Town annual report of Plymouth, MA 1949, Part 12

Author:
Publication date: 1949
Publisher: Town of Plymouth
Number of Pages: 434


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of Plymouth, MA 1949 > Part 12


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a. Mosquito Nuisance 750.00


b. Poison Ivy


Total, Health and Sanitation $89,164.98 $4,150.04 93,315.02


Total forward


$350,202.06


-240-


RECEIPTS


Sources of Receipts


Total forward


$1,585,522.74


8d. Highways


80. General $75.00


a. State and County, joint Maintenance


81. Construction


a. State and County, joint Construction


82. Sidewalks and Curbing


83. Snow and Ice Removal


84. Sprinkling


a. Water b. Other


85. Lighting


86. Miscellaneous Truck and Machinery Rental Sale of Land and Buildings


Total, Highways $75.00 75.00


8e. Charities


87. Infirmary or Town Farm


a. Sale of Produce and Stock


b. Board and Miscel- laneous $3,996.29


88. Reimbursement for Relief


a. From Individuals


b. From Cities and Towns 9,060.28


c. From the State 10,361.42


89. Reim. for Aid to Dependent Children


a. From Individuals b. From Cities and Towns


c. From the State 28,241.51


90. Reim. for Old Age Assistance


a. From Individuals b. From Cities and Towns 1,464.24


c. From the State 150,471.11


91. Municipal General Hospitals


92. Miscellaneous


Total, Charities $203,594.85 203,594.85


Total forward


$1,789,192.59


Revenue for Offsets to


Expenses Outlays Total . C.


-241-


PAYMENTS


Objects of Payments Total forward


Expenses


Outlays


Total


$350,202.06


1d. Highways


57. General Administration $6,978.71


58. General Highway Expenditures 48,456.80


59. Construction


$47,834.04


60. Sidewalks and Curbings 6,600.00


4,342.91


61. Snow and Ice Removal 7,215.04


62. Sprinkling


a. Water b. Other 1,500.00


63. Lighting


21,749.31


64. Other Expenses


a. Signs Guide Boards, St. Numbering 3,609.98


b. Traffic Guides and Beacons 399.96


c. All Other 2,799.83


d. Parking Meters 461.42


7,802.78


Total, Highways


$99,771.05


$59,979.73


159,750.78


1e. Charities


65. General Administration $19,203.75


66. Infirmary or Town Farm 11,986.11


67. Outside Relief by City or Town 86,244.99


68. Relief Reimbursed to Cities and Towns 977.55


69. Aid to Dependent Children


a. Relief by City or Town 96,685.65


b. Relief Reimbursed to Cities and Towns


70. Old Age Assistance a. Relief by City or Town 375,014.37


b. Reimbursed to Cities and Towns 1,771.56


71. Municipal General Hospitals 72. Other Expenses


Total, Charities 591,883.98 591,883.98


Total forward


$1,101,836.82


-242-


RECEIPTS


Revenue for Offsets to


Sources of Receipts


Expenses Outlays Total $1,789,192.59


Total forward


8f. Veterans' Services


93. Reimbursement for Relief


a. From Individuals b. From Cities and Towns $30.00


c. From State 17,183.42


94. Veterans' Burials 167.90


95. War Allowances


Total, Veterans' Services $17,381.32 17,381.32


8g. Schools


96. Tuition, Transportation, State Wards


97. Tuition, Mass. Training Schools


98. Other Tuition $17,328.58


99. Sale of Text Books and Supplies 732.38


100. Miscellaneous


a. Rental School Halls 5.00


b. Sale of School Buildings


c. School Lunches 10,860.17


d. Products of Trade Schools


e. Insurance account of Fire Losses f. All Other


7.41


Total, Schools $28,933.54 28,933.54


8h. Libraries


101. Fines, Rentals, and Sales


102. Miscellaneous


Total, Libraries


Total forward


$1,835,507.45


-243-


PAYMENTS


Expenses


Outlays


Total


$1,101,836.82


Objects of Payments Total forward


1f. Veterans' Services


73. Salaries, Veterans' Services $3,625.00


74. Office Expenses, Travel, etc. 272.17


75. Veterans' Service District


76. Veterans' Burials 95.90


77.


Veterans' Benefits


26,902.46


a. War Allowances


Total, Veterans' Services $30,895.53


30,895.53


1g. Schools


78. General Expenses


a. Administrative Salaries $6,500.00


b. Other General Salaries


8,581.30


c. Other General Expenses


1,675.52


79. Teachers' Salaries


297,583.18


80. Text Books and Supplies


16,954.08


81. Tuition


3,232.50


82. Transportation 24,513.76


83. Support of Truants


84. Janitors' Services 20,472.20


85. Fuel and Light 14,719.29


86. Maintenance, Buildings and Grounds 17,759.19


87. New Buildings


$14,375.28


88. Furniture and Furnishings 1,048.64


89. Rent


280.00


90. Other Expenses 421.22


a. School Lunches 15,774.14


Total, Schools


$429,515.02


$14,375.28


443,890.30


1h. Libraries


91. Salaries and Wages


$14,857.23


92. Books, Periodicals


4,122.09


93. Binding


70.32


94. Fuel and Light


1,455.91


95. Buildings 234.35


96. Other Expenses 486.38


Total, Libraries $21,226.28 21,226.28


Total Forward


$1,597,848.93


-244-


RECEIPTS


Sources of Receipts Total forward


Revenue for Offsets to


Expenses Outlays Total


$1,835,507.45


8i. Recreation


103.


Parks and Gardens


104. Golf Courses


105. Playgrounds and Gymnasia


106. Bathhouses and Beaches $4,594.95


107. Celebrations and Entertainments


a. Community Buildings for Recreation


Total, Recreation $4,594.95 4,594.95


Total forward


$1,840,102.40


-245-


PAYMENTS


Objects of Payments Total forward


Expenses


Outlays


Total


$1,597,848.93


1i. Recreation


97. General Administration a. Salaries and Wages $3,393.75


b. Other Expenses 1,176.86


98. Parks and Gardens


a. Salaries and Wages 5,425.11


b. Improvements and Additions $1,200.00


c. Other Expenses 2,885.58


d. Metropolitan Park Maintenance


e. State Parks and Reservations 1,912.45


99. Golf Courses a. Salaries and Wages b. Improvements and Additions


c. Other Expenses


100. Playgrounds and Gymnasia


a. Salaries and Wages 4,820.07


b. Improvements and Additions 3,031.84


c. Other Expenses 666.70


101. Bathhouses and Beaches


a. Salaries and Wages 5,829.13


b. Improvements and Additions


c. Other Expenses 3,218.46


102. Celebrations and Entertainments


a. Fourth of July 1,399.60


b. Labor Day


c. Band Concerts 300.00


d. Other Holidays 1,352.66


e. Entertainment of Dis- tinguished Persons 794.84


f. Community Buildings for Recreation g. Lecture Courses


Total, Recreation


$33,175.21


$4,231.84


37,407.05


Total forward


$1,635,255.98


-246-


RECEIPTS


Sources of Receipts


Expenses


Revenue for Offsets to Outlays Total


Total forward


$1,840,102.40


8j. Pensions


108. Total, Pensions


8k. Unclassified


109. Receipts not previously Recorded a. Sale of Real Estate 950.00


b. Rent of Property not used for Municipal Purposes


Total, Unclassified


950.00


950.00


Total forward


$1.841.052.40


-247-


PAYMENTS


Objects of Payments


Expenses


Outlays


Total


Total forward


$1,635,255.98


1j. Pensions


103. Retirement made from :-


a. Police Department 2,620.28


b. Fire Department 646.25


c. Sealer of Weights Measures Department 970.00


d. Highway Department 15.85


e. School Department 2,303.29


f. Park Department 2,082.60


104. Appropriation Paid to Retirement Fund 25,299.00


Total, Pensions $33,937.27


33,937.27


1k. Unclassified


105. Damages to Persons and Property


106. Memorial Day 650.00


107. Care of Veterans' Graves 114.00


108. City and Town Clocks 322.80


109. Searching Parties


110. Payments not Previously Recorded


a. Printing City or Town Reports 2,157.15


b. Veterans' Memorials 65.85


c. Insurance of Town Property 4,023.23


d. Municipal Advertising 2,176.00 e. All Other 999.92


Total, Unclassified


$10,508.95


10,508.95


$1,679,702.20


Total forward


-248-


RECEIPTS


Revenue for Offsets to


Sources of Receipts


Expenses Outlays Total


Total forward


$1,841,052.40


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 $82.446.91


b. Miscellaneous 1.279.00


113. All Other


a. Markets


b. Public Scales


c. Docks and Wharves 2.000.00


d. Ferries


e. Herring and Alewife Fisheries 212.00


f. Municipal Airports


g. Street Railways and Transportation Areas


h. Traffic Tunnels i. Miscellaneous


Total, Public Service Enterprises $85,937.91 85.937.91


10. CEMETERIES


114. Sale of Lots and Graves $860.40


115. Care of Lots and Graves 3,918.34


116. Care of Endowed Lots (Int. on Funds) 3,736.63


117. Miscellaneous 18.00


Total, Cemeteries


$8,533.37


8,533.37


11.


ADMINISTRATION OF TRUST FUNDS


118.


119.


120.


Total, Administration of Trust Funds


Total forward


$1.935.523.68


-249-


PAYMENTS


Objects of Payments


Total forward


Expenses


Outlays


Total


$1,679,702.20


2. PUBLIC SERVICE ENTERPRISES


111. Electric a. Maintenance and Operation


b. Construction


112. Gas


a. Maintenance and Operation


b. Construction


113. Water


a. Maintenance and Operation $54,812.58


b. Metropolitan Water Maintenance


c. Construction $62,700.57


114. All Other


a. Markets


b. Public Scales


c. Docks and Wharves 645.65


d. Ferries


e. Herring and Alewife Fisheries 106.55


f. Municipal Airports


g. Street Railways and Transportation Areas


h. Traffic Tunnels i. Miscellaneous 800.00


Total, Public Service


$56,364.78 $62,700.57 119,065.35 Enterprises


3. CEMETERIES


115.


Maintenance


$24,962.23


116. Improvements and Additions $2,482.59


Total, Cemeteries


$24,962.23


$2,482.59


27,444.82


4. ADMINISTRATION OF TRUST FUNDS


117. Retirement Board $900.00 118. 119.


Total, Administration of Trust Funds $900.00 900.00


Total forward


$1,827,112.37


-250-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Expenses Indebtedness Total


$1,935,523.68


12. INTEREST


121.


Deposits


122. On Deferred Taxes $1,911.10


123. On Deferred Special Assessments


124. On Sinking Funds


125. On Investment Funds


126. On Public Trust Funds


a. Charity 305.86


b. School


7.34


c. Library 40.20


d. Cemetery (General Care)


e. All Other


40.20


127.


Miscellaneous


42.88


Total Interest $2,347.58 2,347.58


13. MUNICIPAL INDEBTEDNESS


128.


Anticipation Revenue Loans


$300,000.00


129. Other Temporary Loans a. Anticipation Serial Debt


b. Anticipation Reimbursement State and County for Highways, from


c. Anticipation Federal Grant for Outlay


130. Loans, General Purposes


131. Loans, Public Service Enterprises 150,000.00


132. Loans, Cemeteries


133. Loans, Tax Titles


134. Tax Title Loans Renewed


135. Premiums $1,273.50


136. Unpaid Warrants or Orders, Current Year


Total, Municipal Indebtedness $1,273.50


$450,000.00


451,273.50


Total forward


$2,389,144.76


-251-


PAYMENTS


Objects of Payments Total forward


Expenses Indebtedness Total $1,827,112.37


5. INTEREST


120. Anticipation Revenue Loans $1,157.50


121. Other Temporary Loans


122. Loans, Tax Titles


123. Loans, General Purposes 600.00


124. Loans, Public Service Enterprises 1,200.00


125. Loans, Cemeteries


126. Metropolitan Requirements


a. Sewer


b. Park c. Water


127. State or County Assessment


128.


All Other


Total, Interest $2,957.50 2,957.50


6. MUNICIPAL INDEBTEDNESS


129. Anticipation Revenue Loans 300,000.00


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 12,000.00


b. Public Service Enterprises 15,000.00


c. Cemeteries


d. Tax Title Redemptions paid State


133. Tax Title Loans Renewed


134. Metropolitan Debt Requirements


a. Sewer


b. Park c. Water


135. State or County Assessment


136. Warrants or Orders, Previous Years


Total, Municipal Indebtedness $27,000.00 $300,000.00 $327,000.00


Total forward


$2,157,069.87


-252-


RECEIPTS


Sources of Receipts


Total forward


Non-Revenue Total $2,389,144.76


14. SINKING FUNDS


From Commissioners for Loans for __


137. General Purposes


138. Public Service Enterprises


139. Cemeteries


Total, Sinking Funds


15. AGENCY, TRUST AND INVESTMENT


Agency


140. Taxes Collected for Other Civil Divisions


a. County Tax


b. District Taxes Collected


141. Beverage Licenses for the State


142. Dog Licenses for the County $2,570.60


143. All Other Trust


144. Perpetual Care Funds 6,841.50


145. Pension and Retirement Funds


146. Other Public Trust Funds


147. Income for Accumulating Funds


148. Private Trust Funds and Accounts


a. Federal Withholding Taxes 56,280.40


b. Mass. Hospital Service


c. Retirement Fund Deductions


d. Federal Advances for Plans, etc.


e. Tailings 13.10


f. Old Age Recoveries Investment


200.00


149. Sinking Fund Securities


150. Investment Fund Securities 4,125.00


Total, Agency, Trust and Investment


$70,030.60


70,030.60


Total forward


$2,459,175.36


-253-


PAYMENTS


Objects of Payments


Total forward


From From


Revenue


Non-Revenue Total $2,157,069.87


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


140. Taxes Collected for Other Civil Divisions


a. County Tax $64,281.67


b. District Taxes Collected


141. Beverage Licenses for the State


142. Dog Licenses for the County 2,567.60


143. All Other


Trust


144. Perpetual Care Funds 6,841.50


145. Pension and Retirement Funds


146. Other Public Trust Funds


147. Income for Accumulating Funds 3,913.22


148. Private Trust Funds and Accounts


a. Federal Withholding Tax 56,280.40


b. Mass Hospital Service


c. Retirement Fund Deductions


d. Federal Advances for Plans, etc.


e. Tailings 13.10


Investment


149. Sinking Fund Securities


150. Investment Fund Securities 25,304.69


Total, Agency, Trust, and Investment


$159,202.18


159,202.18


Total forward


$2,316,272.05


-254-


RECEIPTS


Sources of Receipts


Temporary Accounts and Cash Balances Total


Total forward


$2.459,175.36


16. REFUNDS


151. Taxes, Current Year a. Taxes. Previous Years


152. Motor Vehicle Excise Taxes


153. Licenses


154. Special Assessments


155. General Departments $2,406.38


156. Public Service Enterprises


157. Cemeteries


158. Accrued Interest


75.00


159. All Other


132.42


Total, Refunds


$2.613.80


2.613.80


17. TRANSFERS


160. Departmental Service Transfers


a. from


b. from


c. from


d. from


e.


from


f.


from


g. from


161. Transfers from Trust Funds a.


b. c.


Total. Transfers


18. BALANCES


162. General


360.253.63


163. Sinking Fund


164. Investment Fund


165. Perpetual Care Fund


166. Pension and Retirement Fund


167. Other Public Trust Fund


168. Private Trust Funds and Accounts


Total Cash, Beginning of Year $360.253.63 360,253.63


Grand Total Receipts and Cash on Hand


$2.822.042.79


-255-


PAYMENTS


Objects of Payments


Total forward


$2,316,272.05


9. REFUNDS


151. Taxes, Current Year


$1,707.40


a. Taxes, Previous Years


152. Motor Vehicle Excise Taxes 1,523.88


153. Licenses


4.00


154. Special Assessments


155. General Departments 2,406.38


156. Public Service Enterprises


157. Cemeteries


158. Accrued Interest


190.59


159. All Other


Total Refunds


$5,832.25


5,832.25


10. TRANSFERS


160. Departmental Service Transfers


a. to


b. to


c. to


d.


to


e.


to


f.


to


g.


to


161.


Transfers from Trust Funds


Total, Transfers


11. BALANCES


162.


General


$499,938.49


163. Sinking Fund


164. Investment Fund


165. Perpetual Care Fund


166. Pension and Retirement Fund


167. Other Public Trust Fund


168.


Private Trust Funds and Accounts


Total Cash, End of Year $499,938.49 499,938.49


Grand Total Payments and Cash on Hand


$2,822,042.79


Temporary Accounts and Cash Balances Total


-256-


SCHEDULE B


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


SPECIAL SURVEY AND COORDINATING COMMITTEE


Balance from 1947 Payments:


$3,142.72


Preparation and Printing of 7500 Booklets and Maps 3,013.62


Balance to E. & D. $129.10


EXPENSES OF COMMITTEE RELATIVE TO PASSENGER SERVICE BETWEEN PLYMOUTH AND BOSTON


Balance from 1947


$200.00


No Payments


Balance Remaining


$200.00


SEWAGE DISPOSAL COMMITTEE


Appropriation, $100.00


Transfer from Reserve


2,500.00


No Payments


Balance Remaining


$2,600.00


WAGE AND SALARY CLASSIFICATION COMMITTEE


Appropriation


$250.00


Payments:


Stationery


$2.25


Questionnaires


28.00


Total Payments $30.25


Balance Remaining


$219.75


$2,600.00


-257-


HARBOR COMMITTEE


Appropriation No Payments


$200.00


Balance Remaining


$200.00


FISH PIER COMMITTEE


Appropriation


$150.00


No Payments


Balance Remaining


$150.00


PLUMBING COMMITTEE


Transfer from Reserve


$8.00


Payments:


Plumbing Codes


$8.00


SELECTMEN'S DEPARTMENT


Appropriation


$6,480.50


Payments:


Chairman


$726.00


Other Selectmen


1,452.00


Clerk


3,115.80


Clerical Assistance


1,184.01


Total Salaries


$6,477.81


Balance to Revenue


$2.69


Appropriation


$1,555.00


Payments:


Stationery Supplies, Postage


$298.70


Advertising


734.75


Travel & Lunches


409.37


Dues


70.00


Total Payments


$1,512.82


Balance to Revenue


$42.18


-258-


ACCOUNTING DEPARTMENT


$4,645.00


Appropriation Payments: Town Accountant


$2,920.00


Clerical Assistance


1,725.00


Total Salaries


$4,645.00


Appropriation


.. :


$500.00


Payments:


Stationery Supplies, Postage


$379.91


Travel Expenses


87.87


Dues


23.00


Total Payments


490.78


Balance to Revenue


$9.22


TREASURY DEPARTMENT


Appropriation


Payments:


Town Treasurer


$2,230.00


Clerical Assistance


1,804.80


Total Salaries


4,034.80


Balance to Revenue


$47.70


Appropriation


$1,242.00


Payments:


Stationery Supplies, Postage


$957.32


Surety Bond


267.00


Travel Expenses, Dues


17.58


Total Payments


1,241.90


Balance to Revenue


$ .10


TAX COLLECTOR'S DEPARTMENT


Appropriation Payments:


$5,030.00


Tax Collector


$3,470.00


Clerical Assistance


1,560.00


Total Salaries


5,030.00


$4,082.50


.


-259-


Appropriation Transfer from Reserve


$1,460:50 115.00


$1,575.50


Payments:


Stationery Supplies, Postage


$1,006.75


Advertising


146.25


Surety Bonds


375.50


Investigation of Warrants


25.00


Travel Expenses, Dues


18.00


Total Payments


1,571.50


Balance to Revenue


$4.00


ASSESSORS' DEPARTMENT


Appropriation


$10,384.00


Transfer from Reserve, Aug.


65.00


Transfer from Reserve, Dec.


25.00


$10,474.00


Payments:


Chairman


$2,871.60


Other Assessors


4,859.20


Assistant Assessors


473.34


Clerical Assistance


1,970.00


Abstracting Deeds


299.60


Total Salaries


10,473.74


Balance to Revenue


$.26


Appropriation


$825.00


Transfer from Reserve


175.00


$1,000.00


Payments:


Stationery Supplies, Postage


$319.05


Assessors' Expenses


622.35


Assistant Assessors' Expenses


45.11


-260-


Care of Machine


7.90


Shovel


2.61


Total Payments


997.02


Balance to Revenue


$2.98


ASSESSORS' PLANS


Appropriation


$2,500.00


Payments:


Engineering Services


$2,500.00


LAW DEPARTMENT


Appropriation


Payments:


Salary of Town Counsel


$100.00


Legal Services


1,500.00


Total Salaries


$1,600.00


Appropriation


$100.00


Payments:


$51.80


Printing Jury Lists


14.50


Total Payments


66.30


Balance to Revenue


$33.70


TOWN CLERK'S DEPARTMENT


Appropriation


Payments:


$2,230.00


Clerical Assistance


1,852.50


Total Salaries


$4,082.50


Appropriation


$313.50


Payments:


Stationery Supplies, Postage


$222.74


Surety Bond


7.50


Travel Expenses


83.26


Total Payments


$313.50


$4,082.50


Town Clerk


Expenses


$1,600.00


-261-


Appropriation for Out-of-State Travel Payments: Travel Expenses


$140.00


$140.00


ENGINEERING DEPARTMENT


Appropriation


$1,600.00


Payments:


$1,200.00


Services of Assistant Engineers


376.00


Total Salaries


1,576.00


Balance to Revenue


$24.00


Appropriation


$275.00


Payments:


Equipment and Supplies


$153.54


Mileage


121.42


Total Payments 274.96


Balance to Revenue


$ .04


CLEFT ROCK


Appropriation


$150.00


Payments:


Engineering Services


$150.00


ELECTION AND REGISTRATION


Appropriation


Transfer from Reserve


$1,700.00 330.00


$2,030.00


Payments:


Registrars


$330.00


Election Officers


327.10


Clerk


100.00


Clerical Assistance


591.00


Listing


473.58


Total Salaries


1,821.68


Balance to Revenue


$208.32


Town Engineer


..


-262-


$1,325.00


Appropriation Payments:


Stationery, Printing, Postage


$586.19


Street Lists


468.88


Meals


138.45


Auto Hire


52.67


Typewriter Repairs


18.50


Rent of Hall


6.00


Total Payments


1,270.69


Balance to Revenue


$54.31


PLANNING BOARD


Appropriation


$100.00


No Payments


Balance to Revenue


$100.00


TOWN HOUSE MAINTENANCE


Appropriation


Payments:


Janitor


$1,293.50


Substitute Janitor


50.00


Total Salaries


$1,343.50


Appropriation


$1,595.00


Transfer from Reserve


146.25


$1,741.25


Payments:


Fuel


$429.45


Light


336.58


Janitor's Supplies


311.94


Repairs


154.16


Equipment and Supplies


28.74


Telephones


381.93


Care of Machines


81.05


"Herald"


17.40


j.


Total Payments


$1,741.25


$1,343.50


-263-


TOWN HOUSE EQUIPMENT


$1,155.00


Appropriation


Payments:


Selectmen's Office-


Duplicator


$59.50


Supplies for Duplicator


22.20


Venetian Blinds


23.04


Treasurer's Office-


Envelope Sealer


98.00


Tax Collector's Office-


Typewriter, less trade-in


126.75


Cabinet and Desk


199.50


Assessors' Office-


Posture Chair


31.53


Typewriter, less trade-in


96.75


Adding Machine and Stand


284.85


Cabinet Bases


18.36


Chair


43.20


Town Clerk's Office-


131.75


Total Payments


1,135.43


Balance to Revenue


$19.57


TOWN HOUSE REPAIRS


Appropriation $350.00


Payments:


Lighting in Selectmen's & Assessors' Offices


$198.55


Alterations in Tax Collector's Office


33.13


Other Repairs


31.45


Total Payments 263.13


Balance to Revenue


$86.87


OLD HIGH SCHOOL MAINTENANCE


Appropriation Transfer from Reserve


$2,050.04


30.00


$2,080.04


Typewriter


-264-


Payments:


Janitor Substitute Janitor (3 weeks)


$1,990.04 90.00


Total Salaries


$2,080.04


Appropriation


$1,500.00


Payments:


Fuel


$853.75


Gas


29.85


Light


252.62


Janitor's Supplies


49.13


Repairs


47.33


Telephone


128.02


Total Payments


1,360.70


Balance to'Revenue


$139.30


TOWN HALL MAINTENANCE


Appropriation


$5,195.84


Payments :


Custodian


$2,809.04


Assistant Custodian


2,386.80


Total Salaries


$5,195.84


Appropriation


$2,900.00


Payments:


Gas


$192.95


Light and Power


824.69


Janitors' Supplies


321.73


Repairs


1,306.68


Telephones


80.11


Tuning Pianos


30.00


Amplifier


53.00


Water Rates


44.47


Total Payments


2,853.63


Balance to Revenue


$46.37


-265-


Appropriation for Fuel Payments:


$2,900.00


Fuel


2,635.07


Balance to Revenue $264.93


TOWN HALL-INSIDE PAINTING


Balance from 1948


$300.00


Payments:


Painting


$300.00


STORAGE SPACE IN TOWN HALL


Balance from 1948


$23.61


Payments:


Wiring


$23.61


TOWN HALL-OUTSIDE BUILDING INSPECTION


Appropriation


$300.00


Payments:


Inspection and Repairs


$300.00


POLICE DEPARTMENT


Appropriation


$66,030.98


Payments:


$4,320.00


Sergeants


9,283.56


Patrolmen


35,815.19


Overtime and Special Officers


10,779.75


Clerk


1,583.55


Janitor


665.50


Pension of Two Men Retired from Dept.


2,620.28


Total Salaries


65,067.83


Balance to Revenue


$963.15


Chief


-266-


Appropriation


$6,550.00


Transfer from Reserve, Aug.


400.00


Transfer from Reserve, Sept.


63.30


Transfer from Reserve, Dec.


495.00


Transfer from Reserve, Dec.


231.17


$7,739.47


Payments:


Transportation-


Auto and Motorcycle Repairs


$1,019.07


Gasoline and Oil


1,573.50


Auto Insurance


187.47


Fire Extinguishers


66.00


$2,846.04


Equipment and Repairs-


Fingerprint File


$107.25


Typewriter, less trade-in


81.83


Storage Cabinets


65.00


Steel File


29.95


Chair


58.40


Other Equipment and Supplies


245.97


Repairs


37.45


Signal System


313.70


Radio


440.12


Photography


294.24


1,673.91


Fuel and Light-


Fuel


$912.41


Gas and Light


273.57


1,185.98


Maintenance of Buildings and Grounds --


Heater Repairs


$153.77


New Oil Burner


495.00


Other Repairs


" " 205.92


Janitor's Supplies


309.15


All Other


10.00


1,173.84


-267-


Other Expenses-


Stationery Supplies, Postage


$285.99


Telephone


406.38


Dues, Travel Expenses


106.90


Lock-Up Expenses


8.65


Taxicab Plates


21.78


Typewriter Repairs


30.00


859.70


Total Payments


$7,739.47


Appropriation for Out-of-State Travel


$150.00


Payments:


Travel Expenses


$150.00


Appropriation for New Car


$850.00


Payments:


1949 Studebaker Sedan, less trade-in


$840.00


Accessories


Total Payments $850.00


FIRE DEPARTMENT


Appropriation


$72,031.62


Transfer from Reserve


485.00


$72,516.62


Payments:


Chief


$4,020.00


Deputy Chief


3,580.20


Regular Firemen


57,863.24


Callmen-Central Station


4,177.10


Callmen-Manomet


1,369.18


Janitor-North Station


133.10


Watchmen


32.00


Pension of One Man Retired from Dept.


646.25


Total Salaries 71,821.07


Balance to Revenue


$695.55


10.00


-268-


Appropriation Transfer from Reserve


$8,250.00


1,422.00


$9,672.00


Payments:


Equipment and Repairs-


Apparatus


$618.84


Fire Alarm


231.12


Radio


237.40


Equipment for Men


228.87


Gas Masks


1,422.00


$2,738.23


Motor Equipment-


Maintenance and Repairs


$365.73


Gasoline and Oil


648.20


1,013.93


Fuel and Light-


Fuel


$1,331.68


Gas and Light


444.08


1,775.76


Maintenance of Buildings and Grounds-


Repairs


$1,027.75


Janitors' Supplies


470.47


Pool Table Supplies


77.30


Floor Polisher


212.85


Radio


15.00


Linoleum Laid


300.00


Dormitory


104.73


2,208.10


Manomet-


Rent of Garage


$300.00


Telephone


468.93


768.93


Other Expenses-


Printing, Stationery, Postage


$121.68


Telephone


298.96


-269-


Travel Expenses, Dues


67.60


Food All Other


90.98


40.53


619.75


Total Payments


9,124.70


Balance to Revenue


$547.30


Appropriation for New Hose


$1,251.00


Payments:


New Hose


1,243.55


Balance to Revenue


$7.45


Appropriation for New Airhorn


$1,500.00


Payments:


1,479.84


Balance to E. & D.


$20.16


Appropriation for New Car


$600.00


Payments:


Chevrolet Sedan, less trade-in


$556.00


Lettering and Accessories


44.00


Total Payments


$600.00


Appropriation for Liability Insurance for Trucks


$977.30


Payments:


Premium


$977.30


Appropriation for New Roof on Central Station Payments:


$400.00


Repairs to Roof, Wall and Penthouse


397.37


Balance to Revenue


$2.63


Appropriation for Out-of-State Travel Payments:


$100.00


Travel Expenses


53.90


Balance to Revenue


$46.10


New Airhorn Installed


-270-


INSPECTION OF BUILDINGS


Appropriation


$600.00


Payments:


Salary of Inspector


$600.00


Appropriation


$250.00


Payments:


Mileage


$120.30


Forms


23.00


Postage


13.98


Total Payments


157.28


Balance to Revenue


$92.72


SEALING OF WEIGHTS AND MEASURES


Appropriation


Payments:


Salary of Sealer


$930.00


Pension of Retired Sealer


970.00


Total Salaries


$1,900.00


Appropriation


$400.00


Payments:


Mileage


$49.20


Equipment and Supplies


121.61


Auto Expense


72.27


Auto Insurance


30.79


Gasoline and Oil


20.80


Travel Expenses


31.99


Total Payments 326.66


Balance to Revenue


$73.34


MOTH SUPPRESSION


Appropriation


$2,017.04


Payments:


Salary of Superintendent


$2,016.64


.


Balance to Revenue


$ .40


$1,900.00




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