Town annual report of Weymouth 1932, Part 25

Author: Weymouth (Mass.)
Publication date: 1932
Publisher: The Town
Number of Pages: 394


USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1932 > Part 25


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1932 Expendi- tures


Balances Dec. 31 1932


Estimates for 1933


GENERAL GOVERNMENT


600.00


600.00


408.76


200.00


600.00 Appropriation Committee 608.76 T. Hall & War Memorial Comm.


197.79


410.97


8,637.50


8,637.50 Selectmen's Department


8,487.74


149.76*


8,200.00


6,000.00


800.00


6,800.00 Accounting Department


6,794.55


5.45*


6,200.00


2,794.50


1,126.43


3,920.93 Treasurer's Department


3,877.13


43.80*


2.787.50


8,000.00


8,000.00 Collector's Department


7,624.61


375.39*


7.902.00


9,330.00


9,330.00 Assessor's Department


9.287.23


42.77*


9,330.00


5.575.00


500.00


6.075.00 Legal Department


5,949.04


125.96*


6,175.00


3,500.00


3,500.00 Town Clerk's Department


2,905.57


594.43*


3.100.00


4,655.00


200.00


4.855.00 Elections & Registrations


4,782 09


72.91*


1,804.00


4.525.00


4,525 00 Engineering Department 300 00 Planning Board


15.00


285.00*


300.00


9,150.00


9,150.00 Maintenance Town Hall


9,001.20


148.80*


11,886.10


100.00


100.00 Soldiers' Monuments, etc.


100.00


100.00


PROTECTION PERSONS & PROPERTY


69,237.00 2,490.00 68,062.33


2,963.00


71,025.33 Fire Department


71,024.87


.46*


65,960.27


39.66 9.44


3,090.00


3,090.00 Building Inspector's Dept.


2,910.00


180.00*


2,790.00


1,575.00


1,575.00 Sealer's Department


1,548.71


26.29*


1,575.00


352


69.237.00 Police Department 2.490.00 Police Pensions


68.110.50


1,126.50*


68,229.00


2,105.00


385.00*


1,575.00


39.66 Comm. Ward 2 Fire Station 9.44 Ward Two Fire Station


39.66


9.44


149.93*


4,045.00


300.00


4,375.07


600.00


6,405.00 2,130.00


25.00 6,430.00 Moth Department 2,130.00 Tree Department


6,229.11 -


200.89* .85*


5,890.00


2,129.15


2,450.00


HEALTH & SANITATION


8,585.00


8,585.00 Health Department


8,574.45


10.55*


11,925.00


2,000.00


2,000.00 Nurses


2,000.00


2,000.00


11,749.98


11,749.98 Norfolk County Hospital


11,749.98


12,212.24


10,243.22


10,243.22 Garbage Disposal


10,243.22


HIGHWAYS


110,000.00 4,000.00


7,421.92


117,421.92 Street Repairs, etc.


117,413.73


8.19*


127,900.00


1,027.10


1,027.10 Relocating Street Corners


1,027.10


391.00


391.00 Widening Bridge Street


391.00


100.00


100.00 Easement-Oakcrest Road


100.00


1.00


1.00 Right of Way-Bicknell Meadow


1.00* 250.00*


4,500.00


4,500.00 Sea Wall-Fore River Avenue


4,499.40


60*


4,450.00


4,450.00 Purchase Gasoline Shovel


4,316.50


133.50*


7.00


7.00 Easements-New Streets, etc.


7.00*


792.38


296.90


1,089.28 Private Work


550.66


538.62*


275.00


275.00 Harbor Master


275.00


39,500.00


39,500.00 Street Lighting


38,728.45


771.55*


300.00 40,140.00


8,103.07*


116,853.07


9,515.83


118,265.83 Settled in Weymouth


121,666.70


3,400.87±


118,680.00


60,000.00


60,000.00 Settled elsewhere


64,969.08


4,969.08₺


60,000.00


37,000.00


559.50


37,559.50 Work in lieu of Charity


37,550.58


8.92*


10,000.00


10,000.00 Materials, Equipment, etc.


9,834.12


165.88


20,000.00


SOLDIERS' BENEFITS


2,000.00 18,000.00


190.00


2,190.00 State Aid, Military Aid, etc. 18,000.00 Soldier's Relief


2,169.00


21.00*


2,200.00


17,999.88


.12*


20,000.00


4,000.00 Permanent Sidewalks


3,970.97


29.03*


250.00


250.00 Working Putnam Street


353


CHARITIES


47,000.00


44,970.84


2,029.16*


45,000.00


440,000.00


440,001.83 Support of Schools


436,106.01


3,895.82*


423,160.00


1,926.72 Smith-Hughes Fund


1,926.72


116.18 George Reed Fund


76.85


39.33 2,000.00


2,000.00 Stetson-Hunt Property


1,425.30 Land, etc. for School Purposes


1,425.30


50,000.00


50,000.00 New Adams School


50,000.00


LIBRARIES


21,058.00 1,500.00


1,213.07


22,271.07 Tufts Library and Branches


22,265.02


6.05*


21,237.00 1,500.00


RECREATION


7,625.00


7,625.00 Parks and Playgrounds 2.00 Rt. of Way-"Torrey" Meadow


7,624.54


.46*


6,065.00


2.00


2.00*


173.40


173.40 Golf Course Committee


119.93


53.47*


UNCLASSIFIED


800.00


83.60 245.00


883.60 Observance Memorial Day


883.60


800.00


245.00 Tufts Fund Lectures


245.00


451.00


451.00 Mosquito Control


451.00


250.00


500.00 Comm. on Town Forest


500.00


1.00


1.00 Discharging Incumbrances


1.00*


14,962.08 Water Storage Tank


14,962.08


822.01 Abatement Oil Nuisance


822.01


372.66 Fire Insurance


361.86


10.80*


2,550.00


9,919.69


12,469.69 Miscellaneous Expenses


12,165.28


304.41*


2,350.00


3,364.64


3,364.64 Unpaid Bills


2,364.64


5,693.56


1,450.00


1,450.00 Care Soldiers' Graves


1,430.75


19.25*


1,462.00


OLD AGE ASSISTANCE 47,000.00 Old Age Assistance EDUCATION


1.83 1,926.72


114.88


1.30 2,000.00 1,425.30


1,500.00 Fogg Library Reading Room


1,500.00


354


500.00


14,962.08 822.01


200.00


172.66


600.00


302.09


1.00 · 25,000.00


600.00 Care Old Cemeteries 302.09 Survey of Cemeteries 1.00 Municipal Bldgs. Ins. Fund 25,000.00 Reserve Fund


600.00 176.99 1.00 25,000.00


1.00 25,000.00


PUBLIC SERVICE ENTERPRISE 500.00 Alewife Fishery INTEREST & DEBT REQUIREMENTS


496.50


3.50*


500.00


300,000.00


62,000.00 104,000.00


10,617.21


72,617.21 Interest and Discount


72,617.21 1,104,000.00


500,000.00


80,000.00


AGENCY TRANSACTIONS


40,130.58±


109,930.73


18.43


40,130.58₺ State Liabilities-1931 109,949.16 State Liabilities-1932 41,308.08 County Liabilities-1932


41,308.08


35,300.00


REFUNDS


355


9.80


9.80 Abatement Account, 1929


9.80


12,018.98 Abatement Account, 1930


12,018.98


10,687.23 Abatement Account, 1931


9,621.47


1,065.76


15,415.26


15,415.26 Abatement Account, 1932


3,421.87


11,993.39


297,680.08


1,574,659.05


1,263,536.73


3,135,875.86


2,699,546.48


436,329.38


1,329,574.67


Balances


528,642.63


Overdrafts


92,313.25


436,329.38


Note : Balances designated thus (*) transferred to the General Fund. Items designated thus (¿) represent overdrafts. All other balances transferred to the 1933 accounts. The estimates for Unpaid Bills is to cover the following ac- counts : Board of Health $5,227.91; Soldiers' Relief $465.65.


EMERSON R DIZER,


Town Accountant.


125.10


500.00


55,000.00


1,200,000.00 1,604,000.00 Bonds and Notes


153,761.88


40,130.58₺ 43,812.721


41,308.08


12,018.98 10,687.23


GENERAL ACCOUNTS BALANCE SHEET - DECEMBER 31, 1932 TOWN OF WEYMOUTH LIABILITIES


ASSETS


Cash :


Town Treasurer


Water Department


$238,694.10 44,461.35


$283,155.45


Accounts Receivable:


Taxes:


Levy of 1931


49,760.88


Levy of 1932


314,879.06


364,639.94


Unexpended Appropriation Balances :


Motor Vehicle Excise Taxes:


Assessments, 1931


595.10


Town


$3,563.29


Assessments, 1932


11,735.01


12,330.11


Water


26,820.96


30,384.25


Special Assessments :


Moth Tax, 1931


55.00


Reserve Fund - Overlay Surplus


1,326.45


Moth Tax, 1932


518.00


Old Age Assistance Tax, 1932


1,122.00


1,695.00


Overlays Reserved for Abatements: Levy of 1931


1,065.76


Water Department:


Water Rates


37,478.93


Revenue Reserved Until Collected :


Water Construction


1,904.47


39,383.40


Town


73,019.47


Tax Titles


15,857.18


Water


39,383.40


112,402.87


Appropriation Overdrafts


8,369.95


Tax Title Reserve


15,857.18


(Sec. 31, Chap. 44, G. L.) Overdraft:


South Metropolitan Sewerage Assessment: Year 1931


40,130.58 43,812.72


83,943.30


Surplus Revenue : Town


Loans authorized - unissued :


15.000.00


Water


177,593.40 32,640.39


210,233.79


$883,368.69


356


Departmental Accounts


58,994.36


Levy of 1932


11,993.39


13,059.15


Year 1932


Land Bordering Pond


$883,368.69


Temporary Loans: In Anticipation of Revenue $500,000.00


Municipal Insurance : Reimbursement for Fire Loss 105.00


Net General Debt Net Water Debt


DEBT ACCOUNTS


$866.000.00 Nevin Schoolhouse Loan


$10,000.00


98,000.00 High School Addition Loan-1923


133,000.00


New Town Infirmary Loan


22,000.00


Bicknell Schoolhouse Loan


60,000.00


Washington Square Widening Loan


12,000.00


Great Hill Park Loan


9,000.00


Pratt Schoolhouse Addition Loan


39,000.00


High School Addition Loan-1927


195.000.00


Pond Schoolhouse Loan


48,000.00


Hunt Schoolhouse Addition Loan


140.000.00


Ward Three Fire Station Loan


12,000.00


Ward Two Fire Station Loan


40,000.00


Bicknell Schoolhouse Addition Loan


108,000.00


Adams Schoolhouse Loan


38,000.00


Water Loan-Nov. 1, 1914


8,000.00


Water Loan-May 1, 1921


4,000.00


Water Loan-Oct. 1, 1924


2.000.00


Water Loan-Apr. 1, 1925


8,000.00


Water Loan-May 1, 1926


2,000.00


Water Loan-July 1, 1926


9,000.00


Water Loan-Apr. 1, 1927


10,000.00


Water Loan-May 1, 1928


11,000.00


Water Loan-May 1, 1929


12,000.00


Water Loan-Nov. 1, 1929


12,000.00


Water Loan-Apr. 1, 1930


13,000.00


Water Loan-May 1, 1931


7,000.00


$964,000.00


$964,000.00


357


TRUST AND INVESTMENT ACCOUNTS


Trust and Investment Funds : Cash and Securities : Town Water


$495,322.87


19,0000.00


Tufts Fund, Free Public Lectures $5,000.00


Tufts Fund, Free Public Lectures, Income 4,604.53


Tufts Fund, Reading Room 2,500.00


Tufts Fund, Books 2,500.00


Tufts Fund, Sidewalks and Shade Trees


2,000.00


Tufts Fund, Sidewalks and Shade Trees, Income 115.94


Tufts Fund, Care Tufts Tomb


500.00


John C. Rhines Fund 10,000.00


John C. Rhines Fund, Income


3,223.41


Elias S. Beals Park Fund


1,000.00


Elias S. Beals Park Fund, Income


84.91


Laban Pratt Fountain Fund


400.00


Laban Pratt Fountain Fund, Income


360.69


Laban Pratt Hospital Bequest


300,000.00


Laban Pratt Hospital Bequest, Income


121,309.08


Augustus J. Richards Library Fund


5,000.00


Joseph E. Trask Library Fund


12,805.88


Susannah Hunt Stetson Library Fund


2,500.00


Tirrell Donation Library Fund


1,000.00


Francis Flint Forsyth Library Fund


1,000.00


Weymouth Back River Bridge Fund


3,000.00


Muncipal Buildings Insurance Fund


16,367.20


Martha Hannah King Fund


51.33


H. S. Moody Land Co. Fund, Water


2,000.00


N. Y., N. H. & H. R. R. Co. Bonds, Water


17,000.00


$514,322.97


358


$514,322.97


REAL ESTATE AND PERSONAL PROPERTY ACCOUNT


Land Buildings Personal


$ 340,175.00 2,245,445.00 1,451,002.97


Real Estate and Personal Property $4,036,622.97


$4,036,622.97


$4,036,622.97


359


DEBT STATEMENT January 1, 1933


Assesors'Valuation for the year 1930 Less Abatements to December 31, 1932


$45,304,861.00 490,615.00


$44,814,246.00


Assessors' Valuation of Motor Vehicles for 1930


$ 2,184,470.00


Less Abatements to December 31, 1932


197,785.00


1,986,685.00


$ 46,800,931.00


Assessors' Valuation for the year 1931


$46,461,630.00


Less Abatements to December 31, 1932


506,150.00


$45,955,480.00


Assessors' Valuation of Motor Vehicles for 1931


$ 1,916,908.00


Less Abatements to December 31, 1932


128,115.00


1,788,793.00


47,744,273.00


Assessors'Valuation for the year 1932


$47,037,748.00


Less Abatements to December 31, 1932


119,075.00


$46,918,673.00


Assessors' Valuation of Motor Vehicles for 1932


$ 1,525,400.00


Less Abatements to December 31, 1932


43,300.00


1,482,100.00


48,400,773.00


Gross net valuation for 3 years Average valuation


$142,945,977.00


47,648,659.00


3 per cent Total debt of all kinds incurred and outstanding Schoolhouses


$ 771,000.00


·Highways


12,000.00


Fire Stations


52,000.00


New Town Infirmary


22,000.00


Parks


9,000.00


Water Bonds and Notes


98,000.00


$ 1,429,459.77


$ 1,464,000.000


360


Anticipation of Revenue Notes


500,000.00


$ 1,464,000.00


Less debts outside the debt limit :


Water Bonds, Acts 1914, Chap. 353


$ 8,000.00


Water Bonds, Acts 1913, Chap. 276


4,000.00


Water Notes, General Laws


86,000.00


Anticipation of Revenue Notes


500,000.00


Balance of debt within the debt limit


BORROWING CAPACITY AS OF DECEMBER 31, 1932


598,000.00


866,000.00


$563,459.77


EMERSON R. DIZER,


Town Accountant.


361


PUBLIC PRO PERTY ACCOUNT


Property


Street Location


Land Value


Value of Buildings


Value of Personal


Total


Town Hall


Middle


$5,000.00


$175,000.00


$15,000.00


$195,000.00


Police Department :


Station 1


Athens


100.00


2,600.00


100.00


2,800.00


Station 2


Pleasant


1,000.00


14,650.00


2,000.00


17,650.00


Garage


Pleasant


1,350.00


4,000.00


5,350.00


Police Signal System


25,000.00


25,000.00


Police Traffic Signals


5,300.00


5,300.00


Fire Department :


Fire Station 1


Athens Broad


400.00


8,250.00


13,992.60


22,642.60


Fire Station 2


3,000.00


56,000.00


27,721.42


86.721.42


Fire Station 3


Washington


800.00


37,000.00


28,250.30


66,050.30


Fire Station 5


Pleasant


725.00


9,300.00


24,621.31


34,646.31


Fire Alarm System


46,794.50


46,794.50


Sealer's Department


1,000.00


1,000.00


Spraying Machines, etc.


4,000.00


4,000.00


Highway Department : Headquarters


Commercial Wharf


1,000.00


14,600.00


45,675.05


61,275.05


Stone Crusher


1,000.00


1,000.00


Welfare Department :


Essex


6,700.00


34,000.00


2,838.94


43,538.94


Garage


600.00


149.50


749.50


Out Buildings


1,500.00


314.40


1,814.40


School Department :


· High School


Middle


12,000.00


635,000.00


45,000.00


692,000.00


High School


Middle


3,000.00


3,000.00


Industrial School Building


35,000.00


5,000.00


40,000.00


Athens School


Athens


1,000.00


96,000.00


8,000.00


105,000.00


Bicknell School


Bridge


12,500.00


245,000.00


15,000.00


272,500.00


Adams School


Church


500.00


8,550.00


800.00


9,850.00


362


Town Infirmary


New Adams School


Church


3,000.00


45,000.00


2,000.00


50,000.00


Jefferson School


Middle


1,300.00


29,800.00


3,000.00


34,100.00


Washington School


Commercial


2,000.00


34,500.00


3,000.00


39,500.00


James Humphrey School


Lake


3,000.00


79,700.00


8,000.00


90,700.00


New Hunt School


Broad


3,450.00


270,000.00


15,000.00


288,450.00


Lincoln School


Broad


10,300.00


800.00


11,100.00


Center Portable


Washington


450.00


4,500.00


800.00


5,750.00


Pratt School


Pleasant


1,200.00


88,000.00


9,000.00


98,200.00


Shaw School


Main


1,100.00


25,200.00


3,600.00


29,900.00


E. B. Nevin School


Main


4,000.00


80,000.00


1,200.00


85,200.00


Portable-Nevin


Main


3,000.00


800.00


3,800.00


Pond School-Old


Pond


300.00


4,695.00


4,995.00


Pond School-New


Pond


5,500.00


70,000.00


2,000.00


77,500.00


Libraries :


Tufts Library


Washington


2,600.00


70,950.00


40,000.00


113,550.00


North Weymouth Branch


Sea


2,000.00


2,000.00


East Weymouth Branch


Broad


1,500.00


1,500.00


Park Department :


Weston Park


Washington


15,000.00


15,000.00


Great Hill Park


North


78,500.00


5,000.00


83,500.00


Beals Park


Sea


5,000.00


5,000.00


Webb Park


Summit


2,000.00


2,000.00


Lovells Corner Playground


Pleasant


500.00


500.00


Hawes Grove


Pleasant


600.00


600.00


Lake Street Playground


Lake


1,500.00


1,500.00


Bayley Green


Columbian


100.00


100.00


Lot of Land


Jackson Square


3,000.00


3,000.00


Rufus O. Clark Park


Wessagussett


200.00


200.00


Alewife Fishery


Commercial


1,000.00


25.00


1,525.00


Old Fire Station 2


Broad


500.00


9,300.00


9,800.00


Legion Memorial Field


Commercial


45,000.00


45,000.00


Lot of land


North


100.00


100.00


Lot of land


Essex


50.00


50.00


Lot of land


Broad


200.00


200.00


363


500.00


200.00


Lot of land


100.00


Lot of Land


Gibbens


450.00


450.00


Lot of Land


Broad


200.00


200.00


Town Hall Lot


Pleasant


2,000.00


2,000.00


Island


Great Pond


100.00


100.00


Band Stands


1,000.00


1,000.00


Flag Staffs, etc.


625.00


625.00


500.00


500.00


Water Department :


Pumping Station and Shop


Hollis


550.00


14,500.00


10,000.00


25,050.00


Stock and Equipment


19,136.39


19,136.39


Hollis


1,600.00


50.00


- 1,650.00


Reed Avenue


400.00


12,000.00


12.400.00


Tenement House


Near Great Pond


107,000.00


4,500.00


111,500.00


Pumping Unit


8,000.00


Land


Hollis


200.00


200.00


Land


Randolph


100.00


100.00


1,005,408.56


1,005.408.56


$340,175.00


$2,245,445.00


$1,451,002.97


$4,036,622.97


December 31, 1932


EMERSON R. DIZER, Town Accountant.


364


Water Mains, Pipes, etc.


200.00


Lot of land


Jackson Square


100.00


Front


Fences, Gates and Snow Fences


Storage Shed


Stand Pipe


8,000.00


365


TOWN TREASURER'S REPORT


To the Citizens of the Town of Weymouth :


Following is my second report as your custodian of Town Funds : RECEIPTS


For notes given in Anticipation of Revenue


February 8, due September 30, 1932 at 6.10% discount $100.000.00


February 8, due May 9, 1932 at 6.00% discount


100.000.00


February 15, due November 29, 1932 at 6.10% iscount 100,000.00


February 29, due December 1, 1932 at 5.80% discount 100.000.00


March 7, due December 1, 1932 at 5.75% discount 50,000.00


March 14, due December 1, 1932 at 5.75% discount


50,000.00


March 7, due December 10. 1932 at 5.90% discount


100.000.00


May 6, due January 20, 1933 at 3.05% discount


100.000.00


100.000.00


July 18, due February 17, 1933 at 4.25% discount August 8, due December 30, 1932 at 3.80% discount


100.000.00


September 9, due January 19, 1933 at 3.50% discount September 19, due February 3, 1933 at 3.50% discount


100.000.00


October 3, due June 2, 1933 at 3.72% discount


150.000.00


Total in Anticipation of Revenue


$1,200.000.00


July 1, 1932 due July 1, 1945, Weymouth Heights School Loan at 4.50%


38,000.00


Interest on above note


279.30


School Department


3,485.04


Street Department


1,667.56


Licenses and Permits


1,635.27


Refund Welfare


22,269.35


Refund Legal Department


17.50


State Treasurer


299,000.33


Building Inspector


434.00


Sealer's Fees


332.45


Tax Releases


3,653.33


Fire Department


11.50


Tree and Moth Department


165.60


Water Department-Accounting Department


550.00


Dedham Court Fines


211.74


East Norfolk District Court Fines


921.23


Tufts Library Fines


782.05


County Treasurer-Dog Tax Refund


2,463.27


Rent-Whitman Lot


25.00


Alewife Fishery


304.00


Board of Health


163.50


Income Trust Funds


1,458.07


Interest Weymouth Trust Co.


460.76


Interest First National Bank


747.23


Interest Second National Bank


182.56


Fire Loss Insurance


355.00


Miscellaneous


146.44


Taxes-1930


32,708.19


-1930 Interest


2,381.22


Taxes-1931


233,127.46


50.000.00


366


1931 Interest


10,244.90


Taxes-1932


858,707.17


1932 Interest


488.09


Water Department


$1,126.43


Taxes paid after being rebated


38.26


Total


$2,718,543.80


Cash on hand January 1, 1932


157,861.62


$2,876,405.42


Total


$2,876,405.42


DISBURSEMENTS


Paid on Selectmen's Warrants for :


Notes given in Anticipation of Revenue


$1,000,000.00


Other Notes and Bonds


104,000.00


Sundry appropriations


1,533,711.32


Total


$2,637,711.32


Cash on hand December 31, 1932


238,694.10


$2,876,405.42


Total


$2,876,405.42


ASSETS


Due from F. W. Holbrook, Collector of Taxes 1931


$50,410.98


Due from F. W. Holbrook, Collector of Taxes 1932 Trust Funds


361,256.88


Accumulated Interest Trust Funds


131,066.09


Deposit Weymouth Trust Company


82,296.47


Deposit First National Bank of Boston


40,984.08


Deposit Second National Bank of Boston


164,853.38


Sundry Bills Receivable


58,994.36


$1,218,116.31


Less outstanding checks


49,439.83


Total assets


$1,168,676.48


LIABILITIES BONDS AND NOTES 1933


January 19, Anticipation of Revenue


$50,000.00


January 20, Anticipation of Revenue


100,000.00


February 3, Anticipation of Revenue


100,000.00


February 17, Anticipation of Revenue


100,000.00


328,254.07


367


June 2, Anticipation of Revenue


150,000.00


June 1, Engine House, Ward 3, 4 per cent


2,000.00


July 1, Edward B. Nevin Schoolhouse, 4 per cent ,2,000.00


July 1, Bicknell Schoolhouse Addition, 4 per cent 6,000.00


July 1, Engine House, Ward 2, 4 per cent


5,000.00


July 1, High School Building, 41/4 per cent


13,000.00


July 1, Town Home, 414 per cent


2,000.00


July 1, Pond Plain Schoolhouse, 41/4 per cent


4,000.00


July 1, New Hunt Schoolhouse, 4 per cent


10,000.00


July 1, New Adams School, 41/2 per cent


3,000.00


August 1, Great Hill Park, 4 per cent


9,000.00


October 1, Pratt Schoolhouse Addition, 4 per cent


3,000.00


November 1, Bicknell Schoolhouse, 41/4 per cent


5,000.00


November 1, Street Widening, Washington Sq., 4 per cent 3,000.00


November 1, High School Building Addition, 33/4 per cent


13,000.00


$580,000.00


1934


June 1, Engine House, Ward 3, 4 per cent


$2,000.00


July 1, Engine House, Ward 2, 4 per cent


5,000.00


July 1, Bicknell Schoolhouse Addition, 4 per cent


6,000.00


July 1, Edward B. Nevin Schoolhouse, 4 per cent


2,000.00


July 1, High School Building, 41/4 per cent


. 13,000.00


July 1, Town Home, 41/4 per cent


2,000.00


July 1, Pond Plain Schoolhouse, 414 per cent


4,000.00


July 1, New Hunt Schoolhouse, 4 per cent


10,000.00


July 1, New Adams School, 412 per cent


3,000.00


October 1, Pratt Schoolhouse Addition, 4 per cent


3,000.00


November 1, Bicknell Schoolhouse, 414 per cent


5,000.00


November 1, High School Building Addition 334 per cent


13,000.00


November 1, Street Widening, Washington Sq., 4 per cent


3,000.00


$71,000.00


LIABILITIES BONDS AND NOTES


1935-1950


June 1, Engine House, Ward 3, 1935-1938


$8,000.00


July 1, Engine House, Ward 2, 1935-1940


30,000.00


July 1, Bicknell Schoolhouse Addition, 1935-1950


96,000.00


July 1, Edward B. Nevin Schoolhouse, 1937-1950


6,000.00


July 1, High School Building, 1935-1941


107,000.00


July 1, Town Home, 1935-1943


18,000.00


July 1, Pond Plain Schoolhouse, 1935-1944


40,000.00


July 1, New Hunt Schoolhouse, 1935-1946


120,000.00


July 1, New Adams School, 1935-1945


32,000.00


October 1, Pratt Schoolhouse Addition, 1935-1945


33,000.00


November 1, Bicknell Schoolhouse, 1935-1944


50,000.00


November 1, High School Building Addition, 1935-1947 169,000.00


November 1, Street Widening, Washington Square, 1935-1936


6,000.00


$715,000.00


368


TOTAL AMOUNTS OF NOTES AND BONDS OUTSTANDING


Fire Station, Ward 2, 1933-1940


$40,000.00


Fire Station, Ward 3, 1933-1938


12,000.00


Edward B. Nevin Schoolhouse, 1933-1937


10,000.00


Town Home, 1933-1943


22,000.00


High School Building, 1933-1943


133,000.00


Bicknell Schoolhouse, 1933-1944


60,000.00


High School Building Addition, 1933-1947


195,000.00


Bicknell Schoolhouse Addition 1933-1950


108,000.00


Pond Plain Schoolhouse, 1933-1944


48,000.00


New Hunt Schoolhouse, 1933-1946


140,000.00


Pratt Schoolhouse Addition, 1933-1945


39,000.00


New Adams Schoolhouse, 1933-1945


38,000.00


Street Widening, Washington Sq., 1933-1936


12,000.00


Great Hill Park, 1933


9,000.00


Total debt except Anticipation of Revenue Notes Anticipation of Revenue Notes 1933


$866,000.00


500,000.00


Total


$1,366,000.00


TRUST FUNDS


Laban Pratt Hospital Bequest July 22, 1925


$300,000.00


Interest on Bank Deposits to December 31, 1931


103,053.64


Total Fund January 1, 1932


$403,053.64


INCOME 1932


East Weymouth Savings Bank, interest


$4,842.36


South Weymouth Savings Bank, interest 4,552.72


Weymouth Trust Company, S. D. interest


4,579.55


Weymouth Savings Bank, interest


4,280.81


18,255.44


$421,309.08


INVESTMENTS OF THIS FUND


Deposit in East Weymouth Savings Bank


$105,593.85


Deposit in South Weymouth Savings Bank


104,599.22


Deposit in Weymouth Savings Bank


106,468.78


Deposit in Weymouth Trust Company, S. D.


104,647.23


Total Fund December 31, 1932


$421,309.08


Laban Pratt Fountain Fund for care of Fountains


$400.00


Bequest deposited in Weymouth Savings Bank Income to December 31, 1931


330.12


Total Fund in Weymouth Savings Bank, January 1, 1932 Income received during 1932


$730.12


30.57


369


Total Fund in Weymouth Savings Bank December 1932 $760.69


MUNICIPAL BUILDING INSURANCE FUND


Deposited in Banks, May 8, 1930


$10,000.00


Added by vote of the Town in 1931


5,000.00


Interest received on this Fund to Dec. 31, 1930


203.02


Interest received during 1931


501.46


Added by vote of Town in 1932


1.00


Interest received during 1932


661.72


Total Fund, December 31, 1932


$16,367 20


INVESTMENTS OF THIS FUND


Deposit in East Weymouth Savings Bank


$4,104.21


Deposit in Weymouth Savings Bank


4,116.79


Deposit in South Weymouth Savings Bank


4,047.02


Deposit in Weymouth Trust Company, S. D.


4,099.18


Total Fund, December 31, 1932


$16,367 20


JOHN C. RHINES FUND


Bequest March 10, 1924, Income for any public purpose


$10,000.00


INVESTMENTS


Deposit in South Weymouth Savings Bank


$2.500.00


Deposit Weymouth Savings Bank


5,000.00


Deposit Weymouth Trust Company, S. D.


2,500.00


Total Fund December 31, 1932


$10,000.00


JOHN C. RHINES FUND, INCOME ACCOUNT


Income received to January 1, 1932


$2,663.65


Interest from Banks in 1932


559.76


Balance in Weymouth Trust Company, S. D. December 31, 1932


$3,223.41


ELIAS S. BEALS FUND


Income for care of Beals Park


Original Bequest


$1,000.00


Total Fund in South Weymouth Savings Bank January 1, 1932


$1,037.71


Interest received on Bank Account in 1932


47.20


370


Balance in South Weymouth Savings Bank, Dec. 31, 1932 $1,084.91


JOSEPH E. TRASK FUND


Total Fund January 1, 1932


$12,805.88


Received interest on investments 1932 $573.72


Paid above income to Town of Weymouth 573.72


$12,805.88


INVESTMENTS OF THIS FUND


Deposit in East Weymouth Savings Bank


$2,000.00


Deposit in South Weymouth Savings Bank 4,100.00


Deposit in Weymouth Savings Bank


2,000.00


Deposit in Weymouth Trust Company, S. D.


4,705.88


Total Fund December 31, 1932 $12,805.88


SUSAN HUNT STETSON FUND


Total Fund deposited in Weymouth Savings Bank January 1, 1932


$2,500.00


Received interest on deposit in 1932


$103.12


Paid Town of Weymouth Acct. Tufts Library 103.12


Total Fund on Deposit in Weymouth Savings Bank December 31, 1932 $2,500.00


THE CHARLES Q. TIRRELL DONATION


Total Fund on Deposit in Weymouth Savings Bank January 1, 1932


$1,000.00


Received interest on deposit in 1932


$41.25


Paid Town of Weymouth


41.25


Total Fund on Deposit in Weymouth Savings Bank December 31, 1932 $1,000.00


WALTER G. FORSYTH FUND


Total Fund deposited in Weymouth Savings Bank January 1, 1932


$1,000.00


Received interest on deposit in 1932


$41.25


Paid Town of Weymouth 41.25


Total Fund on deposit in Weymouth Savings Bank December 31, 1932 $1,000.00


371


MARTHA HANNAH KING FUND


Income for care of Foye Family Graves


Original Fund deposited in Weymouth Savings Bank March 23, 1932


$50.00


Interest received during 1932


1.33


Total Fund on deposit Weymouth Savings Bank December 31, 1932


$51.33


QUINCY TUFTS BEQUEST FOR FREE PUBLIC LECTURES


Deposited in Massachusetts Hospital Life Insurance Company


$5,000.00


Income to December 31. 1931


$4,447.39


Received interest from Mass. Hospital Life Insurance Co. in 1932


212.50


Received interest from Weymouth Savings Bank


189.64


$4,849.53


Expended for public lectures during 1932


245.00


Balance available in Interest Account in Weymouth Savings Bank, December 31, 1932


$4,604.53


QUINCY TUFTS BEQUEST




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