Town annual report of Plymouth, MA 1930-1931, Part 29

Author:
Publication date: 1930
Publisher: Town of Plymouth
Number of Pages: 764


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of Plymouth, MA 1930-1931 > Part 29


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Old Age Assistance, 7,193.00


Widows, Income from Old Colony Nat'l B'k Stock, 33.00


Total, Charities, $69,160.78 69,160.78


Total forward,


$405,706.77


-194-


RECEIPTS


Revenue for Expenses


Offsets to Outlays Total $830,494.38


Sources of Receipts Total forward,


8f. Soldiers' Benefits


88. State Aid,


$701.00


89. Military Aid,


30.00


90. Soldiers' Burials, 200.00


91.


Soldiers' Relief,


200.00


Total, Soldiers' Benefits,


$1,131.00


1,131.00


8g. Schools


92. Tuition and Transporta- tion, State Wards,


$628.82


93. Other Tuition,


217.82


94. Sale of Text Books and Supplies,


387.96


95. Miscellaneous, 51.60


Total, Schools, $1,286.20 1,286.20


8h. Libraries


96. Fines, Rentals and Sales


97. Miscellaneous


Total forward, $832,911.58


-195-


PAYMENTS Expenses Outlays


Total


$405,706.77


Objects of Payments Total forward,


1f. Soldiers' Benefits


72. General Administration


73. State Aid, $940.00


74. Military Aid, 195.00


75. Soldiers' Burials, 100.00


76.


Soldiers' Relief,


12,158.93


Total, Soldiers' Benefits, 1g. Schools


$13,393.93


13,393.93


77. General Expenses a. Administrative Salaries, $4,700.00


b. Other Gen'l Salaries,


4,206.00


c. Other Gen'l Expenses, 2,150.95 Teachers' Salaries, 170,516.01


78.


79. Text Books and Supplies, 11,512.79


80. Tuition, 1,689.91


81. Transportation, 16,971.02


82. Support of Truants,


83. Janitors' Services, 12,554.75


84. Fuel and Light, 11,232.79


85.


Maintenance, Buildings


and Grounds, 9,147.81


86. New Buildings


87. Furniture and Furnishings 502.31 385.00


88. Rent,


89.


Other Expenses,


311.39


$245,880.73 245,880.73


Total, Schools,


1h. Libraries


90. Salaries and Wages, $6,457.50


91. Books, Periodicals, etc., 2,527.07


92. Binding 200.35


93. Fuel and Light, 861.63


94. Buildings


95. Other Expenses,


312.38


Total, Libraries


$10,358.93


10,358.93


Total forward,


$675,340.36


-196-


RECEIPTS


Sources of Receipts


Revenue for Expenses


Offsets to Outlays


Total $832,911.58


Total forward,


8i. Recreation


98. Parks and Gardens, $177.06


99. Playgrounds and Gym- nasia, 525.00


100.


Bathhouses and Beaches, 2,285.55


101. Celebrations and Enter- tainments


Total, Recreation,


$2,987.61


2,987.61


Total forward, $835,899.19


-197-


PAYMENTS


Expenses Outlays


Total $675,340.36


Objects of Payments Total forward,


1i. Recreation


96. General Administration a. Salaries and Wages, $118,.75


b. Other Expenses


97. Parks and Gardens a. Salaries and Wages, 6,063.87


b. Improvements and Additions, $275.63


c. Metropolitan Park Maintenance


d. Other Expenses, 1,074.57


98. Playgrounds and Gymnasia


a. Salaries and Wages, 2,629.30


b. Improvements and Additions, 1,985.66


c. Other Expenses, 488.09


99. Bathhouses and Beaches,


a. Salaries and Wages, 1,231.17


b. Improvements and Additions, 1,969.40


c. Other Expenses, 1,642.65


100. Celebrations and Enter- tainments


a. Fourth of July, 899.54


b. Band Concerts,


d. All Other, 919.47


e. American Legion Convention. 4,814.68


Total, Recreation, $19,882.09 $4,230.69


24,112.78


Total forward,


$699,453.14


-198-


RECEIPTS


Revenue for Expenses


Offsets to Outlays


Total $835,899.19


Sources of Receipts Total forward, 8j. Pensions


102. 8k. Unclassified


103. Receipts Not Previously Recorded a, b, c, d,


Total forward, $835,899.19


-199-


PAYMENTS


Expenses Outlays Total $699,453.14


Objects of Payments Total forward, 1j. Pensions


101. Retirement made from a. Fire Department, $1,027.00 b. Highway Department, 2,078.86 c, d, e, f, g, h, i, j, k, 1,


Total, Pensions, $3,105.86


3,105.86


1k. Unclassified


102. Damages to Persons and Property, $141.43


103. Memorial Day, 565.00


104. City and Town Clocks, 230.78


105. Searching Parties


106. Ice for Drinking Fountains


107. Payments Not Previously Recorded


a. Printing City or Town Reports, 1,869.86


b. Sexton, 200.00


c. Recording, etc., 103.45


d.


Total, Unclassified, $3,110.52 3,110.52 Total forward, $705,669.52


-200-


RECEIPTS Revenue for Expenses


Offsets to Outlays Total $835,899.19


Sources of Receipts Total forward,


9. PUBLIC SERVICE ENTERPRISES


104. Electric a. Sale of Light and Power b. Miscellaneous


105. Gas


a. Sale of Gas b. Sale of By-products (coke, tar, etc.)


c. Miscellaneous


106. Water


a. Sale of Water, $39,229.74


b. Miscellaneous, 174.80


107. All Other,


a. Markets


b. Public Scales


c. Docks and Wharves, 1,570.00


d. Ferries


e. Herring and Alewife Fisheries, 361.00


f. Miscellaneous


Total, Public Service


Enterprises, $41,335.54 41,335.54


10. CEMETERIES


108. Sale of Lots and Graves, $849.64


109. £ Care of Lots and Graves, 2,529.39


110. Care of Endowed Lots (Int. on Funds), 3,247.96


111.


Miscellaneous,


1,322.98


Total, Cemeteries,


$7,949.97


7,949.97


11. ADMINISTRATION OF TRUST FUNDS


112. 113. 114.


Total forward,


$885,184.70


-201-


Objects of Payments Total forward,


PAYMENTS Expenses


Outlays Total $705,669.52


2. PUPLIC SERVICE ENTERPRISES


108. Electric


a. Maintenance and Operation


b. Construction


109. Gas


a. Maintenance and Operation


b. Construction


110. Water


a. Maintenance and Operation, $27,786.63


b. Metropolitan Water Maintenance


c. Construction, $8,172.90


11. All Other


a. Markets


b. Public Scales


c. Docks and Wharves, 556.48


d. Ferries


e. Herring and Alewife Fisheries, 67.99


f. Miscellaneous (Town Forest), 1,225.42 275.00


Total, Public Service


Enterprises, 3.


$29,636.52


$8,447.90


38,084.42


CEMETERIES


112.


Maintenance ,


$16,951.05


113. Improvements and Additions


Total, Cemeteries,


$16,951.05


16,951.05


4. ADMINISTRATION OF TRUST FUNDS


114. 115. 116.


Total forward,


$760,704.99


-202-


Sources of Receipts Total forward,


RECEIPTS Revenue for Expenses Indebtedness Total $885,184.70


12. INTEREST $330.36


115. On Deposits,


116. On Deferred Taxes,


5,427.03


117. On Deferred Special Assessments


118. On Sinking Funds


119. On Investment Funds, 500.00


120. On Public Trust Funds


a. Charity, 135.27


b. School,


21.28


c. Library,


108.93


d. Cemetery (General Care )


e. All Other (Park), 116.64


121. Miscellaneous


Total, Interest,


$6,639.51


6,639.51


13. MUNICIPAL INDEBTEDNESS


122. Anticipation Revenue Loans, $500,000.00


123. Anticipation Serial Debt Loan


124. Other Temporary Loans


125. Loans, General Purposes


126. Loans, Public Service Enterprises


127. Loans, Cemeteries


128. Premiums


129. Unpaid Warrants or Orders, Current Year, 50.00


Total, Municipal Indebtedness, $500,050.00


500,050.00


Total forward,


$1,391,874.21


1 1


T


To


-203-


Objects of Payment Total forward,


PAYMENTS Expenses Indebtedness Total $760,704.99


5. INTEREST


117.


Anticipation Revenue


Loans,


$8,125.07


118. Other Temporary Loans


119. Loans, General


Purposes,


11,587.50


120.


Loans, Public Service


Enterprises,


502.50


121. Loans, Cemeteries


122. Metropolitan Requirements a. Sewer b. Park c. Water


123. State Assessment, Grade Crossings


124. All Other Total, Interest, $20,215.07 20,215.07


6.


MUNICIPAL INDEBTEDNESS


125. Anticipation Revenue Loans, $450,000.00


126. Other Temporary Loans


127. Bonds and Notes from Sinking Funds


a. General


b. Public Service Enterprises


c. Cemeteries


128. Bonds and Notes from Revenue


a. General,


$43,500.00


b. Public Service


Enterprises,


10,666.66


c. Cemeteries


129. Metropolitan Debt Requirements a. Sewer b. Park c. Water


130. State Assessment, Grade Crossings


131. Warrants or Orders, Previous years 50.00


Total, Municipal


Indebtedness, $54,166.66 $450,050.00 504,216.66


Total forward,


$1,285,136.72


-204-


RECEIPTS


Sources of Receipts


Total forward,


Non-Revenue Total $1,391,874.21


14. SINKING FUNDS


From Commissioner for Loans for-


130. General Purposes


131. Public Service Enterprises


132. Cemeteries


Temporary Accounts


15. AGENCY, TRUST, AND INVESTMENT Agency-


133. Taxes


a. State b. Non-resident Bank


c. County


Included in General Receipts


134. Liquor Licenses for the State


135. Reimbursements, Grade Crossings


136. All Other (Old Age Assistance Tax), $4,011.00


Trust-


137. Perpetual Care Funds, 4,351.69


138. Other Public Trust Funds


139. Income for Investment


140. Private Trust Funds and Accounts


Investment-


141. Sinking Fund Securities


142. Investment Fund Securities


Total, Agency, Trust, and Investment, $8,362.69 8,362.69


Total forward,


$1,400,236.90


-205-


PAYMENTS From From Revenue Non-Revenue Total $1,285,136.72


Objects of Payments Total forward,


7. SINKING FUNDS


To Commissioners for Debt-


132. From Taxes, Earnings, etc.


133. From Special Assessments


134. From Sales of Real Estate, etc. Temporary Accounts


8. AGENCY, TRUST, AND INVESTMENT Agency-


135. Taxes


a. State, $30,340.34


b. Non-resident Bank


c. County, 66,744.19


136 Liquor Licenses to State,


137. Abolition of Grade Crossings


138. All Other (Old Age Assistance Tax to State), 4,175.00


Trust-


139. Perpetual Care Funds, 4,551.69


140. Other Public Trust Funds


141. Income Invested


142. Private Trust Funds and Accounts Investment-


143. Sinking Fund Securities


144. Investment Fund Securities


105,811.22


Total, Agency, Trust, and Investment, 105,811.22


Total forward,


$1,390,947.94


-206-


RECEIPTS


Sources of Receipts Total forward,


Temporary Accounts and Cash Balances Total $1,400,236.90


16. REFUNDS


143. Taxes


144. Licenses


145. Special Assessments


146. General Departments,


$299.19


147. Public Service Enterprices, 16.00


148. Cemeteries


149. Accrued Interest


150. All Other


Total Refunds, $315.19 315.19


17. TRANSFERS


151.


Departmental


a. Selectmen from Health Dept., $66.66


b. Unemployment from Forest Warden, 21.50


c. Unemployment from Health Dept., 8.00


d. St. Cleaning from School Dept., 40.50


e. Highway from Highway Const., 100.00


f. Playgrounds from Park Dept., 31.50


g. O. G. & V. H. Cem. from C. M. C. & S. P. Cem., h, i, j.


30.00


Total Transfers, $298.16 298.16


18. BALANCES $42,917.67


152. General,


153. Sinking Fund


154. Investment Fund


155. Perpetual Care Fund


156. Other Public Trust Funds


157. Private Trust Funds and Accounts


Total Cash, Beginning of Year, $42,917.67 42,917.67


Grand Total Receipts and Cash on Hand, $1,443,767.92


-207-


PAYMENTS


Objects of Payments


Total forward,


Temporary Accounts and Cash Balances Total $1,390,947.94


9. REFUNDS


145.


Taxes,


$1,305.98


146. Licenses


147. Special Assessments


148. General Departments,


299.19


149. Public Service Enterprises,


16.00


150. Cemeteries


151. Accrued Interest


152.


All Other (Motor Vehicle Excise),


66.98


Total, Refunds, $1,688.15 1,688.15


10. TRANSFERS


153. Departmental


a, b, c, d, e, f, g,


(as listed on opposite page),


$298.16


Total, Transfers, 298.16


11. BALANCES


154.


General


$50,833.67


155. Sinking Fund


156. Investment Fund


157. Perpetual Care Fund


158.


Other Public Trust Fund


159.


Private Trust Funds and Accounts


Total Cash, End of Year,


$50,833.67


50,833.67


Grand Total Payments and Cash on Hand,


$1,443,767.92


-208-


SCHEDULE B


Being a detailed statement of each appropriation, showing the additions to and payments from


SELECTMEN'S DEPARTMENT


Appropriation,


$3,800.00


Payments :


Salaries and Wages-


Chairman,


$1,200.00


Other Selectmen,


600.00


Clerk,


699.84


Clerical Assistance,


585.00


$3,084.84


Other Expenses-


Stationery and Postage,


$180.02


Printing and Advertising,


114.20


Traveling Expenses,


151.80


All Other,


31.35


477.37


Total Payments, $3,562.21


Balance to Excess and Deficiency,


$237.79


ACCOUNTING DEPARTMENT


Appropriation, Payments, Salaries and Wages-


$2,600.00


Salary of Town Accountant, $1,800.00


Clerk, 520.00


$2,320.00


C


S P


~209-


Other Expenses-


Stationery and Postage,


$147.50


Printing and Advertising, 35.50


All Other,


10.00


193.00


Total Payments, 2,513.00


Balance to Excess and Deficiency, $87.00


TREASURY DEPARTMENT


Appropriation, $2,050.00


Payments,


Salary of Town Treasurer, Other Expenses-


$1,560.00


Stationery and Postage, $142.80


Premium on Treasurer's Bond, 232.50


Burglary and Hold-up Insurance, 99.60


474.90


Total Payments,


2,034.90


Balance to Excess and Deficiency, $15.10


TAX COLLECTOR'S DEPARTMENT


Appropriation, March 28,


$3,400.00


Transfer from Reserve December 8, 300.00


$3,700.00


Payments,


Salaries and Wages-


Salary of Tax Collector, $1,740.00


Clerk,


372.75


$2,112.75


Other Expenses-


Stationery and Postage, $472.77


Printing and Advertising,


584.85


Plymouth Fourteen


-210-


Premium on Collector's Bond, 465.00 1,522.62


Total Payments, 3,635.37


Balance to Excess and Deficiency,


$64.63


ASSESSOR'S DEPARTMENT


Appropriation, $7,000.00


Payments,


Salaries and Wages-


Assessors' Salaries,


$4,800.00


Assistant Assessor,


144.00


Clerks,


800.00


$5,744.00


Other Expenses-


Stationery and Postage,


$84.40


Printing and Advertising,


1,016.04


Sundry Expenses,


53.53


Auto Hire,


78.88


All Other,


11.28


1,244.13


Total Payments, 6,988.13


Balance to Excess and Deficiency,


$11.87


LAW DEPARTMENT


$1,500.00


Appropriation, Payments,


Salary of Town Counsel,


$100.00


Legal Services,


924.50


$1,024.50


Other Expenses-


Jury List,


$11.51


Court Costs,


18.40


-211-


All Other,


32.83


62.74


Total Payments, 1,087.24


Balance to Excess and Deficiency,


$412.76


TOWN CLERK'S DEPARTMENT


Appropriation, $1,700.00


Payments, Salaries and Wages-


Salary of Town Clerk,


$100.00


Fees for Recording,


471.00


Clerk,


832.00


$1,403.00


Other Expenses-


Stationery and Postage,


$102.47


Printing and Advertising,


9.50


Mounting Plans,


61.50


All Other,


8.01


181.48


Total Payments, 1,584.48


Balance to Excess and Deficiency,


$115.52


ENGINEERING DEPARTMENT


Appropriation, Payments,


Salaries and Wages-


Salary of Town Engineer,


$600.00


Labor, Surveying, Drafting and Supplies,


313.58


$1,000.00


Total Payments, 913.58


Balance to Excess and Deficiency, $86.42


-- 212-


SURVEY FOR WATER SUPPLY IN MANOMET Balance from 1930, Payments,


$285.50


Engineering Services and Supplies,


$27.00


Labor,


139.58


Total Payments, 166.58


Balance Remaining,


$118.92


PLANNING BOARD


Balance from 1930,


$492.98


Appropriation March 28, 1931,


200.00


$692.98


Payments,


Kenneth Franzheim, Airport Plans,


$500.00


All Other,


23.67


Total Payments, 523.67


Balance Remaining,


$169.31


ENGINEERING SURVEY AND REPORT OF INTERCEPTING SEWER AND SEWAGE DISPOSAL Balance from 1930, Payments,


$3,611.97


Metcalf and Eddy (bal),


$2,715.11


Sewer Reports,


175.00


All Other,


9.95


Total Payments, 2,900.06


Balance to Excess and Deficiency, $711.91


-213-


ELECTION AND REGISTRATION


Appropriation,


$800.00


Payments,


Salaries and Wages-


Registrars,


$118.00


Clerk,


100.00


Election Officers,


282.00


$500.00


Other Expenses-


Stationery and Postage,


$1.44


Printing and Advertising,


210.65


Meals,


48.25


Auto Hire,


5.00


Ballot Counters,


18.50


283.84


Total Payments,


783.84


Balance to Excess and Deficiency,


$16.16


TOWN HOUSE MAINTENANCE


Appropriation,


Payments,


Janitor's Salary,


$720.00


Other Expenses-


Fuel,


$265.70


Lighting,


174.04


Janitor's Supplies,


245.46


Repairs,


220.56


Telephones,


194.17


Typewriter,


104.50


All Other,


61.73


1,266.16


Total Payments,


1,986.16


Balance to Excess and Deficiency, $13.84


$2,000.00


-214-


TOWN HALL MAINTENANCE


Appropriation,


$6,500.00


Payments,


Salaries and Wages-


Janitor,


$1,749.00


Assistant Janitor,


1,431.00


$3,180.00


Other Expenses-


Fuel,


$988.76


Light and Power,


763.24


Extra Help,


35.00


Janitor's Supplies,


184.76


Repairs,


168.25


Telephone,


67.44


Insurance,


893.30


All Other,


62.00


3,162.75


Total Payments, 6,342.75


Balance to Excess and Deficiency,


$157.25


TOWN HALL CONSTRUCTION


Balance from 1930,


$42.35


No Payments


TOWN HALL FURNISHINGS


Balance from 1930,


$1,278.95


No Payments


MEMORIALS FOR TOWN MEMORIAL BUILDING Balance from 1930, $1,720.73


No Payments


-215-


POLICE DEPARTMENT


Appropriation, March 28, $32,000.00


Transfer from Reserve, December 31,


77.00


$32,077.00


Payments, Salaries and Wages-


Salary of Chief,


$2,640.16


Salary of Captain,


1,177.14


Patrolmen,


21,784.25


Special Officers,


1,303.15


Janitor,


500.00


All Other,


39.12


$27,443.82


Transportation- Auto and Motor-cycle Expense, Equipment and Repairs-


1,189.36


2 new Motor-cycles,


$830.60


Other New Equipment,


139.17


Repairs,


117.09


1,086.86


Fuel and Light-


Fuel Oil,


$435.87


Gas and Electricity,


179.36


615.23


Maintenance of Buildings and Grounds-


Repairs,


$198.71


Janitor's Supplies,


116.64


Furnishings,


69.11


384.46


Other Expenses-


Stationery, Printing, Postage, $260.81


Telephones, 242.20


Meals for State Officers,


137.27


All Other,


31.83


672.11


-216-


Traffic Signs and Street Marking- Signs,


$196.00


Labor Painting,


292.25


Paints and Brushes,


196.80


685.05


Total Payments, 32,076.89


Balance to Excess and Deficiency,


$ .11


TRAFFIC SIGNALS


Balance from 1930,


$2,374.31


Payments,


Traffic Signals,


$1,100.97


Labor,


110.13


Material,


87.86


Electricity,


260.03


Total Payments, 1,558.99


Balance Remaining,


$815.32


FIRE DEPARTMENT


Appropriation,


$43,000.00


Payments,


Salaries and Wages-


Salary of Chief,


$2,730.00


Assistant Chief,


2,366.00


Firemen (Regular),


25,029.85


Call Men,


3,230.01


Other Employees,


100.00


$33,455.86


Equipment and Repairs-


Apparatus,


$3,458.68


Hose,


580.25


Equipment for Men,


254.33


Fire Alarm,


1,065.72


5,358.98


-217-


Fuel and Light- Fuel Oil,


$203.00


Gas and Electricity,


488.35


691.35


Maintenance of Buildings and Grounds-


Repairs,


$547.31


Dormitory,


72.61


Janitor's Supplies,


265.15


Electric Refrigerator,


140.00


Oil Heater,


688.00


All Other,


170.38


1,883.45


Other Expenses-


Stationery, Printing, Postage, $120.78


Freight and Express,


16.64


Telephones,


203.65


Code Flags,


52.00


Bookkeeping Equipment,


35.13


All Other,


154.20


582.40


To Pension of one man


retired from Department, 1,027.00


Total Payments, 42,999.04


Balance to Excess and Deficiency,


$ .96


SEALING WEIGHTS AND MEASURES


Appropriation,


$3,300.00


Payments,


Salaries and Wages-


Salary of Sealer,


$1,400.00


Labor,


467.00


$1,867.00


Other Expenses-


Auto Expense, $454.11


-218-


Stationery and Postage,


43.15


Printing and Advertising,


13.75


Telephone,


51.59


Equipment,


132.50


New Ford Truck,


505.54


All Other,


3.86


1,204.50


Total Payments, 3,071.50


Balance to Excess and Deficiency,


$228.50


INSPECTION OF BUILDINGS


Appropriation, Payments,


$800.00


Salary of Building Inspector,


$610.00


Stationery and Postage,


24.44


Total Payments, 634.44


Balance to Excess and Deficiency,


$165.56


GYPSY AND BROWN TAIL MOTH SUPPRESSION


Appropriation,


$4,500.00


Payments,


Salaries and Wages-


Superintendent,


$1,036.00


Labor,


2,037.00


$3,073.00


Other Expenses-


Insecticides,


$360.32


Hardware and Tools,


29.71


Trucking,


452.50


Auto and Sprayer Expense,


531.57


Telephone,


48.32


All Other,


3.55


1,425.97


T


-219-


Total Payments, 4,498.97


Balance to Excess and Deficiency,


$1.03


MOTH DEPARTMENT (Unemployment Relief Work)


Appropriation Jan. 5, 1931,


$1.000.00


Payments,


Labor,


$900.00


Trucks,


39.00


Creosote,


30.00


Tools,


15.85


Total Payments, 984.85


Balance to Excess and Deficiency,


$15.15


TREE WARDEN'S DEPARTMENT


Appropriation,


$2,500.00


Payments,


Superintendent (Tree Warden) $655.00


Labor,


897.20


Other Expenses-


Insecticides,


$314.10


Hardware and Tools,


45.33


Trucking,


115.01


Auto and Sprayer Expense,


118.73


New Sprayer,


315.00


Trees,


35.00


All Other,


3.97


947.14


Total Payments,


2,499.34


Balance to Excess and Deficiency,


$ .66


$1,552.20


-220-


TREE WARDEN'S DEPARTMENT (Unemployment Relief Work)


Appropriation Jan. 5, 1931,


$4,000.00


Payments,


Labor,


$3,708.00


Trucks,


72.00


Tools,


198.69


All Other,


14.20


Total Payments, 3,992.89


Balance to Excess and Deficiency,


$7.11


FOREST WARDEN'S DEPARTMENT


Appropriation, March 28, 1931,


$4,000.00


Transfer from Reserve Dec. 31,


52.89


$4,052.89


Payments,


Salaries and Wages-


Warden,


$300.00


Patrol and Emergency Fire Duty,


510.50


Fighting Fires,


1,293.95


Clerical Assistance,


100.00


Foreman (Unemployment),


295.50


Burning Brush,


776.20


Other Expenses-


Apparatus,


$673.74


Trucks and Auto Hire,


38.50


Telephone,


52.50


All Other,


12.00


3,276.15


776.74


Total Payments, $4,052.89


-221-


FOREST WARDEN'S DEPARTMENT (Unemployment Relief Work)


Appropriation, Jan. 5, 1931,


$8,500.00


Payments,


Labor,


$8,067.25 348.00


Trucks,


Tools,


53.83


Total Payments, 8,469.08


Balance to Excess and Deficiency,


$30.92


PIPE LINE AND HYDRANTS AT WHITEHORSE BEACH Balance from 1930, $8.38


Appropriation Mar. 28, 1931,


75.41


Payments,


Labor and Material (1930),


$55.50


Pipe and Fittings (1930),


26.54


Padlock (1931),


1.75


$83.79


INLAND FISHERIES


Appropriation,


$700.00


Payments,


Black Bass Fry and Pickerel,


$328.00


Transportation and Expense,


73.60


Total Payments,


401.60


Balance held for unfilled order,


$298.40


RIFLE RANGE


Appropriation,


$225.00


Payments,


Rental of Land,


$50.00


Labor,


20.00


Transportation to Wakefield,


45.00


$83.79


-222-


Use of range (Camp Curtis Guild), Material,


23.00


7.93


Total Payments, 145.93


Balance to Excess and Deficiency, $79.07


PLYMOUTH COUNTY AID TO AGRICULTURE Appropriation, $250.00


Payments,


To Trustees of County Aid to Agriculture, $250.00


PLYMOUTH COUNTY HOSPITAL MAINTENANCE Appropriation, $8,967.61


Payments,


To Treasurer of Plymouth County,


(Assessment for 1930 Maintenance),


$8,967.61


DISTRICT NURSE


Appropriation, July 13, 1931, Payments,


$1,000.00


Services of District Nurse,


$1,000.00


HEALTH DEPARTMENT


Overdrawn Balance from 1930, $1,725.16


Appropriation March 28, 1931, $1,725.16


HEALTH DEPARTMENT


Appropriation, Mar. 28, 1931,


$18,000.00


Appropriation for 1928 bills,


179.80


Transfer from Reserve Dec. 8,


1,200.00


Transfer from Reserve Dec. 31,


325.00


$19,704.80


Payments, Salaries and Wages --


Clerical Assistance, $1,349.25


-223-


Other General Expenses-


Stationery and Postage, $55.93


Printing and Advertising, 40.75


Freight and Express,


2.89


340.78


Telephones, All Other,


111.31


551.66


Quarantine and Contagious Diseases- Board and Treatment, $136.00


William E. Curtin, M. D.,


866.67


Other Medical Attendance,


16.00


Drugs and Medicines, 65.90


Dry Goods and Clothing,


120.29


Groceries and Provisions,


195.04


Maintenance of Contagious


Ward in Jordan Hospital, 3,000.00 All Other, 73.21


4,473.11


Tuberculosis-


Board and Care,


$3,509.40


All Other,


20.00


3,529.40


Vital Statistics-


Births


$53.50


Deaths,


40.25


93.75


Other Expenses-


Plumbing Inspectors,


$571.50


Fumigation and Disinfection,


255.00


Inspection,


1,395.00


Burying Fish,


125.00


All Other,


615.44


2,961.94


Inspection- Salary of Inspector of Animals, $400.00 Salary of Inspector of Meats, 800.00


-224-


Salary of Inspector of Milk,


650.00


Assistant Inspector of Milk,


255.00


Expenses,


147.32


2,252.32


Public Dump ---


Labor,


$2,382.00


Expenses,


68.82


2,450.82


Tuberculosis Dispensary --


Physicians,


$433.33


Rent,


540.00


Light,


12.29


Supplies,


16.49


All Other,


4.28


1,006.39


Dental Clinic-


Dentists,


$970.00


Dental Supplies,


54.45


1,024.45


Total Payments, 19,693.09


Balance to Excess and Deficiency,


$11.71


HEALTH DEPARTMENT (Under Article 5, Jan. 5, 1931)


Appropriation,


$1,000.00


Payments-


Labor,


$913.00


Trucks,


25.75


Tools,


33.09


Fence,


27.24


Total Payments,


999.08


$ .92


Balance to Excess and Deficiency,


-225-


PUBLIC SANITARIES


Appropriation,


$3,200.00


Payments,


Janitor,


$500.00


Other Care and Labor,


1,954.50


Supplies,


430.14


Repairs,


295.88


Total Payments,


3,180.52


Balance to Excess and Deficiency, $19.48


NEW PUBLIC SANITARY AT WHITE HORSE BEACH


Balance from 1930,


$605.29


Payments,


Equipment, Painting, Signs,


202.20


Balance to Excess and Deficiency,


$403.09


SEWER DEPARTMENT


Appropriation,


$6,000.00


Payments,


$3,082.37


Teams and Trucks,


50.66


Equipment and Repairs,


344.01


Pipe and Fittings,


611.19


Brick and Cement,


39.30


Lumber,


11.51


Total Payments, 4,139.04


Balance to Excess and Deficiency,


$1,860.96


STREET CLEANING


Appropriation, Payments,


$5,000.00


Labor,


Teams and Trucks,


$3,942.49 156.75


Labor,


-226-


Equipment, New Ford Dump Truck,


30.02 867.65


Total Payments,


4,996.91


Balance to Excess and Deficiency,


$3.09


MT. PLEASANT STREET DRAIN


Balance from 1930, $285.82


Payments,


Tar,


$285.82


ROADS AND BRIDGES


Appropriation, Mar. 28, 1931,


$40,000.00


Appropriation for 1930 bill, Mar. 28,


40.75


State Highway Tax, 5,483.50


$45,524.25


Payments,


General Administration-


Superintendent,


$2,500.00


Head Foreman,


2,080.00


Clerical Assistance,


815.00


All Other,


906.12


$6,301.12


General Highway Expenditures-


Labor,


$16,885.93


Teams and Trucks,


7,026.51


Stone, Gravel, etc.,


1,053.25


Tar and Oils,


856.91


Pipe and Cement,


303.62


New Ford Dump Truck,


867.65


Equipment,


850.32


Repairs,


556.53


Auto Expense,


1,766.84


Gasoline and Oil,


501.08


Freight and Express,


21.12


All Other,


272.66


30,962.42


-227-


State Highway Tax, Liability Insurance, Other Expenses-


5,483.50


1,788.52


Drinking Fountains,


$206.75


Street Signs,


53.97


Traffic Signals,


108.55


Fences,


97.90


467.17


Total Payments, 45,002.73


Balance to Excess and Deficiency,


$521.52


HIGHWAY DEPARTMENT (Unemployment Relief Work)


Appropriation, Jan. 5, 1931,


$14,000.00


Payments,


Labor,


Trucks,


Tools,


$11,730.00 2,166.00 95.98


Total Payments, 13,991.98


Balance to Excess and Deficiency, $8.02


HIGHWAYS


Reimbursement for Land at 102 South Street Appropriation, July 13, 1931, $100.00


Payments,


Flora G. Raymond for land,


$100.00


$22,600.00


HIGHWAY CONSTRUCTION AND RECONSTRUCTION Appropriation, Payments, Labor, $7,821.23 635.25 Trucks,


-228-


Stone and Gravel,


3,451.82


Tar,


6,839.95


Gasoline and Oil,


1,050.62


Curbing, All Other,


2,513.44


100.10


Total Payments,


22,412.41


Balance Remaining,


$187.59


SURFACING PARKING PLACE AT PLYMOUTH MEMORIAL BUILDING


Balance from 1930,


$312.47


Payments,


Labor,


$193.13


Stone and Gravel,


3.10


Total Payments,


196.23


Balance Remaining,


$116.24


SURFACING WAY AT PLYMOUTH MEMORIAL BUILDING Balance from 1930, $69.83 No Payments


MACADAMIZING ROADWAY ON TOWN WHARF


Balance from 1930,


$377.82


Payments,


Labor,


$368.02


Stone and Gravel,




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