USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1952 > Part 23
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An extension of 6-inch on Burton Terrace was let to Swanson and Gould, Inc., as well as 6-inch on one street accepted by the Town, viz .: May Terrace.
302
At the Pumping Station at South Weymouth, I recommend that during 1953 serious consideration be given to an emergency suction pipe installed from screen well direct to high service pumps; to consider emergency Diesel power for insurance against electric power failures; and also the consideration of increased clear well storage. It is also recommended that the Reed Avenue Standpipe be checked for condition, and to determine any necessary repairs.
Your Superintendent wishes to thank the various Town departments for their co-operation, and to also acknowledge the help and counsel of the Board of Water Commissioners.
Respectfully submitted,
SYDNEY C. BEANE Superintendent
303
TABLE I METERS IN USE DECEMBER 31, 1952
Size in Inches
Make
5/8
3/4
1
11/2
2
3
4
6
8
10
Totals
Arctic
193
193
Empire
2
-
-
1
3
Hersey
1310
8
32
36
19
1
9
2
3
1
1421
Imo
2
2
Keystone
43
1
44
King
23
23
Nash-K
27
27
Trident
834
1
1
836
Watch Dog
7163
61
9
15
7248
Worthington
4
4
Totals
9601
8
93
46
36
1
10
2
3
1
9801
December 31, 1952
9132
8 97
40
36
1 10
2
3
1
9330
-
304
TABLE II CONSUMPTION AND PUMPAGE IN 1952
High Service
Low Service
Million Gal.
Great Pond
Station
Million Gal.
Main Street
Station
Million Gal.
Total Cons.
Million Gal.
Pumped Great
Pond Station
Millions Gal.
Gravity Great
Pond Station
Million Gal.
Circuit Ave.
Station
Million Gal.
Total Cons.
Million Gals. Total
Consumption High &
Wash Water Percent
of Total Pumped
Great Pond Station
Average Monthly
Pond Level
January
29.87
29.87
9.84
19.89
29.74
59.61
4.87
165.83
February
26.45
. .
26.45
7.58
17.92
0.30
25.80
52.25
5.44
165.96
March
29.87
0.07
29.94
7.01
18.71
0.77
26.50
56.44
5.31
165.94
April
31.12
..
31.12
4.97
19.61
24.58
55.70
5.31
165.75
May
34.92
34.92
7.08
16.98
0.32
24.39
59.31
5.31
165.96
June
37.64
·
37.64
16.39
11.07
27.46
65.10
5.37
165.86
July
50.90
1.09
51.99
31.26
2.61
33.87
85.86
5.48
164.87
August
35.51
35.51
12.21
9.45
21.66
57.17
6.05
163.88
September
34.23
1.56
35.79
13.35
10.79
3.21
27.35
63.14
6.49
163.00
October
25.99
9.56
35.55
12.38
9.80
9.18
31.36
66.91
6.41
162.27
November
15.51
19.32
34.83
4.03
8.27
17.80
30.10
64.93
6.95
161.75
December
20.22
13.30
33.52
.94
17.36
13.98
32.27
65.80
6.45
161.75
Totals
372.23
44.90
417.13
127.04
162.46
45.56
335.08
752.22
. ..
. .
Ave. 1952
1.014
...
1.140
.35
.444
....
913
1.098
1.098
.53
.366
.. .
.906
165.33
Ave. Day 1952
...
..
.. .
Ave. Day 1951
2.008
4.08
On Max. Day 7-18-52
.
..
..
On Min Day 2-26-52
...
. .
. .
.
... .
On Max Week 7-13-52
to 7-19-52
21.871
.
.
.. .
.. .
.
. .
.
2.055
5.79
..
3.138
·
1.575
. .
164.40
Ave. 1951
305
Month
L. S.
Low Service
H. S.
TABLE III -TREATMENT FOR 1952 FILTER PLANT
Average Color
Average P. H.
Alum Coagulant
Soda Ash Coagulant
Soda Ash Corrective
Chlorine
Calgon
Chemicals
Month
Raw Water
Final Effluent
Raw Water
Final Effluent
Hundred Pounds
Hundred Pounds
Hundred Pounds
Pounds
Pounds
Cost Per
Million Gallons
Total Consumption
Water Temperature
306
64.
10.
5.7
7.0
147.
57.
80.
106.
864.
$13.16
37
January
34
February
69.
5.
5.5
7.2
146.
51
62.
100.75
955.
March
69.
5.
5.4
7.2
149.
66.
60.
103.50
985.
70.
1.5
5.5
7.0
151.
61.
57.
106.
895.
13.37
49
April
56
May
71.
0.0
5.7
7.2
138.
62.
50.
108.75
995.
June
79.
0.4
5.7
7.2
171.
77.
70.
116.
July
60.
0.0
5.7
7.2
185.
78.
86.
141.75
1145.
August
48.
0.0
5.8
7.2
130.
52.
61.
122.50
1028.
12.45
75
September
38.
0.0
6.0
7.2
110.
41.
51.
118.0
1067.
10.66
75
October
38.
0.0
6.0
7.2
85.
32.
38.
121.25
870.
10.12
56
November
35.
0.0
5.7
7.2
52.
20.
20.
107.25
575.
10.78
44
December
29.
0.0
5.9
7.2
69.
31.
31.
111.75
740.
10.83
36
Totals
670.
22.
68.6
86.
1533.
628.
666.
1363.5
11224.
. .
Ave. Day 1952
55.8
1.0
5.7
7.2
4.19
1.71
1.89
3.72
30.7
12.23
54
Ave. Day 1951
57.4
1.0
5.7
7.2
3.88
1.66
2.39
4.19
30.1
11.55
53
1105.
13.76
70
11.43
76
13.97
14.00
36
12.23
TABLE III-A -TREATMENT FOR 1952 CIRCUIT AVENUE STATION
Month
Average Color
P.H.
Soda Ash Corrective Average Hundred Chlorine Pounds
Pounds
Calgon Pounds
Cost Per total Consumption Million Gallons
February
0
6.9
2.
2.
6.
25.50
March
0
7.0
5.
5.
18.
25.50
May
0
7.0
2.
2.
5.
23.44
September
0
6.9
17.
15.
53.
20.03
October
0
6.9
55.
50.
300.
24.80
November
0
6.9
111.
60.
520.
24.00
December
0
6.9
80.
41.7
244
21.32
Totals Ave. Day 1952
.
..
272.
175.7
1146.
....
0
6.9
3.5
2.28
14.9
23.57
MAIN STREET STATION
March
0
7.0
.5
.25
1.
24.60
July
0
7.1
5.
2.0
30.
18.25
September
0
7.0
8.5
4.5
36.
20.60
October
0
7.0
58.
52.
214.
23.50
November
0
7.0
112.
59.
471
21.88
December
0
7.0
89.
38.4
251
23.58
Totals
.
..
273.
156.15
1003.
....
Ave. Day 1952
.
7.0
3.5
2.0
13.0
22.06
307
TABLE IV. NEW MAINS INSTALLED 1952
Cement Lined
Transite
PIPE
Copper
W.I.
W. I.
C. I.
C.I.
C. I.
C. I.
Street
11/2
11/2
2
6
8
10
12
6
8
Location
Alton Terrace
16
273
Bell Road
225
Belmont Street
189
Burton Terrace
287
Blanche Avenue
172
Off Leslie Avenue Off Chisholm Road
Central Street
From White to No. 285 Union Street
Charmada Road
199
From Main Street to Front Street
Chisholm Road
285
Christine Terrace
255
57
366
Off No. 573 Middle Street
Dixon Road
200
Doris Drive
760
Edith Road
219
Elizabeth Lane
5
39
360
Off Ralph Talbot Street
Ellen Avenue
14
382
Off Greenvale Avenue
Ells Avenue
From No. 422 Main Street to Front Street
Elmer Road
31
-
Off Thicket Street
Ernest Road
150
Fourth Street Frank road
From No. 48 to No. 54 Frank Road
Front Street
5
12
13
3726
Great Hill Drive
23
From Main Street to Ells Avenue At Neck Street
Green Street
29
24
2822
From Sunrise Drive to Bridge Street
308
Branch Road
846
694
From Branch Road to Meadow Lane Near 1118 Middle Street
Cranch Street
Off Longwood Road From No. 35 to end Off Hinston Road
550
-
590
Off FrankRoad Near Third Street
6
93
285
Off Addington Circle Off Broad Street Near Progress Street From No. 35 to No. 50
NEW MAINS INSTALLED 1952 (Continued)
509 550
900
61
157
44
900
129
6
197
745
900
Meadow Lane
5
475
Mercury Street
16
560
863
Middle Street
17
964
From No. 995 to No. 1060 Middle Street
Middle Street
8
37
Near Lake Street
Moreland Road
Mt. Vernon East
10
591
Newbert Avenue
48
Norma Road
150
Oak Street
130
1979
Off No. 114 Park Ave. 250
31
At Hingham Line
Near Oak Street
Progress Street
1360 From Belmont to Summer Streets
Rinaldo Road
321
Katherine Street to Green Street
Rindge Street
441
At end of Lyme Street
Sanderson Avenue
296
Off Pleasant Street
Sanning Road
7
Off North Street
St. Anne Road
350
850
Off East Street
Stratford Road
86
From No. 22 to No. 30
Summit Street
12
Near Webb Street
Sunny Plain Avenue
176
From No. 108 to end
Thompson Road
270
Off Moreland Road
Union Street
79
895
3109
From No. 215 to Prescott Street
Whipple Street
1616
Off Front Street
Willow Avenue
80
From No. 48 to Wessagusset Road
Winter Street
13
1499
Worthen Avenue
208
47
-
Totals
250
117
1646
2075
4615
1511 14761
9225
2063
309
Hanian Way Karlyn Road Knollwood Circle Leslie Avenue Longwood Road Lindale Avenue Main Street Mandalay Road
From St. Anne Road to end Off Dixon Road From No. 85 to end
Off Ellen Avenue Off Essex Street From Great Hill Drive to end From Ells Avenue to No. 360 Main Street Off Oak Street
Off Chisholm Road
Off West Street
268
Off Green Street From No. 146 to end
From No. 71 to No. 75 Newbert Avenue To Appletree Lane From Pine Street to Ralph Talbot Street To end of Private Way
Pine Street Pine Street
150
245
From No. 45 to No. 208 Winter Street Near Carson Street
TABLE IV. A GATES AND HYDRANTS INSTALLED 1952
Street
Gates - Inches
Hydrants
Location
2-in.
6-in.
8-in.
10-in.
12-in.
Alton Terrace
1
-
2
1
Near Progress Street
Burton Terrace
1
1
Blanche Avenue
1
4
Off Chisholm Road
Central Street
I
1
At White Street
Charmada Road
1
-
310
Chisholm Road
1
Near Meadow Lane
Christine Terrace
1
Near 1118 Middle Street
Cranch Street
1
1
Off No. 573 Middle Street
Dixon Road
1
1
Off Longwood Road
Doris Drive
Near No. 35
Edith Road
1
Off Hinston
Elizabeth Lane
1
1
Off Ralph Talbot Street
Ellen Avenue
1
Off Greenvale Avenue
Ells Avenue
At Front Street
Elmer Road
1
1
Off Thicket Street
Ernest Road
1
At Frank Road
Fourth Street
1
1
Near Third Street
Frank Road
1
1
Near No. 48
Front Street
1
3
From Main Street to Ells Avenue
Great Hill Drive
At Neck Street
Green Street
3
4
1
From Sunrise Drive to Bridge Street
Hanian Drive
At St. Anne Road
Knollwood Circle
1
||-0011 1 3
111
- Near No. 85
.
Near Addington Circle
Belmont Street
Near No. 150
Near Leslie Avenue
Branch Road
.
1
1
1
.
1
1
1
At Main Street
TABLE IV. A GATES AND HYDRANTS INSTALLED 1952 (Continued)
Leonard Road Leslie Avenue Longwood Road
1
1
Off Ellen Avenue
1
Off Essex Street
Lindale Avenue Lyme Street Main Street
At Jaffrey Street Near Ells Avenue (1) Mill River
Mandalay Road
1
1
Off Oak Street
Meadow Lane
Off Chisholm Road
Mercury Street
3
1
2
Off West Street Near Lake Street
Middle Street Moreland Road
2
2
1
Off Green Street
Mt. Vernon East
1
1
1
From No. 146 to end
Oak Street
5
1
From Pine Street to Ralph Talbot Street
Pine Street
1
Near Hingham Line
Pine Street
Near Oak Street
Pond Street
1
Near No. 138
Progress Street
1
1
From Belmont Street to Summer Street
Rindge Street
Near Lyme Street
Sanning Road
Off North Street
St. Anne Road
1
Off East Street
Summit Street
1
At Webb Street
Union Street
3
2
2
From No. 215 to Prescott Street
Whipple Street
Off Front Street
Whitman Street
1
Near Humphrey School
Willow Avenue
1
At Wessagusset Road
Winter Street
1
1
From No. 45 to No .. 208
Worthen Avenue
1
1
Near Carson Street
Totals
7
53
16
5
18
22
1
1
Off Great Hill Drive
1
.
Middle Street
1
1
2
1
1
From No. 995 to No. 1060
311
-
1
Near No. 18
1
1
3
1
1
1
1
3
3
TABLE V. REPLACEMENT OF MAINS 1952
Mains
Gates
Taken Out
Installed
Location
Size-Inches
Kind
Feet
Size-Inches
Kind
Feet
Taken Out
Installed
Colonial Road
2
Steel
676
6
C.L.
676
2
2
Frank Road
6
C.L
100
8
Transite
100
-
-
Hyde Street
2
Steel
29
2
C.L.
29
1
1
Hyde Street
2
Steel
224
6
C.L.
224
-
1
Lorraine Street
2
Steel
479
6
C.L.
479
1
1
Lyme Street
2
Steel
316
6
C.L.
316
1
1
May Terrace
1 1/2
Steel
499
6
C.L.
499
1
1
Sycamore Road
2
Steel
512
6
C.L.
512
1
1
Totals
2835
2835
7
7
TABLE VI. DISTRIBUTION PIPE AND GATES IN USE DECEMBER 31, 1952
Size-nches
Copper
Lead
Steel
Transite
Cast Iron
Lead Lined
Cement Liined
Cast Iron
Universal
Gates
20
250
1
18
2090
1
16
2813
3
14
22555
14
12
48158
31232
102
10
49864
3697
78
8
8979
59184
19047
163
6
100
34178
285080
41042
1958
784
4
22435
751
49
2
57671
6671
384
10789
134
11%
941
22879
45
114
120
6640
421
1
216
8387
Totals
1061
216
95677
43157
496287
384
109768
2709
1374
727
312
The Commonwealth of Massachusetts
TABLE VII DEPARTMENT OF PUBLIC HEALTH (Parts Per Million)
1952 Weymouth Water Analysis
Sample Number
Date of
Collection
Turbidity
Color
Free
Total
Albuminoid
Nitrogen as
Nitrates
Chlorides
Hardness
Alkalinity
P.H.
Iron
313
390866
Mar. 17
2
55
.148
.216
8.2
14
6
4.9
-
Grt. Pond Raw Water
392762
July 28
2
38
036
140
8.0
8
2
5.3
.60
Grt. Pond Raw Water
394603
Nov. 19
4
26
.112
092
8.8
10
1
5.5
Grt. Pond Raw Water
390867
Mar. 17
6
4
.020
.192
8.4
13
6
4.9
Coagulated Water
392763
July 28
2
9
.016
076
8.0
13
2
5.1
.27 Coagulated Water
394604
Nov. 19
4
11
.032
.092
8.8
10
2
5.5
Coagulated Water
390868
Mar. 17
1
3
.028
.072
8.6
13
14
6.3
Final Effiuent
392764
July 2
2
11
004
.044
8.0
11
7
6.3
.03 Final Effiuent
394605
Nov. 19
0
0
.012
.052
9.0
10
8
6.6
Final Effiuent
392508
July 15
1
2
13.0
39
84
7.1
.02 Main St. G. P. Well
394020
Oct. 2
0
1
216
128
3.75
20.0
43
83
7.1
.02
Main St. G. P. Well
394019
Oct. 2
1
0
3.25
19.0
42
92
7.1
.02
Cir. Ave. G. P. Well
-
Location of
Sample Taken
Appearance
Ammonia
SUMMARY OF STATISTICS Year Ending December 31, 1952 Weymouth Water Works, Weymouth, Mass.
Population 1950 Census: 32,695
Population 1952 Winter: 35,900 (est.); Summer: 37,000
Date of Construction: 1885
By Whom Owned: Town of Weymouth
Source of Supply: Weymouth Great Pond; Circuit Avenue, Gravel Packed Well; Main Street, Gravel Packed Well
Mode of Supply: Pumping to filtration, thence to distribution by pumping to standpipes and by gravity flow. Also, emergency pumping direct from gravel packed wells to system
Capacity of Reservoirs: 4,070,000 gallons
PUMPING MACHINERY Great Pond Station Low Lift
DeLaval Single Stage Pump 1,000 G.P.M.
10 H.P. G.E. Motor
DeLaval Single Stage Pump
1,250 G.P.M. 10 H.P. G.E. Motor
DeLaval Single Stage Pump
1,500 G.P.M. 15 H.P. G.E. Motor
High Lift
DeLaval Single Stage Pump
1,000 G.P.M. 60 H.P. G.E. Motor
DeLaval Single Stage Pump
1,250 G.P.M. 75 H.P. G.E. Motor
DeLaval Single Stage Pump
1,500 G.P.M. 100 H.P. G.E. Motor
Gravity Booster
De Laval Single Stage Pump
875 G.P.M.
25 H.E. G.E. Motor
Emergency High Lift
De Laval Single Stage Pump
1,800 G.P.M. 150 H.P. Sterling Motor Gasolene Driven
Hollis Street Emergency Station
High Lift
Allis Chalmers Single Stage Pump 1,200 G.P.M. 70 H.P. G.E. Motor
Worthington Double Stage Pump 1,000 G.P.M. 70 H.P. G.E. Motor
Circuit Avenue Station Deep Well Pump
Pomona Turbine Pump 700 G.P.M. 25 H.P. Westinghouse Motor
Main Street Station Deep Well Pump
Cook Turbine Pump
700 G.P.M. 60 H.P. United States Motor
314
DISTRIBUTION MAINS
Extended: 37,812 lineal feet
Replaced: 2,835 lineal feet
Total Mains now in use: 141.6 miles
Number of hydrants added: 22
Total hydrants in use: 750 (Exclusive of private hydrants)
Number of Gates added: 99
Total Gates in use: 1,375
Number of Blow-offs: 90
SERVICES
Number of Services installed in 1952: 493
Total Services active: 10,144
Number of active Services metered: 9,801
Percentage of Services metered: 96.6
CONSUMPTION
Total gallons Great Pond Station
661,760,000
Total gallons Circuit Avenue Station
45,560,000
Total gallons Main Street Station
44,900,000
Total gallons consumed
752,220,000
Average daily consumption in gallons
2,055,000
Average daily consumption per capita in gallons
57.2
Total gallons through commercial meters
238,475,116
Total gallons through domestic meters
417,363,056
Total gallons measured
655,838,172
Proportional gallons accounted for by meters
87.1%
Proportional gallons accounted for by fixture and summer accounts
3.0%
Total gallons accounted for
90.1%
315
1952 REPORT OF THE TREASURER FOR THE WATER DEPARTMENT
RECEIPTS
New Services
$ 31,021.16
Water Rents Received
240,450.49
Private Account
15,996.26
Water Liens
7,706.77
Construction Deposits
32,911.00
Interest South Weymouth Savings Bank
1,336.21
Miscellaneous Refunds
49,48
Refund of Massachusetts Gasoline Excise Tax
70.50
Interest on Treasury Bonds, 21/4 %
1,125.00
Discount U. S. Treasury Bills Purchased
944.14
$331,611.01
Cash on hand January 1, 1952
238,971.42
$570,582.43
PAYMENTS
Paid on Selectmen's Warrants for:
Notes and Bonds
$ 39,000.00
Interest on Loans
5,945.00
Sundry Appropriations
377,234.34
Total Warrants Paid
$422,179.34
TREASURER'S CASH
On Deposit at Second National Bank, Boston
$ 10,681.03
On Deposit at Granite Trust Co.
18,776.27
On Deposit at South Weymouth Savings Bank
38,849.12
Treasury Bonds, 214%, 1956-59
50,021.70
Petty Cash Drawers
225.00
U. S. Treasury Bills
29,868.05
Total Funds December 31, 1952
$148,421.17
WATER ASSETS
Amount due for Water Rents
$ 55,564.01
Amount due for Private
2,197.76
Amount due for New Services
4,402.23
$ 62,164.00
Cash on hand December 31, 1952
98,399.47
$160,563.47
316
Deposit Second National Bank, Boston Deposit Checking Account, Granite Trust Co. Deposit in South Weymouth Savings Bank U. S. Treasury Bills Petty Cash Drawer
$ 10,681.03 18,776.27 38,849.12
29,868.05 225.00
Water Rents, New Services and Private Accounts Receivable
62,164.00
$160,563.47
Investments in U. S. Savings Bonds, 214 %, 1956-59
$ 50,000.00
TOTAL WATER LIABILITIES JANUARY 1, 1953
Serial Notes of August, 1934
$ 8,000.00
Serial Notes of October 1, 1946-56
20,000.00
Construction Loan, August 1, 1948-63, Incl.
140,000.00
Additional Water Supply, April 1, 1950-65
39,000.00
Water Department Equipment for Filter Plant, April 1, 1950-55 Water Mains Bonds, October 1, 1951
15,000.00
93,000.00
$315,000.00
NOTES AND BONDS DUE 1953
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
Water Mains Bonds, October 1, 1951
7,000.00
$ 39,000.00
Respectfully submitted, HARRY I. GRANGER Treasurer, Water Department
1952 FINANCIAL REPORT OF THE COLLECTOR FOR THE WATER DEPARTMENT
WATER ACCOUNT
Balance due January 1, 1952
$ 62,332.78
Charges to December 31, 1952
243,892.79
$306,225.57
WATER ACCOUNT CREDITS
Cash Paid to Treasurer
$240,450.49
Abatements and Service Transfers
2,414.65
Transfers to Lien Account
7,796.42
Balance due December 31, 1952
55,564.01
$306,225.57
317
$ 98,399.47
PRIVATE ACCOUNT
Balance due January 1, 1952 Charges to December 31, 1952
$ 3,020.94 15,834.10
$ 18,855.04
PRIVATE ACCOUNT CREDITS
Cash Paid to Treasurer
$ 15,996.26
Abatements and Service Transfers
531.18
129.84
Transfers to Lien Account Balance due December 31, 1952
2,197.76
$ 18,855.04
NEW SERVICES ACCOUNT
Balance due January 1, 1952
$ 4,120.43
Charges to December 31, 1952
31,395.20
$ 35,515.63
NEW SERVICES ACCOUNT CREDITS
Cash Paid to Treasurer
$ 31,021.16
Abatements and Service Transfers
92.24
Balance due December 31, 1952
4,402.23
$ 35,515.63
Respectfully submitted, HARRY I. GRANGER Collector
REPORT OF THE TOWN ACCOUNTANT
East Weymouth 89, Mass., January 28, 1953
To the Board of Water Commissioners
Gentlemen:
Herewith is submitted the fifty-first annual report of the Accounting Department for the year ending December 31, 1952. EMERSON R. DIZER
Town Accountant
WATER DEPARTMENT STATEMENTS OF RECEIPTS AND PAYMENTS FOR THE YEAR ENDED DECEMBER 31, 1952
RECEIPTS
Water - Rates
$240,450.49
Water - Liens
7,706.77
Water - New Services
31,021.16
Water - Private Work
15,996.26
South Weymouth Savings Bank, Interest
1,336.21
318
U. S. Treasury, Interest on Bonds
1,125.00
944.14
U. S. Treasury, Interest on Treasury Bills Refunds Water Construction Deposits
119.98
32,911.00
Total
$331,611.01
Cash on hand January 1, 1952
238,971.42
Total
$570,582.43
Warrants Paid in 1952
422,179.34
Cash on hand December 31, 1952
$148,403.09
Analysis of Treasurer's Cash:
Granite Trust Co.
$40,192.22
Less Outstanding Checks
21,415.95
$18,776.27
South Weymouth Savings Bank
38,849.12
U. S. Treasury Bonds
50,021.70
U. S. Treasury Bills
29,849.97
Second National Bank, Boston
10,681.03
Cash in Treasurer's Office
225.00
$148,403.09
PAYMENTS
Water Construction-Loan 1948:
Labor
62.30
All Other
773.49
Transfers-Equipment
7.99
Stock
1,023.74
1,867.52
Water Construction-Loan 1951:
Labor
5,096.89
All Other
61,176.72
Transfers-Equipment
835.44
Stock
27,784.86
94,893.91
Water Mains-1952 Special:
Labor
827.97
All Other
10,713.40
Transfers-Equipment
124.07
Stock
9,873.86
21,539.30
Water Supply Development:
Labor
169.11
All Other
2,687.30
Transfers-Equipment
21.59
Stock
643.30
3,521.30
319
Filter Plant Improvements:
Labor
1,335.11
All Other
871.43
Transfers-Equipment
50.49
Stock
4.12
2,261.15
Minor Construction:
New Meters:
Labor
904.83
All Other
9,487.45
Transfers-Equipment
134.85
Stock
33.18
10,560.31
Miscellaneous:
Labor
1,004.81
All Other
1,749.33
Transfers-Equipment
132.59
Stock
938.81
3,825.54
14,385.85
New Services:
Labor
8,390.46
All Other
1,151.19
Transfers-Equipment
3,759.53
Stock
16,892.36
30,193.54
Maintenance and Operation:
Distribution System:
Labor
45,793.25
Engineering
734.66
All Other
2,298.76
Transfers-Equipment
3,016.36
Stock
1,529.12
53.372.15
Care of Meters:
Labor
4,450.81
All Other
1,274.81
Transfers-Equipment
. 811.74
Stock
119.65
6,657.01
Hollis Street Garage:
Labor
558.16
All Other
2,700.65
Transfers-Equipment
22.16
3,280.97
Circuit Avenue Station:
Labor
637.48
All Other
2,320.70
Transfers-Equipment
14.24
2,972.42
320
Filter Plant Operation:
Labor
16,158.19
Fuel
1,267.06
Light and Power
11,009.88
Chemicals
9,553.91
All Other
3,626.95
Transfers-Equipment
329.41
Stock
14,19
41,959.59
Grounds and Buildings:
Labor
1,545.16
All Other
197.23
Transfers-Equipment
78.66
1,821.05
Water Shed:
Labor
616.10
All Other
194.67
Transfers-Equipment
12.32
823.09
Main Street Station:
Labor
663.30
All Other
2,509.10
Transfers-Equipment
15.77
Stock
10.22
3,198.39
Cleaning Mains:
Labor
1,324.64
All Other
1,619.34
Transfers-Equipment
289.24
Stock
190.19
3,423.41
117,508.08
Replacements:
Labor
2,793.35
All Other
82.19
Transfers-Equipment
667.10
Stock
2,041.27
5,583.91
New Equipment-Welder
$
9.00
New Equipment-Welder
Commercial:
Salaries
20,789.24
Stationery, Postage, Printing, etc.
3,134.51
All Other
4,574.77
28,498.52
321
Salaries Interest Debt Retirement
1,050.00 5,945.00 39,000.00
Private:
Labor All Other Transfers-Equipment Stock
4,424.33 791.26
1,327.25
11,931.43
18,474.27
Equipment:
Labor
1,314.25
All Other
10,833.34
12,147.59
Stock:
Labor
2,757.25
All Other
73,610.67
Transfers-Equipment
165.89
76,533.81
473,412.75
STATEMENT OF APPROPRIATIONS AND EXPENDITURES
Appropriation Accounts :
Balances from 1951 Account:
Water Construction-1951
$100,000.00
Water Construction-Loan 1948
1,867.52
Water Supply Development
6,909.85
Filter Plant Improvements
14,501.99
Purchase Land on Pond
2,375.77
Equipment Account
7,054.86
Stock Account
12,812.81
Appropriations March 5, 1952:
From Revenue
261,803.00
From General Fund
47,000.00
Transfer Credits:
Interest Account
116.67
Equipment Account
11,816.69
Debt Retirement Account
359.12
Stock Account
73,030.30
539,648.58
Expended :
Water Construction-Loan 1948
1,867.52
Water Construction-Loan 1951
94,893.91
Water Mains-1952 Special
21,539.30
Water Supply Development
3,521.30
Filter Plant Improvements
2,261.15
322
New Services
30,193.54
Minor Construction
14,385.85
Maintenance and Operation
117,508.08
Replacements
5,583.91
New Equipment-Welder
9.00
Commercial Expenses
28,498.52
Salaries of Commissioners
1,050.00
Interest on Debt
5,945.00
Debt Retirement
39,000.00
Private Work
18,474.27
Equipment
12,147.59
Stock
76,533.81
473,412.75
Balance Unexpended
66,235.83
Balances to Revenue
21,639.62
Balances to 1953 Account
44,596.21
66,235.83
Water Construction-Loan 1951
5,106.09
Water Mains-1952 Special
3,460.70
Water Supply Development
3,388.55
Filter Plant Improvements
12,240.84
Purchase Land on Pond
2,375.77
Purchase Equipment-Welder
1,991.00
Equipment Account
6,723.96
Stock Account
9,309.30
$44,596.21
323
WATER DEPARTMENT
BALANCE SHEET
DECEMBER 31, 1952
ASSETS
LIABILITIES
Treasurer's Cash
$148,403.09
Water Construction Deposits
$
8,193.00
Accounts Receivable :
Water Construction-Loan 1951
$5,106.09
Water Mains-1952 Special
3,460.70
New Services
4,402.23
Private Work
2,197.76
Liens-1951
278.03
Liens-1952
1,775.96
64,217.99
Purchase Equipment-Welder
1,991.00
Equipment Account
6,723.96
Stock Account 9,309.30
44,596.21
Revenue Reserved Until Collected Surplus Revenue
64,217.99
95,613.88
$212,621.08
$212,621.08
WATER DEBT ACCOUNT
Net Water Debt
$315,000.00 Water Loan-August 15, 1934
$ 8,000.00
Water Loan-October 1, 1946
20,000.00
Water Loan-August 1, 1948
140,000.00
Water Loan-April 1, 1950
39,000.00
Water Loan-April 1, 1950
15,000.00
Water Loan-October 1, 1951
93,000.00
$315,000.00
$315,000.00
EMERSON R. DIZER, Town Accountant
324
Water-Rates
$55,564.01
Water Suply Development
3,388.55
Filter Plant Improvements
12,240.84
Purchase Land on Pond
2,375.77
Unexpended Appropriation Balances:
TOWN TREASURER'S REPORT
To the Honorable Board of Selectmen and To the Citizens of the Town of Weymouth
Treasurer's Cash January 1, 1952 Total Receipts for 1952
$1,188,219.27 7,588,925.92
8,777,145.19
Disbursed on Selectmen's Warrants
7,257,365.93
Treasurer's Cash December 31, 1952
$1,519,779.26
For details of Receipts and Disbursements please see the Town Accountant's Report.
Respectfully submitted,
HARRY I. GRANGER, Town Treasurer.
ASSETS
Due from the Collector of Taxes for 1951:
Real Estate Taxes
$ 5,811.70
Motor Vehicle Excise
53.58
Water Liens
278.03
Common Sewer Assessment unapportioned
24.25
$ 6,167.56
Due from the Collector of Taxes for 1952:
Real Estate Taxes
$102,262.81
Personal Taxes
3,890.35
Poll Taxes
248.00
Motor Vehicle & Trailer Excise
55,817.56
Particular Sewer Assessment Apportioned
359.80
Common Sewer Assessment Apportioned
598.02
Common Sewer Assessment
20,783.63
Particular Sewer Assessment
29,127.15
Committed Sewer Interest
297.17
Water Liens
1,775.96
$ 215,160.45
Trust Funds and Accumulated Interest
891,855.00
Deposit in Granite Trust Co.
441,801.05
Deposit in Second National Bank, Boston
571,601.79
U. S. Treasury Bills Due 1-8-53
500,000.00
School Athletic Association Fund
8,686.42
Sundry Bills Receivable
26,649.56
Total Assets, December 31, 1952
$2,661,921.83
325
LIABILITIES
Notes and Bonds Outstanding January 1, 1953
Adams-Pratt Extension, August 1948-58 Incl.
$ 195,000.00
Adams-Pratt Additional Loan August 1949-56 Incl.
20,000.00
South Junior High School May 1950-70 Incl.
1,080,000.00
Eldon Johnson School February 1951-66 Incl.
419,000.00
Sewer Loan October 1951-81 Incl.
191,000.00
South Junior High Additional Loan October 1951-66 Incl.
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