Town annual report of Plymouth, MA 1938, Part 9

Author:
Publication date: 1938
Publisher: Town of Plymouth
Number of Pages: 298


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of Plymouth, MA 1938 > Part 9


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$16,427.68


16,427.68


1k. Unclassified


105. Damages to Persons and Property


$71.00


106. Memorial Day


395.12


107. City and Town Clocks


225.56


108. Searching Parties


109. Municipal Airports


110. Payments not Previously Recorded


a. Printing City or Town Reports $1,689.81 . .


b. Sexton


200.00


c. Recording


76.45


d. Veterans' Headquarters


177.83


e. Fire Insurance, All Town


Property


4,697.40


f. Administration, etc., W.P.A.


6,036.34


g. All Other


1,890.79


Total, Unclassified $15,460.30


15 460.30


Total forward


$871.995 83


-152-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Offsets to


Expenses Outlays Total


$989,800.84


9. PUBLIC SERVICE ENTERPRISES


110. Electric- a. Sale of Light and Power


b. Miscellaneous


111. Gas-


a. Sale of Gas


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


c. Miscellaneous


112. Water-


a. Sale of Water $44,003.98


b. Miscellaneous 180.75


113. All Other


a. Markets


b. Public Scales


c. Docks and Wharves 3,705.70


d. Ferries


e. Herring and Alewife Fisheries 553.65


f. Miscellaneous


150.00


Total, Public Service Enterprises $48,594.08


48,594.08


10. CEMETERIES


114. Sale of Lots and Graves $701.42


115. Care of Lots and Graves 1,737.98


116. Care of Endowed Lots (Int. on Funds) 4,579.18


117. Miscellaneous 1,175.69


Total, Cemeteries $8.194.27 8,194.27


11. ADMINISTRATION OF TRUST FUNDS


118.


119.


120.


Total, Administration of Trust Funds


Total forward


$1,046,589.19


-153-


PAYMENTS


Objects of Payments


Expenses Outlays Total


Total forward


$871,995.83


2. PUBLIC SERVICE ENTERPRISES


111. Electric-


a. Maintenance and Operation


b. Construction


112. Gas-


a. Maintenance and Operation


b. Construction


113. Wacer --


a. Maintenance and Operation $24,848.56


b. Metropolitan Water Maintenance


c. Construction $7,074.59


114. All Other


a, Markets


b. Public Scales


c. Docks and Wharves 930.87


d. Ferries


e. Herring and Alewife Fisheries 147.84


f. Miscellaneous-Town Forest 899.93


Total, Public Service Enterprises $26,827.20 $7,074.59


33,901.79


3. CEMETERIES


115. Maintenance $16,874.57


116. Improvements and Additions $6,911.07


Total, Cemeteries


$16,874.57


$6,911.07


23,785.64


4. ADMINISTRATION OF TRUST FUNDS


117.


118.


119.


Total, Administration of Trust Funds


Total forward


$929,683.26


-154-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Expenses Indebtedness Total


$1.046,589.19


12. INTEREST


121. On Deposits


122. On Deferred Taxes $5,008.85


123. On Deferred Special Assessments


124. On Sinking Funds


125. On Investment Funds 100.00


126. On Public Trust Funds-


a. Charity 68.53


D. School


11.03


c. Library 55.33


d. Cemetery (General Care) 173.45


e. All Other-Park 60.45


127. Miscellaneous


Total, Interest $5,482.69 5.482.63


13. MUNICIPAL INDEBTEDNESS


128. Anticipation Revenue Loans


$275.000.00


129. Anticipation Serial Debt and Other Temporary Loans


130. Loans, General Purposes


131. Loans, Public Service Enterprises


132. Loans, Cemeteries


133. Loans, Tax Titles


134. Tax Title Loans Refunded


135. Premiums


136. Unpaid Warrants or Orders, Current Year


Total, Municipal Indebtedness $275.000.00 275.000.00


Total forward


$1.327.071.88


-155-


PAYMENTS


Objects of Payments


Total forward


Expenses


Indebtedness


Total


$929,683.26


5. INTEREST


120. Anticipation Revenue Loans $490.34


121. Other Temporary Loans


122. Loans, Tax Titles


123. Loans, General Purposes 7,517.50


124. Loans, Public Service Enterprises 1,906.25


125. Loans, Cemeteries


126. Metropolitan Requirements


a. Sewer


b. Park


c. Water


127. State or County Assessment


128. All Other


Total, Interest $9,914.09 9,914.09


6. MUNICIPAL INDEBTEDNESS


129. Anticipation Revenue Loans $225.000.00


130. Other Temporary Loans


131. Bonds and Notes from Sinking Funds


a. General


b. Public Service Enterprises


c. Cemeteries


132. Bonds and Notes from Revenue


a. General $28,500.00


b. Public Service Enterprises 15,000.00


c. Cemeteries


d. Tax Title Redemptions Paid State


133. Tax Title Loans Refunded


134. Metropolitan Debt Requirements


a. Sewer


b. Park


c. Water


135. State or County Assessment


136. Warrants or Orders. Previous Years


Total. Municipal Indebtedness


$43.500.00


$225.000.00


268.500.00


Total forward


$1.208,097.35


-156-


RECEIPTS


Sources of Receipts


Total forward


Non-Revenue Total . $1,327,071.88


14. SINKING FUNDS


From Commissioners for Loans for-


137. General Purposes


138. Public Service Enterprises


139. Cemeteries


15. AGENCY, TRUST, AND INVESTMENT


Temporary Accounts


Agency-


140. Taxes


a. State Included


b. County in


c. General Receipts


141. Beverage Licenses for the State


142. Reimbursements, Grade Crossings


143. All Other $2,034.90


Trust-


144. Perpetual Care Funds 723.33


4,670.00


145. Pension and Retirement Funds


146. Other Public Trust Funds


147. Income for Investment


148. Private Trust Funds and Accounts


Investment-


149. Sinking Fund Securities


150. Investment Fund Securities


Total, Agency, Trust, and Investment


$7,428.23


7,428.23


Total forward


$1,334,500.11


-157-


PAYMENTS


Objects of Payments


Total forward


From Revenue


From Non-Revenue Total


$1.208.097.35


7. SINKING FUNDS


To Commissioners for Debt ---


137. From Taxes, Earnings, etc.


138. From Special Assessments


139. From Sale of Real Estate, etc.


Total, Sinking Funds


8. AGENCY, TRUST AND INVESTMENT


Agency-


Temporary Accounts


140. Taxes


a. State


$ 58,420.21


b. County


41,763.36


c.


141. Beverage Licenses to the State


142. Abolition of Grade Crossings


143. All Other 2,009.35


Trust-


723.33


144. Perpetual Care Funds


4,670.00


145. Pension and Retirement Funds


146. Other Public Trust Funds


147. Income Invested


148. Private Trust Funds and Accounts


Investment-


149 Sinking Fund Securities


150. Investment Fund Securities


Total, Agency, Trust and Investment


$107.586.25 107.586.25


Total forward


$1.315.683.60


-158-


RECEIPTS


Sources of Receipts


Total forward


Temporary Accounts and Cash Balances Total $1,334,500.11


16. REFUNDS $6.08


151.


Taxes


152.


Motor Vehicle Excise Taxes


153.


Licenses


154. Special Assessments


155. General Departments


800.70


156. Public Service Enterprises


194.67


157. Cemeteries


158. Accrued Interest


159.


All Other


Total, Refunds


$1,001.45


1,001.45


17. TRANSFERS


160. Departmental


a. from


b. from


c. from


d. from


e. from


f. from


from


h.


from


i.


from


j.


from


Totals, Transfers


18. BALANCES


$65,613.19


161.


General


162. Sinking Fund


163. Investment Fund


164. Perpetual Care Fund


165. Pension and Retirement Fund


166.


Other Public Trust Fund


167.


Private Trust Funds and Accounts


Total Cash, Beginning of Year


$65,613.19


65,613.19


Grand Total Receipts and Cash on Hand


$1,401,114.75


-159-


PAYMENTS


Objects of Payments


Total forward


Temporary Accounts and Cash Balances Total $1,315.683.60


9. REFUNDS


151. Taxes


$869.37


152. Motor Vehicle Excise Taxes


119.92


153. Licenses


154. Special Assessments


155. General Departments 545.95


156. Public Service Enterprises


194.67


157. Cemeteries


158. Accrued Interest


159. All Other


Total. Refunds $1,729.91 1,729.91


10. TRANSFERS


160. Departmental a, b, c, d, e, f, g, h, i, j


Total, Transfers


11. BALANCES


$33,701.24


161. General


162. Sinking Fund


163. Investment Fund


164. Perpetual Care Fund


165. Pension and Retirement Fund


166. Other Public Trust Fund 167. Private Trust Funds and Accounts


Total Cash, End of Year $83,701.24 83,701.24


Grand Total Payments and Cash on Hand


$1,401.114.75


-160-


SCHEDULE B


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


SELECTMEN'S DEPARTMENT


Appropriation


$3,900.00


Payments :


Salaries and Wages-


Chairman


$1,200.00


Other Selectmen


600.00


Clerk


633.20


Clerical Assistance


535.00


$2,968.20


Other Expenses-


Stationery and Postage


$196.34


Printing and Advertising


476.65


Traveling Expense


166.20


All Other


81.58


920.77


Total Payments 3,888.97


Balance to Excess and Deficiency


$11.03


ACCOUNTING DEPARTMENT


Appropriation


$3.200.00


Payments:


Salaries and Wages-


Salary of Town Accountant


$2,386.80


Clerical Assistance


549.50


$2.936.30


Other Expenses-


Stationery and Postage


$180.90


Printing and Advertising


65.50


All Other


3.00


249.40


Total Payments 3,185.70


Balance to Excess and Deficiency


$14.30


TREASURY DEPARTMENT


Balance Overdrawn in 1937


$84.31


Appropriation March 28. 1938


84.31


-161-


TREASURY DEPARTMENT


Appropriation


Payments :


Salaries and Wages-


Town Treasurer


$1,560.00


Clerical Assistance


704.00


$2,264.00


Other Expenses-


Stationery and Postage


$355.40


Premium on Treasurer's Bond


232.00


Burglary and Hold-Up Insurance


97.60


Adding Machine


171.00


856.00


Total Payments $3,120.00


TAX COLLECTOR'S DEPARTMENT


$5,000.00


Appropriation Payments :


Salaries and Wages-


Salary of Tax Collector


$1,812.50


Clerk


800.00


$2,612.50


Other Expenses-


Stationery and Postage


$519.19


Printing and Advertising


420.75


Premium on Collector's Bond


417.40


Adding Machine


129.50


Typewriter


108.68


Steel Desk


124.50


All Other


20.85


1,740.87


Total Payments 4,353.37


Balance to Excess and Deficiency


$646.63


ASSESSORS' DEPARTMENT


$7,000.00


Appropriation Payments :


Salaries and Wages-


Chairman


$1,960.00


Other Assessors


2,933.30


Assistant Assessors


217.20


Clerical Assistance


743.32


$5,853.82


$3,120.00


-162 --


Other Expenses- -


Stationery and Postage


$101.89


Printing and Advertising


794.20


Assessors' Expenses


92.65


Assistant Assessors' Expenses


17.35


Plans


73.22


E. W. Jones (Abstracting Transfers)


50.00


All Other


15.00


Total Payments


6,998.13


Balance to Excess and Deficiency


$1.87


LAW DEPARTMENT


Balance Overdrawn in 1937


$1,020.01


Land Court Fees Refunded


$104.75


Appropriation March 28, 1938


915.26


$1,020.01


LAW DEPARTMENT


Appropriation


$1,500.00


Payments:


Salary of Town Counsel


$100.00


Legal Services


1,235.00


$1,335.00


Other Expenses-


Jury List


$2.50


All Other


33.13


35.63


Total Payments 1,370.63


$129.37


TOWN CLERK'S DEPARTMENT


$1,600.00


Appropriation Payments:


Salaries and Wages-


Salary of Town Clerk


$100.00


Fees for Recording


602.00


Clerk


704.00


$1,406.00


Other Expenses-


Stationery and Postage


$112.86


Premium on Bond


7.50


All Other


18.75


139.11


Total Payments 1,545.11


Balance to Excess and Deficiency


$54.89


Balance to Excess and Deficiency


1,144.31


-163-


ENGINEERING DEPARTMENT


Appropriation Payments :


Salary of Town Engineer


$600.00


Labor, Surveying


261.76


$861.76


Stationery and Supplies


$24.03


Town Engineer's Expenses


14.00


38.03


Total Payments


Balance to Excess and Deficiency


$ .21


PLANNING BOARD


Appropriation


Payments :


Labor (Surveying and Plans)


$109.64


Other Expenses-


All Other


27.30


Total Payments


136.94


Balance to Excess and Deficiency


$13.06


ELECTION AND REGISTRATION


Appropriation


$1,900.00


Transfer from Reserve November 17, 1938


420.00


Payments:


Salaries and Wages --


Registrars


$264.00


Clerk


100.00


Election Officers


1,048.00


Other Clerical Assistance


30.00


Other Expenses-


Stationery and Postage


$31.20


Printing and Advertising


352.00


Cards, Binders, Indexes


154.61


Typewriter


113.40


Meals


186.70


All Other


9.50


847.41


Total Payments 2,289.41


Balance to Excess and Deficiency


$30.59


1


$900.00


899.79


$150.00


$2,320.00


1,442.00


-164-


TOWN HOUSE MAINTENANCE


$3.000 00


Payments :


Janitor's Salary


$800.00


Other Expenses-


Fuel


$225.05


Lighting


313.03


Janitor's Supplies


285.04


Repairs


295.16


Telephones


226.53


Alterations in Building


695.29


Changing Quarters for Sealer of Weights and Measures


102.86


All Other


38.70


2,181.66


Total Payments


2,981.66


Balance to Excess and Deficiency


$18.34


NEW FURNITURE FOR TOWN HOUSE


Appropriation


$500.00


Payments:


Steel Filing and Counter


$342.91


Table, Desk and Chairs


157.09


Total Payments


$500.00


TOWN HALL MAINTENANCE


Appropriation


$6,500.00


Payments :


Salaries and Wages-


Custodian


$1,716.00


Assistant Custodian


1,404.00


Labor


341.00


3,461.00


Other Expenses-


Fuel


$890.49


Light and Power


663.87


Janitor's Supplies


311.36


Floor Polisher


77.00


Refinishing Dressing Room


253.47


Repairs


722.84


Telephone


43.59


All Other


75.00


3,037.62


Total Payments 6,498.62


Balance to Excess and Deficiency


$1.38


Appropriation


-- 165-


TOWN HALL FURNISHINGS


Balance from 1937 Payments :


Tables and Chairs


$31.25


Blocks, Rope, Hooks


17.95


Total Payments


49.20


Balance Remaining,


$306.80


MEMORIALS FOR TOWN MEMORIAL BUILDING


Balance from 1937


$1,542.88


Payments:


Publication of Notices


307.87


Balance Remaining,


$1,235.01


POLICE DEPARTMENT


Appropriation


$33,000.00


Appropriation from Excess and Deficiency


3,938.90


$36,938.90


Payments:


Salaries and Wages -


Salary of Chief


$3,000.00


Sergeants


5,925.00


Patrolmen


19,383.00


Special Officers


2,980.68


Janitor


500.00


All Other


12.80


$31,801.48


Transportation-


Auto and Motorcycle Expense Equipment and Repairs-


2,273.89


New Equipment


$348.71


Repairs


158.77


507.48


Fuel and Light ---


Fuel Oil


$472.73


Gas and Electricity


281.86


Maintenance of Buildings and Grounds-


Repairs


$105.14


Janitor's Supplies


53.01


Laundry


15.27


All Other


6.01


179.43


1


754.59


$356.00


-166-


Other Expenses-


Stationery, Printing, Postage


$147.34


Telephones


197.89


All Other


41.65


Traffic Signs and Street Marking-


Signs


$99.14


Labor Painting


174.00


Traffic Paint


144.50


Repairing Traffic Signals


25.83


443.47


Total Payments


36,347.22


Balance to Excess and Deficiency


$591.68


TRAFFIC SIGNALS


Appropriation


$300.00


Payments:


Electricity


$272.87


Repairs


27.13


Total Payments


$300.00


FIRE DEPARTMENT


Balance Overdrawn in 1937


$3,207.45


Appropriation March 28, 1938


$3,207.45


FIRE DEPARTMENT


Appropriation


$46,470.00


Reimbursement for Lightning Damage


150.00


$46,620.00


Payments:


Salaries and Wages-


Salary of Chief


$3,000.00


Assistant Chief


2,437.93


Firemen (Regular)


29,534.35


Call Men


3,074.00


Other Employees


110.00


$38,156.28


Equipment and Repairs-


Apparatus


$2,931.58


Hose


977.94


Equipment for Men


90.65


Fire Alarm


1,011.63


5,011.80


386.88


-167-


Fuel and Light- Fuel Oil


$789.16


Gas and Electricity


426.12


1,215.28


Maintenance of Buildings and Grounds-


Janitor's Supplies


$153.56


Repairs


448.79


Dormitory


49.04


651.39


Other Expenses-


Stationery, Printing, Postage


$114.76


Telephones


231.15


Freight, Express


7.66


All Other


203.84


557.41


To Pension of one man retired from Department


1,027.00


Total Payments


46,619.16


Balance to Excess and Deficiency


.84


SEALING WEIGHTS AND MEASURES


Appropriation


$1,850.00


Payments :


Salaries and Wages-


Salary of Sealer


$874.95


Temporary Sealer


323.04


Other Expenses-


Auto Expense


$540.47


Stationery and Postage


24.95


Printing and Advertising


29.19


Telephone


11.28


Equipment


43.62


All Other


2.50


652.01


Total Payments $1,850.00


INSPECTION OF BUILDINGS


$300.00


Appropriation Payments :


Salary of Inspector


$260.00


Postage


3.40


Total Payments


263.40


Balance to Excess and Deficiency


$36.60


$1,197.99


-168-


. GYPSY AND BROWN TAIL MOTH SUPPRESSION. Appropriation


$6.000.00


Payments : Salaries and Wages-


Superintendent


Labor


$1,400.00 2,395.70


Other Expenses-


Trucks


$208.13


Insecticides


532.14


Tools and Hardware


36.60


Truck and Sprayer Expense


1,091.85


New Sprayer Tank


285.00


Telephone


39.93


All Other


10.00


2,203.65


Total Payments


5,999.35


Balance to Excess and Deficiency


$.65


W. P. A. PROJECT NO. 65-14-3188 Gypsy Moth Eradication


Transfer from W. P. A. Appropriation


$821.50


Payments :


Trucks


$308.75


Transportation of Men


428.50


Creosote


70.00


Tools


14.25


Total Payments


$821.50


TREE WARDEN'S DEPARTMENT


$3,000.00


Appropriation Payments:


Salaries and Wages-


Tree Warden


$686.67


Labor


1,339.47


$2.026.14


Other Expenses --


Trucking


$379.38


Insecticides


369.29


Tools and Hardware


57.65


Truck and Sprayer Expense


142.08


All Other (Telephone)


25.26


$973.66


Total Payments


$2,999.80


Balance to Excess and Deficiency


$.20


$3.795.70


-169 ---


W. P. A. PROJECT NO. 765-14-2-24 Emergency Work


Transfer from W. P. A. Appropriation $37.05 Payments : Trucking $37.05


FOREST WARDEN'S DEPARTMENT


Balance Overdrawn in 1937


$3,053.02


Appropriation March 28, 1938


$3,053.02


FOREST WARDEN'S DEPARTMENT


Appropriation


$2,500.00


Transfer from Reserve May 31, 1938


2,000.00


Appropriation from Excess and Def. July 18


500.00


Payments :


Salaries and Wages-


Warden


$300.00


Patrol and Emergency Fire Duty


105.50


Clerical Assistance


96.00


Fighting Fires


3,372.51


$3,874.01


Other Expenses-


Auto and Truck Hire


$210.38


Apparatus


385.29


Telephone


55.88


Meals


72.74


All Other


10.40


734.69


Total Payments


4,608.70


Balance to Excess and Deficiency


$391.30


DOG OFFICER


Assessment, Section 23, Chapter 59


$150.00


Reimbursements from County


830.50


$980.50


Payments:


Salary for Jan., Feb. and Mar.


$150.00


Custody and Destroying Dogs


829.50


Total Payments


979.00


Balance Remaining


$1.50


$5,000.00


-170-


RIFLE RANGE


Appropriation


$325.00


Transfer from Reserve Nov. 17, 1938


120.00


Transfer from Reserve December 3, 1938


37.26


Payments:


Salaries and Wages-


Labor, Surveying New Range


$11.05


Other Expenses-


Rental of Land


$50.00


Use of Range at Hingham


134.06


Use of Range at Attleboro


54.00


Use of Range at Camp Curtis Guild


22.80


Transportation


142.50


Meals


67.85


$471.21


Total Payments $482.26


INLAND FISHERIES


Appropriation


$300.00


Payments :


Yellow Perch $300.00


PLYMOUTH COUNTY AID TO AGRICULTURE


Appropriation $150.00


Payments :


To Trustees of County Aid to Agriculture


$150.00


CULTIVATION, PROPAGATION AND PROTECTION OF SHELLFISH


$1,650.00


Appropriation Payments:


Salaries of Supervisors


$1,450.12


Stationery and Printing


5.95


Part Payment of Boat


100.00


Total Payments 1,556.07


Balance to Excess and Deficiency


$93.93


$482.26


-171-


W. P. A. PROJECT NO. 465-14-2-937 Clam Planting


Transfer from W. P. A. Appropriation Payments:


$600.00


Boat


$146.85


Transportation of Boat from Boston


6.00


Gasoline and Oil


19.59


Equipment


297.65


Total Payments


$470.09


Balance Remaining


$129.91


HEALTH DEPARTMENT


Appropriation


$20,800.00


Payments :


Salaries and Wages-


Clerical Assistance


Other General Expenses-


Stationery and Postage


$24.72


Printing and Advertising


6.10


Telephones


97.50


Freight and Express


13.29


All Other


10.28


151.89


Quarantine and Contagious Diseases-


Board and Treatment


$114.43


Medical Attendance


300.00


Drugs and Medicine


14.56


Groceries and Provisions


102.09


Maintenance of Contagious Ward in Jordan Hospital


5,650.00


All Other


17.91


Tuberculosis-


Board and Care


$5,250.20


All Other


7.96


5,258.1€


Vital Statistics-


Births


$45.75


Deaths


44.25


90.00


$965.70


6,198.99


-172-


Other Expenses-


Plumbing Inspectors


$771.67


Fumigation and Disinfection


302.34


Inspection


1,570.00


Auto Hire


416.00


All Other


130.00


Inspection-


Salary of Inspector of Meats


$800.00


Salary of Inspector of Milk


487.50


Expenses


128.74


1,416.24


Public Dump --


Labor


$1,814.00


Expenses


6.02


1,820.02


Tuberculosis Dispensary-


William E. Curtin, M. D.


$300.00


Rent


540.00


Light


30.89


Supplies and All Other


3.98


874.87


Dental Clinic-


Dentists


$780.00


Dental Supplies


47.19


827.19


Total Payments Balance to Excess and Deficiency


$20,793.07


$6.93


HEALTH DEPARTMENT Piggery Maintenance and Operation and Collection of Garbage Balance Overdrawn in 1937


$107.49


Appropriation March 28, 1938


$107.49


HEALTH DEPARTMENT Piggery Maintenance and Operation and Collection of Garbage


$8,175.00


Appropriation Payments : Salaries and Wages- Clerical Assistance


$433.32


Labor --- Payroll


6,366.80


$6,800.12


3,190.01


-173 ---


Other Expenses-


Rent of Piggery


500.00


Gasoline and Oil


315.64


Truck Expense


519.67


All Other


31.25


1,366.56


Total Payments $8,166.68


$8.32


PLYMOUTH COUNTY HOSPITAL MAINTENANCE


Appropriation


$11.213.95


Payments :


To Treasurer of Plymouth County


(Assessment of 1937 Maintenance)


$11.213.95


DISTRICT NURSE


Appropriation


Payments:


Services of District Nurse


$1.500.00


INSPECTOR OF ANIMALS


Appropriation


Payments :


Services of Inspector of Animals


$400.00


SEWERS


Appropriation


$4.000.00


Payments:


Labor


$2,465.00


Special Labor (Plumber)


45.70


Pipe


171.73


Brick and Cement


112.80


Equipment


192.75


Manholes and Covers


117.00


Total Payments $3,104.98


Balance to Excess and Deficiency


$895.02


Balance to Excess and Deficiency


$1.500.00


$400.00


-174-


W. P. A. PROJECT NO. 465-14-2-490 Billington Street Sewer


Transfer from W. P. A. Appropriation


$1,062.91


Payments:


Trucks


$226.20


Pipe


390.00


Brick and Cement


123.30


Manhole Covers and Frames


178.18


Lumber and Nails


44.48


Equipment


93.25


Gravel


7.50


Total Payments


$1,062.91


W. P. A. PROJECT NO. 465-12-1562 Street Drainage


Transfer from W. P. A. Appropriation


$6,000.00


Payments :


Trucks


$725.44


Pipe


3,984.00


Brick and Cement


545.03


Grates and Frames


122.49


Equipment


321.83


Lumber


84.52


Total Payments


5,783.31


Balance Remaining


$216.69


STREET CLEANING


Appropriation


$5,000.00


Payments:


Labor


$4,041.88


Trucks


160.00


Brooms and Handles


33.00


Express


1.57


Total Payments


$4,236.45


Balance to Excess and Deficiency


$763.55


-175-


PUBLIC SANITARIES


Appropriation


$2,600.00


Payments:


Janitor


$500.00


Other Care and Labor


1,722.50


Supplies


258.03


Repairs


94.81


Total Payments $2,575.34


Balance to Excess and Deficiency


$24.66


MOSQUITO CONTROL WORK IN THE TOWN OF PLYMOUTH


Appropriation


$500.00


Payments:


Treasurer of Commonwealth (Maintenance)


$500.00


ROADS AND BRIDGES


Appropriation


$42,000.00


Payments :


General Administration-


Superintendent


$2,500.00


Clerical Assistance


1,040.00


Foreman (December)


95.00


Auto Allowance


417.00


Stationery and Postage


112.22


Telephones


167.30


Fuel and Light


171.06


All Other


269.84


General Highway Expenditures-


Labor


$19,362.80


Teams and Trucks


9,207.71


Stone, Gravel, etc.


297.40


Tar and Oil


223.76


Pipe and Cement


633.21


Equipment


1,238.42


Repairs


1,235.50


Gasoline and Motor Oil


1,794.92


Kerosene


136.39


Fuel and Light


51.60


Freight and Express


43.23


All Other


143.15


34,368.09


Liability Insurance


1,954.63


$4,772.42


-176-


Other Expenses-


Drinking Fountains


$65.97


Street Signs


120.02


Traffic Signals


118.41


Fences


583.28


887.68


Total Payments 41.982.82


Balance to Excess and Deficiency


$17.18


REPLACING TRUCK-HIGHWAY DEPARTMENT


Appropriation


$850.00


Payments :


Nev. 112 ton International Truck


$850.00


HIGHWAY FUND, CHAP. 500, ACTS OF 1938


Fund from State August 31, 1938


$17.000.00


Payments : No Payments in 1938


Balance Remaining


$17,000.00


REPAIRING ROOF OF BUILDING PURCHASED FROM THE PLYMOUTH MILLS


Transfer from Reserve July 9, 1938 Payments:


$560.00


Repairs to Cupola and Roof


$535.00


Transfer back to Reserve


25.00


$560.00


W. P. A. PROJECT NO. 165-14-1945


Road Construction on Birch Avenue and Cherry Street Extension


Balance from 1937 Payments :


$328.84


Trucks


$220.68


1


Gravel


51.90


$272.58


Return to W. P. A. Appropriation


56.26


$328.84


-177-


W. P. A. PROJECT NO. 465-14-1-273 Road Construction on Birch Avenue


Transfer from W. P. A. Appropriation Payments:


$1,610.50


Trucks


$1,313.99


Transportation


9.00


Power Shovel


220.00


Lumber and Nails


12.71


Equipment


29.99


All Other


24.81


Total Payments $1.610.50


W. P. A. PROJECT NO. 465-14-1-453 Farm and Market Roads


Transfer from W. P. A. Appropriation Payments:


$17.000.00


Trucks


$11,370.59


Transportation


4,289.22


Equipment


852.89


Gravel


389.40


All Other


36.37


Total Payments


16,938.47


Balance Remaining


$61.53


W. P. A. PROJECT NO. 465-14-1-131 Farm to Market Roads, Long Pond Road


Balance from 1937


$2,265.77


Payments:


Trucks


$718.91 500.00


Transportation


Total Payments


$1,218.91


Return to W. P. A. Appropriation 1,046.86


$2.265.77


HIGHWAY CONSTRUCTION AND RECONSTRUCTION


Balance from 1937


$1,745.52


Appropriation March 28, 1938


21,000.00


$22.745.52


-178-


Payments :


Labor


$5,911.75


Trucks


580.01


Stone


3,961.19


Tarvia K. P.


8,218.85


Culvert Pipe


174.64


Equipment


84.50


Use of Power Shovel and Roller


304.25


Total Payments


19,235.19


Balance Remaining


$3,510.33


OLD, SANDWICH ROAD HARD-SURFACING


Balance from 1937


$117.56


Payments :


Labor


$54.00


Trucks


45.00


Total Payments


99.00


Balance to Excess and Deficiency


$18.56


FEDERAL FURNACE ROAD SURFACING


Balance from 1937


$491.86


Appropriation March 28, 1938


2,500.00


Grant from County


2,449.21


Grant from State


4,896.66


$10,337.73


Payments :


Labor


$3.187.36


Trucks


2,992.25


Pipe


232.38


Power Shovel, Bulldozer, Tractor


3,220.51


Gravel


200.00


Land and Property Damages


366.85


Total Payments


10,199.35


Balance Remaining


$138.38


TAYLOR AVENUE EXTENSION


Appropriation March 28, 1938


$2,500.00


Grants from County


2,300.00


Grants from State


4,891.00


$9,691.00


---- 179-


Payments:


Labor


$1,656.27


Trucks


1,357.50


Power Shovel, Grader and Roller


503.00


Tarvia K. P.


5,452.32


Gravel


817.48


Concrete Edging and Curbing


178.77


Lumber


19.94


Total Payments 9,985.28


Balance Overdrawn Awaiting Reimbursements


$294.28


RIVER STREET IMPROVEMENT AND HARD-SURFACING


Appropriation March 27, 1937


$2,500.00


No Payments


CHERRY STREET TO NICK'S ROCK ROAD


Balance from 1937


$143.75


Payments :


Acquiring and Recording Titiles


$143.75


SAVERY AVENUE


Balance from 1937


$95.15


Payments:


Acquiring and Recording Titles


$95.15


CASTLE STREET


Appropriation $100.00


Payments:


Acquiring and Recording Titles


99.00


Balance to Excess and Deficiency


$1.00


CLARK STREET


Appropriation $100.00


Payments :


Acquiring and Recording Titles


$100.00


MANOMET AVENUE


Appropriation $100.00


Payments :


Acquiring and Recording Titles


$94.25


Balance to Excess and Deficiency


$5.75


-180 ---


LAND DAMAGES AT MANOMET POINT ROAD (County Commissioners' Decree No. 887) Balance from 1935 $17.00


300.00


Payments:


Land Damages 150.00


$167.00


NEW WESTERLY WAY


Balance from 1937


$524.03


No Payments


RELOCATION OF STATE HIGHWAY (DAMAGES) Vallerville to Costello's Corner (County Commissioners' Decree No. 724) Balance from 1937 $98.00


Balance to Excess and Deficiency




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