Town annual report of Weymouth 1936, Part 20

Author: Weymouth (Mass.)
Publication date: 1936
Publisher: The Town
Number of Pages: 362


USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1936 > Part 20


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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




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