USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1933 > Part 23
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3,737.58
216.42*
5,850.00
4,045.00
4,045.00
Engineering Department
3,815.45
229.55*
6,025.00
50.00
50.00
Planning Board
26.00
24.00*
300.00
7,315.00
384.67
7,699.67
Maint. Town Hall & Mem.
7,699.67
8,880.00
100.00
100.00
Soldiers' Monuments, etc.
100.00
100.00
PROTECTION TO PERSONS AND PROPERTY
68,054.00
68,054.00 Police Department
67,414.13
639.87*
68,839.00
1,575.00
1,575.00
Police Pension
1,575.00
1,575.00
1,399.50
1,399.50
Traffic Lights-Bridge
1,399.50
$
410.97
T. Hall & War Mem. Com.
210.47 $
200.50*
343
63,910.27
584:00
64,494.27 Fire Department
64,483.17
11.10*
66,661.48
2,530.62
2,530.62
Building Inspector's Dept.
2,488.57
42.05*
2,915.00
1,425.00
1,425.00
Sealer's Department
1,422.33
2.67*
1,475.00
5,755.00
5,755.00
Moth Department
5,754.97
03*
6,326.00
2,425.00
2,425.00
Tree Department
2,251.49
173.51*
2,140.00
HEALTH AND SANITATION
10,575.00
10,575.00
Health Department
10,569.14
5.86*
15,000.00
2,000.00
2,000.00
Nurses
2,000.00
2,000.00
12,212.24
12,212.24
Norfolk County Hospital
12,212.24
12,000.00
6,000.00
6,000.00
Garbage Disposal
6,000.00
8,000.00
HIGHWAYS
114,764.00
1,505.87
116,269.87
Street Repairs, etc.
120,228.49
3,958.62
106,500.00
4,000.00
4,000.00
Permanent Sidewalks
4,000.00
14.00
14.00
Easements, etc .- Streets
14.00*
1,000.00
1,000.00
Sidewalk-Pleasant Street
998.51
1.49*
1,500.00
1,500.00
Ells Avenue
1,499.45
.55*
15,000.00
10,502.80
25,502.80
25,309.38
193.42
800.00
800.00
Randolph & Winter Streets
792.90
7.10*
275.00
275.00
Harbor Master
240.73
34.27*
275.00
36,000.00
36,000.00
Street Lighting
35,994.36
5.64*
35,721.32
CHARITIES
3,000.00
3,000 00
General Administration
2,805.00
195.00*
3,000.00
5,980.00
300.00
6,280.00
Town Infirmary II-By Other Towns
6,251.44
28.56*
6.350.00
8.500.00
8,500.00
8.494.52
5.48*
8,500.00
3,400.87±
173,400.87
170,000.00
Town Cases
179,866.38
9,866 38#-
125,000.00
500.00
500 00
Miscellaneous
497.37
2.63*
775.00
4,969.08₺ 165.88
89 969.08
85,000.00
III-For Other Towns
88,115.50
3,115.50±
70.000.00
20,000.00
20,165.88
Materials, Equipment, etc.
17,526.01
2,639.87
20,000.00
344
168.69
168.69
Tufts Fund Sidewalk
168.69
Middle Street
SOLDIERS' BENEFITS
2,200.00 35,000.00
2,200.00 35,000.00
State Aid, Mil. Aid, Burials Soldiers' Relief
2,153.00 30,609.05
47.00* 4,390.95*
2 200.00 20,000.00
- OLD AGE ASSISTANCE
45,000.00
13,731.03
58,731.03
Old Age Assistance
58,731.03
60,000.00
EDUCATION
414,250.00
414,250.00
Support of Schools
414,249.93
07*
418,825.00
1,364.51
1,364.51
Smith-Hughes Fund
1,364.51
76.40
115.73
George Reed Fund
41.73
74.00 2,000.00
50.00
50.00
Bronze Tablet
49.89
11*
LIBRARIES
19,576.00
1,025.75
20,601.75
20,600.43
1.32*
19,936.00
1,500.00
1,500.00
Tufts Library and Branches Fogg Library Reading Room
1,500.00
1,500.00
RECREATION
4,787.50
4,787.50
Parks and Playgrounds
4,781.40
6.10*
6,270.00
UNCLASSIFIED
700.00
700.00
Observance Memorial Day
696.38
3.62*
700.00
515.65
515.65
Tufts Fund Lectures
515.65
Discharging Incumbrances
1.00*
5.95
5.95
Maint. Laban Pratt Fountain
5.95
39.33 2,000.00
2,000.00
Stetson-Hunt Property
345
1.00
1.00
1,729.60
1,729.60
Dog License Fees
1,715.80
13.80
155.44
155.44
Mosquito Control
155.44
450.00
822.01
822.01
Abatement Oil Nuisance
280.00
542.01
14,373.00
182.66
14,555.66
Fire Insurance
14,555.66
99.78
1,660.20
1,152.81
2,813.01
Miscellaneous Expenses
2,813.01
2,550 00
6,724.81
6,724.81
Unpaid Bills
6,679.81
45.00*
5,000.00
1,400.00
1,400.00
Care Soldiers' Graves
1,316.52
83.48*
1,400.00
125.10
125.10
Survey of Cemeteries
125.10
600.00
600.00
Care of Old Cemeteries
600.00
600.00
1.00
1.00
Municipal Bldgs. Ins. Fund
1.00
1.00
25,000.00
25,000.00
Reserve Fund
25,000.00
25,000.00
3,600.00
3,600.00
C. W. A. Fund
3,600.00
PUBLIC SERVICE ENTERPRISE
350.00
Alewife Fishery
346.06
3.94*
350.00
346
INTEREST AND DEBT REQUIREMENTS
55.000.00
6,266.37 1,036,000.00
61,266.37 1,616,000.00
Interest and Discount
61,265.37
58,000.00
500,000.00
80,000.00
Bonds and Notes
1,081,000.00
535,000.00
70,000.00
AGENCY TRANSACTIONS
40,130.58₺
40,130.58 43 812.72
State Liabilities-1931 State Liabilities-1932
43,812.72*
144,499.74
136.02
144,635.76 35,104.62
State Liabilities-1933
35,104.62
County Liabilities-1933
144,635.76 35,101.62
REFUNDS
Abatement Account-1930
176.00
176.00
350.00
732.91
1,798.67 11,993.39
Abatement Account-1931
1,851.47
52.80± 1,809.50±
Abatement Account-1932
13,802.89
7,855.09
7,855.09
Abatement Account-1933
4,514.57
3,340.52
$424,309.19 $1,680,266.03 $1,098,484.29 $3,203,059.51
$2,667,094.39
$535,965.12 $1,325,682.58
Balances Overdrafts
$554,943.92
18,978.80
7
535,965.12
Note: Balances designated thus (*) transferred to the General Fund. Items designated thus (#) represent overdrafts. All other balances transferred to the 1934 accounts.
EMERSON R. DIZER,
Town Accountant.
347
1,065.76 11,993.39
COMPARATIVE STATEMENT OF ITEMS USED IN DETERMINING THE TAX RATE FOR THE YEARS
1928 TO 1933, INCLUSIVE
1928
1929
1930
1931
1932
1933
General Government
$ 968,220.06
$1,075,934.72
$1,147,471.43
$1,060,714.09
$ 925,684.48
$ 903,252.05
Charities, Soldiers' Benefits,
Old Age Assistance
61,995.00
105,035.00
133,235.00
193,480.00
256,558.90
338,549.95
Debt Retirement
57,246.20
63,104.00
78,077.70
81,858.00
104,000.00
80,000.00
Interest and Discount
41,000.00
40,000.00
59,331.00
62,000.00
72,337.91
55,000.00
State Liabilities
81,930.32
90,153.21
122,780.27
111,775.32
109,930.73
228,444.04
County Liabilities
44,500.00
48,189.24
49,684.03
52,424.48
41,308.08
35,104.62
TOTAL CHARGES
$1,254,891.58
$1,422,416.17
$1,590,579.43
$1,562,251.89
$1,509,820.10
$1,640,350.66
Income Tax
$ 92,936.62
CA 125,380.00
LA 152,147.39
$ 131,055.65
$ 100,163.51
$ 68,482.03
Corporation Tax
91,052.12
95,000.00
94,007.51
97,074.64
88,348.12
77,228.03
Estimated Receipts
47,205.43
104,481.77
110,830.93
112 319.98
138,000.00
122,225.71
Free Cash Voted
65.000.00
40,000.00
75.000.00
83 943.30
Poll Taxes
11,766.00
12,144.00
12,528.00
12,986.00
13,384.00
13,532.00
O. A. A. Taxes
6,555.00
6,745.00
6,824.00
Highway Offset
15,008.73
37.558.54
O. A. A .- Refund
16,175.44
15.433.41
Federal Relief Act
47,518.14
TOTAL CREDITS
$ 307,950.17
$ 377,005.77
$ 369,513.83
$ 450,000.00
$ 400,374.61
$ 435,186.62
BALANCE TO BE
RAISED IN LEVY
946,931.41
1,045,410.40
1,221,065.60
1,112,251.89
1,109,445.49
1,205,164.04
TAX RATE
23.80
24.50
27.50
24.25
24.00
26.00
348
NET DEBT
762,000.00 -
900,000.00
989,000.00
932,000.00
866,000.00
786,000.00
BORROWING CAPACITY
354,999.60
329,780.58
333,026.33
494,601.41
563,459.77
646,628.67
SURPLUS REVENUE
198,829.51
117,802.19
183,554.94
164,978.07
177,593.40
130,772.52
EMERSON R. DIZER,
Town Accountant.
349
TOWN OF WEYMOUTH Balance Sheet December 31, 1933 GENERAL ACCOUNTS
ASSETS
LIABILITIES
Treasurer's Cash : Water Town
$ 45,666.73 236,078.67
$281,745.40
Appropriation Balances: Town Water
$ 9,063.10 19,343.13
28,406.23
Taxes-Levy 1933
75,657.69 348,787.43
424,445.12
Motor Vehicle Excise Taxes :
Levy 1932
1,507.75
Levy 1933
6,366.60
7,874.35
Overlays Reserved for Abatements Levy of 1933 3,340.52
350
Old Age Assistance Taxes:
Levy 1932
43.00
Levy 1933
1,353.00
1,396.00
Motor Vehicle Excise Tax 7,874.35
Moth Assessments 649.25
Tax Title Revenue
29,022.13
Moth, 1932
75.50
Departmental
69.799.83
Moth, 1933
573.75
649.25
Water
53,473.98
162,215.54
Departmental Accounts
69,799.83
Water Department:
Rates
51.372.48
Construction
2,101.50
53,473.98
Tax Titles Appropriation Overdrafts : (Sec. 31, Chap. 44, G. L.)
29,022.13
Temporary Loans:
In Anticipation of Revenue
$535,000.00
Accounts Receivable :
Taxes-Levy 1932
Reserve Fund-Overlay Surplus
1,326.45
Revenue Reserved Until Collected : Old Age Assistance Tax 1,396.00
Special Assessments :
Streets
Charities
3,958.62 12,981.88
16,940.50
Overdrafts:
Overlay-1930
176.00
Overlay-1931
52.80
Overlay-1932
1 809.50
2,038.30
Loans authorized-unissued : Land Bordering Pond
5,000.00
Town
31,323.60 130,772.52
162,096.12
$892,384.86
$892 384.86
REAL ESTATE AND PERSONAL PROPERTY ACCOUNT
Land
Buildings
$347.175.00 Real Estate and Personal Property 1,634,900.00 1,459 497.65
$3,441,572.65
Personal
$3,441,572.65
$3,441,572.65
351
Surplus Revenue : Water
Net General Debt Net Water Debt
DEBT ACCOUNTS
$786 000 00 Nevin Schoolhouse Loan
$ 8,000.00
92,500.00 High School Addition Loan-1923
120,000.00
New Town Infirmary Loan 20,000.00
Bicknell Schoolhouse Loan
55,000.00
Washington Square Widening Loan
9,000.00
Pratt Schoolhouse Addition Loan
36,000.00
High School Addition Loan-1927
182,000.00
Pond Schoolhouse Loan 44,000.00
Hunt Schoolhouse Addition Loan
130.000.00
Ward Three Fire Station Loan
10,000.00
Ward Two Fire Station Loan
35,000.00
Bicknell Schoolhouse Addition Loan
102.000.00
Adams Schoolhouse Loan
35,000.00
Water Loan-Nov. 1, 1914
3 000.00
Water Loan-May 1, 1921
3,000.00
Water Loan-Oct. 1, 1924
1,000.00
Water Loan-April 1, 1925
7,000.00
Water Loan-May 1, 1926
1,000.00
Water Loan-July 1, 1926
8,000.00
Water Loan-April 1, 1927
9,000 00
Water Loan-May 1, 1928
10.000.00
Water Loan-May 1, 1929
11,000.00
Water Loan-Nov. 1, 1929
11,000.00
Water Loan-April 1, 1930
12,000.00
Water Loan-May 1, 1931
6,500.00
Water Loan-Dec. 1, 1933
10,000.00
$878,500.00
$878,500.00
352
TRUST AND INVESTMENT ACCOUNTS
Tufts Fund, Free Public Lectures $ 5,000.00
Tufts Fund, Free Public Lectures, Income 4,441.97
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
27.24
Tufts Fund, Care Tufts Tomb 500.00
John C. Rhines Fund
10,000.00
John C. Rhines Fund, Income
3,719.08
Elias S. Beals Park Fund
1,000.00
Elias S. Beals Park Fund, Income
125.95
Laban Pratt Fountain Fund
400.00
Laban Pratt Fountain Fund, Income
382.58
Laban Pratt Hospital Bequest
Laban Pratt Hospital Bequest, Income
136 887.50
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
Municipal Buildings Insurance Fund
16,973.33
Martha Hannah King Fund 53.19
H. S. Moody Land Co. Fund. Water 2,000.00
N. Y. N. H. & H. R. R. Co. Bonds, Water
17,000.00
$530,816.72
$530,816.72
Trust and Investment Funds : Cash and Securities : Town
$511,816.72
Water
19,000.00
300,000.00
353
DEBT STATEMENT January 1, 1934
Assessors' Valuation for the year 1931 Less Abatements to December 31, 1933
$46,461,630.00 582,500.00
$45,879,130.00
Assessors' Valuation of Motor Vehicles for 1931
$ 1,916,908.00
Less Abatements to December 31, 1933
141,490.00
1,775,418.00 $ 47,654,548.00
Assessors' Valuation for the year 1932
$47,037,748.00
Less Abatements to December 31, 1933
656,695.00
$46,381,053.00
Assessors' Valuation of Motor Vehicles for 1932
$ 1,525,400.00
Less Abatements to December 31, 1933
103,460.00
1,421,940.00
47,802,993.00
Assessors' Valuation for the year 1933
$46,658,932.00
Less Abatements to December 31, 1933
157,637.00
$46,501,295.00
Assessors' Valuation of Motor Vehicles for 1933
$ 1,355,031.00
Less Abatements to December 31, 1933
51,000.00
1,304,031.00
47,805,326.00
Gross net valuation for three years Average valuation
$143 262,867.00 47,754,289.00
$ 1,432,628.67 $ 1,413,500.00
3 per cent Total debt of all kinds incurred and outstanding : Schoolhouses Highways Fire Stations
New Town Infirmary
$ 712,000.00 9,000.00 45.000.00 20,000.00
354
Water Bonds and Notes Anticipation of Revenue Notes
92,500.00 535,000.00
$ 1,413,500.00
Less debts outside the debt limit: Water Bonds, Acts 1914, Chapter 353
$ 3,000.00
Water Bonds, Acts 1913, Chapter 276
3,000.00
Water Notes, General Laws
86,500.00
Anticipation of Revenue Notes
535,000.00
627,500.00
Balance of debt within the debt limit
786,000.00
BORROWING CAPACITY AS OF DECEMBER 31, 1933
$ 646,628.67
EMERSON R. DIZER,
355
Town Accountant.
PUBLIC PROPERTY 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
10,000.00
2,000.00
13,000.00
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
400.00
7,500.00
14,236.74
22,136.74
Fire Station 2
Broad
3,000.00
56,000.00
36,274.07
95,274.07
Fire Station
Washington
800.00
25,000.00
18,067.10
43,867.10
Fire Station 5
Pleasant
725.00
6,250.00
23.000.55
29,975 55
Fire Alarm System
47,000.00
47,000.00
Sealer's Department
1,000.00
1,000.00
Spraying Machines, etc.
4,000.00
4,000.00
Highway Department:
Headquarters
Commercial
1,000.00
12,500.00
43,920.65
57,420.65
Stone Crusher
Wharf
3,000.00
3,000.00
Welfare Department:
Essex
6,700.00
23,750.00
2,758.79
33,208.79
Outbuildings
1,500.00
284.90
1,784.90
School Department :
Middle
12,000.00
425,000.00
45,000.00
482.000.00
High School
Middle
3,000.00
3,000.00
Industrial School Building
25,000.00
5,000.00
30 000 00
Athens School
Athens
1,000.00
65,000.00
8 000.00
74 000 00
Bicknell School
Bridge
12,500.00
177,500.00
15,000.00
205,000.00
Adams School
Church
500.00
6,000.00
800.00
7,300.00
Town Infirmary
600.00
149.50
749.50
Garage
High School
356
New Adams School
Church Middle
3,000.00
25,000.00
2,000.00
30,000.00
Jefferson School
1,300.00
25,000.00
3,000.00
29,300.00
Washington School
Commercial
2,000.00
20,000.00
3,000.00
25,000.00
James Humphrey School
Lake
3,000.00
54,375.00
8,000.00
65,375.00
New Hunt School
Broad
3,450.00
189,375.00
15,000.00
207,825.00
Lincoln School
Broad
6,875.00
800.00
7,675.00
Center Portable
Washington
450.00
4,500.00
800.00
5,750.00
Pratt School
Pleasant
1,200.00
61,250.00
9,000.00
71,450.00
Shaw School
Main
1,100.00
17,500.00
3,600.00
22,200.00
E. B. Nevin School
Main
4,000.00
54,375.00
1,200.00
59,575.00
Portable-Nevin
Main
3,000.00
800.00
3,800.00
Pond School-Old
Pond
300.00
3,750.00
4,050.00
Pond School-New
Pond
5,500.00
46,875.00
2,000.00
54,375.00
Libraries :
Washington
2,600.00
50,000.00
40,000.00
92,600.00
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
Alcwife Fishery
Commercial
1,000.00
500.00
25.00
1,525.00
Old Fire Station 2
Broad
500.00
6,250.00
6,750.00
Legion Memorial Field
Commercial
45,000.00
1,500.00
46,500.00
Lot of Land
North
100.00
100.00
Lot of Land
Essex
50.00
50.00
Tufts Library
357
Lot of Land
Broad
200.00
Lot of Land
Jackson Square
200.00
200.00
Lot of Land
Front
100.00
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
Great Pond
100.00
100.00
Band Stands
1,000.00
1,000.00
Flag Staffs, etc.
625.00
625.00
Fences, Gates and Snow Fences
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
14,247.62
14,247.62
Storage Shed
Hollis
1,600.00
50.00
1,650.00
Stand Pipe
Reed Avenue
400.00
12,000.00
12,400.00
Tenement House
Near Great Pond
114,000.00
3,125.00
117,125.00
Pumping Unit
8,000.00
8,000.00
Land
Hollis
200.00
200.00
Land
Randolph
100.00
100.00
Water Mains, Pipes, etc.
1,021,457.73
1,021.457.73
$347,175.00
$1,634,900.00
$1,459,497.65
$3,441,572,65
December 31, 1933
EMERSON R. DIZER, Town Accountant.
358
200.00
2,000.00
Island
359
TOWN TREASURER'S REPORT
To the Citizens of the Town of Weymouth:
Following is my third report as your custodian of Town Funds:
RECEIPTS
For Notes Given in Anticipation of Revenue :
January 16, Due November 24, 1933 @ 1.30% Discount $200,000.00
January 16, Due November 24, 1933 @ 1.29% Discount 100,000.00
February 13, Due December 29, 1933 @ .95% Discount 100.000.00
March 27, Due December 29, 1933 @ 5.00% Discount 100,000.00
April 10, Due January 12, 1934 @ 4.80% Discount
35,000.00
May 1, Due February 9, 1934 @ 5.50 % Discount
25,000.00
May 22, Due February 9, 1934 @ 5.50% Discount
25,000.00
May 22, Due February 10, 1934 @ 5.50% Discount
20,000.00
May 22, Due March 15, 1934 @5.25% Discount
30,000.00
June 5, Due March 1, 1934 @ 5.25% Discount
150,000.00
June 5, Due March 15, 1934 @ 5.50 Discount
20,000.00
June 5, Due March 15, 1934 @ 5.25% Discount
30,000.00
June 12, Due March 15, 1934 @ 5.25% Discount
10,000.00
June 26, Due March 15, 1934 @ 5.25% Discount
40,000.00
August 14, Due June 1, 1934 @ 4.00% Discount
100,000.00
October 23, Due July 14, 1934 @ 3.25% Discount
50,000.00
Total in Anticipation of Revenue
$1,035,000.00
School Department
$3,913.50
Street Department
545.87
Licenses and Permits
9,461.00
Refund Welfare
16,533.09
Refund Legal Department
5.10
State Treasurer
239,317.95
Commonwealth of Massachusetts a/c Middle St.
10,497.80
Commonwealth of Massachusetts a/c Park Avenue
600.00
Building Inspector
457.00
Sealer's Fees
321.02
Tax Releases
7,405.82
Tree and Moth Department
31.70
Water Department-Accounting Department
550.00
Dedham Court Fines
83.00
East Norfolk District Court Fines
415.69
Tufts Library Fines
724.27
County Treasurer-Dog Tax Refund
2,202.32
Alewife Fishery
275.30
Board of Health
164.50
Income Trust Funds
1,706.04
I terest Weymouth Trust Company
72.34
Interest First National Bank of Boston
125.88
Interest Second National Bank of Boston
461.18
Fire Insurance Dividend
47.02
Federal Emergency C. W. Service Fund
3,600.00
Federal Emergency Relief Fund
47,518.16
360
Donations from Employees
45,483.97
Taxes, 1931
40,865.48
Taxes, 1931 Interest
3,195.31
Taxes, 1932
229 354.50
Taxes, 1932 Interest
10,417.60
Taxes, 1933
908,233.86
Taxes, 1933 Interest
469.56
Miscellaneous
697.87
Water Department Toward Collecting Expense
1,500.00
Taxes Paid After Being Rebated
28.45
Total
$2,622,282.15
Cash on Hand January 1, 1933
238,694.10
Total
$2,860,976.25
DISBURSEMENTS
Paid on Selectmen's Warrants For:
Notes Given in Anticipation of Revenue
$1,000,000.00
Other Notes and Bonds
81,000.00
Sundry Appropriations
1,543 897.58
Total
$2,624,897.58
Cash in Banks December 31, 1933
236,056.83
Cash on Hand December 31, 1933
11.84
Total
$2,860,976.25
ASSETS
Due From F. W. Holbrook, Collector of Taxes, 1932
$77,283.94
Due From F. W. Holbrook, Collector of Taxes, 1933 Trust Funds
361,257.88
Accumulated Interest Trust Funds
147,558.84
Deposit Weymouth Trust Company
45,985.08
Deposit First National Bank of Boston
94 708.13
Deposit Second National Bank of Boston
95,373.62
Cash on Hand
11.84
Sundry Bills Receivable
69,799.83
$1,249,059.94
Less Outstanding Checks
38,462.45
Total Assets
$1,210,597.49
357,080.78
361
LIABILITIES BONDS AND NOTES
1934
June 1, Engine House, Ward 3, 4%
$2,000.00
July 1, Engine House, Ward 2, 4%
5,000.00
July 1, Bicknell Schoolhouse Addition, 4%
6.000.00
July 1, Edward B. Nevin Schoolhouse, 4%
2,000.00
July 1, High School Building, 41/4%
13,000.00
July 1, Town Home, 414%
2,000.00
July 1, Pond Plain Schoolhouse, 414%
4,000.00
July 1, New Hunt Schoolhouse, 4%
10,000.00
July 1, New Adams School, 41/2%
3,000.00
October 1, Pratt Schoolhouse Addition, 4%
3,000.00
November 1, Bicknell Schoolhouse, 414%
5,000.00
November 1, High School Building Addition, 33/4%
13,000.00
November 1, Street Widening, Washington Square, 4%
3,000.00
$71,000.00
1935
June 1, Engine House, Ward 3, 4%
$2 000.00
July 1, Engine House, Ward 2, 4%
5,000.00
July 1, Bicknell Schoolhouse Addition, 4%
6,030.00
July 1, Edward B. Nevin Schoolhouse, 4%
2,000.00
July 1, High School Building, 414%
13,000.00
July 1, Town Home, 414%
2,000.00
July 1, Pond Plain Schoolhouse, 41/4%
4,000.00
July 1, New Hunt Schoolhouse, 4%
10,000.00
July 1, New Adams School, 41/2%
3,000.00
October 1, Pratt Schoolhouse Addition, 4%
3,000.00
November 1, Bicknell Schoolhouse, 41/4%
5,000.00
November 1, High School Building Addition, 33/4%
13,000.00
November 1, Street Widening, Washington Square, 4%
3,000.00
$71,000.00
1936-1950
June 1, Engine House, Ward 3, 1936-1938
$6,000.00
July 1, Engine House, Ward 2, 1936-1940
25,000.00
July 1, Bicknell Schoolhouse Addition, 1936-1950
90,000.00
July 1, Edward B. Nevin Schoolhouse, 1936-1937
4,000.00
July 1, High School Building, 1936-1941
94,000.00
July 1, Town Home, 1936-1943
16,000.00
July 1, Pond Plain Schoolhouse, 1936-1944
36.000.00
July 1, New Hunt Schoolhouse, 1936-1946
110,000.00
July 1, New Adams School, 1936-1945
29,000.00
362
October 1, Pratt Schoolhouse Addition, 1936-1945
30 000.00
November 1, Bicknell Schoolhouse, 1936-1914 45,000.00
November 1, High School Building Addition, 1936-1947
156,000.00
November 1, Street Widening, Washington Square, 1936 3,000.00
$544,000.00
TOTAL AMOUNTS OF NOTES AND BONDS OUTSTANDING
Fire Station, Ward 3, 1934-1938
$10,000.00
Fire Station, Ward 2, 1934-1940
35,000.00
Bicknell Schoolhouse Addition, 1934-1950
102,000.00
Edward B. Nevin Schoolhouse, 1934-1937
8,000.00
High School Building, 1934-1943
120,000.00
Town Home, 1934-1943
20,000.00
Pond Plain Schoolhouse, 1934-1944
44,000.00
New Hunt Schoolhouse, 1934-1946
130,000.00
New Adams Schoolhouse, 1934-1945
35,000 00
Pratt Schoolhouse Addition, 1934-1945
36.000.00
Bicknell Schoolhouse, 1934-1944
55,000.00
High School Building Addition, 1934-1947
182,000.00
Street Widening, Washington Square, 1934-1936
9,000.00
Total Debt Except Anticipation of Revenue Notes
$786,000.00
Anticipation of Revenue Notes 1934
535,000.00
Total
$1,321,000.00
TRUST FUNDS
Laban Pratt Hospital Bequest July 22, 1925
$300,000.00
Interest on Bank Deposits to December 31, 1932
121,309.08
Total Fund January 1, 1933
$421,309.08
INCOME 1933
East Weymouth Savings Bank, Interest
$3,728.10
South Weymouth Savings Bank, Interest 3,959.07
Weymouth Trust Company, S. D. Interest
3,979.51
Weymouth Savings Bank, Interest
3,911.74
·
$15,578.42
$436,887.50
363
INVESTMENTS OF THIS FUND
Deposit in East Weymouth Savings Bank
$109,321.95
Deposit in South Weymouth Savings Bank 108,558.29
Deposit in Weymouth Savings Bank 110,380.52
Deposit in Weymouth Trust Company, S. D.
108,626.74
Total Fund December 31, 1933 $436,887.50
Laban Pratt Fountain Fund for Care of Fountains
$400.00
Bequest Deposited in Weymouth Savings Bank
Income to December 31, 1932
350.69
Total Fund in Weymouth Savings Bank January 1, 1933
$760.69
Income Received During 1933
27.84
$788.63
Amount Expended in 1933
5.95
Total Fund in Weymouth Savings Bank December, 1933 $782.58
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 December 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
Added by Vote of Town in 1933
1.00
Interest Received in 1933 605.13
Total Fund, December 31, 1933
$16,973.33
INVESTMENTS OF THIS FUND
Deposit in East Weymouth Savings Bank
$4,249.11
Deposit in Weymouth Savings Bank
4,268.03
Deposit in South Weymouth Savings Bank
4,200.18
Deposit in Weymouth Trust Company, S. D.
4,256.01
Total Fund December 31, 1933
$16,973.33
JOHN C. RHINES FUND
Bequest, March 10, 1924, Income for Any Public Purpose
$10,000.00
364
INVESTMENTS
Deposit in South Weymouth Savings Bank
$2,500.00
Deposit in Weymouth Savings Bank 5,000.00
Deposit in Weymouth Trust Company, S. D.
2,500.00
Total Fund December 31, 1933
$10,000.00
JOHN C. RHINES FUND, INCOME ACCOUNT
Income Received to January 1, 1933
$3,223.41
Interest from Banks in 1933
495.67
Balance in Weymouth Trust Company, S. D., Dec. 31, 1933
$3,719.08
ELIAS S. BEALS FUND
Income for Care of Beals Park, Original Bequest $1,000.00
Total Fund in South Weymouth Savings Bank, Jan. 1, 1933
$1,084.91
Interest Received on Bank Account in 1933 41.04
Balance in South Weymouth Savings Bank, Dec. 31, 1933
$1,125,95
JOSEPH E. TRASK FUND
Total Fund January 1, 1933 $12,805.88.
Received Interest on Investments, 1933
$472.66
Paid Above Income to Town of Weymouth 472.66
Total Fund December 31, 1933
$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, 1933
$12,805.88
SUSAN HUNT STETSON FUND
Total Fund Deposited in Weymouth Savings Bank, Jan. 1, 1933 $2,500.00
365
Received Interest on Deposit in 1933 $90.61 Paid Town of Weymouth Account Tufts Library 90.61
Total Fund on Deposit in Wey. Savings Bank Dec. 31, 1933 $2,500.00
THE CHARLES Q. TIRRELL DONATION
Total Fund on Deposit in Wey. Savings Bank Jan. 1, 1933 $1,000.00
Received Interest on Deposit in 1933 $36.25
Paid Town of Weymouth 36.25
Total Fund on Deposit in Wey. Savings Bank Dec. 31, 1933 $1,000.00
WALTER G. FORSYTH FUND
Total Fund Deposited in Wey. Savings Bank Jan. 1, 1933 $1000.00
Received Interest on Deposit in 1933 $36.25
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