USA > Massachusetts > Essex County > Saugus > Town annual report of Saugus 1938 > Part 25
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Commercial Revenue
1,354,936.61
Refunds
2,548.39
Transfers
32,166.99
Total Receipts and
Transfers
2,161,007.89
Expenditures:
General Government
$62,597.52
Protection of Persons and Property
102,140.81
Health and Sanitation
135,862.51
Highways and Bridges
78,951.47
Charities and Soldiers' Benefts
152,851.30
Education and Libraries
238,399.10
Recreation and Unclassified
97,724.63
Enterprise and Cemeteries
64,165,97
Agency and Trust
95,565.06
Interest and Maturing Debt Refunds
585,097.34
Transfers
32,166.99
Total Expenditures and
Transfers
$1,647,888.44
Cash on Hand, December 31, 1938
$513,119.45
Outstanding Bonds, Dec. 31, 1938
1914 Water Loan Coupon Bonds, Issued Under Chapter 133, Acts of 1911 Payable at First National Bank of Boston, Mass.
No. 25. Due May 1, 1939, at 41/2 per cent
$1,000.00
No. 26. Due May 1, 1940, at 41/2 per cent
1,000.00
No. 27. Due May 1, 1941, at 41/2 per cent
1,000.00
No. 28. Due May 1, 1942, at 41/2 per cent
1,000.00
$4,000.00
$1,647,888.44
513,119.45
2,365.74
220
TOWN DOCUMENTS
[Dec. 31
1937 Water Loan Bonds, Issued on April 15, 1937 Payable at National Shawmut Bank of Boston, Mass.
No. 2. Due April 15, 1939, at 214 per cent $8,000.00
No. 3. Due April 15, 1940, at 214 per cent 8,000.00
No. 4. Due April 15, 1941, at 214 per cent
8,000.00
No. 5. Due April 15, 1942, at 214 per cent 8,000.00
$32,000.00
1922 Schoolhouse Loan Bonds Payable at First National Bank of Boston, Mass.
No. 17. Due May 1, 1939, at 4 per cent
$2,500.00
No. 18. Due May 1, 1940, at 4 per cent
2,500.00
No. 19. Due May 1, 1941, at 4 per cent 2,500.00
No. 20.
Due May 1, 1942, at 4 per cent 2,500.00
$10,000.00
1925 Schoolhouse Loan Bonds Payable at First National Bank of Boston, Mass.
No. 14. Due May 1, 1939, at 4 per cent
5,000.00
No. 15. Due May 1, 1940, at 4 per cent 5,000.00
$10,000.00
1932 Schoolhouse Loan Bonds
Payable at National Shawmut Bank of Boston, Mass.
No. 7. Due October 1, 1939, at 334 per cent $10,000.00
No. 8.
Due October 1, 1940, at 334 per cent 10,000.00
No. 9. Due October 1, 1941, at 334 per cent 10,000.00
No. 10.
Due October 1, 1942, at 334 per cent 10,000.00
$40,000.00 --
1935 Public Welfare Loan Bonds Payable at National Shawmut Bank of Boston, Mass.
Nos. 28-36. Due October 1, 1939, at 134 per cent $9,000.00
Nos. 37-45. Due October 1, 1940, at 134 per cent 9,000.00
$18,000.00
1936 Public Welfare Loan Bonds Payable at National Shawmut Bank of Boston, Mass.
No. 3. Due October 1, 1939, at 114 per cent $5,000.00
No. 4. Due October 1, 1940, at 114 per cent 5,000.00
No. 5. Due October 1, 1941, at 114 per cent. 5,000.00
$15,000.00
1938 Municipal Relief Loan Bonds, Issued under Chapter 58, Acts of 1938, August 1, 1938
Payable at National Shawmut Bank of Boston, Mass.
Nos. 562-566. Due August 1, 1939 at 114 per cent $5,000.00
Registered and Payable to Commonwealth of Massachusetts
Nos. 567-571. Due August 1, 1940, at 114 per cent 5,000.00
Nos. 572-576. Due August 1, 1941, at 114 per cent 5,000.00
Nos. 577-581. Due August 1, 1942, at 114 per cent 5,000.00
$20,000.00
1938]
1938 Municipal Relief Loan Notes, Issue Under Chapter 58, Acts of 1938, November 15, 1938 Payable at National Shawmut Bank of Boston, Mass.
Nos. 584-585. Due November 15, 1939, at 21/4 per cent
$2,000.00
Nos. 586-587.
Due November 15, 1940, at 21/4 per cent
2,000.00
Nos. 588-589.
Due November 15, 1941, at 21/4 per cent
2,000.00
Nos. 590-591. Due November 15, 1942, at 214 per cent
2,000.00
Nos. 592-593. Due November 15, 1943, at 214 per cent
2,000.00
No. 594. Due November 15, 1944, at 214 per cent
1,000.00
No. 595. Due November 15, 1945, at 214 per cent
1,000.00
No. 596.
Due November 15, 1946, at 21/4 per cent
1,000.00
No. 597. Due November 15, 1947, at 214 per cent
1,000.00
No. 598.
Due November 15, 1948, at 214 per cent
1,000.00
$15,000.00
1934 Fire and Police Station Loan Bonds, Issued December 1, 1934 Payable at National Shawmut Bank of Boston, Mass. The following Bonds are registered and payable to the Commonwealth of Massachusetts: Nos. 31 to 56 inclusive, and Nos. 59 to 62 inclusive.
Nos. 21-25. Due December 1, 1939, at 31/4
per cent
$5,000.00
Nos. 26-30.
Due December 1, 1940, at 314
per cent
5,000.00
Nos. 31-35.
Due December 1, 1941, at 314 per cent
5,000.00
Nos. 36-40.
Due December 1, 1942, at 31/4 per cent 5,000.00
Nos. 41-45.
Due December 1, 1943, at 31/4
per cent
5,000.00
Nos. 46-50.
Due December 1, 1944, at 314 per cent
5,000.00
Nos. 51-53.
Due December 1, 1945, at
31/4 per cent
3,000.00
Nos. 54-56.
Due December 1, 1946, at 31/4
per cent
3,000.00
Nos. 57-59. Due December 1, 1947, at 31/4 per cent
3,000.00
Nos. 60-62.
Due December 1, 1948, at 31/4
per cent
3,000.00
Nos. 63-65.
Due December 1, 1949, at 314
per cent
3,000.00
Nos. 66-68.
Due December 1, 1950, at
31/4
per cent
3,000.00
Nos. 69-71.
Due December 1, 1951, at 31/4
per cent
3,000.00
Nos. 72-74.
Due December 1, 1952, at 314
per cent
3,000.00
Nos. 75-77.
Due December 1, 1953, at 31/4
per cent
3,000.00
Nos. 78-80.
Due December 1, 1954, at 31/4
per cent
3,000.00
$60,000.00
1938 Sewer Loan Bonds, Issued May 1, 1938 (W. P. A. Project No. 16218-Saugus, Mass.) Payable at National Shawmut Bank of Boston, Mass.
Nos. 1-6. Due May 1, 1939, at 234 per cent
$6,000.00
Nos. 7-12.
Due May 1, 1940, at 234
per cent
6,000.00
Nos. 13-18.
Due May 1, 1941, at 234 per cent
6,000.00
Nos. 19-24.
Due May 1, 1942, at 234 per cent 6.000.00
Nos. 25-30.
Due May 1, 1943, at 23/4
per cent
6,000.00
Nos. 31-36.
Due May 1, 1944, at 234
per cent
6,000.00
Nos. 37-42.
Due May 1, 1945, at 23/4
per cent
6,000.00
Nos. 43-48. Due May 1, 1946, at 2 3/4
per cent
6,000.00
Nos. 49-54.
Due May 1, 1947, at 23/4
per cent
6,000.00
Nos. 55-60.
Due May 1, 1948, at 234
per cent
6,000.00
Nos. 61-66.
Due May 1, 1949, at 23/4
per cent
6,000.00
Nos. 67-71.
Due May 1, 1950, at 234
per cent
5,000.00
Nos. 72-76.
Due May 1, 1951, at 234
per cent
5,000.00
Nos. 77-81.
Due May 1, 1952, at 234
per cent
5,000.00
Nos. 82-86.
Due May 1, 1953, at 234 per cent
5,000.00
Nos. 87-91.
Due May 1, 1954, at 23/4
per cent
5,000.00
Nos. 92-96.
Due May 1, 1955, at 234 per cent
5,000.00
TOWN ACCOUNTANT'S REPORT
221
222
TOWN DOCUMENTS
[Dec. 31
Nos. 97-101. Due May 1, 1956, at 234 per cent
5,000.00
Nos. 102-106. Due May 1, 1957, at 234 per cent
5,000.00·
Nos. 107-111.
Due May 1, 1958, at 234 per cent
5,000.00.
Nos. 112-116. Due May 1, 1959, at 234 per cent
5,000.00
Nos. 117-121.
Due May 1, 1960, at 234 per cent
5,000.00
Nos. 122-126. Due May 1, 1961, at 234 per cent
5,000.00
Nos. 127-131. Due May 1, 1962, at 234 per cent
5,000.00.
Nos. 132-136.
Due May 1, 1963, at 234 per cent
5,000.00
$136,000.00
1938 Sewer Loan Bonds Issued September 1, 1938 (P. W. A. Docket No. 1422F) Payable at First National Bank of Boston, Mass.
Nos. 1-12. Due September 1, 1939, at 234 per cent.
$12,000.00
Nos. 13-24.
Due September 1, 1940, at 234 per cent.
12,000.00
Nos. 25-36.
Due September 1, 1941, at 234 per cent
12,000.00
Nos. 37-48.
Due September 1, 1942, at 234 per cent
12,000.00-
Nos. 49-60. Due September 1, 1943, at 234 per cent.
12,000.00
Registered and Payable to Commonwealth of Massachusetts
Nos. 61-72.
Due September 1, 1944, at 234 per cent.
12,000.00
Nos. 73-84.
Due September 1, 1945, at 234 per cent.
12,000.00
Nos. 85-96.
Due September 1, 1946, at 234 per cent.
12,000.00
Nos. 97-108.
Due September 1, 1947, at 234 per cent.
12,000.00
Nos. 109-120.
Due September 1, 1948, at 234 per cent.
12,000.00
Nos. 121-132. Due September 1, 1949, at 234 per cent.
12,000.00
Payable at First National Bank of Boston, Mass.
Nos. 133-144.
Due September 1, 1950, at 234 per cent.
12,000.00
Nos. 145-156.
Due September 1, 1951, at 234 per cent
12,000.00
Nos. 157-168.
Due September 1, 1952, at 234 per cent.
12,000.00
Nos. 169-180.
Due September 1, 1953, at 234 per cent
12,000.00
Nos. 181-192.
Due September 1, 1954, at 234 per cent.
12,000.00
Nos. 193-204. Due September 1, 1955, at 234 per cent.
12,000.00
Nos. 205-216.
Due September 1, 1956, at 234 per cent.
12,000.00
Nos. 217-228.
Due September 1, 1957, at 234 per cent.
12,000.00
Nos. 229-240.
Due September 1, 1958, at 234 per cent.
12,000.00
Nos. 241-252.
Due September 1, 1959, at 234 per cent.
12,000.00
Nos. 253-264.
Due September 1, 1960, at 234 per cent.
12,000.00
Nos. 265-276.
Due September 1, 1961, at 234 per cent.
12,000.00
Nos. 277-288.
Due September 1, 1962, at 234 per cent.
12,000.00
Nos. 289-300.
Due September 1, 1963, at 234 per cent.
12,000.00
Nos. 301-312.
Due September 1, 1964, at 234 per cent.
12,000.00.
Nos. 313-324.
Due September 1, 1965, at 234 per cent.
12,000.00
Nos. 325-336.
Due September 1, 1966, at 234 per cent.
12,000.00
Nos. 337-348.
Due September 1, 1967, at 234 per cent.
12,000.00.
Nos. 349-359.
Due September 1, 1968, at 234 per cent.
11,000.00
$359,000.00
Tax Title Notes
Payable to the Commonwealth of Massachusetts
No. 549. Due June 10, 1939, at 1 per cent $6,484.40
No. 550. Due June 10, 1939, at 1 per cent 42,000.00
No. 559. Due July 26, 1939, at 1 per cent 75,000.00
No. 582. Due October 19, 1939, at 1 per cent 75,000.00
No. 583.
Due October 30, 1939, at 1 per cent 75,000.00
$273,484.40.
Outstanding Temporary Loans in Anticipation of Taxes No. 538. First National Bank of Boston, due March 16, 1939 $25,000.00
1938]
TOWN ACCOUNTANT'S REPORT
223
No. 539. First National Bank of Boston,
due March 16, 1939 25,000.00
No. 540. National Shawmut Bank of Boston, due April 7, 1939
25,000.00
No. 541. Merchants National Bank of Boston, due April 7, 1939 25,000.00
No. 542. National Shawmut Bank of Boston, due May 5, 1939
25,000.00
No. 543. Merchants National Bank of Boston, due May 5, 1939
25,000.00
Nos. 544, 545, 546, 547. First National Bank of Boston, due May 26, 1939 50,000.00
Nos. 551, 552, 553, 554. Merchants National Bank of Boston, due June 23, 1939 50,000.00
Nos. 555, 556, 557, 558. National Shawmut Bank of Boston, due June 23, 1939. 50,000.00
No. 560. Merchants National Bank of Boston, due July 28, 1939 25,000.00
No. 561. National Shawmut Bank of Boston, due July 28, 1939
25,000.00
No. 599. National Shawmut Bank of Boston, due November 3, 1939
25,000.00
No. 600. Merchants National Bank of Boston,
due November 3, 1939
25,000.00
$400,000.00
Statement of Total Bonded Debt
1914 Water Loan
$4,000.00
1939 Water Loan
32,000.00
Total Water Loans
$36,000.00
1922 Schoolhouse Loan
$10,000.00
1925 Schoolhouse Loan
10,000.00
1932 Schoolhouse Loan
40,000.00
Total Schoolhouse Loans
$60,000.00
1935 Public Welfare Loan
$18,000.00
1936 Public Welfare Loan
15,000.00
Total Public Welfare Loans
$33,000.00
1938 Municipal Relief Loan (August)
$20,000.00
1938 Municipal Relief Loan (November) Total Municipal Relief Loans
15,000.00
1934 Fire and Police Station Loan
$60,000.00
1938 Sewer Loan (May)
$136,000.00
1938 Sewer Loan (September)
359,000.00
Total Sewer Loans
$495,000.00
Statement of Other Indebtedness Outstanding December 31, 1938 Tax Title Loans
1933
$165,000.00
1934
80,000.00
1935
82,600.00
1936
157,000.00
1937
75,000.00
1938
75,000.00
- Less -
Repaid 1933
$34,424.40
Repaid 1934
61,804.28
Repaid 1935
70,261.48
Repaid 1936
70,032.46
Repaid 1937
66,851.20
$35,000.00
$634,600.00
224
TOWN DOCUMENTS
[Dec. 31
Repaid 1938 . 57,741.78
$361,115.60
Net Tax Title Loans $273,484.40 $992,484.40
Tax Collector's Report
To the Citizens of Saugus, Mass .:
I hereby submit the annual report of the Collector of Taxes, Viola G. Wilson, Collector, in Account with the Town of Saugus: Dr.
To Tax of 1938, committed July 19, 1938 and December 20, 1938
$750,798.99
To Interest Collected 224.27
$751,023.26
Cr.
By 1938 Tax paid Treasurer
$399,270.76
By abatements
28,715.13
By Tax Titles to Town (Chap. 60, Sec. 61, G. L.) 287.04
$428,272.83
Uncollected December 31, 1938
Dr.
To Balance of 1937 tax commitment
$266,679.32
To Interest Collected
3,507.21
To additional commitment
18.96
Cr.
By 1937 tax paid Treasurer
$132,713.44
By abatements
24,985.84
By Tax Titles to town (Chap. 60, Sec. 61, G. L.)
63,890.78
By Tax Titles to town
41,644.93
By interest collected
3,507.21
By deduction from commitment
76.00
$266,818.20
Uncollected December 31, 1938
$3,287.29
Dr.
To balance of 1936 tax commitment
$2,410.66
To interest collected
145.68
$2,556.34
Cr.
By Tax Titles to town
$118.40
By tax paid to Treasurer
848.52
By abatements
1174.95
By interest
145.68
$2,287.55
Uncollected December 31, 1938
$268.79
To balance of 1935 tax commitment
$164.19
To interest collected
42.68
$206.87
Cr.
By 1935 tax paid Treasurer
$29.70
By interest paid Treasurer
42.68
By abatements
132.89
$206.87
Dr.
Total Net Funded or Fixed Debt
$322,750.43
$270,205.49
Addenda
Maturities on Water Loan of May 1, 1914, 41/2%, should read: Due in 1939, $1,000; due in 1940, $1,000; due in 1941, $1,000; due in 1942, $1,000.
The total for above maturities' should read $4,000.
Total payments of principal to be paid on town debt, for 1939, is : $70,500; for 1940, $70,500; for 1941,- $56,500; for 1942, $51,500.
Total bonded indebtedness is $719,000.00.
Table of Town Debt, December 31, 1938, Showing Annual Payments of Principal to Be Raised - 1938 to 1968 Inclusive
Compiled by Ralph Quirk, Town Accountant
Title of Loon
Rate
Jue in 199
Due in 1940
Due in 1941
Due in 1942
Due in 1943
Due in 1944
Due in 1945
Due in 1916
Due in 194
Due in 1948
Due in 1949
Due in 1930
Due in 1951
Due in 1952
Due in 1953
Due in 1954
Due in 195%
Due in 1956
Due in 1957
Due in 1958
Due in 1959
Due in 1960
Due in 1961
Due in 1962
Due in 1963
Due ir 196
Due in 1965
Due in 1966
Due in 1967
Due in 1968
Totals
Water Loan of May 1, 1914, 4165t
$10,00,00
$10,000.00 8.000.00
$10,000.00 8,000.00
$10,000.00
8.000.00
Schoolhouse Loan of May 1, 1922, 4%
2.500.00
2.500.00
2,500.00
2,500.00
Schoolhouse Loan of May 1, 1925, 4%
5.000.00
5.000.00
Schoolhouse Loan of October 1, 1932, 334 %
10,000.00
10,030.00
10,000.00
10,000.00
Welfare Loan of October 1, 1935, 1% %
9,000.00
9.000.00
18.000.00
Welfare Loan of October 1, 1936, 114 %
5,000.00
5.410.00
5,000.00
5,000.00
$1,000.00
$1,000.00
$1,000.00
$1,0
$3,00 6,000.00 12,000.00
$3,000.00 5.000.00 12,000.00
$3,000.0 5,000.00 12,000,00
$3.000. 5,0000.0 12,000.00
$3,000.0 5.0000.0 12,000.00
$5,000.0 12,000.0
$5,000.0 12,000.00
$5,000,0 12,000.0
$5,000.0 12,000.0
$5,000.0 12,000,0
$5,000.00 12,000.00
$5,000.00 12,000.00
$12,000.00
$12,000.00
$12,000.00
$11,000.00
359.000.00
$79,500.00
$79,500.00 }
$G5,500.00
$G0,500.00 $25,000.00
$24,000.00 /
$22,000.00
$22,000.00 ' $22,000.00
$22,000.00
$21,000.00 .
$20,000.00
$20,000,00 1 $20,000,00
$20.000.00
$20,000.00
$17,000.00
$17,000.00
$17,000.00
$17,000.00
$17,000.D
$17,000.00
$17,000.0
$17,000.00
$17,000.00 $12,000.00
$12,000.00
$12,000.00
$12,000.00
$11,000.00
$755,000.00
Table of Town Debt, December 31, 1938, Showing Annual Payments of Interest to Be Raised - 1939 to 1968 Inclusive
Title of Loan
Rate
Due in 1939
Dne in 1910
Due in 1941
Due in 19.15
Due in 1943
Due in 1944
Dne in 1945
Due in
Due in 1947
Due in 1948
Due in 1949
Due in 1950
Due in 1951
Due in 1952
Due in 1953
Itue in 1954
Due in 1955
Due in 1056
Due in 1957
Due in 1958
Due in 1959
Due in 1960
Due in 1961
Due ir 1962
Due ir 1963
Due ir 1961
Due ir 1965
Due in 1966
Due in 1968
Totals
Water Loan of May 1, 1914, 414%
$157.50
$112.50
$67.50
$22.5
Water Loan of April 15, 1937, 244 %
630.00
130.00
270.00
90.00
Schoolhouse Loan of May 1, 1922, 4%
350.00
250.00
150.00
50.00
Schoolhouse Loan of May 1, 1925, 4%
300.00
100.00
Schoolhouse Loan of October 1, 1932, 3% %
1,500.00
1.125.00
750.00
375.00
472.50
Welfare Loan of October 1, 1935, 1%
315.00
157.50
Welfare Loan of October 1, 1936, 114 %
187.50
125.00
62.50
62.50
$165.50
$112.50
$90.00
$22.50
$487.50
$292.50 1,681.25 5,582.50
$195.00 1,443.75 5,252.50
$97.50 1,306.25 4,922.50
$1,168.75 4,592.50
$1,031.25 4,262.50
$893.75 3,932.50
$756.25 3,602.50
$618.75 3,272.50
$481.25 2,942.50
$343.75 2.612.50
$206.2% 2,282.50
$$8.75 1,952.50
$1,622.50
$1,292.50
$962.50
$632.50
$302.50
Sewer Loan of September 1, 1938, 24%
9,872.50
9,542.50
9.212.50
8,882.50
2,997.50 8,552.50
2,832.50 8,222.50
2,667.50 7,892.50
$67.50 877.50 2,502.50 7,562.50
$45.00 780.00 2,337.50 7,232,50
682.50 2,172.50 6,902.50
$585.00 2,007.50 6,572.50
$8,586.25
$8,021.25
$7,456.25
$6,891.25
$5,761.25
$5,293.75
$4,826.25
$4,358.75
$3,891.25
$3,423.75
$2,956.25
$2,488.75
$2,021.25
$1,622.50
$1,292.50
$962.50
$$32.50
$302.50| $221,680.00
Totals
$19,507.50 ; $17,622.50
$15,837.50
$14,310.00
$13,008.50 $12,305.00
$11,625.00 $11,010.00
$10,395.00
$9,780.00
$9,165.00
1,856.25 6,242.50
$390.00 1,718.75 5,912.50
44.632.50 152,625.00
Fire & Police Bldg. Loan of Dec. 1, 1934, 34 % ... Sewer Loan of May 1, 1938, 2% % ++++++
1,950.00
1,787.50
1,625,00
1,462.50
1,300.00
1,137.50
975.00
3,000.00
3,000.00
3,000
60,000.00
Sewer Loan of May 1, 1938, 24 % .........
6,000.00
6,000.00
6,000,00
3,000,00
6,000 00
6,000.00)
6,000.00
6,000.00
6,000.00
6,000.00
136,000.00
Sewer Loan of September 1, 1938, 2% % 12,000.00
12,000.00
12,000,00
12,000.00)
12.000.00
12,000.00
12,000.00
12,000.00
12,000.00
12,000.00
$1,0
15,000.00
Fire & Police Bldg. Loan of Dec. 1, 1934, 314 %.
5,000.00
5,000.00
5,000.00
5,000.00
5,000,00
3.000AK
20,000.0
Relief Loan of November 15, 1938, 24%
2,000.00
2.000.00
2,000.00
2,000.00
$2,000.00 5,000.00
15,000.00
Relief Loan of August 1, 1938, 1% %
5,000,00
5,000.00
5,000.00
1,440.00
800.00 400.00
3,750.00]
375.00 625.00
Relief Loan of August 1, 1938, 11% %
250.00
187.50
125.00
Relief Loan of November 15, 1938, 214 %
337.50
202.50
247.50
202.50
14,625.00
3,657.50
3,492.50
3,327.50
3,162.50
Totals
8,000.00
Water Loan of April 15, 1937, 214 %
$40,000.00 32,000.00
10,000.00 10,000.0 10,000.00
$5,000.00 12,000.00
$12,000.00
Dne in 1967
$360.DO
1,575.00
$6,326.25
$3.000.0 5,000.00 12,000.00
1938]
TAX COLLECTOR'S REPORT
225.
Dr.
$51.11
To interest collected
.21
$51.32
Cr.
By 1934 tax paid Treasurer
$4.47
By interest paid Treasurer
.21
By abatements
46.64
$51.32
Dr.
To balance of 1933 poll tax commitment
$4.00
$4.00
Cr.
By abatements
$4.00
$4.00
Dr.
To balance of 1933 Old Age Assistance Commitment
Cr.
$1.00
$1.00
To balance of 1935 poll tax commitment
$112.00
To interest collected
.14
$112.14
By payments to Treasurer
$2.00
By interest paid Treasurer
.14
By abatements
110.00
$112.14
Dr.
To balance of 1936 poll tax commitment
$106.00
To interest collected
.38
$106.38.
Cr.
$8.00
By abatements
48.00
By interest paid Treasurer
.38
$56.38
Uncollected December 31, 1938 Since December 31, 1938, $24.00 has been abated, leaving a balance of $26.00.
To balance of 1937 poll tax commitment
$1138.00 13.23
$1,151.23:
By payments to Treasurer
$350.00
By abatements
298.00
By interest paid Treasurer
13.23
$661.23
Uncollected December 31, 1938 Since December 31, 1938, $132.00 has been abated, leaving a balance of $358.00. Dr.
To 1938 poll tax commitment of March 19, 1938, and December 20, 1938
$9,340.00
To interest collected
.33
$9,340.33
Cr.
By payments to Treasurer By abatements
$7,608.00 312.00
$50.00
Dr.
To interest collected
Cr.
By payments to Treasurer
Cr.
$1.00
$1.00
By abatement
Dr.
$490.00
To balance of 1934 tax commitment
226
TOWN DOCUMENTS
[Dec. 31
By interest paid Treasurer
.33
$7,920.33
Uncollected December 31, 1938
Dr.
To balance of M. V. Excise Tax commit- ment of July 15, 1933
$4.63
$4.63
By abatements
$4.63
$4.63
Dr.
To balance of M. V. Excise Tax, committed September 5, 1934
$5.30
To interest collected
1.33
$6.63
Cr.
$5.28
By abatements
.02
By interest paid Treasurer
1.33
$6.63
Dr.
To balance of M. V. Excise Tax commit-
ment of November 5, 1934
Cr.
$2.00
$2.00
Dr.
$6.00
$6.00
By abatements
Dr.
To balance of M. V. Excise Tax commit- ment of April 20, 1935
$12.24
$12.24
By abatements
$9.60
$9.60
Uncollected December 31, 1938
Dr.
To balance of 1935 M. V. Excise Tax commit- ment of July 6, 1935
$4.00
To interest collected
.29
$4.29
Cr.
$2.00
By interest paid Treasurer
.29
By payments to Treasurer
2.00
$4.29
Dr.
To balance of M. V. Excise Tax commitment of August 3, 1935
$7.89
$7.89
By abatements
Dr.
To balance of M. V. Excise Tax commitment of August 20, 1935
Cr:
$7.94
$7.94
To balance of M. V. Excise Tax commitment of September 10, 1935
$4.00
$4.00
By abatements
$2.00
$2.00
-$2.00
$2.00
By abatements
To 1934 M. V. Excise Tax commitment of January 10, 1935
Cr.
$6.00
$6.00
Cr.
$2.64
By abatements
Cr.
$7.89
$7.89
By abatements
Dr.
$7.94
· $7.94
Cr.
$1,420.00
Cr.
By payments to Treasurer
1938]
TAX COLLECTOR'S REPORT
227
Uncollected December 31, 1938
Dr. $2.00
To balance of M. V. Excise Tax commitment of April 15, 1936 " $41.36
$41.36
Cr.
By abatements
$3.67
Uncollected December 31, 1938
$37.69
Since December 31, 1938, $2.00 has been abated, leaving a balance of $35.69. Dr.
To balance of M. V. Excise Tax commitment of June 16, 1936 To interest collected
$37.57 .44
$38.01
By payments to Treasurer
$2.34
By interest paid Treasurer
.44
By abatements
9.67
$12.45.
Uncollected December 31, 1938 Since December 31, 1938, $12.68 has been abated, leaving a balance of $12.88.
Dr.
To balance of M. V. Excise Tax commitment of September 2, 1936
$31.23
To interest collected
.15
$31.38
Cr.
$2.00
By interest collected
.15
$2.15
Uncollected December 31, 1938
$29.23
Since December 31, 1938, $10.07 has been abated, leaving a balance of $19.16.
Dr.
To balance of M. V. Excise Tax commitment of November 14, 1937
$21.35
To interest collected
.42
$21.77
By payments to Treasurer
$7.34
By interest paid Treasurer
.42
$7.76
Uncollected December 31, 1938
$14.01
To M. V. Excise Tax commitment of Febru- ruary 5, 1937
$49.95
To interest collected
1.58
$51.53
By payments to Treasurer
$13.44
By interest paid Treasurer
1.58
By abatements
8.00
$23.02
Uncollected December 31, 1938 Since December 31, 1938, $8.00 has been
$28.51
Dr.
$25.56:
By payments to Treasurer
Dr.
Cr.
228
TOWN DOCUMENTS
[Dec. 31
abated, leaving a baalnce of $20.51.
Dr.
To M. V. Excise Tax commitment of April 20, 1937
$591.51 22.57
$614.08
By payments to Treasurer
$288.59
By abatements
33.99
By interest paid Treasurer
22.57
$345.15
Uncollected December 31, 1938
$268.93
Since December 31, 1938, $52.50 has been abated, leaving a balance of $216.43.
Dr.
To M. V. Excise Tax commitment of August 20, 1937
$2,230.94
To interest collected
72.35
$2,303.29
By payments to Treasurer
$1,337.74
By abatements
148.84
By interest paid Treasurer
72.35
$1,558.93
Uncollected December 31, 1938
$744.35
Since December 31, 1938, $150.16 has been abated, leaving a balance of $594.20.
Dr.
To M. V. Excise Tax commitment of Novem- ber 10, 1937
$1,015.76
To interest collected
18.30
$1,034.06
By payments to Treasurer
$741.34
By abatements
99.24
By interest paid Treasurer
18.30
$858.97
Uncollected December 31, 1938
$175.09
Since December 31, 1938, $70.13 has been abated, leaving a balance of $104.96.
Dr.
To M. V. Excise Tax commitment of Decem- ber 22, 1937
$668.90
To interest collected
4.26
$673.16
Cr.
By payments to Treasurer
$596.14
By abatements
21.78
By interest paid Treasurer
4.26
$622.18
Uncollected December 31, 1938
$50.98
Since December 31, 1938, $25.21 has been abated, leaving a balance of $25.77.
Dr. To M. V. Excise Tax commitment of Janu-
To interest collected
Cr.
Cr.
Cr.
229
ary 28, 1938 To interest collected
$363.86 2.40
$366.26
Cr.
By payments to Treasurer
$345.20
By interest paid Treasurer
2.40
$347.60
Uncollected December 31, 1938
$18.66
Dr.
To M. V. Excise Tax Commitment of April 14, 1938
$18,532.03
To interest collected
102.18
$18,634.21
By payments to Treasurer
$17,142.76
By abatements
893.38
By interest paid Treasurer
102.18
$18,138.32
Uncollected December 31, 1938
$495.89
To M. V. Excise Tax commitment of October 25,1938
$5,630.63
To interest collected
.72
$5,631.35
Cr.
$4,069.78
By abatements
132.54
By interest paid Treasurer
.72
$4,203.04
Uncollected December 31, 1938
$1,428.31
Dr.
To M. V. Excise Tax commitment of Novem- ber 30, 1938
$322.96
$322.96
By payments to Treasurer
$137.23
By abatements
6.00
$143.23
Uncollected December 31, 1938
$179.73
-
Report of Tax Collector's Fees ·
Jan. 1, 1938 to Dec. 31, 1938.
To the Citizens of the Town of Saugus:
I hereby submit my report of Tax Collector's Fees for the year 1938:
60 Tax Certificates at $1.00 192 Water Lien Releases at $1.00
$60.00
192.00
Paid to Town Treasurer $252.00 VIOLA G. WILSON, Collector of Taxes.
1938]
TAX COLLECTOR'S REPORT
Cr.
Dr.
By payments to Treasurer
Cr.
230
TOWN DOCUMENTS
[Dec. 31
Report of the W. P. A. Co-ordinator
Dec. 31, 1938. To the Board of Selectmen, Town of Saugus.
Gentlemen :- I am pleased to submit the following annual report regarding the W. P. A. activities.
Space will not permit a complete resume of this proposition, there- fore I have purposely abreviated this report. Following is a brief description of the projects operated during the past year:
Sewer Project
This project started operations July 13, 1938. An average of 104.6 men per month have been em- ployed. Early progress was some- what delayed through training period. Workers are now acclimat- ed to this type of work which should make possible better prog- ress during 1939. Present pros- pects indicate some sewer services by January, 1940. (See Sewer Com- mittee's report.)
Sidewalks
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