USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1950 > Part 24
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Circuit Avenue
Month
Low Service
Million Gallons
pumped to
Power Cost
per Million
Gallons
Average Draw
down below
Elevation 101.48
Million Gallon Low
Service Consumption Great Pond Station
Million Gallon
Total Low Service
Consumption
Million Gallons
H. L. Consumption
Great Pond Station
Million Gallons
Total Consumption both Stations
293
January
21.90
13.40 .
13.8 ft.
5.72
27.62
30.37
57.99
February
17.86
13.85
9.9 ft.
5.88
23.75
27.17
50.92
March
21.12
13.35
8.4 ft.
6.27
27.40
30.90
58.30
April
17.45
13.30
8.5 ft.
7.14
24.58
29.78
54.36
May
17.30
13.80
10.4 ft.
8.22
25.52
33.06
58.57
June
22.82
14.08
12.8 ft.
4.50
27.32
40.73
68.06
July
24.59
13.96
18.1 ft.
3.83
28.41
35.49
63.90
August
19.28
11.50
19.2 ft.
7.93
27.21
35.51
62.72
September
12.56
9.90
9.1 ft.
10.26
22.81
34.19
57.00
October
15.02
10.42
12.2 ft.
8.94
23.96
35.29
59.25
November
15.09
11.50
9.3 ft.
8.68
23.76
32.34
56.10
December
13.89
10.35
8.3 ft.
11.09
24.97
32.25
57.23
Totals
218.88
149.41
140.0 ft.
88.46
307.31
397.08
704.40
Ave. Day 1950
.63
12.50
11.6 ft.
.24
.88
1.09
1.93
Ave. Day 1949
.65
14.60
57
.77
1.12
1.88
On Max. Day 1959
1.07
11.96
13.4 ft.
.00
1.07
91
1.98
On Max. Week 1950
6.72
10.35
12.9 ft.
06
7.12
7.04
14.16
TABLE III - TREATMENT FOR 1950 FILTER PLANT
Average Color
Average P.H.
Alum Coagulant
Soda Ash Coagulant
Soda Ash Corrective
Chlorine
Calgon
Chemicals
Month
1950
Raw Water
Final Effluent
Raw Water
Final Effluent
Hundred Pounds
Hundred Pounds
Hundred Pounds
Pounds
Pounds
Cost per
Million Gallons
Total Consumption
Water Temperature
January
30
0
5.9
7.4
62
29
47
83.5
603
11.66
38
February
30
0
5.7
7.4
54
28
44
78.5
477
11.50
36
March
30
0
5.6
7.4
59
31
46
98.0
705
11.70
39
April
40
0
5.5
7.4
65
33
46
97.0
745
12.25
49
May
30
0
5.6
7.4
72
33
50
99.0
740
12.15
59
June
30
0
5.7
7.4
94
43
57
105.0
765
12.75
71
July
29
0
5.8
7.4
69
30
40
91.0
865
11.82
74
August
12
0
5.9
7.3
45
13.5
31.5
109.5
1110
8.75
73
September
10
0
6.0
7.2
17
0
31
115.0
975
6.13
65
October
10
0
6.0
7.2
15
0
26
104.5
820
5.20
56
November
13
0
5.9
7.2
21
3
24
97.75
647
5.30
49
December
54
2
5.9
7.2
84
31
58
126.75
608
11.78
39
Totals
318
2
69.5
87.9
657
274.5
500.5
1205.00
9060
-
Ave. Day 1950
26
0
5.8
7.3
1.79
.75
1.36
3.30
24.7
10.10
54
Ave. Day 1949
51 0
5.8
7.4
3.56
1.68
2.55
3.12
24.5
13.71
55
294
TABLE III-A TREATMENT FOR 1950 CIRCUIT AVENUE STATION
Average Color
Average P.H.
Soda Ash Corrective
Lime Corrective
Chlorine
Calgon
Chemicals
Month 1950
Raw Water
Final Effluent
Raw Water
Final Effluent
Hundred Pounds
Hundred Pounds
Pounds
Pounds
Cost Per
Total
Consumption
Million Gallons
January
14
7.1
109
51
500
18.00
February
14
7.1
84
50
334
17.00
March
12
7.1
104
66
471
18.35
April
11
7.1
85
51
382
18.00
May
15
13
5.4
7.2
83
51
371
17.80
June
14
7.1
115
60
491
18.30
July
14
14
5.7
7.1
127
85
497
18.80
August
17
13
5.7
7.0
101
75
327
18.80
September
18
13
5.6
6.7
21
17.5
43
286
11.40
October
14
10
5.6
6.8
31
65
340
8.10
November
12
6.7
32
70
425
9.15
December
11
7.1
29.5
37
317
7.42
Totals
-
-
-
-
829
110
704
4741
Ave. Day 1950
15
12.6
5.6
7.0
3.32
1.14
2.03
13.65
15.09
Ave. Day 1949
15
14.7
6.3
7.1
3.57
1.18
12.38
17.83
1
295
TABLE IV
NEW MAINS INSTALLED 1950
Cement Lined
Transite
PIPE
W. I.
W. I.
H C. I.
C. I.
C. I.
H
-
Street
11/2
2
6
8
10
12
6
8
Location
Abbot Street
590
Off Thomas Rd.
Austin Road
180
Off 712 Front St.
Bengal Road
371
From 115 Constitution Ave. to dead end
From 93 Constitution Ave. to dead end
Bradmere Way Broad Street
4
At 481 Broad St.
Carrol Street
140
From 26 Carroll St. to dead end
Clarendon Street
6
1286
From 59 Thomas Rd to Abbott St.
Colasanti Road
325
From 85 Rinaldo Rd. to 60 Colasanti Rd.
Courier Street
Fom Ranger Circle to Lot 322
Dana Road
From 712 Summer St. to 42 Dana Rd.
Delia Walker Rd.
741
From 4 Delia Walker Rd. to 397 Delia Walker Rd. Off 128 Donnellan Circle
Donnellan Circle Elva Road
7
838
52
From 260 Green St. to 62 Elva Rd.
Essex Street
178
From 445 to 459 Essex St.
Essex Street
12
432
From 252 Essex St. to Spring St.
Fallgren Lane
93
520
Off 24 Gilbert Rd.
Frank Road
642
From Julia Rd. to dead end
Great Hill Drive
395
Off 53 Regatta Rd.
Great Republic Ave.
550
From 342 Great Republic Ave. to Bonnie Rd.
-
-
296
Blackhawk Road
26
690
From 377 Neck St. to Regatta Rd.
Donnellan Circle
126
417
From 8 to 147 Donnellan Circle
24
492
713
615
H
C.
Healy Road Hitchings Street Jaffrey Street Julia Road Karen Road Katherine Street Knollwood Circle Lane Avenue
362
31
650
-
-
-
310
From 63 to 102 Tower Ave.
Totals
126
1082
8584
2627
917
260
6702
3218
Off 85 Appletree Lane Off 473 Front St. From 125 to 210 Jaffrey St. Off 260 Green St. From 4 to 83 Karen Rd.
Off 116 Moreland Rd. From 37 to 115 Knollwood Circle
Off Lake Street Linda Lane
180
424
Main Street
5
At 754 Main St.
Maple Street
6
236
From 42 Maple St. to Cain Ave.
From 38 Colasanti Rd. to 61 Rinaldo Rd.
Marion Road Meridith Way Moreland Road Mt. Vernon East Newbert Avenue Oak Hill Road Old Country Way Park Avenue
5
465
Off 188 Essex St.
From 84 to 116 Moreland Rd.
From 117 Mt. Vernon E. to dead end
From 46 to 71 Newbert Ave.
Off 69 Village Rd. From Jaffrey St. to 100 Old Country Way Off 158 Park Ave.
Priscilla Circle
12
1119
Red Jacket Road Rinaldo Road
328
917
Roberts Drive
869
Roseen Avenue
977
Off 89 Summer St.
Saning Street Sunnyplain Ave.
475
Off 418 North St.
From 43 Sunnyplain Ave. to dead end
Thomas Road
128
Tirrell Street
232
From 59 Thomas Rd. to dead end Off 719 Front St.
Tower Avenue
449
308
305
542
450
6
Corner of Lane Ave. and St. Margaret St. Off 48 Lake St. Off 495 Commercial St.
359
224
208
96
191
160
450
8
539
From 119 Old Country Way to Jaffrey St. From 165 Great Republic Ave. to dead end From 85 Rinaldo Rd. to Katherine St. Off 952 Main St.
756
269
297
TABLE IV-A GATES AND HYDRANTS INSTALLED 1950
Street
Gates - Inches
Hydrants
Location
11/2 in.
2 in.
6 in.
8 in.
10 in.
Abbot Street
2
1 At 47 Abbot Street
Austin Road
1
At 712 Front Street
Bengal Road
2
1 At 243 and 286 Bengal Road
Blackhawk Road
2
1 At 168 and 428 Blackhawk Road
Bradmere Way
2
At 377 Neck Street and 22 Regatta Road
Broad Street
1
At 481 Broad Street
Clarendon Street
4
1 At Lot 45A - 58A and 77 Clarendon Street
Dana Road
1
At 712 Summer Street
Delia Walker Road
1
At 396 Delia Walker Road
Donnellan Circle
1
2
Off Moreland Road
Elva Road
1
2 Off Green Street
Essex Street
1
1
Off 24 Gilbert Road
Fallgren Lane Frank Road
1
-
Off Julia Road
Great Hill Drive
1
Off Regatta Road
Great Republic Ave.
2
1 Off Constitution Avenue
Healy Road
1
Off 85 Appletree Lane
Hitchings Street
-
1
Off 473 Front Street
Jaffrey Street
1
Off Old Country Way
Julia Road
1
1
Off 260 Green Street
-
298
-
1
1
Near 204 Essex Street
Karen Road Lake Street Lane Avenue Linda Lane Main Street Maple Street Meridith Way Moreland Road
2
Off Priscilla Circle
3
1 Off 48 Lake Street
1
1
1
1
1
2
1
1
3
1
Off Old Country Way
1
1
2
2
2
1
1
1
Off 89 Summer Street
1
1 Off 418 North Street
2
1 Off West Street
1
Off 719 Front Street
Totals
1
4
38
12
4
18
1 Near St. Margaret Street Off Commercial Street Near 754 Main Street At Cain Avenue
Off 158 Essex Street Off Green Street Off Main Street Near 158 Park Avenue
Newbert Avenue Park Avenue Priscilla Circle Red Jacket Road Rinaldo Road Roberts Drive Roseen Avenue Saning Street Sunnyplain Avenue Tirrell Street
Off Constitution Avenue. Near 49 Rinaldo Rd.
1 Off 952 Main Street
299
TABLE V REPLACEMENT OF MAINS IN 1950
Mains
Gates
Taken Out
Installed
Locations
Size-Inches
Kind
Feet
Size-Inches
Kind
Feet
Taken Out
Installed
Off Lake Street
1
Steel
23
2
C.L.
23
-
-
Lane Avenue
2
Steel
746
6
C.L.
32
1
1
6
C.L.
714
Newbert Avenue
2
Steel
160
6
C.L.
160
-
Sunnyplain Avenue
2
Steel
250
6
C.L.
250
1
1
Walker Street
2
Steel
271
2
C.L.
271
-
Totals
1450
1450
2 2
300
TABLE VI DISTRIBUTION PIPE AND GATES IN USE DECEMBER 31, 1950
.
Size-Inches
Copper
Lead
W. I.Steele
Transite
Cast Iron
Lead Lined
Cement Lined
Cast Iron
Universal
Gates
20
250
1
18
2090
1
16
2813
3
14
22555
14
12
48158
15660
83
10
49864
1224
72
8
3218
59184
12963
141
6
100
22230
285080
29963
1958
707
4
22435
751
49
2
59676
6671
384
8476
126
11/2
691
23708
580
47
1 1/4
120
6692
369
1
-
216
8451
Totals
811
216
98627
25448
496287
384
72048
2709
1244
.
301
1950 Weymouth Water Analysis
The Commonwealth of Massachusetts
Appearance
Ammonia
Sample Number
Date of
Collection
Turbidity
Color
Free
Total
Albuminoid
Nitrogen
as Nitrates
Chlorides
Hardness
Alkalinity
P. H.
Iron
Location of
Sample Taken
379260
March 14
2
26
.0
.12
14
7.4
21
5
5.4
Grt. Pond Raw Water
302
381648
July 18
2
22
.012
.114
7.2
20
4
5.3
Grt. Pond Raw Water
384716
November 27
5
18
0
096
18
6
5.5
Grt. Pond Raw Water
379261
March 14
2
10
0
075
.17
7.6
23
5
5.3
Coagulated Water
381649
July 18
2
3
.025
.105
7.4
20
4
4.9
Coagulated Water
384717
November 27
8
3
025
.105
22
5
4.8
Coagulated Water
379262
March 14
1
5
.010
.076
17
8.2
21
18
7.2
Final Effluent
381650
July 18
1
3
.006
.072
8.0
17
12
7.0
Final Effluent
384718
November 27
0
5
.004
060
1.40
14.6
39
13
5.9
03
Gravel Packed Well-Raw
381651
July 18
0
6
0
8
15.6
71
58
7.2
03
Gravel Packed Well-Final
-
-
-
17
9
6.9
Final Effluent
384719
November 27
TABLE VII
Department of Public Health (Parts per Million)
SUMMARY OF STATISTICS Year Ending December 31, 1950 Weymouth Water Works, Weymouth, Mass.
Population 1950 census: 32,695
Population 1950 Winter: 33,000. Summer: 34,000
Date of Construction: 1885
By whom owned: Town of Weymouth
Source of Supply: Weymouth Great Pond Gravel Packed Well
Mode of Supply: Pumping to filtration, thence to distribution by pumping to standpipes and by gravity flow. Also emergency pump- ing direct from gravel packed well to system.
Capacity of Reservoirs: 4,070,000 gallons
DISTRIBUTION MAINS
Extended, 23,516 feet
Replaced, 1,450 feet
Total mains now in use, 131.7 miles
Number of hydrants added: 18
Total hydrants in use, 714 (exclusive private hydrants)
Number of gates added, 59
Total gates in use, 1,243
Number of blow-off, 90
SERVICES
Number of services installed, 673
Total srvices active, 9,211
Number of active services metered, 8,814
Percentage of services metered, 95.6
CONSUMPTION
Total gallons Great Pond Station
485,540,000
Total gallons Circuit Avenue Station
218,880,000
Total gallons consumed
704,420,000
Average daily consumption in gallons
1,928,000
Average daily consumption per capita in gallons
59.0
Total gallons through commercial meters
207,694,500
Total gallons through domestic meters
364,260,000
Total gallons measured
571,954,500
Percentage accounted for by meters
81.3
303
1950 FINANCIAL REPORT OF THE COLLECTOR FOR THE WATER DEPARTMENT WATER ACCOUNT
Balance due January 1, 1950
Charges to December 31, 1950
$39,184.31 217,587.66
$256,771.97
WATER ACCOUNT CREDITS
Cash paid to Treasurer
$200,533.92
Abatements and Service Transfers
1,355.02
Transfers to Lien Account
6,506.04
Balance due December 31, 1950
48,376.99
$256,771.97
MATERIAL AND LABOR ACCOUNT
Balance due January 1, 1950
$4,147.48
Charges to December 31, 1950
19,143.53
$23,291.01
MATERIAL AND LABOR ACCOUNT CREDITS
Cash paid to Treasurer
$19,458.27
Abatements and Service Transfers
408.36
Transfers to Lien Account
82.64
Balance due December 31, 1950
3,341.74
$23,291.01
Respectfully submitted, HARRY I. GRANGER, Collector
REPORT OF THE TOWN ACCOUNTANT
East Weymouth 89, Mass. January 26, 1951
To the Board of Water Commissioners
Gentlemen:
Herewith is submitted the forty-ninth annual report of the Accounting Department for the year ending December 31, 1950.
Respectfully submitted, EMERSON R. DIZER, Town Accountant
WATER DEPARTMENT STATEMENTS OF RECEIPTS AND PAYMENTS FOR THE YEAR ENDED DECEMBER 31, 1950 RECEIPTS
Water Rents
$200,533.92
Water Liens
5,866.13
Water Construction
19,458.27
South Weymouth Savings Bank, interest
1,256.98
U. S. Treasury, interest
1,125.00
304
Refunds
Water Construction Deposits
Water Loan - April 1, 1950
Water Loan - April 1, 1950
25,000.00 687.40
Premium on Water Loans Accrued Interest on Water Loans
35.00
Total
318,030.44
Cash on hand, January 1, 1950
123,958.63
Total
441,989.07
Warrants paid in 1950
279,644.10
Cash on hand, December 31, 1950
$162,344.97
Granite Trust Co., Commercial Department
$10,873.96
South Weymouth Savings Bank
51,224.31
U. S. Treasury Bonds
50,021.70
Cash in Collectors Office
225.00
Merchants National Bank
50,000.00
$162,344.97
PAYMENTS
Major Construction: Labor
$1,283.89
Transfers - Equipment All Other
6,035.41
$7,382.99
Water Construction Loan of 1948 - Labor
5,560.58
Transfers - Equipment
1,086.88
Stock
13,539.05
All Other
5,017.21
25,203.72
Water Supply Development - Labor
1,297.87
Transfers -
33.21
All Other
7,207.55
8,538.63
Filter Plant Improvements - Labor
434.51
Transfers - Equipment All Other
8.69
1,439.87
1,883.07
Minor Construction :
New Services Labor
12,133.06
Transfers - Equipment
4,646.22
Stock
12,771.39
All Other
6,403.27
35,953.94
New Meters -
- Labor
878.48
Transfers - Equipment
252.83
Stock
223.38
All Other
13,225.01
14,579.70
Miscellaneous - Labor
127.37
Transfers - Equipment
31.54
Stock
226.86
All Other
1,367.76
1,753.53
52,287.17
305
110.74 18,957.00 45,000.00
63.69
Maintenance and Operation :
Distribution System - Labor
32,877.15
2,896.93
Transfers - Equipment Stock
1,133.73
Engineering
282.87
All Other
1,570.97
38,761.65
Filter Operation and Pumping
Labor
13,677.24
Fuel
878.92
Light and Power
9,067.84
Chemicals
6,149.49
Transfers - Equipment
280.72
Stock
3.95
All Other
2,759.36
32,817.52
Care of Meters - Labor
3,451.31
Transfers - Equipment
1,046.52
Stock
86.70
All Other
1,090.61
5,675.14
Hollis Street Garage - Labor
358.63
Transfers - Equipment
9.09
All Other
961.77
1,329.49
Circuit Avenue Station - Labor
5,102.26
Transfers - Equipment
133.22
All Other
5,283.74
10,519.22
Grounds and Buildings - Labor
1,152.24
Transfers - Equipment
29.38
All Other
2.78
1,184.40
Water Shed - Labor
885.53
Transfers - Equipment
39.46
All Other
134.38
1,059.37
91,346.79
Replacements - Labor
2,376.18
Transfers - Equipment
701.54
Stock
1,902.70
All Other
985.25
5,965.67
Purchase Land - Randolph Street:
Francis J. Dowd
750.00
Kenneth L. Nash - Services
50.00
800.00
Commercial Expenses :
Salaries
16,340.42
Transfers - Equipment
13.50
Stationery, Postage, Printing, etc.
1,554.75
All Other
2,647.56
20,556.23
Salaries of Commissioners
488.75
Interest
4,700.00
Debt Retirement
24,000.00
306
Private Work - Labor Transfers - Equipment Stock All Other
4,129.43
1,502.73
12,033.13
1,461.05
19,126.34
Equipment Account - Labor All Other
953.34
8,885.30
9,838.64
Stock Account - Labor
2,136.60
Transfers - Equipment
98.70
Transfers to Major Construction
4,983.00
All Other
44,525.19
51,743.49
$323,861.49
STATEMENT OF APPROPRIATIONS AND EXPENDITURES
Appropriation Accounts :
Balances from 1949 Account:
Major Construction
2,399.99
Water Construction - Loan of 1948
42,474.91
Purchase Land on Pond
2,375.77
Equipment Account
2,005.65
Stock Account
13,389.40
Appropriations March 6, 1950
From Revenue
197,635.40
From General Fund
26,000.00
Appropriations November 20, 1950
From Revenue
8,500.00
From General Fund
1,500.00
Water Supply Development - Loan -
April 14, 1950
45,000.00
Filter Plant Improvements Loan - April 14, 1950
25,000.00
Accrued Interest
35.00
Transfer Credits:
Major Construction
4,983.00
Equipment
12,874.85
Stock
41,920.89
426,094.86
Expended:
Major Construction
7,382.99
Water Construction - Loan of 1948
25,203.72
Water Supply Development
8,538.63
Filter Plant Improvements
1,883.07
Minor Construction
52,287.17
Maintenance and Operation
91,346.79
Replacements
5,965.67
Purchase Land - Randolph Street
800.00
Commercial Expenses
20,556.23
Salaries
488.75
307
Interest Debt Retirement Private Work Equipment Stock
4,700.00
24,000.00
19,126.34
9,838.64
51,743.49
323,861.49
Balances Unexpended
102,233.37
Balances to Revenue
9,399.45
Balances to 1951 Account
$92,833.92
Water Construction of 1948
17,271.19
Water Supply Development
36,461.37
Filter Plant Improvements
23,116.93
Purchase Land on Pond
2,375.77
Equipment - Billing Machine
5,000.00
Equipment Account
5,041.86
Stock Account
3,566.80
$92,833.92
308
WATER DEPARTMENT
BALANCE SHEET
DECEMBER 31, 1950
LIABILITIES
Treasurer's Cash
$162,344.97
Water Construction Deposits $5,769.00
Accounts Receivable :
Unexpended Appropriation Balances:
Water Rates
48,376.99
Water Construction - Loan 1948
17,271.19
Water Construction
3,341.74
Water Supply Development
36,461.37
Water Liens:
Filter Plant Improvements
23,116.93
Taxes 1949
243.60
Purchase Land on Pond
2,375.77
Taxes 1950
1,672.10
53,634.43
Equipment - Billing Machine
5,000.00
Equipment Account
5,041.86
Stock Account 3,566.80
92,833.92
309
Loan Authorized
100,000.00
63,054.65
$315,979.40
$315,979.40
WATER DEBT ACCOUNT
$286,000.00
Water Loan - August 15, 1934
$16,000.00
Water Loan - October 1, 1946
30,000.00
Water Loan - August 1, 1948
170,000.00
Water Loan - April 1, 1950 Water Loan -ยท April 1, 1950
45,000.00
25,000.00
$286,000.00
$286,000.00
EMERSON R. DIZER, Town Accountant
Loan Authorized - Unissued
100,000.00
Revenue Reserved Until Collected Premium Account Surplus Revenue
53,634.43
687.40
Net Water Debt
ASSETS
1950 REPORT OF THE TREASURER FOR THE WATER DEPARTMENT RECEIPTS
Water rents received
$200,533.92
Construction Account
19,458.27
Water Liens
5,866.13
Construction Deposits
18,957.00
Interest South Weymouth Savings Bank
1,256.98
Miscellaneous Refunds
31.61
Refund of Massachusetts Gasoline Excise Tax
79.13
Interest on Treasury Bonds 21/4 %
1,125.00
Proceeds from Water Loans
70,722.40
Cash on Hand January 1, 1950
123,958.63
$441,989.07
PAYMENTS
Paid on Selectmen's Warrants for
Notes and Bonds
$24,000.00
Interest on Loans
4,700.00
Sundry Appropriations
250,944.10
Total Warrants paid
$279,644.10
TREASURER'S CASH
On deposit at Merchants National Bank, Boston
$50,000.00
On deposit at Granite Trust Co.
10,873.96
On deposit at South Weymouth Savings Bank
51,224.31
Treasury Bonds 21/4 % 1956-59
50,021.70
Petty cash drawers
225.00
Total Funds December 31, 1950
$162,344.97
WATER ASSETS
Amount due for Water Rents
$48,376.90
Amount due for Construction
3,341.74
$51.718.73
Cash on hand December 31, 1950
112,323.27
$164,042.00
Deposits Merchants National Bank, Boston
$50,000.00
Deposit Checking Account Granite Trust Co.
10,873.96
Deposit in South Weymouth Savings Bank Petty Cash Drawer
225.00
Water Rents and Constructions Receivable
51,718.73
$164,042.00
Investments in U. S. Savings Bonds 21/4% 1956-59
$50,000.00
310
51,224.31
$112,323.27
$318,030.44
TOTAL WATER LIABILITIES JANUARY 1, 1951
Serial Notes of August 1934
$16,000.00
Serial Notes of October 1, 1946-56
30,000.00
Construction Loan August 1, 1948-63 Incl.
170,000.00
Additional Water Supply April 1, 1950-65
45,000.00
Water Dept. Equipment for Filter Plant April 1, 1950-55
25,000.00
$286,000.00
NOTES AND BONDS DUE 1951
Serial Notes of 1934, August 15th
$4,000.00
Serial Notes of 1946, October 1st
5,000.00
Construction Loan August 1, 1948
15,000.00
Water Supply April 1, 1950
3,000.00
Filter Plant Equipment April 1, 1950
5,000.00
$32,000.00
Respectfully submitted, HARRY I. GRANGER,
Treasurer Water Department
Weymouth, Massachusetts January 30, 1951
I have examined the Treasurer's and Collector's accounts in the Wey- mouth Water Department and believe them to be correct. Regular examination of all transactions, with a monthly verification of cash with the official statements of all depositories, satisfies me that the Treasurer has properly accounted for all funds intrusted to him.
Respectfully submitted,
EMERSON R. DIZER, Town Accountant
311
REPORT OF THE TOWN ACCOUNTANT
East Weymouth, Mass. February 2, 1951
To the Honorable Board of Selectmen
Weymouth, Massachusetts
Gentlemen:
Herewith is submitted the forty-ninth annual report of the Accounting Department.
Compiled in accordance with the requirement of statutes, it sets forth the facts most generally required by those desiring to make an analysis of the financial status of a municipality.
It should be emphasized that any one who seeks greater detail of the financial transactions of the town may find it by calling at the office.
The accounts of all officials charged with the collection or disburse- ment of funds have been frequently examined and found to be in accord- ance with the facts set forth herein.
The examination and verification of cash and securities has been con- ducted in accordance with the statutory requirements.
The cvidence submitted shows that the sound condition of the town ranks high among the municipalities of the Commonwealth.
Respectfully submitted,
EMERSON R. DIZER,
Town Accountant
RECEIPTS
General Revenue:
Taxes:
Current Year:
Poll
$16,996.00 496,133.96
Personal
Real Estate
1,627,724.56
$2,140,854.52
Previous Years:
Poll
248.00
Personal
2,256.38
Real Estate
93,810.87
96,315.25
From Commonwealth:
Corporation Taxes
181,272.23
Income Taxes
225,803.87
Meals Tax
10,691.46
417,767.56
Licenses and Permits:
Alcoholic and Malt Beverages
7,785.00
All Other
2,228.50
State Licenses
150.00
10,163.50
Fines and Forfeits
957.48
312
Grants and Gifts:
From Commonwealth:
U. S. Grant - O. A. A. - Administration 9,796.51
U. S. Grant - O. A. A. - Assistance
229,893.45
U. S. Grant - A. D. C. - Administration 1,348.44
U. S. Grant - A. D. C. - Relief 37,791.62
Vocational Schools
37,441.32
George-Barden Fund
3,482.88
Smith-Hughes Fund
1,497.83
School Construction Grant - Adams
5,478.95
School Construction Grant - Pratt
4,553.52
From County:
Dog License Fees
3,484.72
334,769.24
Special Assessments :
Motor Vehicle Excise Taxes - 1948
9.05
Motor Vehicle Excise Taxes - 1949
11,093.25
Motor Vehicle Excise Taxes - 1950
156,186.99
167,289.29
General Government:
Retirement System - Accounting Service
1,300.00
Town Treasurer, refund
25.60
Land Court, refund
7.95
Tax Collector, fees
2,700.14
Town Clerk, fees
4,025.50
Town Clerk, licenses and permits
394.00
Individual, refund
39.01
Sale maps, tel. tolls, etc.
54.75
8,546.95
Police Department: Individual, refund
180.00
Fire Department:
Individuals, restitution
186.49
George H. Wahn Co., refund
16.50
Sale of material
5.00
207.99
Building Inspector, permits
6,049.00
Wiring Inspector, permits
3,513.25
Plumbing Inspector, permits
4,961.00
Sealer of Weights and Measures, fees
681.50
Tree Department:
V. Leslie Hebert, refund
110.00
Health Department:
Commonwealth, subsidy
6,105.71
Commonwealth, contagious diseases
355.50
Licenses and permits
139.50
Dental Clinic Revenue
187.45
Refund
9.00
6,797.16
Sewer Department:
Common Sewer Assessments
17,182.75
Particular Sewer Assessments
8,143.49
Interest and Sewer Assessments
1,908.30
Rent of Rooms
679.20
27,913.74
313
Highway Department:
Commonwealth of Massachusetts:
Chapter 90 Construction - No. 11342 1,142.24
Chapter 90 Construction - No. 11925
8,235.07
Chapter 90 Construction - No. 12567
1,210.49
Chapter 90 Maintenance - No. 12486
1,972.93
County of Norfolk:
Chapter 90 Construction - No. 11925
2,448.74
Chapter 90 Maintenance - No. 12486
986.46
Individuals, Labor and Materials
670.73
16,666.66
Public Welfare:
Temporary Aid Reimbursements:
From Individuals, refunds
2,263.66
From Individuals, recoveries
781.42
From Other Cities and Towns
13,125.42
From Commonwealth of Massachusetts
21,546.23
Aid to Dependent Children Reimbursements:
From Individuals, refunds
987.22
From Commonwealth of Massachusetts
37,176.43
Old Age Assistance Reimbursements:
From Individuals, refunds
4,794.69
From Individuals, recoveries
298.10
From Other Cities and Towns
3,098.72
From Commonwealth of Massachusetts
230,961.84
315,033.73
Veterans' Services:
From Individuals, refunds
1,064.77
Other Cities and Towns
94.00
From Commonwealth of Massachusetts
23,872.08
25,030.85
Schools:
Rent of Halls
1,133.00
Sale of materials, supplies, etc .:
Schools - general
389.46
Manual Arts Classes
254.13
Evening Industrial Classes
127.09
Weymouth Vocational School:
General
96.83
Auto Repair
237.89
Cabinetmaking
773.13
Carpentry
158.87
Printing
604.49
Sheet Metal
1,113.64
314
Tuition :
Weymouth Vocational School 18,063.57
Schools - general
2,197.98
Commonwealth of Massachusetts
5,009.12
Adjustment Fire Loss
34.80
Dividends on Insurance
117.50
Hobbs and Warren, refund
33.43
Rand Express, refund
5.72
Mass. Teachers Retirement Board, refund
1,193.79
Miscellaneous
65.11
31,609.55
Libraries :
Income from Funds
903.81
Librarian, Fines, fees, etc.
1,201.16
2,104.97
Park Department:
Beals Park Fund, for fence
100.00
Individual, refund
52.00
152.00
Unclassified :
Tax Title Releases - Principal
3,068.66
Tax Title Releases - Excess
501.41
Sale of Real Estate
913.24
Federal Housing Authority
8,550.67
Refund - Weymouth Housing Committee
275.27
Weymouth Housing Authority - for sewer
20,000.00
Taxes paid after abatement:
1949 Poll Taxes
2.35
1950 Motor Vehicle Excise Taxes
14.24
Commonwealth - refund Sea Wall account
1,690.27
Fire Insurance dividends
122.28
Judgements - M. V. E. Taxes
121.67
Ashwood Cemetery Fund, transfer
1,500.00
Ashwood Cemetery Account, refund
10.00
Tufts Lecture Fund, transfer
249.38
37,019.44
Interest :
On Deferred Taxes:
1948 Accounts
192.13
1949 Accounts
2,296.81
1950 Accounts
518.39
On unapportioned Sewer Assessments
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