Town annual report of Plymouth, MA 1955, Part 8

Author:
Publication date: 1955
Publisher: Town of Plymouth
Number of Pages: 348


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of Plymouth, MA 1955 > Part 8


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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Total forward


$4,005,422.40


-114-


RECEIPTS


Sources of Receipts


Temporary Accounts and Cash Balances Total


Total forward


$3,720,607.58


16. REFUNDS


151. a. Taxes, Current Year


$3,321.00


151. b. Taxes, Previous Years 308.49


152. Motor Vehicle Excise


4,711.32


153. Licenses


88.36


154. Special Assessments


155. General Departments


4,845.12


156. Public Service Enterprises


88.44


157. Cemeteries


15.85


158. Accrued Interest


159. All Other .86


Total, Refunds $13,379.44


13,379.44


17. TRANSFERS


160. Department Service Transfers


a. from


b.


from


c. from


d.


from


e.


from


f.


from


g. from


161. Transfers from Outside Accounts


a.


b.


c.


Total, Transfers


18. BALANCES


162. General


$741,561.82


163. Sinking Fund


164. Public Trust Fund


165. Private Trust Fund


166. Investment Fund


167. Perpetual Care Fund


168. Retirement Fund


Total Cash, Beginning of Year


$741,561.82


741,561.82


Grand Total Receipts and Cash on Hand


$4,475,548.84


-115-


PAYMENTS


Objects of Payments


Temporary Accounts and Cash Balances Total


Total forward


$4,005,422.40


9. REFUNDS


151. a. Taxes, Current Year


$3,321.00


151. b. Taxes, Previous Years


308.49


152. Motor Vehicle Excise


4,711.32


153. Licenses


88.36


154. Special Assessments


155. General Departments


4,845.12


156. Public Service Enterprises


88.44


157. Cemeteries


15.85


158. Accrued Interest


159. All Other .86


Total, Refunds


$13,379.44


13,379.44


10. TRANSFERS


160. Department Service Transfers


a. to


b.


to


C.


to


d.


to


e.


to


f.


to


g.


to


161. Transfers to Outside Accounts a.


b.


c.


Total, Transfers


11. BALANCES


162. General


$456,747.00


163. Sinking Fund


161. Public Trust Fund


165. Private Trust Fund


166. Investment Fund


167. Perpetual Care Fund 168. Retirement Fund


Total Cash, End of Year $456,747.00 456,747.00


Grand Total Payments and Cash on Hand


$4,475,548.84


-116-


SCHEDULE B


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


COMMITTEE TO STUDY PLYMOUTH HARBOR AND WATERFRONT FACILITIES


Balance from 1952 No Payments


$500.00


Balance Remaining $500.00


TOWN RECREATIONAL COMMITTEE


Balance from 1954


$83.25


No Payments


Balance to E. & D. $83.25


COMMITTEE TO STUDY BUILDING BY-LAWS


Appropriation No Payments


$200.00


Balance Remaining $200.00


COMMITTEE TO STUDY PLUMBING BY-LAWS


$100.00


Appropriation Payments :


Advertising By-Laws


$90.00


Paper and stencils


5.00


Total Payments 95.00


Balance Remaining $5.00


COMMITTEE TO STUDY HISTORICAL POINTS OF INTEREST


Appropriation No Payments


$300.00


Balance Remaining $300.00


-117-


COMMITTEE TO STUDY TOWN MANAGER, ETC. Appropriation from E. & D. No Payments


$300.00


Balance Remaining


$300.00


PUBLISHING AND PRINTING BY-LAWS


Balance from 1954


$999.50


Payments:


Printing Building By-Laws


$117.25


Printing Adv. & Finance Committee By-Laws


14.00


Advertising Zoning Amendments


103.50


Printing Zoning By-Laws


47.50


Total Payments 282.25


Balance Remaining


$717.25


PERSONNEL BOARD EXPENSES


Appropriation


$150.00


Transfer from Reserve


9.75


$159.75


Payments:


Salary of Secretary


$100.00


Office Supplies


6.95


Dues and Travel Expenses


52.80


Total Payments


$159.75


SELECTMEN'S DEPARTMENT


Appropriation


$8,273.00


Payments:


$800.00


Other Selectmen


1,600.00


Clerk


3,453.00


Clerical Assistance


313.25


Pension


1,919.12


Total Salaries


8,085.37


Balance to Revenue


$187.63


Appropriation


$2,149.00


Appropriation from E. & D.


400.00


$2,549.00


Chairman


-118-


Payments :


Advertising and Posters


$904.75


Office Supplies


502.37


Telephone


201.32


Travel Expenses


530.98


Dues


70.00


Expenses re: Dogs on Beaches


114.00


Traffic Regulations


50.00


Perambulation


39.82


Care of Machines


24.00


Total Payments


2,437.24


Balance to Revenue


$111.76


SELECTMEN'S DEPARTMENT - OUT-OF-STATE TRAVEL


Transfer from Reserve


$171.95


Payments:


Expenses to Washington, D. C.


$171.95


ACCOUNTING DEPARTMENT


Appropriation


$8,927.00


Payments:


Town Accountant


$4,023.00


Senior Clerk


2,581.00


Junior Clerk


2,008.37


Total Salaries


8,612.37


Balance to Revenue


$314.63


$1,243.50


Appropriation


Payments:


$403.82


Telephone


150.83


Care of Machines


68.25


Dues, Travel Expenses


119.81


New Adding Machine


280.00


New Stand


23.10


Two Metal Tables


163.50


Total Payments


$1,209.31


Balance to Revenue


$34.19


Office Supplies


-119-


TREASURY DEPARTMENT


$5,001.00


Appropriation Payments:


Town Treasurer


$2,678.00


Clerks


2,323.00


Total Salaries


$5,001.00


Appropriation


Payments:


Office Supplies


$582.39


Telephone


130.98


Care of Machines


62.25


Surety Bond


284.00


Dues, Travel Expenses


37.68


Check Protector trade-in


140.00


Stool


23.95


Total Payments


Appropriation for Tax Title Expenses


$10.00


Payments:


$10.00


TAX COLLECTOR'S DEPARTMENT


Appropriation


$7,391.00


Appropriation from E. & D.


255.50


Payments :


Tax Collector


$4,411.00


Clerk


2,240.00


Clerical Assistance


995.50


Total Salaries


$7,646.50


Appropriation


$2,161.75


Appropriation from E. & D.


96.36


$2,258.11


Payments:


Office Supplies


$1,364.27


Advertising


163.75


Care of Machines


50.50


Telephone


129.43


Surety Bonds


512.75


Dues, Travel Expenses


13.00


Total Payments


2,233.70


Balance to Revenue


$24.41


$7,646.50


Advertising


$1,261.25


$1,261.25


-120-


ASSESSORS' DEPARTMENT


Appropriation


$15,693.00


Payments :


Chairman


$4,059.00


Other Assessors


6,900.00


Clerks


4,734.00


Total Salaries


$15,693.00


Appropriation for Mileage and Travel


$300.00


Payments:


Mileage and Travel


299.94


Balance to Revenue


$ .06


Appropriation for Other Expenses


$1,455.00


Payments :


Abstracts


$496.00


Office Supplies


554.23


Telephone


154.38


Care of Machines


37.45


Dues and Expenses


207.87


Total Payments


1,449.93


Balance to Revenue


$5.07


ELECTRIC TYPEWRITERS FOR ASSESSORS' DEPARTMENT


Appropriation


$800.00


Payments :


Two Electric Typewriters, less trade-ins (I.B.M.)


$800.00


CALCULATOR FOR ASSESSORS' DEPARTMENT


Appropriation


$600.00


Payments :


Monroe Calculator


$600.00


ASSESSORS' PLANS


Balance from 1954


$921.19


Appropriation


10,000.00


Payments:


Engineering Services


5,414.20


Balance Remaining


$10,921.19


$5,506.99


-121-


LAW DEPARTMENT


Appropriation


$2,300.00 500.00


Appropriation from E. & D.


$2,800.00


Payments :


Salary of Town Counsel


$100.00


Legal Services


2,700.00


Total Salaries


$2,800.00


Appropriation for Special Counsel for School Department


$750.00


Transfers from Reserve


639.00


$1,389.00


Payments :


Printing Brief


$289.00


Professional Services


1,100.00


Total Payments


$1,389.00


Appropriation


Payments :


Printing Jury Lists


$44.50


Expenses


68.00


Total Payments


112.50


Balance to Revenue


$87.50


TOWN CLERK'S DEPARTMENT


Appropriation


$5,001.00


Appropriation from E. & D.


43.93


Payments:


Town Clerk


$2,678.00


Clerks


2,366.93


Total Salaries


$5,044.93


Appropriation


$375.00


Payments:


Office Supplies


$288.81


Surety Bond


7.50


Dues, Travel Expenses


78.69


Total Payments


$375.00


$200.00


$5,044.93


-122-


ENGINEERING DEPARTMENT


Appropriation


$4.140.00


Payments:


Town Engineer


$1,500.00


Assistants


2,430.00


Peck Avenue Layout


100.00


Clerical Assistance


101.63


Total Salaries


4,131.63


Balance to Revenue


$8.37


Appropriation


$710.00


Payments:


Office Supplies


$53.97


Equipment and Supplies


383.47


Mileage


226.72


All Other


11.75


Total Payments


680.91


Balance to Revenue


$29.09


ELECTION AND REGISTRATION


Appropriation


$3,104.90


Payments:


Registrars


$330.00


Clerk


100.00


Election Officers, Janitors


936.75


Clerical Assistance


330.00


Listers


973.89


Total Salaries


2,720.64


Balance to Revenue


$383.35


Appropriation


$1.701.00


Payments :


Office Supplies


$370.72


Street Lists


629.50


Meals


373.00


Listers' Expenses


115.08


Rent of Hall


6.00


Total Payments


1,494.30


Balance to Revenue


$206.70


-123-


PLANNING BOARD


Appropriation


$4,050.00


Payments:


Salary of Secretary


$250.00


Advertising


77.50


Office Supplies


153.40


Engineering Services on Map


3,000.00


Reproductions of Map


164.00


Dues


20.00


Telephone Tolls


1.25


Total Payments


3,666.15


Balance to Revenue


$383.85


TOWN HOUSE MAINTENANCE


Appropriation


$1,428.50


Payments:


Janitor


$1,428.50


Appropriation


$300.00


Transfer from Reserve


75.00


Payments:


Fuel


$209.58


Light


72.49


Janitors' Supplies


1.76


Repairs


23.97


Total Payments 307.80


Balance to Revenue


$67.20


TOWN OFFICE BUILDING MAINTENANCE


Appropriation


$6,013.00


Payments :


$5,833.00


Vacation Janitors


180.00


Total Salaries


$6,013.00


Appropriation for Fuel


$2,200.00


Payments :


Fuel


1,704.29


Balance to Revenue


$495.71


Janitors


$375.00


-124-


Appropriation


$2,259.00


Payments :


Gas


$167.32


Light


1,159.23


Janitors' Supplies


409.56


Repairs


469.75


Flag


15.00


Total Payments


2,220.86


Balance to Revenue


$38.14


MEMORIAL BUILDING MAINTENANCE


Appropriation


$6,381.00


Payments :


Custodian


$3,405.00


Assistant Custodian


2,976.00


Total Salaries


$6,381.00


Appropriation for Fuel


$2,000.00


Appropriation from E. & D.


1,000.00


$3,000.00


Payments:


Fuel


2,953.57


Balance to Revenue


$46.43


Appropriation


$2,320.00


Appropriation from E. & D.


200.00


Transfer from Reserve


406.90


$2,926.90


Payments:


Gas


$64.87


Light and Power


965.37


Janitors' Supplies


134.58


Telephone


147.81


Repairs


1,347.66


State and National Flags


97.30


All Other


94.00


Total Payments


2,851.59


Balance to Revenue


$75.31


-125-


MEMORIAL BUILDING - NEW FLOOR LARGE HALL Balance from 1952 No Payments


$7,000.00


Balance Remaining


$7,000.00


MEMORIAL BUILDING - LARGE HALL REPAIRS


Appropriation


$1,494.00


Payments:


Painting


$800.00


Masonry


152.00


Carpentry


504.44


Total Payments 1,456.44


Balance to Revenue


$37.56


MEMORIAL BUILDING - OUTSIDE PAINTING


Appropriation $2,210.00


Payments:


Advertising for Bids


$7.50


Contract


2,150.00


Total Payments 2,157.50


Balance to Revenue


$52.50


MEMORIAL BUILDING - SEAT REPLACEMENTS


Appropriation


$1,859.00 63.65


Transfer from Reserve


$1,922.65


Payments:


Advertising for Bids


$8.75


Seats


1,913.90


Total Payments $1,922.65


POLICE DEPARTMENT - SALARIES


Appropriation


$92,769.00


Payments:


Chief


$5,390.00


Sergeants


11,712.00


Patrolmen


54,630.47


-- 126-


Specials and Overtime


10,500.04


Policewomen


1,422.93


Clerk Janitor


2,547.00


737.84


Total Salaries


86,940.28


Balance to Revenue


$5,828.72


POLICE DEPARTMENT - PENSIONS


Appropriation


$7,415.00


Payments:


Pensions for Three Men Retired from Department


5,830.05


Balance to Revenue


$1,584.95


POLICE DEPARTMENT - EQUIPMENT


Appropriation


$4,700.00


Appropriation from E. & D.


204.00


Transfers from Reserve


380.00


Payments:


Transportation-


Auto Maint. and Repairs


$1,245.86


Gasoline and Oil


2,357.27


Auto Insurance


459.21


Equipment and Repairs-


New Equipment and Supplies


$858.87


Repairs


2.75


Signal System


16.95


Radio


149.35


Photography


148.11


1,176.03


Total Payments 5,238.37


Balance to Revenue


$45.63


POLICE DEPARTMENT - GENERATOR


Appropriation Payments : 1/2 cost of Generator Installed


$950.00


539.41


Balance Remaining


$410.59


$5,284.00


$4,062.34


-127-


POLICE DEPARTMENT - TELETYPE


Appropriation


$400.00


Payments:


Installation


$15.00


Monthly Rates


99.17


Rolls and Ribbons


80.91


Total Payments 195.08


Balance to Revenue $204.92


UTILITY SEDAN FOR POLICE DEPARTMENT


Appropriation


$1,600.00


Paymerts:


1955 Ford, less 1952 Chevrolet trade-in


$1,600.00


POLICE CRUISER


Appropriation


Payments:


$1,500.00


RADIO FOR POLICE DEPARTMENT


Appropriation


$950.00


Payments: G.E. Radio Installed


$950.00


FUND FOR POLICE UNIFORMS


Appropriation $1,200.00


Payments:


Police Uniforms


1,098.75


Balance Remaining $101.25


POLICE DEPARTMENT - FUEL AND LIGHT


Appropriation


$1,300.00


Payments:


$986.23


Gas and Light


280.52


Fuel


Total Payments 1,266.75


Balance to Revenue $33.25


$1,500.00


1955 Ford, less 1953 Ford trade-in


-128-


POLICE DEPARTMENT - MAINTENANCE OF BUILDINGS AND GROUNDS


Appropriation


$675.00


Payments:


Repairs


$223.61


Janitor's Supplies


194.86


New Polisher


120.00


Total Payments


538.47


Balance to Revenue


$136.53


POLICE DEPARTMENT - OTHER EXPENSES


Appropriation


$1,066.00


Appropriation from E. & D.


100.00


Transfer from Reserve


250.00


$1,416.00


Payments:


$370.10


Telephone


542.98


Travel Expenses, Dues


137.25


Care of Machines


23.25


Food for Men


33.50


Medical and Hospital Expenses-Winter Injury


143.59


Signs


41.48


Lease of Station


1.00


Commitment and Lock-Up Expenses


13.90


Total Payments 1,307.05


Balance to Revenue


$108.95


POLICE DEPARTMENT - OUT-OF-STATE TRAVEL


Appropriation


$150.00


Payments :


Expenses to Meetings


101.01


Balance to Revenue


$48.99


POLICE DEPARTMENT - POLICE SCHOOL


Appropriation Payments:


$400.00


Expenses for Two Officers


200.00


Balance to Revenue $200.00


Office Supplies


-129-


FIRE DEPARTMENT - SALARIES


Appropriation


$105,595.00


Payments:


Chief


$5,390.00


Deputy Chief


3,152.12


Regular Firefighters


85,955.29


Overtime


636.71


Callmen-Central Station


4,755.67


Callmen-Manomet


1,485.00


Janitor-North Station


190.00


Watchmen


17.82


Pension to One Man Retired from Department


1,634.67


Total Salaries 103,217.28


Balance to Revenue


$2,377.72


FIRE DEPARTMENT - EQUIPMENT


Appropriation


$3,500.00


Payments:


Equipment and Repairs-


Apparatus


$633.98


Fire Alarm


685.88


Radio


122.52


Equipment for Men


244.25


$1,686.63


Motor Equipment-


Maintenance & Repairs


$779.90


Gasoline and Oil


752.60


1,532.50


Total Payments 3,219.13


Balance to Revenue $280.87


INSURANCE ON FIRE TRUCKS


Appropriation


$1,100.00


Transfer from Reserve


250.25


$1,350.25


Payments:


Premium $1,350.25


-130-


SWITCHBOARD AT FIRE STATION


$10,200.00


Appropriation Payments:


Contract for Switchboard


$9,363.00


Desk and Chair


182.48


Materials and Wiring


210.03


Total Payments 9,755.51


Balance to Revenue


$444.49


NEW HOSE FOR FIRE DEPARTMENT


Appropriation


Payments :


550' - 21/2" Hose


$825.00


NEW PUMPING ENGINE


Appropriation $12,900.00


Payments:


Maxim X-50 on Diamond T Chassis,


less trade-in


$12,743.00


Scott Air Pack


150.00


Total Payments 12,893.00


Balance to Revenue


$7.00


FIRE DEPARTMENT - FUEL AND LIGHT


Appropriation


$2,100.00


Transfer from Reserve


76.03


$2,176.03


Payments:


Fuel


$1,656.89


Gas and Light


519.14


Total Payments


$2,176.03


FIRE DEPARTMENT - MAINTENANCE OF BUILDINGS AND GROUNDS


Appropriation Payments:


$1,100.00


Repairs


$562.95


Janitors' Supplies


280.62


Dormitory


138.39


Total Payments


981.96


Balance to Revenue


$118.01


$825.00


-131-


FIRE DEPARTMENT - OTHER EXPENSES


Appropriation


$2,180.00


Payments:


Office Supplies


$147.46


Telephone


511.54


Travel Expenses, Dues


59.20


Food for Men


91.63


Insurance for Men Manomet-


$300.00


Telephone


570.98


870.98


All Other


62.80


Total Payments


2,096.86


Balance to Revenue $83.14


FIRE DEPARTMENT - 1954 UNPAID BILL


Appropriation


$47.47


Telephone


$47.47


FIRE DEPARTMENT - OUT-OF-STATE TRAVEL


Appropriation Payments:


Expenses to New Hampshire re: Switchboard $27.49


Expenses to Convention 15.40


Total Payments 42.89


Balance to Revenue $57.11


INSPECTION OF BUILDINGS


Appropriation


$3,974.00


Payments:


Salary of Inspector


$3,974.00


Appropriation


$825.00


Payments:


Office Supplies


$90.48


Mileage


605.44


Dues, Travel Expenses


20.50


Tools and Stool


41.20


Total Payments


757.62


Balance to Revenue


$67.38


353.25


Rent of Garage


Payments:


$100.00


-132-


BOARD OF APPEALS


Appropriation Payments: Salary of Secretary Office Supplies


$350.00


$200.00


94.52


Total Payments


294.52


Balance to Revenue


$55.48


SEALING OF WEIGHTS AND MEASURES


Appropriation


$2,136.00


Payments:


Salary of Sealer


$966.00


Pension of Retired Sealer


1,170.00


Total Salaries


$2,136.00


Appropriation Payments:


$400.00


Equipment and Supplies


$32.73


Auto Maintenance


133.75


Gasoline and Oil


146.08


Auto Insurance


43.19


Dues, Travel Expenses


35.60


Total Payments


391.35


Balance to Revenue


$8.65


INSECT PEST CONTROL


Appropriation


$2,388.00


Payments:


Salary of Superintendent


$2,388.00


Appropriation


$6,135.00


Payments:


Labor


$3,129.60


Insecticides


743.28


Equipment and Supplies


261.91


Auto and Sprayer Expense


571.70


Gasoline and Oil


279.83


Telephone


175.43


Office Repairs


165.87


All Other


39.50


Total Payments


5,367.12


Balance to Revenue


$767.88


-133-


CONTROL OF DUTCH ELM DISEASE


Balance from 1954


$1,067.50 800.00


Appropriation


$1,867.50


Payments:


Tree Work


$240.00


Insecticides


682.00


Total Payments 922.00


Balance Remaining


$945.50


TREE WARDEN'S DEPARTMENT


Appropriation


$1,882.00


Payments:


Salary of Tree Warden


$1,882.00


Appropriation Payments:


$7,530.00


Labor


$4,099.00


Trees, Tree Work


1,781.52


Insecticides


542.97


Equipment and Supplies


380.24


Auto and Sprayer Expense


422.71


Gasoline and Oil


174.69


Telephone


94.33


Dues, Travel Expenses


27.00


Total Payments


7.522.46


Balance to Revenue


$7.54


FOREST FIRE PAYROLLS


Appropriation


$2,100.00


Transfer from Reserve


2,500.00


Appropriation from E. & D.


300.00


Payments:


Firefighters


$4,430.56


Truck Hire


152.63


Total Payments


4,583.19


Balance to Revenue


$16.81


Balance to E. & D.


300.00


$4,900.00


$316.81


-134-


FOREST WARDEN'S DEPARTMENT


Appropriation Transfer from Reserve


$1,625.00 315.00


$1,940.00


Payments:


Equipment and Supplies -


Motor App. Maint. and Repairs


$723.28


Dungarees and Coveralls


85.05


Pump


178.20


650'-11/8" Hose


315.00


Gasoline and Oil


435.99


Radio


95.68


Supplies


83.19


$1,916.39


Other Expenses


Food for Men


$7.44


Travel Expenses


3.00


10.44


Total Payments 1,926.83


Balance to Revenue


$13.17


INSURANCE ON FOREST FIRE TRUCKS


Appropriation


$800.00


Transfer from Reserve


46.07


Payments:


Premium


$846.07


NEW TRUCK FOR FOREST FIRE DEPARTMENT


Appropriation


$3,600.00


Payments:


1955 Dodge, less trade-in


$2,850.00


2-way Radio Installed


475.00


Extras


267.71


Total Payments 3,592.71


Balance to Revenue


$7.29


$846.07


-135-


SOUTH STREET STATION MAINTENANCE


Appropriation for Fuel


$275.00


Payments:


Fuel


$275.00


Appropriation for Other Expenses


$300.00


Payments:


Light


$41.93


Repairs


85.30


Telephone


.67


Total Payments $127.93


Balance to Revenue $372.07


JOINT SHELLFISH PROJECT NO. 4733


Balance from 1947


$672.03


No Payments


Balance Remaining


$672.03


INLAND FISHERIES


Appropriation


$300.00


Transfer from Reserve


1.50


Payments:


1,500 Yellow Perch


$300.00


Telephone Toll


1.50


Total Payments $301.50


WATERFRONT PROTECTION AT WARREN'S COVE (To be matched before expended)


Balance from 1954


$2,000.00


Appropriation from E. & D.


2,000.00


No Payments


Balance Remaining


$4,000.00


WATERFRONT PROTECTION AT MANOMET AVENUE


(To be matched before expended)


Balance from 1954


$1,500.00


Appropriation 1,500.00


$3,000.00


Payments : Town's Share of Expense $3,000.00


$301.50


$4,000.00


-136-


WATERFRONT PROTECTION AT LONG BEACH


Balance from 1954 Payments :


$500.00


Labor


$77.20


Materials


197.84


Total Payments


$275.04


Balance Remaining


$224.96


DOG OFFICER


Appropriation


$1,365.00


Reimbursements from County


693.00


$2,058.00


Payments:


Salary of Dog Officer


$1,365.00


Care and Custody of Dogs


693.00


Total Salaries


$2,058.00


Appropriation for Mileage


$700.00


Payments:


696.80


Balance to Revenue


$3.20


Appropriation for Other Expenses


Payments:


Office Supplies


$41.91


Advertising


33.75


Pound Maintenance


51.38


Signs


18.00


Car Plate


2.50


Total Payments 147.54


Balance to Revenue


$2.46


DOG OFFICER - 1954 UNPAID BILL


Appropriation


$29.36


Payments:


$29.36


CIVIL DEFENSE


Balance from 1954


$1,023.87


Appropriation from E. & D. 250.00


$1,273.87


Mileage


$150.00


Mileage


-137-


Payments:


Alterations to Quarters-Town Office Building


$315.66


Carpentry and Wiring at Police Station 198.43


Generator and Chain Saw 534.00


Telephone - Radio Center 47.00


Office Supplies


26.64


Observation Tower Maintenance


61.60


Identification Supplies


77.75


Total Payments


1,261.08


Balance Remaining $12.79


OBSERVATION TOWER IMPROVEMENTS


Appropriation


$500.00


Payments :


Carpentry


$388.00


Heater Installed


74.75


Total Payments


462.75


Balance to Revenue


$37.25


RADIO EQUIPMENT FOR CIVIL DEFENSE


Appropriation


$757.00


Appropriation from E. & D.


461.00


Payments:


Radio Equipment


1,131.56


Balance Remaining


$86.44


PUBLIC SAFETY COMMISSION


Appropriation


$1,820.00


Payments:


Salary of Clerk


1,629.81


Balance to Revenue


$190.19


Appropriation Payments :


$475.00


Office Supplies


$290.87


Stand


31.05


Used Typewriter


59.75


File and Cards


60.45


Travel Expenses


6.22


Total Payments


448.34


Balance to Revenue


$26.66


$1,218.00


-138-


PLYMOUTH COUNTY AID TO AGRICULTURE


Appropriation


Payments:


To Trustees to County Aid to Agriculture $150.00


HEALTH DEPARTMENT - SALARIES


Appropriation


$11,354.00


Payments:


Burial Agent


$70.75


Cierk


3,093.00


Clerical Assistance


335.00


Sanitary Inspector


3,110.00


Plumbing Inspectors' Fees


2,304.00


Physicians


660.00


Dentists


838.00


Animal-Slaughter Inspector's Fees


373.00


Milk Technician


393.00


Total Salaries 11,279.75


Balance to Revenue


$84.25


HEALTH DEPARTMENT - GENERAL ADMINISTRATION


Appropriation


$350.00


Payments:


Telephone


$423.15


Office Supplies


236.46


File and Posture Chair


123.93


Travel Expenses


14.15


All Other


17.72


Total Payments


815.41


Balance to Revenue


$34.59


HEALTH DEPARTMENT - QUARANTINE AND CONTAGION


Appropriation


$3,150.00


Appropriation from E. & D.


1,000.00


$4,150.00


Payments :


Jordan Hospital Agreement


$2,300.00


Jordan Hospital, Reimb.


Other Hospital Expenses


412.00


$150.00


-139-


Medical Supplies All Other


250.09


54.50


Total Payments


3,016.59


Balance to Revenue


$133.41


Balance to E. & D.


1,000.00


$1,133.41


HEALTH DEPARTMENT - TUBERCULOSIS


Appropriation


$7,400.00


Payments:


Board and Care


$5,982.00


All Other


440.62


Total Payments 6,422.62


Balance to Revenue


$977.38


HEALTH DEPARTMENT - PREMATURE BIRTHS


Appropriation


$500.00


Payments:


Hospitals - Premature Infants


399.00


Balance to Revenue


$101.00


HEALTH DEPARTMENT - OTHER EXPENSES


Appropriation


$800.00


Transfer from Reserve


1.66


Payments:


Vital Statistics


Births


$139.25


Deaths


87.00


$226.25


Inspection -


Plumbing Inspectors' Mileage


$436.72


Sanitary Inspector's Expenses


68.86


Plumbing and Animal Inspector Expenses 11.75


Dental Clinic Supplies


58.08


575.41


$801.66


Total Payments $801.66


-140-


SCHOOL DEPARTMENT - MEDICAL INSPECTION


Appropriation


$1,300.00


Payments:


Nurse's Car Maintenance


$281.24


Auto Insurance


59.13


Garage Rent


60.00


Medical Supplies


158.05


Rent of Dental Clinic


480.00


Dental Clinic Supplies


261.57


Total Payments


1,299.99


Balance to Revenue


.01


SEWERS


Appropriation


$6,855.00


Payments:


Labor


$6,172.55


Materials


466.83


Equipment


215.62


Total Payments


$6,855.00


SEWER CONSTRUCTION - ALDEN STREET EXTENSION Balance from 1954


$1,132.65


Payments:


Labor


$421.65


Materials


477.25


Equipment Hire


233.75


Total Payments


$1,132.65


SEWER CONSTRUCTION - WEST STREET AND WESTERLY ROAD


Appropriation


$1,710.00


Payments:


Labor


$628.20


Materials


553.80


Equipment Hire


528.00


Total Payments


$1,710.00


-141-


DRAINAGE


Balance from 1954 Payments: Labor Materials


$309.71


$164.40


129.95


Total Payments


294.35


Balance to E. & D.


$15.36


TAYLOR AVENUE DRAINAGE


Balance from 1954


$507.28


Appropriation


6,855.00


$7,362.28


Payments:


Labor


$1,131.60


Equipment Hire


994.00


Materials


4,912.46


Total Payments 7,038.06


Balance Remaining


$324.22


EXPENSES OF ACQUIRING AND RECORDING DRAINAGE EASEMENT ON TAYLOR AVENUE


Appropriation


$50.00


Payments:


Preparing and Recording Easement


$50.00


DRAINAGE AT OLMSTED TERRACE


Appropriation


Payments:


$396.00


Materials


84.00


Total Payments $480.00


DRAINAGE AT COLD SPRING


Appropriation


$500.00


Payments:


$409.60


Materials


90.40


$480.00


Labor


Labor


Total Payments $500.00


-142-


DYER'S POND DRAINAGE-PROPERTY DAMAGES AND TITLE Balance from 1954 $214.15 No Payments


Balance Remaining $214.15


PURCHASE OF LAND FOR WHITE HORSE ROAD DRAINAGE Appropriation $1.00


Payments:


Payment in Full for Land


$1.00


WHITE HORSE ROAD DRAINAGE


Appropriation


$1,360.00


Payments:


Labor


$713.43


Materials


513.57


Equipment Hire


133.00


Total Payments


$1,360.00


DRAINAGE AT HEDGE ROAD


Appropriation from E. & D.


$500.00


Payments:


464.00


Balance to E. & D.


$36.00


PUBLIC DUMPS - SALARIES


Appropriation


Payments:


Caretaker - South Pond Road


$3,076.00


Caretaker - Manomet


1,785.00


Pension


1,698.00


Total Salaries


6,559.00


Balance to Revenue


$274.00


MANOMET DUMP MAINTENANCE


Appropriation


$2,135.00


Payments:


Bulldozing


$1,644.00


Equipment Hire


185.00


Signs


66.23


Contract Work


$6,833.00


-143-


Supplies and Repairs Telephone


108.37


38.50


Total Payments 2,042.10


Balance to Revenue


$92.90


OTHER DUMP MAINTENANCE


Appropriation


$1,875.00


Payments:


Grader and Bulldozer Hire


$303.90


Signs


44.50


Pump Repairs


223.70


Telephone


95.71


Light and Power


45.56


Spray


156.00


Tools and Supplies


13.21


Total Payments 882.58


Balance to Revenue


$992.42


BEAVER DAM ROAD - TITLE EXPENSES


Balance from 1954


$200.00


Payments:


Legal Expenses


$200.00


CONSTRUCTION OF BEAVER DAM ROAD DUMP


Balance from 1954


$6,428.10


Payments:


Bulldozing


$1,000.00


Pump House


908.74


Well


2,061.50


Fence and Gate Erected


245.00


Pump


1,365.00


Telephone Installation


411.98


Signs


130.00


Cleaning up Debris


70.00


Advertising


16.25


Total Payments 6,208.47


Balance to E. & D.


$219.63


-144-


CEDARVILLE DUMP SITE - PURCHASE AND CONSTRUCTION


$600.00


Appropriation Payments:


Title Expenses


$80.50


Preparation of Dump


132.00


Total Payments


212.50


Balance Remaining


$387.50


GARBAGE COLLECTION


Appropriation


$30,390.00


Payments:


Labor


$18,772.00


Pension


1,647.71


Truck Maintenance


410.30


Gasoline and Oil


570.10


Truck Insurance


110.52


Rent of Garage


300.00


Garbage Cans


78.84


Garbage Disposal Contract


2,500.00


Manomet Collection Contract


5,000.00


All Other


90.50


Total Payments


29,479.97


Balance to Revenue


$910.03


STREET CLEANING


Appropriation


$2,574.00


Payments:


Labor


$1,999.55


Broom Core Refills


201.00


Broom Wire


170.19


Other Repairs


203.26


Total Payments


$2,574.00


PUBLIC SANITARIES


Appropriation


Payments:


Town House -


Matron


$1,348.20


Vacation Matron


60.00


$4,100.00


$1,408.20


-145-


State Pier - Caretaker


$1,428.50




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