Town annual report of Plymouth, MA 1941, Part 11

Author:
Publication date: 1941
Publisher: Town of Plymouth
Number of Pages: 330


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of Plymouth, MA 1941 > Part 11


Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).


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1,772.99


Burials


628.00


49.38


177.18


Fuel and Light


4,054.58


-57-


State Infirmary


469.29


Other State Institutions


662.62


Jordan Hospital


2,899.87


Other Institutions


1,186.86


Glasses, Dental Plates, etc.


184.90


Transportation


110.55


All Other


3.07


42,474.33


Relief Given by Other Cities and Towns-


Cities


$1,279.37


Towns


597.68


1,877.05


Total Payments


49,033.41


Balance to Excess and Deficiency


$15,097.72


INCOME FROM JULIA P. ROBINSON FUND


Expended by the Board of Public Welfare for Inmates of Infirmary $7.54


REPAIRS TO INFIRMARY


APPROPRIATION


$1,500.00


Payments:


Carpentry and Masonry


$767.99


Painting and Glazing


273.05


Lighting Fittings and Labor


124.04


Plumbing


29.50


Linoleum (laid)


174.09


Total Payments


1,368.67


Balance Remaining


$131.33


OLD AGE ASSISTANCE


APPROPRIATION


$1,745.00


Payments.


Supervisor


840.00


Assistant Supervisor


525.00


Clerical Assistance


378.00


Total Salaries 1,743.00


Balance to Excess and Deficiency


$2.00


-58-


APPROPRIATION


Payments: Administration-


Mileage


$250.00


Stationery, Printing, Postage


228.80


Telephone (3 months)


13.59


Conference Expenses


36.80


All Other


13.70


542.89


Aid-


Cash


$79,006.78


Medical Attendance


15.00


Nursing


39.00


Reimbursements-Cities


74.59


Reimbursements-Towns


259.13


Total Payments


$79,937.39


Balance to Excess and Deficiency


2,062.61


OLD AGE ASSISTANCE (FROM FEDERAL GRANTS)


BALANCE FROM 1940 FOR ADMINISTRATION $4.91


FEDERAL GRANTS FOR ADMINISTRATION 2,310.58


2,315.49


Payments:


Salaries --


Supervisor


$1,040.00


Assistant Supervisor


650.00


Clerical Assistance


468.00


2,158.00


Other Administration-


Stationery, Printing, Postage


$34.43


Dues


2.00


36.43


Total Payments


2,194.43


Balance Remaining


$121.06


BALANCE FROM 1940 FOR ASSISTANCE $948.07


FEDERAL GRANTS FOR ASSISTANCE


69,277.46


Payments:


Aid-


Cash


$66,539.43


Medical


Attendance


214.39


Hospitals


708.03


Nursing


191.61


Burials


924.76


All Other


15.24


68,593.46


$70,225,53


$82,000.00


79,394.50


-59-


Reimbursements-


Cities


Towns


$198.76 293.00


491.76


Total Payments


69,085.22


Balance Remaining


$1,140.31


AID TO DEPENDENT CHILDREN


APPROPRIATION


$17,700.00


Transfer from Public Welfare Department


2,910.04


Payments:


Cash


$20,610.04


AID TO DEPENDENT CHILDREN (FROM FEDERAL GRANTS)


BALANCE from 1940 Administration


$204.17


Federal Grants for Administration


595.56


$799.73


Payments: Salaries-


A.D.C. Supervisor (4 weeks) $100.00


O.A.A. Supervisor (5 weeks)


200.00


O.A.A. Asst. (5 weeks)


125.00


O.A.A. Clerical (5 weeks)


90.00


515.00


Other Administration-


Mileage $57.15


Total Payments


572.15


Balance Remaining


$227.58


BALANCE from 1940 for Assistance


$72.61


Federal Grants for Assistance


8,307.23


Payments:


Cash


$8,379.84


WIDOWS' ACCOUNT


Balance from 1940


$897.00


Income from Bank Stock


50.00


Payments:


$947.00


To Widows


24.00


Balance Remaining


$923.00


$20,610.04


$8,379.84


-- 60-


W.P.A. PROJECT NO. 65-1-14-381 WOMEN'S SEWING PROJECT


BALANCE FROM 1940


$465.73


Transfer from W.P.A. Appropriation


1,151.92


Payments:


Federal Government on Account of Material


$900.00


Rental of Sewing Machines


60.00


Sewing Machine Repairs


12.05


Sewing Accessories


50.80


Equipment


9.40


Laundry


4.44


1/2 Cost of Building Fire Escape


580.96


Total Payments $1,617.65


W.P.A. PROJECT NO. 65-1-14-371 HOUSEHOLD AIDS


TRANSFER FROM W.P.A. APPROPRIATION Payments:


$105.31


Transportation


$97.70


Stationery


7.61


Total Payments


$105.31


(PROJECT CONTINUED IN 1942)


SOLDIERS' BENEFITS


APPROPRIATION


$360.00


Payments:


Salary of Soldiers' Relief Agent


357.50


Balance to Excess and Deficiency


$2.50


$14,640.00


APPROPRIATION Payments:


State Aid-


On Authorization of State Aid Commissioner


$290.00


Military Aid-


On Authorization of State Aid Commissioner


$1,292.50


Soldiers' Relief-


Cash


$7,662.90


Fuel


315.85


Groceries


40.56


Rent


1,041.00


$1,617.65


-61-


Medical Attendance


424.10


Mileage


14.82


All Other


30.50


9,529.73


Total Payments 11,112.23


Balance to Excess and Deficiency


$3,527.77


SCHOOL DEPARTMENT


BALANCE FROM 1939


APPROPRIATION FOR CONTRACT


$432.50


(With Stanley Newman Company)


Payments:


Stanley Newman Company


$432.50


APPROPRIATION


$180,475.00


Payments:


General Administration-


Superintendent


$4,623.96


Clerk


1,557.64


Attendance Officer


600.00


School Census


152.75


6,934.35


Teachers' Salaries


Day


$150,503.43


Evening


2,040.00


152,543.43


Janitors' Services-


Day


$11,238.74


Evening


55.50


Watchmen, July 4th


48.50


11,342.74


Maintenance of Buildings and Grounds- Supervisor


$2,650.00


Medical Inspection-


Physicians


$1,800.00


Nurse and Assistant


2,668.64


Dental Nurse


1,599.84


6,068.48


Pension of School Physician Retired


900.00


Total Salaries


180,439.00


Balance to Excess and Deficiency $36.00


-62-


APPROPRIATION Income from Trust Fund


$46,750.00 11.20


$46,761.20


Payments: General Expenses-


Stationery, Postage, Printing


$330.84


Telephone


131.42


Traveling Expenses


71.90


Automobile Expense


427.60


All Other


16.50


978.26


Text Books and Supplies-


Text and Reference Books


$5,068.03


Paper, Blank Books, etc.


4,026.86


Manual Training Supplies


792.97


Domestic Science Supplies


606.20


Athletic Supplies


330.24


Typewriters


11,402.33


Tuition-


$805.88


Transportation-


$16,843.55


Teachers


168.95


17,012.50


Fuel and Light-


Coal, Wood and Fuel Oil


$5,773.69


Gas and Electricity


1,959.65


7,733.34


Maintenance of Buildings and Grounds-


Carpentry, Painting, Masonry


$2,506.29


Heating, Plumbing, Wiring


819.31


Building Material


570.58


Flags and Flagstaffs


71.99


Janitors' Supplies


1,031.69


Telephones


420.08


Ashes, etc., Removed


151.00


Surfacing Playgrounds


725.70


Tuning and Moving Pianos


100.00


All Other


27.25


6,423.89


Furniture and Furnishings-


Window Shades, Venetian Blinds


$109.45


Asbestos Curtain


182.00


Cabinets, Transfer Cases, etc.


142.83


Delineascope


100.00


Mimeograph


245.00


Chairs


19.00


All Other


61.36


859.64


Pupils


578.03


-63-


Rent-


175.00


Diplomas and Graduation-


269.46


Medical Inspection-


Car Expense and Supplies


$480.73


Dental Clinic 619.98


1,100.71


Total Payments 46,761.01


Balance to Excess and Deficiency $.19


VOCATIONAL EDUCATION TRUST FUND U. S. GRANT


GEORGE - DEEN FUNDS FOR TEACHING POTTERY MAKING


BALANCE FROM 1940


$18.00 1,548.00


CASH FROM STATE


$1,566.00


Payments: Salary of Pottery Instructor


$936.00


Balance Remaining


$630.00


VOCATIONAL EDUCATION TRUST FUND U. S. GRANT


SMITH - HUGHES FUND FOR DAY HOUSEHOLD ARTS


BALANCE FROM 1940 $144.63


CASH FROM STATE


245.50


$390.13


Payments:


Salary-Domestic Science Teacher


$134.78


Travel


9.85


Total Payments


144.63


Balance Remaining


$245.50


W.P.A. PROJECT NO. 65-1-14-2995 NUTRITION PROJECT FOR UNDERNOURISHED CHILDREN


BALANCE FROM 1940


$358.08


Transfer from W.P.A. Appropriation


3,655.51


Payments:


Services of Dietician


$149.76


Delivering Lunches


450.00


Provisions


2,895.83


Ice


38.80


$4,013.59


-64-


Utensils


177.03


Repairs


26.74


Gas


248.08


Removing Rubbish


23.85


All Other


3.50


Total Payments $4,013.59


(PROJECT CONTINUED IN 1942)


PLYMOUTH PUBLIC LIBRARY


APPROPRIATION, Including 1940 Dog Tax


$8,850.00


Income from Gates Fund


55.83


Payments:


Salaries-


Librarian


$2,000.00


Assistants


3,603.01


Janitor


600.00


6,203.01


Books and Periodicals-


Books


$1,835.15


Bindings


92.34


Stationery and Printing


112.46


2,039.95


Other Expenses-


Fuel and Light


$625.48


Telephone


37.39


662.87


Total Payments


$8,905.83


LORING LIBRARY


APPROPRIATION


$3,000.00


Payments:


Salaries-


Librarian


$858.00


Assistant


523.20


Janitor Service


451.26


1,832.46


Books and Periodicals-


Books


$672.47


Bindings


60.80


733.27


Other Expenses-


Fuel and Light


353.39


Telephone


34.16


387.55


Total Payments


$2,953.28


Balance to Excess and Deficiency


$46.72


$8,905.83


-65-


MANOMET LIBRARY


$1,000.00


Payments:


Salaries-


Librarian


$300.00


Extra Help


5.00


Janitor


75.00


380.00


Books-


$272.05


Other Expenses-


Rent


$225.00


Repairs


96.25


Fuel and Light


24.00


345.25


Total Payments


997.30


Balance to Excess and Deficiency


$2.70


PARK DEPARTMENT


APPROPRIATION


$4,673.00


Payments:


Superintendent


$1,644.50


Clerk


125.00


Caretakers-


Parks and Gardens


$726.00


Public Playgrounds


287.00


Bathing Beaches & Camping Places


1,890.47


2,903.47


Total Salaries


4,672.97


Balance to Excess and Deficiency


$.03


APPROPRIATION


$5,027.00


Income from Morton Fund


60.45


Payments:


Parks and Gardens-


Labor


$954.97


Supplies


148.23


Equipment


86.28


Repairs


99.87


Auto and Truck


529.83


Lights


72.96


1,892.14


$5,087.45


APPROPRIATION


-66-


Public Playgrounds-


Labor


$1,011.98


Supplies


78.55


Equipment


82.13


Pipe, Fittings, Labor


146.01


Painting Bandstand


65.00


Wire Fences


59.00


Rolling Field


27.50


Mowing Grass


10.00


Repairs


119.09


Lights


36.51


1,635.77


Bathing Beaches and Camping Places-


Labor


$549.59


Supplies


21.02


Equipment


35.05


Launching and Pulling Up Float


47.80


Use of Bulldozer


57.25


Repairs to Bathhouse


109.00


Wellpoint, Pipe, Labor


83.06


Repairs


163.45


Removing Rubbish


81.00


Lights


300.69


Telephone


57.08


1,504.99


Total Payments


5,032.90


Balance to Excess and Deficiency


$54.55


APPROPRIATION FOR MAINTENANCE AND PLANTING OF SHADE TREES


$500.00


Payments:


Labor


$110.20


Tree Surgery


298.80


Trees and Planting


10.50


Arsenate of Lead


80.00


Total Payments 499.50


Balance to Excess and Deficiency $.50


GIFT FROM ESTATE OF ANNA SPOONER


Gift for Beautification and Planting of James Spooner Land on Market Street Dec. 18, 1940 Payments:


$500.00


Stone Wall


202.00


Balance Remaining $298.00


-67-


RECREATIONAL BUILDING AT FRESH POND APPROPRIATION


$1,000.00


Payments:


Contract for Building


$925.00


Electrical Wiring


25.36


Painting


49.25


Total Payments


999.61


Balance to Excess and Deficiency


$.39


RECREATION ROOM AT NELSON STREET


APPROPRIATION


$500.00


No Payments


NEW FENCE AT VETERANS FIELD


APPROPRIATION MARCH 23, 1940


$1,000.00


No Payments


W.P.A. PROJECT NO. 265-1-14-87 RECREATION PROJECT


TRANSFER FROM W.P.A. APPROPRIATION


$439.87


Payments:


Rent


$82.00


Gasoline and Oil


28.35


Food for Coast Patrol


51.12


See-Saw, Slide and Swing


186.15


Supplies and Materials


92.25


Total Payments $439.87


(Project continued in 1942)


W.P.A. PROJECT NO. 665-14-3-370 VETERANS GRAVES RECORDS


TRANSFER FROM W.P.A. APPROPRIATION


$21.66


Payments: Stationery


$11.16


Rental of Typewriter


10.50


Total Payments $21.66


-68-


W.P.A. ADMINISTRATION PROJECT


BALANCE FROM 1940 $1,185.37


TRANSFER FROM W.P.A. APPROPRIATION 12,765.21


$13,950.58


Payments:


Salaries-


Co-ordinator


$1,590.00


Clerical Assistance


120.00


Stamp Plan Clerk


420.00


Special Engineering


25.80


Janitor (8 weeks)


200.00


2,355.80


N.Y.A. Project at Jordan Hospital-


Supervising Painting


$959.70


Paint, Brushes, etc.


227.91


Other Materials


38.00


1,225.61


General Expenses-


Mileage


$494.26


Telephone


187.29


Paper Drinking Cups for All


Projects


32.26


Supplies, Equipment, Repairs


126.82


All Other 19.60


860.23


Surplus Commodities-


Paper Bags, Wrapping Paper and Twine for Commissary


$54.91


Assessments for Commodities 416.21


Trucking Commodities


219.47


Bonds and Insurance for Food Stamps 122.60


Carpentry at Stamp Office


66.25


879.44


Transportation of Men to Cape


$8,045.00


Contributions for Historical Records and Music Projects


$197.50


Mural at Town Hall


200.00


Bituminous Sidewalks


187.00


Total Payments


$13,950.58


(Continued in 1942)


SEXTON


APPROPRIATION $200.00


Payments:


Salary $200.00


-69-


MEMORIAL DAY


$400.00


Payments: American Legion Band Other Expenses


$132.00


224.40


Total Payments


356.40


Balance to Excess and Deficiency


$43.60


ARMISTICE DAY


APPROPRIATION


$250.00


Payments:


American Legion Band


100.00


V.F.W. Band


100.00


Other Expenses


33.00


Total Payments


$233.00


Balance to Excess and Deficiency


$17.00


JULY FOURTH


APPROPRIATION


$500.00


Payments:


Fireworks


$280.00


V.F.W. Band


132.00


Prizes


81.68


All Other


4.94


Total Payments


498.62


Balance to Excess and Deficiency


$1.38


OLD HOME DAY


APPROPRIATION


$200.00


Payments:


Clerical Services


$33.00


Stationery, Printing, Postage


48.80


Music


22.50


Photographs


12.00


Turkeys and Lobsters


19.78


Other Expenses


41.83


Total Payments 177.91


Balance to Excess and Deficiency


$22.09


APPROPRIATION


-70-


CONVENTION EXPENSES


APPROPRIATION


$300.00


Payments:


United Commercial Travelers' Convention


$70.00


Music Festival


30.00


Yacht Club Outing


93.50


National Grange


10.00


Sea Scouts of Boston Outing


1.05


Total Payments 204.55


Balance to Excess and Deficiency


$95.45


PENSIONS FOR TOWN LABORERS


APPROPRIATION $1,676.00


Payments:


To Four Men Retired from Town Departments


$1,676.00


CONTRIBUTORY RETIREMENT FUNDS


EXPENSES FOR ADMINISTRATION and OPERATION


APPROPRIATION Payments:


Treasurer, Contributory Retirement System


$350.00


CONTRIBUTORY RETIREMENT FUNDS CONTRIBUTION FROM TOWN FOR PENSIONS


APPROPRIATION


Payments:


Treasurer, Contributory Retirement System


$15,612.32


MUNICIPAL ADVERTISING


APPROPRIATION MARCH 22, 1941


$1,100.00


Cash Donation June 13, 1941


800.00


Cash Donation June 28, 1941


300.00


$2,200.00


Payments:


Services of Clerk


$361.00


Rental of Typewriter


12.00


Booklets, Folders, Maps, etc.


1,289.25


Signs


20.00


Postage


66.25


Telephone


9,85


"Old Chapel" Expenses


49.36


All Other


7.45


Total Payments 1,815.16


Balance Remaining


$384.84


$350.00


$15,612.32


-71-


OBTAINING INFORMATION RELATIVE TO DEVELOPMENT OF LOCAL INDUSTRIES BALANCE FROM 1938


$1,865.93


No Payments


SEWER COMMITTEE EXPENSES


BALANCE FROM 1940 $241.00


No Payments


Balance to Excess and Deficiency $241.00


DEFENSE COMMITTEE EXPENSES


TRANSFER FROM RESERVE MAY 22, 1941


$100.00


Transfers from Reserve Sept. 20. 1941


275.00


Transfer from Reserve Dec. 11, 1941 500.00


$875.00


Payments:


Stationery, Printing, Postage


$53.03


Telephones


32.61


Armbands, Buttons, etc.


37.50


Aluminum Checking


40.01


Expenses to New Jersey Arsenal


75.00


Equipment at Fire Station


61.68


Report Center at Police Station


10.80


Sound Film Rental


5.00


Total Payments 315.63


Balance Remaining


$559.37


TRANSFER FROM RESERVE, DEC. 11, 1941 FOR


REPORT CENTER AT POLICE STATION $668.00


No Payments


SURVEY FOR MUNICIPAL LIGHTING PLANT APPROPRIATION


$2,500.00


Payments:


15.94


Expenses of Committee


Balance Remaining


$2,484.06


-72-


INSURANCE ON ALL TOWN PROPERTY


APPROPRIATION FOR FIRE INSURANCE $3,841.46 APPROPRIATION FOR BOILER INSURANCE 275.00


$4,116.46


Payments:


Premium, Insurance in Stock Companies


$2,060.43


Premium, Insurance in Mutual Companies


1,783.46


Premium for Boiler Insurance


267.25


Total Payments


4,111.14


Balance to Excess and Deficiency


$5.32


MISCELLANEOUS ACCOUNT


APPROPRIATION


$450.00


Payments:


Moderator


$20.00


Secretary of Advisory and Finance Committee


100.00


Bell Ringing, July Fourth


10.00


Care of Town Clock


180.00


Care of Flag on Training Green


120.00


Total Salaries


430.00


Balance to Excess and Deficiency


$20.00


APPROPRIATION


$2,625.00


Payments:


Legislative-


Advisory and Finance Committee


Printing Reports, etc.


$109.00


Other Expenses


4.50


Vocational School Committee


25.00


138.50


Certification of Notes-


$26.00


Seal Bounty-


40.00


Town Float, Boat and Anchorage Basin-


Town Float Storage and Repairs


$178.87


Boat Repairs and Oars


15.11


Labor and Expense on Moorings


21.50


215.48


July Fourth-


5.00


Traffic Lighting-


Use of Compressor


$25.00


Cement


4.75


29.75


Reports


-73-


107.00


V.F.W. Coal


Herring Streams-


Town Brook


$16.25


Agawam and Halfway Pond


79.25


95.50


Unclassified-


Damages to Persons


$164.95


Town Clock Expenses


83.76


Flags


23.12


Town Reports


781.90


Repairs to Plymouth Mills Bldg.


200.85


Pilgrim's Progress


99.84


Soldiers' Headstones


37.00


Recording


81.10


Defense Expenses


6.50


Municipal Advertising Expenses


8.81


Flowers for Police Officers Funerals


10.00


Total Payments


2,155.06


Balance to Excess and Deficiency


$469.94


RESERVE ACCOUNT


APPROPRIATION FROM RESERVE OVERLAY $10,000.00


Transfers to:


Defense Committee Expenses


$875.00


Defense Committee Report Center


668.00


Town Wharf Repairs


45.02


Traffic Signals


238.75


Sealing Weights and Measures


75.00


Public Sanitaries


18.00


South Meadow Road


24.00


Forest Warden's Dept.


1,000.00


W.P.A.


5,000.00


Police Dept.


600.00


Town Debt and Interest


41.71


Reserve Overlay


1,414.52


Total Transfers $10,000.00


UNEMPLOYMENT RELIEF WORK PROJECTS ADMINISTRATION (SUBJECT TO TRANSFERS TO PROJECTS ON ORDERS OF THE BOARD OF SELECTMEN)


BALANCE FROM 1940 $500.00


APPROPRIATION MARCH 22, 1941 45,000.00


1,497.83


-74-


Transfer from Reserve Nov. 28, 1941


5,000.00


Transfer from Curbing Project


129.64


$50,629.64


Transfers to:


W.P.A. Administration


$12,765.21


Intercepting Sewer


15,355.32


Road Improvement


16,292.57


Sewing


1,151.92


Household Aids


105.31


Nutrition


3,655.51


Recreation


439.87


Veterans' Graves Records


21.66


Water Main Construction


842.27


Total Transfers


$50.629.64


TOWN FOREST PURCHASE OF LAND


BALANCE FROM 1933


$45.00


Payments:


Purchase of Land


$45.00


TOWN FOREST MAINTENANCE


APPROPRIATION


$150.00


Payments:


Superintendent


$50.00


Towe nuty


90.75


Total Salaries


140.75


Balance to Excess and Deficiency


$9.25


APPROPRIATION


$850.00


Payments:


Labor


$746.10


Trucks


13.00


Tools and Hardware


13.45


Telephone


55.23


All Other


6.46


Total Payments 834.24


Balance to Excess and Deficiency


$15.76


1


-75-


WATER DEPARTMENT MAINTENANCE


APPROPRIATION


$12,900.00


Payments:


Superintendant


$3,000.00


Registrar


1,300.00


Clerk


1,352.00


Janitor


106.00


Engineering and Meter Reading


3,689.45


Pumping Station Engineers


3,319.95


Total Salaries


12,767.40


Balance to Excess and Deficiency


$132.60


APPROPRIATION


$12,100.00


Payments:


Administration-


Fuel and Light


$165.70


Stationery, Printing, Postage


418.09


Telephones


284.31


Burglary Insurance


25.00


Premium on Collector's Bond


15.00


Traveling Expenses


29.00


All Other


84.10


1,021.20


General Expenditures-


Labor


$4,392.17


Employers' Liability Insurance


364.59


Pipe and Fittings


272.68


Meters and Fittings


770.76


Freight and Express


60.96


Equipment and Repairs


827.38


Auto Expense


920.25


Fuel and Light


73.04


All Other


9.00


Pumping Station-


3-Yr. Boiler and Pump Insurance


$546.26


Boilers and Pumps


458.19


Oil Waste and Packing


127.06


Coal


546.27


Fuel Oil


667.85


Storm Windows


137.44


Building


83.78


Light


124.16


Electric Power


696.61


All Other


.35


Total Payments


7,690.83


3,387.97


$12,100.00


-76-


APPROPRIATION FOR CAR REPLACEMENT Payments: New Ford Coupe


$550.00


$550.00


WATER DEPARTMENT CONSTRUCTION


BALANCE FROM 1940


$1,347.77


APPROPRIATION


5,700.00


7,047.77


Payments:


Labor


$434.78


Pipe and Fittings


5,943.81


Meters and Couplings


489.70


Equipment


97.00


Hydrant


76.88


Splitting Stone


5.60


Total Payments $7,047.77


DIESEL ENGINE AND PUMP FOR WATER DEPARTMENT


BALANCE FROM 1940


$2,853.17


Payments:


Diesel Engine and Compressor


$2,585.89


Labor


27.85


Pipe and Fittings


211.09


Cement and Drain Pipe


20.86


All Other


7.48


Total Payments $2,853.17


AUXILIARY WATER SUPPLY IN MANOMET


APPROPRIATION FOR PURCHASE OF LAND


$500.00


Payments:


Purchase of Land


$500.00


APPROPRIATION


$7,000.00


Payments:


Labor


$1,250.23


Pump House


875.46


Pumping Unit


644.00


Meter Tube


95.00


Manometers


82.00


Muffler for Engine


5.91


Pipe and Fittings


3,891.31


Cement


25.00


Sand and Trucking


26.25


Total Payments


6,895.16


Balance Remaining


$104.84


-- 77-


W.P.A. PROJECT NO. 165-1-14-195 CONSTRUCTION OF WATER MAINS


BALANCE FROM 1940


$20.24


Transfer from W.P.A. Appropriation


842.27


Payments:


Trucks


$529.55


Transportation


109.00


Equipment


148.62


Kerosene


75.34


Total Payments $862.51


OAK GROVE AND VINE HILLS CEMETERIES


APPROPRIATION


$2,164.00


Payments:


Superintendent


$1,664.00


Clerical Assistance


500.00


Total Salaries


$2,164.00


APPROPRIATION


$7,336.00


Income from Trust Funds


3,136.66


$10,472.66


Payments:


Labor


$8,306.10


Teams and Trucks


382.10


Soil, Sods, Fertilizer


395.86


Trees, Shrubs, Grass Seed


346.18


Hardware and Paint


227.04


Telephones


56.20


Stationery


100.39


Surfacing Driveway


295.00


Cement Gutter


50.00


Mabbett Lot and Monument


62.62


Lettering Signs


31.52


Calcium Chloride


130.68


Cement


36.75


All Other


20.51


Total Payments 10,440.95


Balance to Excess and Deficiency


$31.71


APPROPRIATION for Hard -Surfacing Roads


$750.00


Payments: Hard-Surfacing Drive


$750.00


$862.51


-78-


IMPROVEMENT OF ADDITION TO CEMETERY BALANCE FROM 1940


$496.75


BURIAL HILL CEMETERY


APPROPRIATION


$1,500.00


Income from Warren Fund


97.20


Income from Trust Funds


171.61


$1,768.81


Payments:


Labor


$1,561.00


Teams


8.00


Sods and Soil


4.40


Paint, Hardware, Tools


77.84


Recutting and Encasing Stones on Warren Lot


85.00


All Other


10.23


Total Payments


1,746.47


Balance to Excess and Deficiency


$22.34


APPROPRIATION for Protecting Old Headstones


$300.00


Payments:


Encasing, Resetting, Relettering


$300.00


CHILTONVILLE, MANOMET, CEDARVILLE AND SOUTH POND CEMETERIES


APPROPRIATION


$700.00


Income from Hinckley Fund


20.00


Income from Trust Funds


272.70


$992.70


Payments:


Chiltonville-


Labor


$416.50


Flowers and Wreaths


16.50


Repairs


8.21


Paint and Rakes


3.43


444.64


Manomet-


Labor


$330.00


Repairs


1.50


Lumber and Rakes


7.45


338.95


Cedarville-


Labor


$93.15


Paint and Brushes


9.00


102.15


No Payments


-79-


South Pond- Labor


$56.50


Total Payments


942.24


Balance to Excess and Deficiency


$50.46


TOWN DEBT AND INTEREST


APPROPRIATION


$46,500.00


Transfer from Premium on Ladder Truck Loan 74.40


Transfer from Reserve 41.71


$46,616.11


Payments:


Town Debt-


Town Hall Loan


$14,500.00


Ladder Truck Loan


3,000.00


New School House Loan


13,000.00


Water Loan


10,000.00


Total Town Debt


40,500.00


Interest-


Loans in Anticipation of Taxes


$711.11


Town Hall Loan


2,320.00


Ladder Truck Loan


75.00


New School House Loan


2,610.00


Water Loan


400.00


Total Interest


6,116.11


Total Payments


$46,616.11


-81-


SCHEDULE C


ESTIMATED RECEIPTS


Charges, Estimated in Making Tax Warrants:


Income Tax


$71,019.08


Corporation Tax


54,992.98


Reimbursement for Loss of Taxes on State Land


1,278.21


Gasoline Tax, Chapter 504


37,826.61


Motor Vehicle Excise


26,848.79


Licenses


18,772.45


Fines


917.75


Grants and Gifts


1,005.00


Special Assessments


968.00


General Government


2,546.67


Protection of Persons and Property


723.74


Health and Sanitation


2,977.26


Highways


38.85


Charities


22,609.48


Old Age Assistance


45,448.00


Soldiers' Benefits


1,027.00


Schools


5,148.61


Libraries (See Dog Tax transferred)


Recreation


3,158.35


Public Service Enterprises


50,173.06


Cemeteries


2,796.45


Interest on Taxes


5,261.89


All Other


50.00


$355,588.23


-82-


Credits, Amounts Actually Received:


Income Tax


$62,310.17


Corporation Tax


57,423.10


Reimbursement for State Land


1,278.21


Gasoline Tax, Chapter 504


39,254.61


Motor Vehicle Excise


32,688.92


Licenses


18,592.40


Fines


1,366.25


Grants and Gifts


2,765.46


Special Assessments


862.30


General Government


3,011.16


Protection of Persons and Property


534.04


Health and Sanitation


3,115.23


Highways


344.95


Charities, Including A.D.C.


22,499.36


Old Age Assistance


54,473.67


Soldiers' Benefits


1,082.33


Schools


11,760.52


Recreation


3,403.68


Public Service Enterprises:


Water Department


$48,127.37


Town Wharf


2,632.08


Herring Streams


287.50


Rent of Building


150.00


51,191.95


Cemeteries (Exclusive of Lots and Graves)


2,843.88


Interest on Taxes


5,180.77


375,982.96


Excess of Actual Receipts


$20,394.73


-- 83 --


SCHEDULE D


REVENUE ACCOUNT 1941


Charges-


Appropriations March 22


$958,239.67


Less:


1940 Dog Tax, to Public Library $1,742.10


Tax Possession Funds 2,594.38


Cemetery, Sale of Lots 750.00


1940 State Parks, Overestimated 50.87


Estimated Receipts 355,588.23


360,725.58


Amount to be Assessed


$597,514.09*


Excess Revenue (To Excess and Deficiency) 21,055.44


$618,569.53


Credits-


Assessors' Warrant, June 9,


$588,266.09


Poll Tax Warrant, Mar. 31, 9,248.00


$597,514.09*


Additional Warrant Personal 88.29


Additional Warrant Real Estate 552.42


Additional Warrant Polls 20.00


Total of Assessors' Warrants $598,174.80


Excess of Estimated Receipts (Schedule C.) 20,394.73


$618,569.53


-84-


SCHEDULE E


EXCESS AND DEFICIENCY 1941


Unexpended Appropriation Balances Returned


Selectmen's Department


$8.64


Accounting Department


$73.00


Treasury Department


30.00


Tax Collector's Department


3.87


Assessors' Department


20.00


5.83


Law Department


130.00


153.40


Town Clerk's Department


30.00


Engineering Department


114.99


16.58


Planning Board


119.60


6.60


Election and Registration


224.20


207.37


Town House Maintenance


68.85


Old High School Building Maintenance


314.00


228.09


Town Hall Maintenance


36.86


Police Department


283.43


.27


Fire Department


234.95


5.30


Inspection of Buildings


4.40


Sealing Weights and Measures


1.32


Moth Suppression


24.83


Tree Warden's Department


69.47


Forest Warden's Departnient


351.46


.11


Forest Warden's Department, Fire Payrolls


1,312.74


Health Department


398.71


155.70


Piggery and Garbage Collection


463.50


New Chassis for Garbage Truck


23.90


Sewers


6.25


Street Cleaning


.31


Public Sanitaries


88.25


11.91


Roads and Bridges


236.86


Sidewalks


.91


Snow and Ice Removal


727.66


Street Sprinkling


1,143.84


Street Lighting


28.49


Traffic Signals


12.94


Public Welfare Department


100.33


15,097.72


Old Age Assistance


2.00


2,062.61


Soldiers' Benefits


2.50


3,527.77


School Department


36.00


.19


-85-


Loring Library


46.72


Manomet Library


2.70


Park Department


.03


54.55


Park Department, Planting and Care of Trees


.50


Memorial Day


43.60


Armistice Day


17.00


July Fourth


1.38


Old Home Day


22.09


Convention Expenses


95.45


Sewer Committee Expenses


241.00


Insurance of Town Property


5.32


Miscellaneous Account


20.00


469.94


Water Department Maintenance


132.60


Town Forest


9.25


15.76


Town Wharf Maintenance


4.31


Oak Grove and Vine Hills Cemetery


31.71


Burial Hill Cemetery


22.34


C. M. C. and S. P. Cemeteries


50.46


Reimbursement from Fire Insurance


200.00


Addressograph


8.25


Memorials for Town Hall


1,235.01


New Fire Truck




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