USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1936 > Part 20
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).
Part 1 | Part 2 | Part 3 | Part 4 | Part 5 | Part 6 | Part 7 | Part 8 | Part 9 | Part 10 | Part 11 | Part 12 | Part 13 | Part 14 | Part 15 | Part 16 | Part 17 | Part 18 | Part 19 | Part 20 | Part 21 | Part 22 | Part 23 | Part 24 | Part 25
50,400
Number of volumes of fiction lent Total number of volumes lent
173,299
Number of borrowers registered
7,083
Number of new borrowers registered in 1936
1,197
Receipts from
Payments for
Town appropriation
$ 20,959.00
Books & Periodicals
$ 3,659.62
Endowment funds
921.06
Binding
1,015.08
Salaries, library service, janitor service
12,200.56
Heat
440.92
Light
467.91
Rent (Branches)
1,680.00
Other expenses
2,315.13
Unexpended balance
100.84
$ 21,880.06
$ 21,880.06
1
124,219
Number of periodicals received: 133 titles; 195 copies
2,262
236
APPENDIX A Circulation by Classes from Tufts Library and Branches
Main
North Weymouth
East Weymouth
Weymouth Heights
Grand Totals
Adult
Juvenile
Total
Adult
Juvenile
Total
Adult
Juvenile
Total
Adult
Juvenile
Total
Adult
Juvenile
Total
General Works
133
8
141
2
2
16
1
17
151
9
160
Philosophy
740
20
760
37
37
124
3
127
24
24
925
23
948
Religion
256
217
473
38
51
89
81
149
230
8
3
11
383
420
803
Social Sciences
1,475
3,723
5,198
87
1,591
1,678
178
2,078
2,256
31
446
477
1,771
7,838
9,609
Language
100
2
102
2
2
56
56
2
1
3
158
5
163
Natural Science
760
819
1,579
36
180
216
100
264
364
33
95
128
929
1,358
2,287
Useful Arts
1,776
860
2,636
115
395
510
228
492
720
48
120
168
2,167
1,867
4,034
Fine Arts
2,278
2,275
4,553
51
597
648
200
907
1,107
47
392
439
2,576
4,171
6,747
Literature
1,669
645
2,314
140
105
245
391
233
624
100
36
136
2,300
1,019
3,319
History
857
683
1,540
139
99
238
165
116
281
18
67
85
1,179
965
2,144
Travel
1,797
1,057
2,854
376
168
544
414
288
702
275
191
466
2,862
1,704
4,566
Biography
1,820
689
2,509
355
153
508
415
276
691
247
135
382
2,837
1,253
4,090
Periodicals
4,058
825
4,883
1,565
419
1,984
2,319
504
2,823
130
13
143
8,072
1,761
9,833
Pamphlets
301
72
373
8
6
14
309
78
387
Fiction
49,038
13,205
62,243
19,442
6,374
25,816
21,699
6,663
28,362
5,835
1,953
7,788
96,014
28,195 124,209
Total
67,058 25,100 92,158
22,383
10,134
32,517
26,394
11,980
38,374 6,798
3,452
10,250 122,633
50,666 173,299
Number of Volumes Distributed through the Several Delivery Stations
Precincts
Delivery Stations
Loans
4
Alfred S. Tirrell
3276
5
Fogg Memorial Library
1221
7
W. B. Chalke & Sons
3152
7649
Number of Volumes Distributed through Schools
6576
.
.
237
APPENDIX B
Registrations
Number of borrowers registered December 1935
6,808
Number of new registrations during 1936:
Tufts Library
Adult
372
Juvenile
220
592
East Weymouth Branch
Adult
151
Juvenile
159
310
North Weymouth Branch
Adult
152
Juvenile
114
266
Weymouth Heights Station
Adult
7
Juvenile
22
29
1197
Number of renewed registrations during 1936
1058
9063
Number of registrations which expired in 1936
1834
7229
Number of registrations void thru death or removal from town
146
Number of borrowers December 31, 1936
7083
238
THE FINANCIAL REPORT OF THE TUFTS LIBRARY FOR THE YEAR ENDING DECEMBER 31, 1936
Salaries and Wages:
Librarian and Assistants Janitor
$ 8,825.93
1,596.00
$ 10,421.93
Books and Periodicals
2,765.43
Transportation of Books
257.00
Binding Books
1,015.08
Fuel
440.92
Light
392.14
Maintenance of Building
835.11
Other Expenses: Insurance
15.38
Telephoning, printing, supplies, etc.
909.46
924.84
17,052.45
North Weymouth Branch:
Librarians
744.35
Rent
660.00
Books and Periodicals
429.09
Maintenance of Building
20.44
Light
29.29
Transportation of Books
30.00
Sundries
3.83
1,917.00
East Weymouth Branch:
Librarians
818.28
Janitor
216.00
Rent
1,020.00
Books and Periodicals
465.10
Light
46.48
Maintenance of Building
178.46
Transportation of Books
53.00
Sundries
12.45
2,809.77
Total Expended
$ 21,779.22
Balance to Treasury
100.84
Total
$ 21,880.06
Appropriation, March 2, 1936
$ 20,959.00
Income from other sources:
Tufts Fund - Books
75.00
Tufts Fund - Reading Room
75.00
Joseph E. Trask Fund
360.60
Augustus J. Richards Fund
142.48
Susannah Hunt Stetson Fund
75.00
Tirrell Donation
30.00
Francis Flint Forsythe Fund
30.00
Arthur E. Pratt Fund
90.00
Charles Henry Pratt Fund
15.00
William H. Pratt Fund
27.98
Total
$ 21,880.06
December 31, 1936
EMERSON R. DIZER
Town Accountant
..
ANNUAL REPORT
OF THE
WATER DEPARTMENT
G
SET-
-16
M
VINCER
RAR MASSACHUSETTS
W
WEYMOUTH, MASS.
1936
241
REPORT OF SUPERINTENDENT
To the Board of Water Commissioners:
The following tables and summaries, covering in detail the work of the department for the year ending December 31, 1936, are respectfully sumitted:
FRED O. STEVENS, Superintendent.
SUMMARY OF STATISTICS
Year Ending December 31, 1936. In form recommended by New England Waterworks Association Weymouth Waterworks, Weymouth, Mass.
Population 1932: Winter 20,000; summer 24,000.
Date of construction: 1885.
By whom owned: Town of Weymouth
Source of supply: Weymouth Great Pond.
Mode of supply: Pumping to reservoir and gravity.
Capacity of reservoirs: 2,120,000 gallons.
PUMPING STATISTICS
1. Pumping Machinery :
LOW LIFT
No. 1. De Laval Single Stage Pump, 10 H. P. G. E. Motor.
No. 2. De Laval Single Stage Pump, 10 H. P. G. E. Motor.
No. 3. De Laval Single Stage Pump, 15 H. P. G. E. Motor.
HIGH LIFT
No. 4. De Laval Single Stage Pump, 60 H. P. G. E. Motor
No. 5. De Laval Single Stage Pump, 75 H. P. G. E. Motor.
No. 6. De Laval Single Stage Pump, 100 H. P. G. E. Motor.
No. 7. Allis-Chalmers Single Stage Pump, 70 H. P. G. E. Motor (Reserve Station).
No. 8. Worthington Two Stage Pump, 70 H. P. G. E. Motor (Reserve Station).
No. 9. De Laval Single Stage Pump, 150 H. P. Sterling Engine, (Emer- gency).
2. Capacity of Pumps:
No. 1. 1,500,000 gallons per 24 hours.
No. 2. 1,800,000 gallons per 24 hours.
No. 3. 2,200,000 gallons per 24 hours.
No.| 4. 1,500,000 gallons per 24 hours.
No. 5. 1,800,000 gallons per 24 hours.
No. 6. 2,200,000 gallons per 24 hours.
No. 7. 1,700,000 gallons per 24 hours.
No. 8. 1,400,000 gallons per 24 hours. No. 9. 2,600,000 gallons per 24 hours.
242
3. Electric current used K.W.H., 284,113.
4. Total pumpage for year, 262,210,000 gallons.
5. Average static lift of pumps, 108 feet.
6. Average total lift of pumps, 156 feet.
7. Cost of current per million gallons, $23.75.
8. Cost per million gallons raised one foot, $0.152.
RELATING TO DISTRIBUTION
MAINS
1. Kind of Pipe: Cast iron, wrought iron and lead.
2. Sizes: From one inch to fourteen inches.
3. Extended: 369 feet.
4. Replaced small wrought iron with cast iron, 2158 feet.
5. Total now in use, 106,35 miles.
6. Length of pipes less than 4 inches in diameter: 20.2 (Mostly summer lines).
7. Number of hydrants added during year: 4.
8. Number of hydrants now in use: 605.
9. Number of stop-gates added during year: 1.
10. Number of stop-gates now in use: 880.
11. Number of stop-gates smaller than 4 inches: 147.
12. Number of blow-offs: 51.
13. Range of static pressure on mains: 18 to 105 pounds.
SERVICES
14. Kind of pipe: Cast iron, cement lined, wrought iron, lead and lead lined.
15. Sizes: % to 8 inches.
16. Extended. 684 feet.
17. Discontinued: None.
18. Total in use: 27.177 miles.
19. Number of services added: 36.
20. Total services December 31, 1936: 6996.
21. Average length of services added during year: 18.9 feet.
22. Number of meters added: 49.
23. Number of meters now in use: 5,170.
24. Percentage of service metered: 73.9%.
STATISTICS OF CONSUMPTION
1. Population: Winter, 20,000; summer, 24,000; average, 22,000.
2. Total consumption for 1936: 507,510,000 gallons.
3. Average daily consumption: 1,385 gallons.
4. Gallons per day per capita: 63.0.
5. Total through commercial meters: 95,210,000.
6. * Domestic consumption (2) - (5): 402,300,000.
7. Gallons per day per capita, based on (6) : 50.0.
8. Total through meters: 272,872,500.
9. Per cent accounted for by meters: 53.8.
*Includes all unmetered water.
TABLE I-CONSUMPTION AND PUMPING FOR 1936.
Total Pumped Millions of Gals.
Total by Gravity
Millions of Gals.
Total Output
Millions of Gals.
WASH WATER
Millions of Gallons
Per Cent
Total Filtered
Millions of Gals.
Total K.W.H.
Cost per
Million Gallon
Output
January
19.60
25.00
44.60
20,368
11.10
February
23.30
29.20
52.50
19,805
9.28
March
14.53
19.00
33.53
1.770
4.30
35.300
21,220
15.40
Apr#
19.68
18.30
37.98
713
1.76
38.693
24,113
14.55
May
23.05
19.10
42.15
615
1.37
42.765
20,557
11.80
June
27.47
19.50
46.97
630
1.52
47.600
23,280
11.51
July
28.69
20.60
29.29
1.522
2.92
50.812
29,960
11.62
August
27.22
21.10
48.32
1.672
3.26
49.992
29,280
11.78
September
19.71
19.20
38.91
1.121
2.75
40.031
28,810
14.45
October
19.88
19.00
38.88
1.302
3.10
40.182
21,600
12.25
November
19.07
17.40
36.47
.841
2.20
37.311
22,080
13.22
December
20.01
17.90
37.91
762
1.90
38.672
23,040
13.00
Totals
262.21
245.30
507.51
10.948
421,358
284,113
Average Day
.. 71
.67
1.39
.030
1.380
777
12.30
Maximum Day
1.73
.79
2.20
.118
6.7
Minimum Day
.34
.32
.90
0
0
243
244
TABLE IL-TREATMENT FOR 1936
Average Color
Average PH
Alum
Lime
Soda Ash
(Coagulant) (Coagulant) (Corrective)
Cost of Chemicals
Raw Water
Settled Water
Filtered
Raw
Settled
Filtered
Corrected
Alkalinity
Raw Water
CO2 Raw Water
Soap Hardness
Corrected Water
Total Pounds
Average
Grains per Gal.
Total Pounds
Average
Grains per Gal.
Total Pounds
Grains per Gal.
Total Output
Av. Tem. of
Av. Tem. of Water ℃
Av. Height of
Pond above
Sea Level
January
February
March
57
43
7.0
6.2
6.1 5.4
6.3 5.4
7.2 8.3
. 28 20
3.9 5.1 4.8
20 27
10,200 11,000
1.5 1.4
2400 2450 1200
.40 30 20
7400 7400
1.10
6.40
58
14 165 ft-1 in
May
75
30
4.0
5.5
5.3
5.3
8.4
19
20
4.4
4.8
35 5,200 5,200 4,400 5,400
0.7
0.9
950
10 .10 .16 .43 .44
6200 5200 5400 5600 5600 4400
.80 .70 .80 .96
3.73 4.22
52
14 164 ft-2 in
November
41
20
December
57
27
4.0 4.0
6.2 5.8
5.4 5.5
5.3 5.3
8.2 8.0
20 20
4.1 4.0
1.7 1.6
2200 2400 12,850
.81
5.46
36
2 165 ft-1 in
Totals
47,200
Maximum Day
110 50 30 6.4 6.1
6.1
9.5
35
7.2 60
562
81
346
80
26
165 ft-9 in
Minimum Day
25 10 0 5.2 5.0 5.0 7.5 12 1.2 15
135
18
128
16 0
162 ft-10 in
Average Day
50 28.4 4.4 5.9 5.5 5.4 8.2 21 4.3 32
242 1.15
52
.25 193
.89
4.78
54 16 164 ft-4 in
11
165 ft-1 in
April
65
35
4.6
5.6
5.8
5.3
5.3
8.2
5.6
8.3
20
20
4.4 4.0 4.0
40 40 40 40 40 9,000 8,800 59,200
0.7
750 500
1.00
6.00
66
20 164 ft-4 in
July
39
26 20
4.4
5.9
5.3
5.4
5.2
8.5
20
5.2
8.6
20
October
37
27
4.0
5.9
5.3
5.2
8.5
3.22
69 68
24 163 ft-3 in
September
30
21
4.0
5.8
61
20 163 ft-4 in
June
70
35
4.0
4.0
5.9
5.6
3.50
23 163 ft-11 in
August
30
40
6 164 ft-1 in
1.09
6.20
Average
per M. G.
46
20
48
10 165 ft-6 in
0.6
16
CHEMICALS USED
Air ºF
TABLE III THE COMMONWEALTH OF MASSACHUSETTS-DEPARTMENT OF PUBLIC HEALTH WATER ANALYSIS
Weymouth Great Pond
Parts per 1,000,000
APPEARANCE
RESIDUE ON EVAPORATION
AMMONIA
NITROGEN AS
Date of Collection
Turbidity
Sediment
Color
Total
Fixed
Free
Total
Chlorides
Nitrites
Nitrates
Oxygen Consumed
Hardness
Alkalimity
P. H.
Manganese
1936
272224
Mar. 24 slight
normal
41
47
20
27
.004
.126
6.4
.08
13.
.35
3 5.6
272225
Mar. 24
very slight
0
56
23
33
.014
.084
6.4
.08
13.
.15
272226
Mar. 25
none
3
62
004
.036
6.4
.08 .000
13. 10
13
6.8
273088
May 5
very slight
60
.004
.126
5.6
.10
7.4
.25
2
5.6
.08
273089
May 5
.20
.06
273090
May 5
5.6
.08 .000
.05
17
7.5
.04
274890
July 7
very slight
33
42
17
.055
.115
6.0
.10
10.
20
5
5.7
274891
July 7
very slight
6
46
16
30
.022
.110
6.0
.03
20.
12
274892
July 7
none
6
58
.012
.052
6.0
.10 .000
17.
.10 19 7.1
Coagulated Water Final Effluent
245
Raw Water Coagulated Water
Final Effluent Raw Water Coagulated Water Final Effluent
vsl. cons. none
3
.012 .008
.068
5.6
.08
0
.046
25
Raw Water
Loss on Ignition
Number
Iron
.
246
TABLE IV Meters in Use December 31, 1936.
Sizes
Make
5/8" 3/4" 1" 11/2" 2" 3" 4" 6" 10" Totals
Trident
838
1
1 840
Keystone
269
1
270
Nash K
114
114
Nash 9
14
14
Worthington
11
11
Hersey
1309
4 23
32
12
1
4
2 1387
King
170
3
9
1
3
186
Watch Dog
2130
1
2131
Arctic
200
200
Empire
5
2
2
2
1
12
Premier
1
1
2
Federal
2
2
Badger
1
1
Total
5063
9 35
35
18
1
6
2
1 5170
Dec. 31, 1935
5018
10
32
31
20
1
6
2
1
5121
247
TABLE V New Mains, Gates and Hydrants, Installed 1936
Street
Location
2" 1"
Broad
1
Lincoln Square From Norton St.
Colonial Road
169
1
Clematis Avenue
200
Pleasantview Ave.
Essex
1 Near No. 500
East
1
Near No. 506
1
Near No. 29
Sunny Plain Ave.
Total
169
200
1
4
TABLE VI Main Replacements for 1936
Pipe
Taken Out
Replaced
Gates
Location
Size
Kind
Size
Feet
Kind
Feet
Taken Out
Replaced
Essex St.
2"
Steel
1013
6"
C.I.
1013
1-2"
1-9"
East St.
1%”
Steel
431
6"
C.I.
431
11/2"
1-6"
Lambert Ave.
1-2"
1-10"
Poinsetta Ave.
1"
Steel
100
11/2"
Steel
100
Raleigh Rd.
11/2"
Steel
750
Steel
750
11/2"
2"
714
Steel
714
10"
C.I.
Pipe Galv. Steel 2" 11/2" 1"
Gates
Hydrants
248
TABLE VII Distribution Pipe and Gates in Use Dec. 31, 1936.
Size
Cast Iron
W. Iron & Steel. Lead Pipe
Gates
20
inch
250
1
18
inch
2,092
1
14
inch
22,555
14
12
inch
33,882
38
10
inch
48,421
56
8
inch
57,852
92
6
inch
266,777
481
4
inch
22,543
47
2 inch
6,404
53,275
98
11/2 inch
28,599
45
11/4 inch
6,415
1
inch
12,288
216
4
Totals
460,776
100,577
216
877
Total Feet 561,569
Total Miles 106.35
249
FINANCIAL REPORT OF THE COLLECTOR FOR THE WATER DEPARTMENT From January 1, 1936, to December 31, 1936. WATER ACCOUNT
Balance due January 1, 1936 Charges to December 31 ,1936
$ 59,675.54 104,480.25
$164,155.79
WATER ACCOUNT CREDITS
Cash Received
$115,072.73
Abatements and Service Transfers
3,207.29
Transfers to Lien Account
212.50
Balance due December 31, 1936
45,663.27
$164,155.79
Paid to the Treasurer
$115,072.73
MATERIAL AND LABOR ACCOUNT
Balance due January 1, 1936
$ 2,500.57
Charges to December 31, 1936
5,735.19
$8,235.76
MATERIAL AND LABOR ACCOUNT CREDITS
Cash Received
$5,456.05
Abatements and Service Transfers
16.17
Balance Due December 31, 1936
2,763.54
$8,235.76
Paid to the Treasurer
$5,456.05
Respectfully submitted,
EDWIN R. SAMPSON,
Collector.
250
REPORT OF THE TOWN ACCOUNTANT
East Weymouth, Mass., January 21, 1937
To the Board of Water Commissioners:
Gentlemen ::
Herewith is submitted the thirty-fifth annual report of the Accounting Department, recording the financial transactions of the Water Department for the year ending December 31, 1936.
The examination and verification of all transactions is a constant and frequent practise of this office and I am satisfied that the accounts of the collector and treasurer are correct and funds properly accounted for. As an added assurance notices were forwarded to all those appearing on the books having open accounts and such claims have been denied by no one.
The situation relative to the outstanding water accounts, about which I have commented for some years, has been greatly improved through the cooperation of your board with the personnel in the department. A con- tinuation of this activity should result in further reducing the accounts receivable during the year 1937.
Payment was made this year of the last bond issued in accordance with the provisions of Chap. 276 of the Acts of 1913 which, together with other payments for debt retirement, has reduced the net debt of the department to $143,000.
The favorable improvement in accounts receivable is reflected in a Surplus Revenue of $50,397.45, greater than it has been since 1929.
The assistance of this office is available in any constructive activity to further improve the efficiency in your department.
Respectfully yours, EMERSON R. DIZER Town Accountant
WATER DEPARTMENT
RECEIPTS
Water Rents
Water Construction
$ 115,072.73 5,456.05
Interest on Deposits:
South Weymouth Savings Bank
806.08
Weymouth Trust Co., Savings Dept. 294.93
U. S. Government-P.W.A. Grant 19,396.39
H. S Moody, Trustee, refund of costs 300.00
Old Outstanding checks transferred to Surplus Revenue 21.50
Total Cash on hand Jan. 1, 1936
$ 141,347.68 48,723.48
Total
190,071.16
251
Warrants paid in 1936
119,357.55
Cash on hand, Dec. 31, 1936
$ 70,713.61
PAYMENTS
Minor Construction:
Superintendence
$ 687.12
Worthington-Gamon Meter Co.
3,283.20
A. C. Trojano
450.00
Hersey Mfg. Co.
402.54
The Waterproofing Co.
400.00
Warren Pipe Co. of Mass. Inc
331.14
Bailey Meter Co.
325.00
Daley-Cronin
243.13
Earl C. Fowler
182.00
Arthur F. Sargent
137.10
Central Scientific Co.
133.00
Alvin Hollis & Co.
108.15
Russell H. Whiting
76.00
Weymouth Lumber Co.
62.66
Miscellaneous
154.76
Transfer:
Equipment
$ 1,764.88
Stock
1,772.21
3,537.09
Labor
4,356.68
$ 14,869.57
Maintenance and Operation:
Superintendence
$ 1,685.48
Wey. Light & Power Co., Current for Pumps
6,294.15
Merrimac Chemical
1,772.00
Alvin Hollis & Co.
733.41
Howe & French, Inc.
572.53
Earl C. Fowler
470.40
Julia C. White, Judgment
315.10
N. E. Tel. & Tel. Co.
201.77
N. Y., N. H. & H. R. R. Co.
200.50
Fore River Coal Co.
178.01
Neptune Meter Co.
166.74
M. R. Loud & Co.
165.45
Weymouth Light & Power Co.
110.91
Hersey Mfg. Co.
108.01
Granite City Electric Supply Co.
107.54
Worthington-Gamon Meter Co.
101.37
The Crawford Press
85.98
Bay State Nurseries
80.30
Weymouth Asphalt Concrete Co., Inc.
74.50
Sargent Bros.
66.10
American Agri. Chemical Co.
57.75
252
Wallace & Tiernan Co., Inc. Miscellaneous
57.40
493.49
Transfers:
Equipment
Stock
$ 3,883.17 1,550.09
5,433.26
Labor
19,601.89
39,134.04
Replacements:
Superintendence
$ 190.00
Warren Pipe Co. of Mass., Inc.
846.95
Earl C. Fowler
56.00
Transfers:
Equipment
$ 526.46
Stock
1,640.66
2,167.12
Labor
2,756.38
6.016.45
Commercial Expenses:
Superintendence
$ 20.00
Roger N. Butler
1,570.00
Alice J. Ashton
942.00
Marion T. Giles
942.00
Eva M. Howard
44.34
Town Treasurer's Department
1,500.00
Postage, etc.
531.60
Andrew J. Housman, auto expenses
348.98
L. E. Muran & Co.
220.01
The Crawford Press
193.10
F. N. Pratt
113.75
L. W. Beckwith & Co.
85.13
Addressograph Sales Agency
76.96
Miscellaneous
243.95
Transfers-Equipment
56.25
Labor
1,420.67
8,308.74
Salaries:
Marshall F. Spear, Chairman
$ 40.00
Edwin R. Sampson, Clerk
65.00
George W. Perry
40.00
Ralph P. Burrell
32.22
Basil S. Warren
32.22
Howard M. Dowd
7.78
George E. Bicknell
5.00
Edwin R. Sampson, Treasurer
400.00
Emerson R. Dizer, Accountant
450.00
Accounting Department
550.00
1,622.22
253
1
Interest:
Due, Feb. 15, 1936
$ 1,112.50
Due, April 1, 1936
440.00
Due May 1, 1936
708.75
Due, June 1, 1936
170.00
Due, July 1, 1936
120.00
Due Aug. 15, 1936
1,112.50
Due, Oct. 1, 1936
380.00
Due, Nov. 1, 1936
632.50
Due, Dec. 1, 1936
170.00
Due, Jan. 1, 1937
100.00
4,946.25
Note and Bond Retirement:
Due, Apr. 1, 1936
$ 3,000.00
Due, May 1, 1936
3,500.00
Due, July 1, 1936
1,000.00
Due, Aug. 15, 1936
5,000.00
Due, Nov. 1, 1936
1,000.00
Due, Dec. 1, 1936
1,000.00
14,500.00
Total Expended
$ 89,397.27
Balance to Treasury
5,018.32
Balance to 1937 account
155.66
Total
$ 94,571.25
Appropriation, March 2, 1936
$ 94,371.25
Appropriation, Dec. 9, 1936
200.00
Total
94,571.25
Land Bordering Pond:
Adin C. DeMary, Granite Trust Co., Trustee
$ 4,250.00
Estate of James E. Tirrell
1,250.00
Elizabeth T. Swift, Wey. Trust Co., Mortgagee
400.00
Norfolk County Registry of Deeds
1.06
Total Expended
$ 5,901.06
Balance to 1937 account
7,216.01
Total
$ 13,117.07
Balance from 1935 account
13,117.07
Equipment :
Superintendence
$ 917.40
Schofield's Garage
1,836.06
Vulcan Tool Mfg. Co.
926.69
Burroughs Adding Machine Co.
845.00
Jannell Motor Co.
709.80
Bellamy, Robie & Sargent, Inc.
550.96
254
.
N. E. Road Machinery Co.
255.00
Charles H. Chubbuck
241.89
Duncan MacKellar
232.68
Gene F. Miller
217.25
Chase, Parker & Co., Inc.
159.06
Mathewson Machine Works
120.00
Curry Bros. Oil Co.
103.08
D. W. Hart
96.60
Ingersoll-Rand Co.
89.54
Sargent Bros.
67.75
The Edson Corp.
66.35
Miscellaneous
529.84
Labor
1,155.50
Total Expended
$ 9,120.45
Balance to 1937 account
1,631.97
Total
$ 10,752.42
Balance from 1935 account
$ 2,471.18
Transfers:
Minor Construction
$ 1,764.88
Maintenance & Operation
3,883.17
Stock
59.10
Replacements
526.46
Commercial Expenses
56.25
Private Work
1,991.38
8,281.24
Total
10,752.42
Stock:
Warren Pipe Co. of Mass., Inc.
$ 1,664.02
Eddy Valve Co.
715.08
Sumner & Dunbar
629.38
E. L. LeBaron Foundry Co.
353.19
Atlas Powder Co.
306.25
Eureka Pipe Co., Inc.
239.02
Cement Lined Pipe Co.
195.95
Braman, Dow & Co.
187.96
National-Boston Lead Co.
143.77
Mueller Co.
140.19
Red Hed Mfg. Co.
101.25
V. S. Croce
100.50
Hydarulic Development Corp.
98.10
The Chapman Valve Mfg. Co.
75.10
The Ludlow Valve Mfg. Co.
67.86
Louis H. Ells
32.70
Hersey Mfg. Co.
18.91
Miscellaneous
61.77
Transfers-Equipment
59.10
255
Labor
594.90
Total Expended
$ 5,785.00
Balance to 1937 account
10,457.47
Total
$ 16,242.47
Balance from 1935 account
$ 9,508.34
Tranfers:
Minor Construction
$ 1,772.21
Maintenance & Operation
1,550.09
Replacement
1,640.66
Private Work
1,771.17
6,734.13
Total
16,242.47
Private Work:
Weymouth Light & Power Co.
$ 122.74
Schofield's
11.00
Charles Bruning Co., Inc
3.00
Hersey Mfg. Co.
1.24
Miscellaneous
33.22
Transfers:
Equipment
$ 1,991.38
Stock
1,771.17
3,762.55
Labor
1,502.21
1
Total Expended
$ 5,435.96
Balance to Treasury
4,564.04
Total
$ 10,000.00
Appropriation, March 2, 1936
10,000.00
Construction Filtration Plant-P.W.A. No. 7468:
Thomas H. Hannaford
$ 7,440.69
G. Wilson MacDow & Howard W. Hosford, Rec.
4,723.47
A. C. Trojano
3,563.74
Turbine Equipment Co.
3,005.28
Total Expended
$18,733.18
Balance to Treasury
6,000.00
Balance to 1937 account
5,855.05
Total
$ 30,588.23
Appropriation, March 2, 1936
$ 6,000.00
From P.W.A.
19,396.39
Balance from 1935 account
5,191.84
Total
30,588.23
1
256
STATEMENT OF APPROPRIATIONS AND EXPENDITURES
Appropriation Accounts:
Balance from 1935 account:
Land Bordering Pond
$ 13,117.07
Equipment
2,471.18
Stock
9,508.34
Filtration Plant Construction, P. W. A.
5,191.84
$30,288.43
Appropriation, March 2, 1936:
From Revenue
94,371.25
From General Fund:
Private Work
10,000.00
Filtration (Plant)
6,000.00
110,371.25
Appropriation, Dec. 9, 1936:
From Revenue: Commercial Account
200.00
From United States Government-P. W. A. Grant
19,396.39
Transfer Credits: Equipment
8,281.24
Stock
6,734.13
15,015.37
Total
$175,271.44:
Expended:
Minor Construction
$14,869.57
Maintenance and Operation
39,134.04
Replacements
6,016.45
Commercial Expenses
8,308.74
Salaries
1,622.22
Interest
4,946.25
Debt Retirement
14,500.00
Land Bordering Pond
5,901.06
Equipment
9,120.45
Stock
5,785.00
Private Work
5,435.96
Filtration Plant Construction-P. W. A.
18,733.18
Total
134,372.92
Balance Unexpended
40,898.52
Balance to General Fund
15,582.36
Balance to 1937 account
$25,316.16
Commercial Expenses
$155.66
Land Bordering Pond
7,216.01
Equipment
1,631.97
Stock
10,457.47
Filtration Plant Construction-P. W. A.
5,855.05
$25,316.16
WATER DEPARTMENT BALANCE SHEET-DECEMBER 31, 1936
ASSETS
LIABILITIES
Treasurer's Cash
$70,713.61
Unexpended Appropriation Balances:
Account Receivable:
Commercial Expenses
$155.66
Water Rates
$45,663.27
Land Bordering Pond
7,216.01
Water Construction
2,763.54
Equipment
1,631.97
48,426.81
Stock
10,457.47
Loan Authorized :
Filtration Plant Construction
5,855.05
Land Bordering Pond
5,000.00
$25,316.16
Revenue Reserved Until Collected
48,426.81
Surplus Revenue
50,397.45
$124,140.42
$124,140.42
DEBT ACCOUNTS
Water Debt
$143,000.00
Water Loan-April 1, 1925
$4,000.00
Water Loan-July 1, 1926
5,000.00
Water Loan-April 1, 1927
6,000.00
Water Loan-May 1, 1928
7,000.00
Water Loan-May 1, 1929
8,000.00
Water Loan-November 1, 1929
8,000.00
Water Loan-April 1, 1930
9,000.00
Water Loan-May 1, 1931
5,000.00
Water Loan-December 1, 1933
7,000.00
Water Loan-August 15, 1934
84,000.00 .
$143,000.00
$143,000.00
257
258
TRUST AND INVESTMENT FUNDS
Cash and Securities $17,000.00 N. Y. N H & H. R. R. Co., Bonds
$17,000.00
REAL AND PERSONAL PROPERTY ACCOUNTS
Land
$141,250.00
Buildings
179,225.00
Personal Property
27,041.28
Water Pipes, Mains, etc.
1,077,424.08
$1,424,940.36
Real and Personal Property $1,424,940.36
$1,424,940.36
EMERSON R. DIZER, Town Accountant.
259
REPORT OF TREASURER FOR WATER DEPARTMENT FOR 1936
To the Board of Water Commissioners: The Report of the Treasurer for the year 1936 is as follows: RECEIPTS FOR 1936
Water Rents
$115,072.73
Construction Account
5,456.05
Interest Weymouth Trust Savings Bank
294.93
Interest South Weymouth Savings Bank
806.08
Outstanding checks 1921-1933 issues transferred to Surplus Revenue
21.50
Legal Expense refund Henry S. Moody, Trustee
300.00
Total
$121,951.29
Cash on hand January 1, 1936
43,531.64
$165,482.93
PAYMENTS FOR 1936
Paid on Selectmen's Warrants For:
Notes and Bonds 1936
$14,500.00
Interest on Loans
4,946.25
Land Taking
5,901.06
Accounting Department
550.00
Collection Service
1,500.00
Sundry Appropriations
73,227.06
$100,624.37
. Cash on hand December 31, 1936
64,858.56
$165,482.93
CASH ASSETS
Amount due for Water Rents
$45,663.27
Amount due for Construction
2,763.54
$48,426.81
Cash on hand December 31, 1936
64,858.56
$113,285.37
Less outstanding checks
9,174.58
Total Assets
$104,110.79
Due from Weymouth Trust Company Checking Account
34,548.12
Due from Weymouth Trust Company Savings Department
11,984.18
Due from South Weymouth Savings Bank
27,475.84
Petty Cash Drawer
25.00
Less outstanding checks
$74,033.14
9,174.58
Cash Balance December 31, 1936
$64,858.56
260
WATER LOAN ACCOUNT
Serial Bonds and Notes due 1937-46 31/2 per cent
$5,000.00
Serial Bonds and Notes due 1937-44 4 per cent 31,000.00
Serial Bonds and Notes due 1937-44 41/2 per cent 8,000.00
Need help finding more records? Try our genealogical records directory which has more than 1 million sources to help you more easily locate the available records.