Town annual report of Plymouth, MA 1934-1936, Part 9

Author:
Publication date: 1934
Publisher: Town of Plymouth
Number of Pages: 1098


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of Plymouth, MA 1934-1936 > Part 9


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Schedule E. The list of Unexpended Appropriation Balances which were transferred to the Excess and De- ficiency Account at the close of the year.


Schedule F. Balance Sheet, January 1, 1935, show- ing debit or credit balances of all accounts.


Schedule G. Summary of Outstanding Indebtedness (Bonds) showing the total bonded debt at the beginning of the year, amounts paid thereon during the year, and the requirements for principal and interest during the coming year.


Schedule H. Detailed Statement of Bonded Indebted- ness, giving dates of issue, rate of interest, and amount retired annually.


Schedule I. List of Trust Funds, not including the January, 1935, dividends.


Schedule J. Borrowing capacity of the Town, calcu- lated as of January 1, 1935.


This is the first time in seventeen years that any con- siderable falling off has occurred in the Estimated Receipts (Receipts other than from taxes) from the amount used by the Assessors in making the tax rate. It is shown at the bottom of Schedule C, and was caused, principally, by using the amount of actual receipts of the Welfare Department in 1933 as the estimate for 1934. The shrinkage in this item ($12,503.15) was partly offset by gains in other places, leaving a net deficit in revenue of $8,084.47. The unused balance of the Public Welfare appropriation turned back into the Excess and Deficiency Account helps materially in offsetting the above in the year's balance sheet.


The large unexpended balance of the appropriation for Town Debt and Interest would appear to be the result of miscalculation but, in reality, the amount appropriated in March 1934 would hardly have been sufficient at ordin- ary rates for temporary borrowing against town rev-


-171-


enues. Peculiar conditions in the banking business re- sulted in the Town Treasurer being able to secure a rate of less than one per cent during nearly all the year, and saved the Town $10,000.00.


Through the merging of the Old Colony National Bank with the Plymouth National Bank, the certificate of stock in the former held by the Town for many years and standing at a par value of $5,000.00 was replaced by a new certificate of stock in the new Plymouth National Bank at a par value of $2,000.00


Some overdrafts were allowed by votes of the Board of Selectmen but the total amount was small in com- parison with the two previous years.


Unpaid bills have been reported by the Park Depart- ment amounting to $336.75.


Actual cash receipts for the last five years, other than for taxes, are as follows :-


For the year 1930,


$304,594.77


For the year 1931,


269,359.88


For the year 1932,


250,578.13


For the year 1933,


239,475.05


For the year 1934,


237,364.53


Uncollected taxes for the last five years :-


January 1, 1931,


$126,000.00


January 1, 1932,


140,000.00


January 1, 1933,


170,000.00


January 1, 1934,


202,000.00


January 1, 1935,


196,000.00


Respectfully submitted,


ELMER R. HARLOW,


Town Accountant.


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SCHEDULE A


RECEIPTS AND PAYMENTS


RECEIPTS


Sources of Receipts


Expenses Outlays


GENERAL REVENUE 1. TAXES


Current Year-


1. Property


$524,821.72


2. Poll


7,960.00


Previous Years-


3. Property


155,267.97


4. Poll


358.00


From the State-


5. Corporation


37,792.60


6. Street Railway


7. Bank


876.40


8. Income


49,964.10


9. Soldiers' Exemption 64.70


Reimbursement for loss of taxes 742.43


Total, Taxes $777,847.92 $777,847.92


2. LICENSES AND PERMITS


Licenses-


10. Liquor


$19,516.00 1,889.50


11. All Other Permits-


12. Marriage


13. All Other


Total, Licenses and Permits $21,405.50 $21,405.50


3. FINES AND FORFEITS $1,260.75


14. Court


15. Departmental Penalties


16. Contract Violations


Total, Fines and Forefeits $1,260.75 $1,260.75


Total forward


$800,514.17


Revenue for Revenue for Total


-174-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Revenue for Total


Expenses Outlays


$800,514.17


4. GRANTS AND GIFTS


Grants from Other Civil Divisions-


17. From State, for Education


a.


b. Aid to Industrial Schools $109.65


c, d, e,


f. English-speaking Classes 1,385.57 g.


18. From State, Armories


19. From State, Highways


20. From State, Other Purposes (Emergency Relief) 10,009.47


a, b, c,


21. From County, Dog Licenses 1,824.57 Gifts from Individuals-


22. For Expenses


23. For Outlays


Total, Grants and Gifts $13,329.26 $13,329.26


5. ALL OTHER GENERAL REVENUE


24. 25.


Total forward,


$813,843.43


-----


-175-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Revenue for Total


Expenses Outlays


$813,843.43


COMMERCIAL REVENUE 6. SPECIAL ASSESSMENTS


26. Street Sprinkling


27. Moth Extermination $498.25


28. Sewers 353.00


29. Sidewalks and Curbing


30.


Other Purposes


Total, Special Assessments $851.25 851.25


7. PRIVILEGES


31. Public Service


32. Minor


a. Motor Vehicle Excise Tax $18,076.69


Total, Privileges $18,076.69 18,076.69


Total forward $832,771.37


--- 176


RECEIPTS


Sources of Receipts


Total forward


Revenue for Offsets to Total


Expenses Outlays


$832,771.37


8. DEPARTMENTAL


8a. General Government Legislative-


33. Aldermen and Council; Moderator Executive-


34. Mayor; Commission; Selectmen Financial-


35. Auditor, Accountant, and Auditing


36. Treasurer


37. Collector $3.00


38. Assessors


39. License Commissioners


40. Other Finance Offices and Accounts Other General Departments-


41. Law


General Government forward $3.00 Total forward $832,771.37


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PAYMENTS


Objects of Payments


Expenses Outlays Total


1. DEPARTMENTAL


1a. General Government


Legislative-


1. Aldermen and Council; Moderator


a. Salaries and Wages $130.00


b. Other Expenses 76.00


Executive-


2. Mayor; Commission; Selectmen


a. Salaries and Wages 2,899.50


b. Other Expenses 753.26


Financial-


3. Auditor, Accountant, and Auditing


a. Salaries and Wages 2,279.25


b. Other Expenses 311.40


4. Treasurer


a. Salaries and Wages 1,404.00


b. Other Expenses 545.48


5. Collector


a. Salaries and Wages 2,290.25


b. Other Expenses 1,488.97


6. Assessors


a. Salaries and Wages 5,432.97


b. Other Expenses 1,066.85


7. License Commissioners


a. Salaries and wages


b. Other Expenses


8. Other Finance Offices and


Accounts


a. Sinking Fund Commissioners


b. Miscellaneous 72.00


Other General Departments-


9. Law


a. Salaries and Wages 1,215.00


b. Other Expenses 181.88


General Government forward $20,146.81


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RECEIPTS


Sources of Receipts Total forward


Revenue for Expenses


Offsets to Total


Outlays


$832,771.37


General Government forward $3.00


42. City or Town Clerk 43. City Messenger


44. Public Works


45. Engineering


46. Superintendent of Buildings


47. Election and Registration 3.00


48. Other General Departments Municipal Buildings-


49. City or Town Hall 1,427.50


Total, General Government


$1,433.50


1,433.50


8b. Protection of Persons and Property Police Department-


50. Services of Officers


51. Sale of Materials 52. Miscellaneous $49.50


Protection of Persons and Property


forward


$49.50


Total forward $834,204.87


-179-


PAYMENTS


Objects of Payments


Expenses


Outlays


Total


General Government forward


$20,146.81


10. City or Town Clerk


a. Salaries and Wages 1,345.55


b. Other Expenses 194.28


11. City Messenger


a. Salaries and Wages


b. Other Expenses


12. Public Works


a. Salaries and Wages


b. Other Expenses


13. Engineering


a. Salaries and Wages 658.26


b. Other Expenses 35.69


14. Superintendent of Buildings a. Salaries and Wages b. Other Expenses


15. Election and Registration


a. Salaries and Wages 1,123.00


b. Other Expenses 462.33


16. Other General Departments Municipal Buildings-


17. City or Town Hall


a. Salaries and Wages 3,511.00


b. Other Expenses 4,804.04


$260.54


Total, General Government $32,280.96


$260.54 $32,541.50


1b. Protection of Persons and Property Police Department-


18. Salaries and Wages


$25,211.85


19. Equipment


1,532.21


$2,951.06


20. Fuel and Light


613.35


21. Maintenance of Buildings and Grounds 386.75


22. New Buildings


23. Other Expenses


384.00


Protection of Persons and Property


forward


$28,128.16


$2,951.06


Total forward $32,541.50


---


-


. -


-


-- 180-


RECEIPTS


Sources of Receipts


Revenue for Expenses Outlays


Offsets to Total


Total forward


$834,204.87


Protection of Persons and Property forward $49.50


Fire Department-


53. Sale of Materials


54. Miscellaneous Militia-


55. Armories


56. Rifle Ranges Inspection-


57. Inspection of Buildings


58. Inspection of Wires


59. Sealing of Weights and Measures 428.14 Forestry-


60. Insect Pest Extermination


61. Planting and Trimming Trees


62. Forest Fires 22.25


Other Protection of Persons and Property-


63. Bounties 60.00


64. 65.


Total, Protection of Persons and Property $559.89 559.89


Total forward $834,764.76


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PAYMENTS


Objects of Payments


Expenses


Outlays Total


Total forward


$32,541.50


Protection of Persons and Prop- perty forward


$28,128.16


$2,951.06


Fire Department-


24. Salaries and Wages


34,445.15


25. Equipment


4,297.41


2,563.50


26. Hydrant Service


27. Fuel and Light


1,280.71


28. Maintenance of Buildings and Grounds 1,225.18


29. New Buildings


30. Other Expenses


469.98


Militia-


31. Armories


32. Rifle Ranges


96.66


Inspection-


33. Inspection of Buildings 261.20


34. Inspection of Wires


35. Sealing of Weights and Measures 2,065.00 Forestry-


36. Insect Pest Extermination 5,150.82


237.00


37. Planting and Trimming Trees 3,262.07


237.00


38. Forest Fires 2,322.01


Other Protection of Persons and Property-


39. Bounties 60.00


40. Fish Wardens (Inland Fisheries) 250.00


41. Extermination Shellfish Enemies 20.00


42. County Aid to Agriculture 100.00


Total, Protection of Persons and


and Property $83,434.35 $5,988.56 $89,422.91


Total forward


$121,964.41


-182-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Offsets to Total


Expenses Outlays


$834,764.76


8c. Health and Sanitation Health-


66. Quarantine and Contagious


Hospitals


67. Tuberculosis $3,608.05


68. Miscellaneous


120.42


69. Inspection of School Children (including Dental Clinic)


Sanitation --


70. Sewers and Sewage Disposal 52.50


71. Sewer Construction


72. Refuse and Garbage Disposal 283.34


73. Street Cleaning Other Health and Sanitation-


74. Public Sanitary Stations


68.37


75.


Total Health and Sanitation


$4,132.68


4,132.68


Total forward $838,897.44


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PAYMENTS


Objects of Payments


Total forward


Expenses Outlays Total $121,964.41


1c. Health and Sanitation


Health-


43. General Administration $1,074.75


44. Quarantine and Contagious


Hospitals 3,538.81


45. Tuberculosis


46. Vital Statistics 15,392.61


171.50


47. Other Expenses 3,946.78


48. Inspection


a. Inspection of School Children 7,488.02


b. Inspection of Animals 360.00


c. Inspection of Meat and Provisions 720.00


d. Inspection of Milk and Vinegar 673.36


Sanitation-


49. Sewer Maintenance and Op-


eration 3,059.19


50. Metropolitan Sewer Mainten- ance $44.00


51. Sewer Construction


52. Refuse and Garbage Disposal $9,846.83


53. Street Cleaning 4,499.07


Other Health and Sanitation-


54. Sanitaries and Convenience Stations 2,678.77


55. Care of Brooks and Streams 48.73


56. Mosquito Nuisance 500.00


Total, Health and Sanitation $53,998.42 $44.00 54,042.42


Total forward


$176,006.83


.


-184-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Offsets to Total


Expenses Outlays


$838,897.44


8d. Highways


76. General $147.51


77. Construction


78. Sidewalks and Curbing


79. Snow and Ice Removal 8.00


80. Sprinkling


a. Water


b. Other


81. Lighting


82. Miscellaneous


Total, Highways $155.51 155.51


8e. Charities


83. Infirmary or Town Farm


a. Sale of Produce and Stock


b. Board $37.00


c. Miscellaneous 72.00


84. Reimbursements for Relief


a. From Individuals 267.06


b. From Other Cities and Towns 7,925.71


c. From the State 9,643.56


85. Reimbursements for Mothers' Aid


a. From Individuals


b. From Other Cities and Towns c. From the State 813.00


86. Reim. for Old Age Assistance


a. From the State 9,000.06


b. Other Cities and Towns 1,333.68


87. Municipal General Hospitals 88. Miscellaneous


Total Charities $29,092.07 29,092.07


Total forward $868,145.02


--


!


-- -


-185-


PAYMENTS


Objects of Payments


Expenses


Outlays Total


Total forward


$176,006.83


1d. Highways


57. General Administration $4,877.04


58. General Highway Expenditures 37,305.17


59. Construction


$24,820.98


60. Sidewalks and Curbing 5,999.61


1,549.04


61. Snow and Ice Removal 9,470.76


62. Sprinkling


a. Water


b. Other


63. Lighting 19,901.79


64. Other Expenses


a. Signs, Guide Boards, Street Numbering 71.69


b. Traffic Guides and Beacons 760.20


186.77


c.


384.29


5,500.00


Total, Highways $78,770.55


$32,056.79


110,827.34


le. Charities


65. General Administration $4,892.38


66. Infirmary or Town Farm 7,169.42


67. Outside Relief by City or Town 67,130.56 68. Relief by Other Cities and Towns 3,562.24 69. Mothers' Aid


a. Relief by City or Town 2,088.00


b. Relief by Other Cities and Towns


70. Old Age Assistance


a. Relief by City or Town 27,617.15


b. Relief by Other Cities and Towns 1,250.32


71. Municipal General Hospitals


72. Other Expenses To Widows from Income from Bank Stock 22.00


Total, Charities $113,732.07 113,732.07


Total forward $400,566.24


-186-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Expenses


Offsets to Total


Outlays


$868,145.02


8f. Soldiers' Benefits


89. State Aid


$1,154.00


90. Military Aid


243.50


91. Soldiers' Burials


92.


Soldiers' Relief


460.78


Total, Soldiers' Benefits $1,858.28


1,858.28


8g Schools


93. Tuition and Transportation


State Wards $1,035.95


94. Other Tuition


95. Sale of Text Books and Supplies 350.71


96. Miscellaneous .95


Sale of Old School House $75.00


Total Schools $1,387.61


$75.00


1,462.61


8h. Libraries


97. Fines, Rentals, and Sales 98. Miscellaneous


Total forward


$871,465.91


-187-


PAYMENTS


Objects of Payments


Expenses


Outlays Total


Total forward


$400,566.24


lf. Soldiers' Benefits


73. General Administration


74. State Aid


$855.00


75. Military Aid


815.00


76. Soldiers' Burial


77. Soldiers' Relief


5,555.97


Total, Soldiers' Benefits


$7,225.97


7,225.97


lg. Schools


78. General Expenses


a. Administrative Salaries $4,230.00


b. Other General Salaries 4,221.63


c. Other General Expenses


1,218.53


79. Teachers' Salaries


151,313.88


80. Text Books and Supplies 8,762.88


633.65


82. Transportation


16,053.60


83. Support of Truants


84. Janitors' Services


11,349.04


85. Fuel and Light


8,400.95


86. Maintenance, Buildings and Grounds


4,920.56


87. New Buildings


88. Furniture and Furnishings


198.22


89. Rent


350.00


90. Other Expenses


647.52


Total, Schools


$212,300.46


212,300.46


1h. Libraries


91. Salaries and Wages


$6,501.00


92. Books, Periodicals, etc.


2,157.81


93. Binding


289.72


94. Fuel and Light


679.45


95. Buildings


96. Other Expenses


42.62


Total, Libraries


$9,670.60


9,670.60


Total forward


$629,763.27


.


81. Tuition


-188-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Offsets to Total


Expenses


Outlays


$871,465.91


8i Recreation


99.


Parks and Gardens


$7.94


100.


Playgrounds and Gymnasia


101.


Bathhouses and Beaches


2,273.46


102.


Celebrations and Entertainments


Total, Recreation $2,281.40 2,281.40


Total forward


$873,747.31


---- -----


-- 189-


PAYMENTS


Objects of Payments


Expenses


Outlays


Total


Total forward


$629,763.27


li. Recreation


97. General Administration


a. Salaries and Wages $93.75


b. Other Expenses


98. Parks and Gardens


a. Salaries and Wages 4,234.33


b. Improvements and Additions $2,094.60


c. Metropolitan Park Main- tenance


d. Other Expenses 2,169.53


99. Playgrounds and Gymnasia


a. Salaries and Wages 675.70


b. Improvements and Additions 1,967.42


c. Other Expenses 840.73


100. Bathhouses and Beaches


a. Salaries and Wages 1,491.45


b. Improvements and Additions


c. Other Expenses 1,803.89


101. Celebrations and Entertain- ments


a. Fourth of July 350.00


b. Labor Day


c. Band Concerts


d. All Other 442.16


Total, Recreation


$12,101.54


$4,062.02


16,163.56


Total forward


$645,926.83


--


-190-


RECEIPTS


Sources of Receipts Total forward


Revenue for Offsets to Total


Expenses Outlays


$873,747.31


8j. Pensions


103. 8k. Unclassified


104. Receipts not Previously Recorded a. Sale of Land and Old Building b, c, d, $150.00


Total, Unclassified


$150.00


150.00


Total forward


$873,897.31


-- -- - -


--


-191-


PAYMENTS


Objects of Payments


Total forward


$645,926.83


1j. Pensions


102. Retirement made from-


a. Fire Department $1,027.00


b. Highway Department 2,200.44


c, d, e, f, g, h, i, j, k, 1,


Total, Pensions $3,227.44


3,227.44


1k. Unclassified


103. Damages to Persons and


Property $717.00


104. Memorial Day


400.00


105. City and Town Clocks 0


203.13


106. Searching Parties


107. Ice for Drinking Fountains


108. Payments not Previously Recorded


a. Printing City or Town


Reports 1,169.34


b. Sexton and Bell Repairs 205.00


c. Recording


144.70


d. Headstones


8.00


e. Improvements of Muni-


cipal Buildings 3,064.78 $1,459.38


f. Veterans' Headquarters $1,460.99


g. E.R.A. Administration, etc. 1,318.62


Total, Unclassified $7,230.57 $2,920.37


10,150.94


Total forward


$659,305.21


.- -------..


-


Expenses Outlays Total


-


-192-


RECEIPTS


Sources of Receipts


Revenue for Offsets to Total


Expenses Outlays


Total


Total forward


$873,897.31


9. PUBLIC SERVICE ENTERPRISES


105. Electric


a. Sale of Light and Power b. Miscellaneous


106. Gas


a. Sale of Gas


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


Miscellaneous


107. Water


a. Sale of Water $41,571.41


b. Miscellaneous 147.00


108. All Other


a .Markets


b. Public Scales


c. Docks and Wharves 1,610.00


d. Ferries


e. Herring and Alewife Fisheries 67.50


f. Miscellaneous


Total, Public Service Enterprises $43,395.91 43,395.91


10. Cemeteries


109. Sale of Lots and Graves $1,081.61


110. Care of Lots and Graves 2,020.77


111. Care of Endowed Lots (Int. on Funds) 3,305.28


112. Miscellaneous 1,354.39


Total, Cemeteries $7,762.05 7,762.05


11. ADMINISTRATION OF TRUST FUNDS


113 114.


115.


Total forward


$925,055.27


-193-


PAYMENTS


Objects of Payments


Expenses Outlays Total


Total forward


$659,305.21


2. PUBLIC SERVICE ENTERPRISES


109. Electric


a. Maintenance and Operation


b. Construction


110. Gas


a. Maintenance and Operation


b. Construction


111. Water


a. Maintenance and Opera- tion $25,996.25 $41,698.89


b. Metropolitan Water Main- tenance


c. Construction


112. All Other


a. Markets


b. Public Scales


c. Docks and Wharves 3,349.27


d. Ferries


e. Herring and Alewife Fisheries 45.58


f. Miscellaneous (Town Forest) 999.61


Total, Public Service Enterprises $30,390.71 $41,698.89 72,089.60


3. CEMETERIES


113. Maintenance $15,270.89


114. Improvements and Additions


.


Total, Cemeteries $15,270.89 15,270.89


4. ADMINISTRATION OF TRUST FUNDS


115 116 117


Total forward


$746,665.70


--


-194-


RECEIPTS


Sources of Receipts Total forward


Revenue for Expenses


Indebtedness Total


$925,055.27


12. INTEREST


116. On Deposits


117. On Deferred Taxes $9,321.62


118. On Deferred Special Assessments


119. On Sinking Funds


120. On Investment Funds 225.00


121. On Public Trust Funds


a. Charity 88.74


b. School 12.87


c. Library 70.60


163.16


d. Cemetery (General Care)


70.61


e. All Other (Parks)


122. Miscellaneous


Total, Interest $9,952.60


9,952.60


13. MUNICIPAL INDEBTEDNESS $500,000.00


123. Anticipation Revenue Loans


124. Anticipation Serial Debt Loans


125. Other Temporary Loans


126. Loans, General Purposes


127. Loans, Public Service Enterprises


128. Loans, Cemeteries


129. Premiums


130. Unpaid Warrants or Orders Current Year


50.00


$500,050.00


500,050.00


Total, Municipal Indebtedness


$1,435,057.87


Total forward


-195-


PAYMENTS


Objects of Payments


Total forward


Expenses


Indebtedness


Total


$746,665.70


5. INTEREST


118. Anticipation Revenue Loans $3,089.62


119. Other Temporary Loans


120. Loans, General Purposes 6,882.50


121. Loans, Public Service Enterprises 3,200.00


122. Loans, Cemeteries


123. Metropolitan Requirements


a. Sewer


b. Park


c. Water


124. State Assessment, Grade Crossings


125. All Other


Total, Interest $13,172.12 13,172.12


6. MUNICIPAL INDEBTEDNESS


126. Anticipation Revenue Loans $450,000.00


127. Other Temporary Loans


128. Bonds and Notes from Sinking Funds


a. General


b. Public Service Enterprises


c. Cemeteries


129. Bonds and Notes from Revenue


a. General $27,500.00


b. Public Service Enterprises 10,000.00


c. Cemeteries


130. Metropolitan Debt Requirements


a. Sewer


b. Park


c. Water


131. State Assessment, Grade Crossings


132. Warrants or Orders, Prev- ious Years 50.00


Total, Municipal Indebtedness


$37,500.00


$450,050.00


487,550.00


Total forward


$1,247,387.82


--------


-196-


RECEIPTS


Sources of Receipts


Non-Revenue


Total


Total forward


$1,435,057.87


14. SINKING FUNDS


From Commissioners for Loans for-


131. General Purposes


132 .. Public Service Enterprises


133. Cemeteries


Temporary Accounts


15. AGENCY, TRUST, AND INVESTMENT


Agency-


134. Taxes


a. State Included in


b. Non-resident Bank


c. County General Receipts


d. Old Age Assistance Tax, 1933 $180.00


135. Liquor Licenses for the State


136. Reimbursements, Grade Crossings


137. All Other (Dog Licenses Col-


lected for County by Town Clerk) 2,135.40


Trust- 750.52-


138. Perpetual Care Funds


3,631.00


139. Other Public Trust Funds


140. Income for Investment


141. Private Trust Funds and Accounts Investment-


142. Sinking Fund Securities


143. Investment Fund Securities


Total, Agency, Trust, and Invest- ment $6,696.92 6,696.92


Total forward


$1,441,754.79


-197-


PAYMENTS


Objects of Payments


Total forward


From Revenue From Total


Non-Revenue


$1,247,387.82


7. SINKING FUNDS


To Commissioners for Debt-


133. From Taxes, Earnings, etc.


134. From Special Assessments


135. From Sale of Real Estate, etc.


Temporary Accounts


8. AGENCY, TRUST, AND INVESTMENT


Agency-


136. Taxes


a. State


37,908.80


b. Non-resident Bank


c. County


44,971.19


d. Add. Old Age Assistance Tax


16.00


137. Liquor Licenses to the State


138. Abolition of Grade Crossings


139. All Other, Dog Licenses Paid to County by Town Clerk 2,135.40


Trust- 750.52


140. Perpetual Care Funds


3,631.00


141. Other Public Trust Funds


142. Income Invested


143. Private Trust Funds and Accounts Investment-


144. Sinking Fund Securities


145. Investment Fund Securities


Total, Agency, Trust and Investment


$89,412.91


89,412.91


Total forward


$1,336,800.73


-


-198-


RECEIPTS


Sources of Receipts Total forward


Temporary Accounts Total and Casn Balances


$1,441,754.79


16. REFUNDS


144.


Taxes


145.


Motor Vehicle Excise Taxes


146. Licenses


147. Special Assessments


148. General Departments $1,036.93


149. Public Service Enterprises 47.57


150. Cemeteries


151. Accrued Interest


152.


All Other


Total, Refunds $1,084.50 1,084.50


17. TRANSFERS


153. Departmental


a. Town House Maint. from Sealing W. & M. $4.42


b. Town House Maint. from July Fourth Appropriation 3.00


c. Town Hall Maint. from Town Hall Furnishings 260.54


d. Health Dept. from Garbage Collection 97.50


e. Roads and Bridges from Sealing W. & M. 3.63


f. Roads and Bridges from Health Dep't. 6.14


g. C. W. A. Project No. 2 from C. W. A. Project No. 1 62.40


h. C. W. A. Project No. 2 from C. W. A. Project No. 3 31.20


i. Public Welfare from Town House Maint. 3.98


j. School Dep't. from Selectmen's Dep't. 1.19


k. Water Dep't. Maint. from Water Dep't. Construction 115.60


Total, Transfers $589.60 589.60


18. BALANCES $68,135.06


154. General


155. Sinking Fund


156. Investment Fund


157. Perpetual Care Fund


158. Other Public Trust Fund 159. Private Trust Funds and Accounts


Total Cash, Beginning of Year $68,135.06 68,135.06


Grand Total Receipts and Cash on Hand


$1,511,563.95


-199-


PAYMENTS


Objects of Payments


Total forward


$1,336,800.73


9. REFUNDS


146. Taxes $726.78


147. Motor Vehicle Excise Taxes 74.42


148. Licenses


131.00


149. Special Assessments


150. General Departments


1,036.93


151. Public Service Enterprises


47.57


152. Cemeteries


153. Accrued Interest


154. All Other 45.00


Total, Refunds $2,061.70 2,061.70


10. TRANSFERS


155. Departmental


a. Sealing W. & M. to Town House Main- tenance $4.42


b. July Fourth to Town House Maintenance 3.00


c. Town Hall Furnishings to Town Hall Maintenance 260.54


d. Garbage Collection to Health Depart- ment 97.50


e. Sealing W. & M. to Roads and Bridges 3.63


f. Health Department to Roads and Bridges 6.14


g. C. W. A. Project No. 1 to C. W. A. Project No. 2 62.40


h. C. W. A. Project No. 3 to C. W. A. Project No. 2 31.20


i. Town House Maintenance to Public Welfare 3.98


j. Selectmen's Department to School Dep't. 1.19


k. Water Dep't. Construction to Water Dep't. Maintenance 115.60


Total Transfers $589.60 589.60


11. Balances $172,111.92


156. General


157. Sinking Fund


158. Investment Fund


159. Perpetual Care Fund


160. Other Public Trust Fund


161. Private Trust Funds and Accounts


Total Cash, End of Year $172,111.92 172,111.92


Grand Total Payments and Cash on Hand


$1,511,563.95


-------- -


---


Temporary Accounts Total and Cash Balances


-200-


SCHEDULE B


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


SELECTMEN'S DEPARTMENT


Appropriation


$3,700.00


Payments :


Salaries and Wages-


Chairman


$1,080.00


Other Selectmen


600.00


Clerk


630.00


Clerical Assistance


589.50


$2,899.50


Other Expenses-


Stationery and Postage


$194.21


Printing and Advertising


324.20


Traveling Expense


179.10


All Other


55.75


753.26


Total Payments


3,652.76


Balance to Excess and Deficiency


$47.24


ACCOUNTING DEPARTMENT


Appropriation


$2,600.00


Payments:


Salaries and Wages-


Salary of Town Accountant


$1,620.00


Clerical Assistance


603.25


Extra Work


56.00


$2,279.25


Other Expenses-


Stationery and Postage


$246.90


Printing and Advertising


64.50


311.40


Total Payments 2,590.65


Balance to Excess and Deficiency $9.35




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