Town annual report of Weymouth 1946, Part 17

Author: Weymouth (Mass.)
Publication date: 1946
Publisher: The Town
Number of Pages: 224


USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1946 > Part 17


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1,841.76


99,,400.00 2,000.00


2,000.00


75.00


2,075.00


Call Men's Wages


2,075.00 884.80


15.20


900.00


900.00


Renewal Fire Alarm Boxes


7,500.00


14,000.00


7,500.00


7,500.00


New Equipment


15,770.00


2,139.38


17,909.38


' Other Expenses


17,897.86


11.52


14,275.00


4,642.00


275.00


4,917.00


Building Inspector's Dept.


4,917.00


5,675.00


1,400.00


1,400.00


· Sealer's Department


1,381.65


18.35


1,250.00


9,445.44


756.72


10,202.16


Moth Department


8,099.36


2,102.80


7,917.80


8,180.34


1,971.41


10,151.75


Tree Department


9,799.11


352.64


13,214.80


HEALTH AND SANITATION


Health Department :


690.00


690.00


Salaries of Board


690.00


1,500.00


200.00


200.00


Other General Expense


190.35


9.65


500.00


3,375.00


3,375.00


Health Agent


3,375.00


3,200.00


4,500.00


4,500.00


Tuberculosis Cases


4,241.75


258.25


4,500.00


700.00


700.00


Contagious Disease Cases


297.45


402.55


700.00


2,060.00


2,060.00 /


Maintenance of Dump


2,060.00


2,200.00


1,760.00


500.00


2,260.00


Plumbing Inspector


2,058.30


201.70


3,000.00


2,020.00


2,020.00


Dental Hygienist


2.020.00


2,020.00


1.600.00


300.00


1,900.00


Dentists and Supplies


1,881.50


18.50


2,000.00


225.00


225.00


Transportation to Clinic


191.00


34.00


250.00


1,752.50


1,752.50


Health Nurse


1,752.50


2,200.00


250.00


250.00


Diphtheria Clinic


200.00


50.00


250.00


200.00


200.00


Protection from Rabies


200.00


200.00


100.00


100.00


Returns from Undertakers


76.00


24.00


100.00


200.00


100.00


300.00


Dog Bite Cases


269.84


30.16


300.00


700.00


700.00


Burying Animals


666.00


34.00


700.00


300.00


300.00


Health Tests


300.00


300.00


2,500.00


2,500.00


Nurses


2,500.00


2,500.00


*· 2,500.19


14,000.00


16,500.19


Garbage Disposal


13,000.05


3,500.14


14,000.00


HIGHWAYS


Highway Department: ·


51,295.00


Salaries


42,880.09


8,414.91


49.558.00


51,295.00 55,610.00


55,610.00


Wages


53,927.83


1,682.17


66,642.00


196


1


7,500.00 35,950.00


2.54 49.97


8,500.00 34,250.00 18,300.00


100.00


100.00


100.00


40,000.00


40,000.00


Chapter 90-Construction


34,960.49


5,039.51


3,000.00


3,000.00


Chapter 90-Maintenance


3,000.00


Working New Streets:


750.00


750.00


Twilight Path


750.00


1,600.00


1,600.00


Raleigh Road


1,174.45


425.55


3,150.00


3,150.00


Welland Road & Clematis Ave.


1,393.25


1,756.75


450.00


450.00


Const'n-Roger Grande Square


422.12


27.88


40,494.00


40,494.00


Street Lighting


38,740.03


1,753.97


1,820.00


1,820.00


Harbor Master


1,820.00


40,714.00 1,560.00


PUBLIC WELFARE


3,643.00 8,178.00


3,643.00 8,178.00 50,218.26


Adminstration


3,502.57


140.43


4,096.00


Town Infirmary


7,857.08


320.92


8,475.00


49,571.31


646.95


Outside Relief


50,218.26


64,000.00


Aid to Dependent Children :


5,177.60


658.48 11,276.97


54,705.66


Relief


53,381.30


1,324.36


61,000.00


OLD AGE ASSISTANCE


8,676.40 190,000.00


50.00


8,726.40


Town-Administration


4,385.40


4,341.00


13,392.00


1,180.85


191,180.85


Town-Assistance


185,416.04


5,764.81


214,000.00


3,710.59


3,710.59


U. S. Grant-Administration


3.710.59


110,442.07


110,442.07


U. S. Grant-Assistance


110,442.07


VETERANS AFFAIRS


31,237.00


3,969.50


35,206.50


Soldiers' Relief, etc.


35,206.11


.39


58,846.00


EDUCATION


668,243.19


2,103.01


670,346.20 2,500.00


Support of Schools


688,995.39


1,350.81


728,171.87


Legion Field Seats


2,500.00


1.00


Committee-Vocational School


1.00


7,500.00


Equipment and Supplies Other Expenses New Equipment


627.74


16,452.26


16,700.00


380.00


35,950.00 17,080.00


197


5,075.76


760.32


3,866.00


5,836.08


Administration


43,428.69


2,500.00 1.00


Easement-755 Pleasant St.


7,497.46 35,900.03


LIBRARIES


Tufts Library and Branches


33,201.35 1,600.00 10,068.00


663.31 18,400.00


39,132.25


2,295.00


33,119.60 20,000.00 5.223.00


745.06


33,864.66 20,000.00 10,068.00


Tufts Library-Renovation Fogg Library Reading Room


3,690.00


RECREATION


593.53


11,015.00


300.00


11,908.53


Parks and Playgrounds


11,600.60


307.93


13,065.00


800.00


800.00


Land-Park Purposes


800.00


UNCLASSIFIED


1,200.00


1,200.00


Observance Memorial Day


1,005.70


194.30


1,350.00


5,735.38


26.20


5,761.58


Fire and Other Insurance


5,761.58


6,663.43


2,200.00


2,200.00


Pensions


2,200.00


2.200.00


800.00


800.00


Testimonial Folders


800.00


200.00


200.00


Liberating Fish and Game


200.00


2.497.00


·2,497.00


Miscellaneous Expenses


2,222.30


274.70


2,730.00


3,000.00


3,000.00


Rental of Halls Expense


2,999.01


.99


3,000.00


100.00


100.00


Care Soldiers' Monument


100.00


100.00


3,489.00


1.580.00


1,580.00


Care Soldiers' Graves


1,396.96


183.04


1,500.00


300.00


300.00


Care Old Cemeteries


300.00


300.00


27,654.03


27,654.03


Weymouth Retirement System


27,654.03


30,000.00


25,000.00


25,000.00


Reserve Fund


24,979.15


20.85


25,000.00


1.00


1.00


Municipal Bldgs. Ins. Fund


1.00


5,000.00


500.00


PUBLIC SERVICE ENTERPRISE 500.00 Alewife Fishery


297.55


202.45


500.00


INTEREST AND DEBT REQUIREMENTS


3,125.00


144.24


3,269.24


Interest and Discount


3,269.24


2,477.50


29,000.00


29,000.00


General Bonds and Notes


29,000.00


19,000.00


$29,611.41


$1,835,947.72


$160,704.70


$2,026,263.83


$1,910,737.38


$115,526.45 $1,924,345.90


-


198


83.33


83.33


Beals Park-Special Fund


83.33


.


3,489.00


Repairs to G. A. R .Monument


3,489.00


-


.


2,550.00


EXCESS AND DEFICIENCY ACCOUNT


Balance January 1, 1946


$256,559.65


Charges :


Appropriations, March 1946:


For use of the Assessors'


$ 40,000.00


Highways-New Equipment


16,700.00


Fire and Other Insurance


5,735.38


Reserve Fund


6,000.00


Chapter 90-Maintenance


2,000.00


Chapter 90-Construction


40,000.00


Tufts Library Renovation


20,000.00


Acquiring Tax Titles


2,847.38


M. V. E. Taxes-adjustment


26.24


133,309.00


$123,250.65


Credits :


Aid to Highways Revenue: Reimbursement from State


11,628.04


Tax Titles Redeemed


2,805.24


Overlay Adjustment


3,444.22


O. A. A .- Recoveries


83.35


Excess Revenue 1946


2,765.51


Excess Estimated Receipts 1946


147,931.89


Unexpended Appropriation Balances


52,065.87


220,724.12


$343.974.77


LIMITATION OF INDEBTEDNESS STATEMENT


Jaunary 1, 1947


Under Chapter 44, Section 10 of the General Laws (Ter. Ed.) as amend- ed in 1946, the amount the Town may borrow within the debt limit in addition to the present debt is as follows:


Valuation for the three preceding years, including Motor Vehicles less abatements to December 31, 1946.


1944 Valuations 1945 Valuations


1946 Valuations


$52,950,702.00 52,967.990.00 53,617,638.00


$159,536,330.00


Abatements :


1944


$555,565.00 484,070.00 309,860.00


1,349,495.00


Net Valuation


158,186,835.00


Average Net Valuation


52,728,945.00 2,636,447.25


5% of Average Valuation


Total Outstanding Debt December 31, 1946


121,000.00


Less Debt Outside Debt Limit


84,000.00


37,000.00


Borrowing Capacity January 1, 1947


$2,599,447.25


199


1945


1946


TOWN OF WEYMOUTH - MASSACHUSETTS


BALANCE SHEET


JANUARY 1, 1947


Treasurer's Cash : Town Water


$338,422,75 162,363.64


Excess of Settlement with the Granite Trust Company Water Construction Deposits Sale of Real Estate


$


1,045.80


$500,786.39


Accounts Receivable :


Tailings Account


331.94


A. D. C .- Recoveries


454.00


Levy 1946-Polls


330.00


O. A. A .- Recoveries


622.81


Levy 1946-Personal .


915.55


George-Deen Fund


238.39


Levy 1946-Real Estate


64,726.20


Reserve Fund-Overlay Surplus


10,647.52


65,971.75


Overlays Reserved for Abatements: Levy of 1945 Levy of 1946


2,554.77


Levy 1946


6,484.08


44,323.21


Special Assessments :


Moth-1945


$ 1.50


Revenue Reserved Until Collected : Motor Vehicle Excise Taxes


$ 6,484.08


200


Abatement Nuisance-1945 Departmental :


Streets


$ 466.06


Welfare


1,448.79


Water


34,065.05


O. A. A.


393.95


Veterars' Benefits


20.00


Hall Rentals


305.00


Vocational School


2,751.35


5,385.15


Water Department:


Rates


$ 30,712.89


Construction


2,404.51


33,117.40


Water Liens:


Street Department-New Equipment


16.452.26


Taxes-1945


$


34.78


Easement-755 Pleasant Street


100.00


Taxes-1946


912.87


Working New Streets: Raleigh Road 425.55


Tax Titles (186 parcels)


947.65 14,868.93


Welland Road & Clematis Avenue 1,756.75


46,877.98


Moth-1946


113.50


115.00


Moth Assessments


115.00


691.85


Abatement Nuisance 691.85


Tax Title Revenue 14,868.93


Departmental


5,385.15


61,610.06


Unexpended Appropriation Balances : Committee-Post War Planning $ 7,290.69


Committee-Honor Roll 139.78 Committee-Weymouth Veterans' Housing 225.41 Committee-Old Home Week 300.00


Committee-Building Laws & Zoning Laws 250.00 Fire . Department-New Equipment 7,500.00


Garbage Disposal 3,500.14


1,036.00


9,037.92


Taxes-Levy 1945-Real Estate


2,554.77


Motor Vehicle Excise Taxes:


,


Tax Possessions (355 parcels)


16,038.49


Legion Field Seats


2,500.00


State Liabilities-Underestimates :


Committee-Vocational School


1.00


South Metropolitan Sewarage System


4,457.96


Renovation Tufts Library


18,400.00


Metropolitan Parks Tax


961.26


Parks and Playgrounds


300.00


154.94


Testimonial Folders


800.00


Smoke Inspection Metropolitan Parks Nantasket


91.57


Repairs to G. A. R. Monument


3,489.00


County Liabilities-Underestimate : County Tax


1,522.03


Water Department:


$ 63,893.28


Water Mains Construction


41,234.44


Land on Pond


2,375.77


Purchase Land


493.60


Interest


12.15


Debt Retirement


437.50


Equipment Stock


7,229.56


Tax Possessions Revenue · State Liabilities-Overestimate: Charles River Basin Tax Surplus Revenue : Town Water


$343,974.77


43,330.04


387,304.81


$716,794.50


$716,794.50


MUNICIPAL INDEBTEDNESS


$ 37,000.00 84,000.00


High School Addition-1927 Bicknell School Addition Water Loan-August 15, 1934 Water Loan-October 1, 1946


13,000.00


24,000.00


34,000.00


50,000.00


$121,000.00


$121,000.00


201


Net Funded Debt-General Water


63.460.58


Overlay Deficit-Taxes 1920-1942


106.93


Revenue of 1947:


Appropriations, June 3, 1946


20,813.35


Appropriations, Nov. 12, 1946


41,725.00


2,321.30


117,997.60 16,038.49


90.60


Major Construction


202


TRUST AND INVESTMENT FUNDS


Cash and securities


$1,302,495.31


Tufts Fund, Free Public Lectures


$ 5,000.00


Tufts Fund, Free Public Lectures-Income


1,039.34


Tufts Fund, Books


2,500.00


Tufts Fund, Reading Room


2,500.00


Tufts Fund, Sidewalk and Shade Trees


2,000.00


Tufts Fund, Sidewalk and Shade Trees-Income


302.24


Tufts Fund, Care of Tufts Tomb


500,00


John C. Rhines Fund 10,000.00


John C. Rhines Fund-Income


3,548.00


Elias S. Beals Park Fund


1,000.00


Elias S. Beals Park Fund-Income


116.86


Laban Pratt Hospital Fund


300,000.00


Laban Pratt Hospital Fund-Income


306,274.17


Laban Pratt Fountain Fund


400.00


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 Forsythe Library Fund


1,000.00


Arthur E. Pratt Library Fund


3,000.00


Charles Henry Pratt Library Fund


500.00


William H. Pratt Library Fund


2,798.80


Alida M. Denton Library Fund


700.00


Weymouth Back River Bridge Fund


3,000.00


Municipal Buildings Insurance Fund


104,996.44


Martha Hannah King Fund


73.25


Post-War Rehabilitation Fund


500,000.00


Post-War Rehabilitation Fund-Income 29,378.86


1,302,495.31


$1,302,495.31


Emerson R. Dizer, Town Accountant


Laban Pratt Fountain Fund-Income 561.47


TABLE OF CONTENTS


Alewive Fishery


122


Annual Town Meeting


17


Annual Town Meeting, Warrant for


9


Assessors' Report


122


Board of Health


143


Building Inspector


133


Collector of Taxes


126


Electric Lighting Committee


134


Fire Alarm, Supt.


135


Fire Department


134


General Relief


126


Harbor Master


140


Inspector of Animals


135


Jury List


77


Laban Pratt Hospital Report


130


Library Report


161


Moth Dept.


138


Observance of Memorial Day


139


Old Age Assistance


125


Park Commissioners


132


Planning Board


132


Plumbing Inspector


142


Police Dept.


136


Post War Planning Committee


170


Price Control Board


137


Public Welfare


125


Purchasing Committee


170


Retirement System


172


Registrars of Voters


137


Salaries of Town Officials


179


School Report


84


Sea Walls Committee


141


Sealer of Weights & Measures


142


Shell Fish Constable


141


Special Town Meeting, Warrant for


46-48-70


State Election


67


State Primary


58


Street Dept.


143


Town Accountant's Report


180


Town Clerk's Financial Report


76


Town Counsel


128


203


Town Election Town Engineer Town Infirmary Town Officers Treasurer's Report Tree Department


41


136 131 3


174


138


Veteran's Service


129


Visiting Nurse Asso.


142


Vital Statistics


76


Water Dept.


145


Weymouth Port Committee


132


Youth Commission


171


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