and Churchill,


110 25


Edward B. Hayden,


174 42


H. N. P. Hubbard,


106 83


Anderson lots,


169 57


Sylvanus Churchill,


51 08


Nancy L. Pratt,


98 82


-244-


Burgess P. Terry, 145 65


William and P. H. Williams,


112 26


Increase Robinson, 460 46


August H. Lucas,


151 19


Edward Morton,


107 55


Benjamin Pierce,


50 03


Alfred P. Arnold,


105 63


Nathaniel H. Morton,


100 05


Charles H. Holmes,


100 00


Daniel Hinchcliffe,


107 48


Samuel Nelson,


113 63


Nathaniel Russell,


212 29


Sumner Leonard,


107 50


Frederick Dittmar,


119 11


Emeline Landy,


105 81


John F. Hoyt,


139 77


Pope lot,


150 00


Nehemiah Savery,


105 33


Thomas A. Holsgrove,


186 79


John C. Ross,


221 56


Archibald McLean,


50 02


George L. Lyon,


191 61


Phineas Pierce lot and Paty Tomb, 297 67


Charles E. Barnes, 111 44


Burgess lot, So. Pond,


277 30


Ezra Harlow,


164 46


Mercy J. Howland,


124 88


Isaac M. Jackson,


1,121 79


Mary McDonald,


111 14


Mary J. Corey,


118 02


Ellis-Ryder,


120 35


Brewster-Bartlett,


387 01


Barnabas Hedge,


150 07


George M. Collins,


138 93


Alexander McLean,


115 13


Charles E. Dow,


108 47


Shaw and Thomas,


209 01


-245-


Atwood and Pratt,


206 72


Prentiss lot,


228 78


Rufus H. Pope,


83 20


Alanson Thomas,


167 40


Albert Whiting,


125 55


Gamaliel Thomas,


105 43


Albert Bramhall,


109 74


Nancy B. Stevens,


104 21


Johnson-Hart,


109 60


Adeline D. Bartlett,


55 01


Coomer-Weston,


237 69


Edward N. H. Vaughn,


297 89


Thomas W. Finney,


108 40


Charles H. Howland, 2nd,


110 23


Davidson lots,


229 55


James Ellis,


129 87


Allen and Franklin M. Holmes,


111 03


Marietta Bumpus,


141 21


Frederick O. Bradford,


156 46


tercy C. Robbins,


363 34


D. Edson Raymond,


102 29


Martin J. Hunting,


240 16


Watson and Rufus Ellis,


102 57


Herbert Robbins,


119 92


William J. Waterson,


50 03


Belinda B. Clements,


103 64


George D. Bartlett,


558 61


Orrin W. and Lydia A. Bennett,


107 08


John F. Hall,


116 47


Charles P. Morse,


105 71


Barnabas Churchill,


215 95


Stephen and Almira B. Pember,


100 05


Erastus B. Torrance,


109 75


Winslow W. Avery,


224 54


Daniel O. Churchill,


120 27


Bradford Barnes,


169 17


Zacheus Bartlett,


110 57


-246-


Burgess and Churchill,


52 76


Alexander M. Harrison,


118 84


Hilda Svenson,


123 20


Hiram B. Sears,


210 13


Joseph Taylor,


82 15


Franklin B. Cobb,


100 05


Andrew J. and Sarah E. Bradford, 103 96


John S. Butler, 122 80


Chas. H. and Eunice B. Howland,


101 27


Sylvanus W. King,


106 01


Levi P. Morton,


107 18


Whitmore-Churchill-Whitmore,


131 67


John Bachelder,


165 42


Richard McLean lots,


221 67


Ziba R. Ellis,


113 86


Charles L. Jones,


211 43


Clark Ellis,


246 19


Chas. E. and Clarence E. Taylor,


105 49


Joshua L. Edes,


107 33


Raymond-Doten,


217 84


John Peck,


110 04


Hayden-Bradford,


122 45


Abbie B. Ward,


159 20


Adam and Francis Nicol,


131 48


Charles C. Drew,


290 34


Thomas Hedge,


264 57


Elmer H. Bartlett,


109 04


Scovel-Doten,


278 95


Walter S. Irwin,


128 27


Peter Holmes lot,


283 53


Frank Sheppard,


113 92


Maria A. Rickard,


118 03


Emily H. Cook,


175 16


William and Violet Crozier,


110 63


Frederick Mahler,


106 55


Isaac B. King,


244 04


Catherine Wilhelmy,


104 35


-247-


Emily F. Bartlett,


129 99


William Bradford,


284 60


Chas. and Deborah Hathaway,


202 04


Kate Zahn,


104 30


Lothrop C. King,


165 35


Alpheus O. Grant,


100 04


Jennette B. Smyth,


106 26


Clark Finney,


106 24


Ichabod Morton,


110 81


Cobb and Burgess,


117 91


William H. Miller,


105 16


Laura A. and Edna M. Larkin,


104 92


George H. Malloy,


116 04


Robert Siebenschu,


104 19


Perkins-Sibley lot,


100 81


Priscilla Perkins,


140 27


Betsey F. Dunham,


111 44


George H. Dunham,


109 13


Burgess-Bennett,


153 66


George and Elizabeth Nichols,


225 90


Harry Kramer,


106 65


Nellie H. Weeks,


101 02


Thomas C. Atwood and Laura McHenry,


108 35


Chas. C. Barnes and Samuel G. Broadbent,


108 30


Mary J. Ware,


106 62


William L. Finney,


214 09


Jacob, Jr. and Elizabeth Mahler,


212 62


Nathaniel Bartlett,


115 09


Charles E. Ryder,


115 09


Mary A. Austin, et al.,


83 42


Elizabeth A. Kimball, et al.,


42 24


David O. Harvey,


213 28


John D. and Thomas Churchill,


519 44


Antone Rose,


103 19


John Bodell,


205 19


-248-


Lauchlin D. McLean,


101 75


Adelbert C. Finney,


103 00


Ezra J. Huntley lot,


102 25


Jessie Shaw,


150 00


Seth L. Holmes,


125 00


Capt. W. W. Baker,


100 00


Total Plymouth Five Cents Savings Bank, $41,604 76


Deposited in Plymouth Savings Bank:


Morton D. Andrews,


$782 06


William H. Nelson,


682 38


Thomas B. Bartlett,


317 43


Rebecca F. Sampson,


351 81


Katherine E. Sever,


466 10


Mary F. Wood,


149 40


Cordelia Savery,


107 44


Phoebe P. Ellis,


25 12


William Ross,


397 70


Putnam Kimball,


414 76


John Gooding,


661 70


Schuyler Sampson,


265 53


R. B. Hall,


106 16


Fanny Sylvester,


127 73


Geo. E. and Carrie M. Benson,


121 10


E. A. Spooner,


124 63


George Hayward.


398 00


George S. Tolman,


128 82


Elizabeth S. Tinkham,


179 76


Danforth and Thurber,


209 34


William Bartlett,


479 40


Daniel H. Paulding,


344 83


John Morrissey,


266 98


Oliver T. Wood,


117 40


Sarah A. Waldron,


197 10


Sarah V. Kendrick,


62 90


Emma F. Avery,


570 96


-249-


Isaac M. Jackson,


1,113 97 Abby B. Avery and Samuel


Bartlett,


314 37


Dora Perrit,


174 22


Mary E. Moning,


120 84


Nathaniel Spooner,


162 92


Abbie D. Danforth,


107 03


Georgianna Hedge,


108 14


Elizabeth F. Stoddard,


257 41


Benjamin Hathaway,


260 47


Cornelius Bradford,


127 87


George W. Haskins,


81 83


Annie Martin,


305 98


Henry Farris Stoddard,


122 38


Obadiah Lyon,


194 73


Madeline Harris,


182 11


Lydia G. Lothrop,


321 53


Sarah W. Sparrow,


101 59


Chas. W. Eaton,


322 92


Charles C. Doten,


289 22


Sarah J. Ryder,


241 52


Mary B. Bassett,


111 97


Colburn C. and Chas. R. Wood,


300 13


Henry W. Tillson,


126 38


Caroline Grozinger,


50 80


Joseph P. Thurston,


223 17


Gustavus G. Sampson,


150 25


Amelia Knoch,


117 08


Briggs-Goodwin,


115 32


James H. Sutcliffe,


110 96


Evelyn Louise Perry,


109 30


John Smith,


101 80


Amasa Bartlett and Bourne Spooner,


317 95


Capt. Frederick Bartlett,


120 35


Caroline C. Finney,


111 64


Thomas Cooper,


125 38


-250-


Lorenzo M. Bennett,


185 05


James R. Shaw,


136 27


Ernest L. Sampson,


209 47


Truman Sampson,


136 27


Levi R. Sampson,


136 27


Arthur S. Byrnes,


110 85


Otis W. Lapham,


112 92


Francis M. Robbins,


103 68


Lemuel L. Swift,


181 87


George W. Bradford,


229 14


Grace D. Mooney,


53 90


Amasa C. Sears,


101 96


Mary Pratt,


285 93


Henry W. Torrey,


175 23


Lyndon P. Hubbard,




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