Town annual report of Weymouth 1960, Part 26

Author: Weymouth (Mass.)
Publication date: 1960
Publisher: The Town
Number of Pages: 386


USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1960 > Part 26


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Land-Future High School- Pleasant Street


36,000.00


4,000.00


359


School Construction Committees :


Homestead School Addition Plans Pond School Addition Plans


1,442.20


1,463.81


Land-Center School


9,700.00


40,000.00


40,000.00


Aid to Dependent Children:


400,000.00


18,645.49


418,645.49


218,570.37


3.54


18,400.00


9,715.45


9,715.45


78,308.59


78,308.59


High School Building Committee- Commercial Street


679,352.34 2,142,092.28


LIBRARIES


136,954.00 9,464.00


1,366.40


138,320.40 9,464.00


Tufts Library and Branches


138,320.35 9,369.71


05 94.29 10,925.00


146,096.54 10,800.00


10,925.00


10,925.00


Renovation of Tufts Library


RECREATION


74,313.00


1,098.00


75,411.00


Park-Recreation


75,409.69


1.31


115,030.50


40,135.00


40,135.00


Park-Maintenance


32,789.95


7,345.05


41,658.20


3,146.23


13,109.00


16,255.23


Park-Special a/c


15,265.65


989.58


16,365.00


1,283.60


1,283.60


Park Development-Idlewell


775.90


507.70


1,350.16


1,350.16


Playground-Off Green Street


149.40


1,200.76


2.00


2.00


Purchase Land-Birches


2.00


1,500.00


1,500.00


Purchase Land-Pilgrim Road


1,500.00


2.00


2.00


Purchase Land-Wessagusset Beach


2.00


UNCLASSIFIED


43,795.00


391.27


44,186.27


Pensions


44,156.75


29.52


49,132.78


12,864.61


Memorial Wall and Tablets


291.89


12,572.72


200.00


Testimonial Folders


200.00


2,200.00


2,200.00


Observance-Memorial Day


2,051.89


148.11


2,200.00


400.00


400.00


Observance-Veterans' Day


396.30


3.70


400.00


46,000.00


254.19


46,254.19


Fire and Other Insurance


46,254.19


50,000.00


8,500.00


8,500.00


Mosquito Control


8,500.00


8,500.00


300.00


300.00


Purchase Fish and Game


150.00


150.00


7,089.00


7,089.00


Miscellaneous Expenses


6,850.43


238.57


7,980.00


16,660.00


16,560.00


Hall Rentals


16,660.00


17,610.00


78,000.00


35.36


78,035.36


Group General Insurance


66.786.66


11,248.70


75 000.00


100.00


100.00


Care of Soldiers' Monument


100.00


100.00


2,476.00


2,476.00


Care of Soldiers' Graves


2,448.54


27.46


2,647.00


475.00


475.00


Care of Old Cemeteries


475.00


475.00


110,624.00


110,624.00


Contributory Retirement System


110,624.00


125,612.75


1.00


1.00


Municipal Buildings Insurance Fund 1.00


1.00


35,000.00


35,000.00


Reserve Fund


22,957.18


12,042.82


35,000.00


PUBLIC SERVICE ENTERPRISE


200.00


200.00


Alewife Fishery


200.00


200.00


360


12,864.61 200.00


Fogg Library Reading Room


INTEREST AND DEBT RETIREMENTS


264,000.00


212,211.38


51,788.62


278,400.00


643,000.00


2,099.50


264,000.00 645,099.50


Interest and Discount Debt Retirement


643,000.00


2,099.50


793,000.00


1,192,608.39


9,909,221.26 3,065,892.03


14,167,721.68


10,515,971.71 3,651,749.97


9,810,909.89


Balance to Revenue


$ 268,323.49


Balance to Overlay Surplus


12,042.82


Balance to 1961 Accounts


3,371,383.66


$3,651,749.97


New Appropriations for 1961 (including Water)


Water Department


$ 444,707.53


Chapter 90 Construction


96,000.00


Accepted Streets for 1961


21,850.00


Drainage


90,000.00


Shore Protection


10,000.00


Land Taking for Bench and Shore Protection


25,000.00


Mountain View Road


18,500.00


Oakcliff Road


6,800.00


Parking Lot Drainage and Improvement


5,000.00


Wessagusset Yacht Basin


15,000.00


Smelt Brook-Braintree, Weymouth


15,000.00


Water Pump Station and Well


40,000.00


Water Reinforcing


100,000.00


Water Mains-New Streets 1961


6,518.00


$10,721,650.42


361


TOWN OF WEYMOUTH - MASSACHUSETTS


BALANCE SHEET


JANUARY 1, 1961


Treasurer's Cash:


Water Construction Deposits


$ 1,847.03


Town


$4,824,094.19


Guarantee Deposits-Gravel Pits


1,100.00


Water


171,851.84


Petty Cash-Collector's Office


250.00


Petty Cash-Athletic Office


200.00


School Athletic Account


6,118.16


Petty Cash-Cafeterias (School)


142.00


$4,996,538.03


Accounts Receivable :


Taxes-1959 Polls


$ 152.00


524.19


Taxes-1959 Personal


157.62


Old Age Asisstance-Recoveries


3,431.07


Taxes-1959 Real Estate


9,850.34


George - Barden Fund


156.00


Taxes-1960 Polls


766.00


Reserve Fund-Overlay Surplus


49,463.10


Taxes-1960 Personal


3,641.32


Overlay Reserved for Abatements-1959


39,011.63


Taxes-1960 Real Estate


159,643.89


174,211.17


Overlay Reserved for Abatements-1960


18,684.81


362


Revenue Reserved until Collected :


Motor Vehicle Excise Taxes :


Motor Vehicle Excise Tax


$176,323.92 69.33


1958 Levy


$ 255.00


Judgments


Departmental


22,669.10


1960 Levy


167,422.51


176,323.92


Unapportioned Sewer Assessments


91,304.92


Apportioned Sewer Assessments


2,247.84


Committed Sewer Interest


911.36


Tax Titles


19,426.97


Public Welfare


1,590.70


Hall Rentals


206.25


Water


90,740.60


A. D. C .- State Share


17.977.74


22,669.10


Receipts from Parking Meters


12,084.90


Unapportioned Sewer Assessments:


Common


$ 13,859.48


Unclaimed Checks Account: Town Water


$2,891.34


Particular


77,445.44


91,304.92


46.24


2,937.58


Dog License Fees for County


178.25


Fish and Game Licenses for State


247.00


School Lunch Account


17,599.54


Automobile Parts Revolving a/c


3,100.28


Federal Grant-Public Law 874


138,621.25


Federal Grant-Public Law 864


1959 Levy


8,646.41


Departmental Revenue:


Old Age Assistance


$ 350.98


Tax Possessions


13,730.15


Aid to Highways


8,100.00


Vocational School


2,543.43


Mason B. Fleming a/c


549.56


426,073.75


Apportioned Sewer Assessments:


90,925.55


Common-1959


$ 253.00


Common-1960


1,290.82


200.00


Particular-1959


30.00


Particular-1960


674.02


2,247.84


Loans Auhorized-Unissued :


Committed Sewer Interest:


Construct- Water Shed-Great Pond


25,000.00


1959


$ 110.15


High School Construction


2,000,000.00


1960


801.21


911.36


Construct-Pumping Station at Wessagusset and Fort Point 325,000.00


$2,350,000.00


Judgments :


363


M.V.E. Taxes-1950


$12.69


Personal Taxes-1950


42.41


Personal Taxes-1959


14.23


69.33


Accrued Interest Account : Town 457.25


Unexpended Appropriation Balances :


Asset a/c-Mason B. Fleming


549.56


Town-Revenue


830,343.63


Tax Titles


19,426.97


Non-Revenue :


Tax Possessions


13,730.15


Schools


$2,044,547.54


Sewer


174,958.11


Loans Authorized :


Drainage


100,000.00


Public Works Building


191,042.75


Highway 30,491.63


2,541.040.03


High School Construction


25,000.00 2,000,000.00


Water-Revenue Water-Non-Revenue


96,146.62 11,003.12


Construct Pumping Station at


Wessagusset and Fort Point 325,000.00 2,350,000.00


County Liabilities-Overestimates County Tax


860.62


Sewer Receipts Reserved for Appropriations Petty Cash Reserve : Collector Athletic Account Cafeteria Account


$250.00


142.00


592.00


Premium Account: Town


22,036.50


Construct-Water Shed


Great Pond


Water Division:


Rates


$ 82,713.66


New Services


1,326.20


Private Work


2,578.07


Liens-1959


273.26


Liens-1960


3,849.41


90,740.60


5,400.00


Surplus Revenue (E & D) :


2,700.00


Town


1,232,811.72


17,470.98


6,500.00


Water


62,808.83


$7,970,793.93


$7,970,793.93


WARREN F. ROULSTON Town Accountant


364


State Liabilities-Overestimates State Parks and Reservations


$6,165.48


Smoke Inspection Service 14.85


Metropolitan Sewerage- South System


4,409.19


10,589.52


State Aid to Highways County Aid to Highways Hurricane Emergency Final Judgments


MUNICIPAL INDEBTEDNESS


Net Funded Debt


South Junior High School-May 1, 1950


$600,000.00


General Laws


Sewer Construction-October 1, 1951


119,000.00


Sewer


1,680,000.00


South Junior High School-October 1, 1951


14,000.00


Highway


720,000.00


Homestead School-May 1, 1952


250,000.00


Drainage


165,000.00


Humphrey School-October 1, 1952


209,000.00


Nevin School-October 1, 1952


131,000.00


Sewer Construction-October 1, 1952


120,000.00


Bicknell and Pond Schools-August 1, 1953


300,000.00


Sewer Construction-August 1, 1953


130,000.00


Central Junior and Johnson Addition- January 1, 1954


1,495,000.00


309,000.00


Academy Avenue School-May 15, 1954


350,000.00


Sewer Construction-May 15, 1954


70,000.00


Ralph Talbot School-December 1, 1954


350,000.00


Sewer Construction-August 1, 1955


250,000.00


Pingree School-April 1, 1956


380,000.00


Sewer Construction-November 1, 1956


240,000.00


Highway Construction-November 1, 1956 Surface Drainage-November 1, 1956


85,000.00


Nash School-November 1, 1957


410,000.00


Sewer Construction-November 1, 1957


260,000.00


Highway Construction-November 1, 1957


140,000.00


Homestead School Addition-November 1, 1958 Seach School-November 1, 1958


90,000.00


Pond School, 2nd Addition-November 1, 1958


220,000.00


Highway Construction-November 1, 1958


80,000.00


Drainage-Back River to Whitman's Pond- November 1, 1958 80,000.00


Sewer Construction-November 1, 1958 McCulloch School-November 1, 1958 Highway Construction-September 1, 1959


255,000.00


400,000.00


180,000.00


Sewer Construction-September 1, 1959


290,000.00


Schools


$2,655,000.00


Public Works Garage


200,000.00


$5,420,000.00


Chapter 645, Acts of 1948 Schools


4,993,000.00


Chapter 94, Acts of 1945 Sewer


Water Loans


476,000.00


365


Johnson School-February 1, 1951 179,000.00


120,000.00


270,000.00


Senior High School Loan (Commercial St.)- October 1, 1960


2,000,000.00


Sewer Construction Loan-October 1, 1960 255,000.00


Highway Construction Loan-October 1, 1960 200,000.00 Public Works Bldg. Loan-October 1, 1960 200,000.00


30,000.00


Water Loan-August 1, 1948 Water Loan-April 1, 1950 Water Loan-October 1, 1951


15,000.00


37,000.00


Water Loan-May 15, 1954


90,000.00


Water Loan-November 1, 1956


140,000.00


Water Loan-November 1, 1958 80,000.00


Water Loan-April 1, 1959 84,000.00


$11,198,000.00


$11,198,000.00


Loans Authorized-Not Issued Senior High School Loan-Commercial Street $2,000,000.00 Water Shed-Great Pond 25,000.00


Wessagussett and Fort Point Pumping Station 325,000.00


$2,350,000.00


366


Cash and Securities


$1,085,881.29


Tufts Fund, Free Public Lectures $5,000.00


Tufts Fund, Free Public Lectures, Income 2,458.64


Tufts Fund, Reading Room 2,500.00


Tufts Fund, Books 2,500.00


Tufts Fund, Sidewalks and Shade Trees


2,000.00


Tufts Fund, Sidewalk and Shade Trees, Income


806.73


Tufts Fund, Care Tufts Tomb 500.00


John C. Rhines Fund


10,000.00


John C. Rhines Fund, Income


10,084.79


Elias S. Beals Park Fund


1,000.00


Elias S. Beals Park Fund, Income


319.57


Laban Pratt Hospital Fund


300,000.00


Laban Pratt Hospital Fund, Income


566,845.49


Laban Pratt Fountain Fund


400.00


Laban Pratt Fountain Fund, Income


1,047.71


Augustus J. Fichards Library Fund


5,012.00


Joseph E. Trask Library Fund


12,847.88


Susannah Hunt Stetson Library Fund


2,500.00


Tirrell Donation Library Fund


1,000.00


Francis Flint Forsyth 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


Mary Fifield King Library Fund


2,029.82


Municipal Buildings Insurance Fund


147,993.37


Martha Hannah King Fund


110.17


Ashwood Cemetery Fund


474.98


Mary Fifield King Memorial Fund


128.50


N. F. T. Hunt Fund (Ashwood Cemetery)


322.84


$1,085,881.29


$1,085,881.29


.367


TRUST AND INVESTED FUNDS


DEFERRED REVENUE ACCOUNT


Apportioned Sewer Assessments-Not Due $371,044.00 Apportioned Sewer Assessments-Common:


Due 1961


$13,490.00


"


1962


12,454.00


1963


11,368.00


1964


7,763.00


1965


7,446.00


1966


7,408.00


"


1967


6,928.00


1968


6,762.00


,


1969


6,408.00


,


1970


6,374.00


1971


6,349.00


1972


6,269.00


1973


6,244.00


1974


6,089.00


"


1975


5,460.00


1976


4,781.00


1977


2,910.00


1978


2,464.00


1979


781.00


Apportioned Sewer Assessments-Particular :


Due 1961


19,466.00


"


1962


17,707.00


"


1963


15,743.00


وو


1964


14,841.00


1965


14,469.00


1966


14,348.00


1967


14,182.00


وو


1968


13,743.00


1969


13,428.00


1970


13,203.00


وو


1971


13,168.00


368



1972


13,163.00


"


1973


13,158.00


"


1974


13.122.00


1975


11,677.00


1976


9,995.00


1977


8,403.00


وو


1978


6,030.00


"


1979


3,450.00


$371,044.00


$371,044.00


369


SALARIES OF TOWN OFFICERS


Office and Incumbent


Salary Paid in 1960


Selectmen:


Ralph J. Amabile, Jr.


$483.34


Robert S. Carter


400.00


Everett E. Callahan


400.00


Franklin Fryer


416.66


George E. Lane


220.02


James T. O'Sullivan


99.99


Treasurer:


Harry I. Granger


5,811.00


Town Clerk:


Harry Christensen


6,698.93


Collector of Taxes:


Frank W. Holbrook


6,747.00


School Committee


None


Assessors:


Charles W. Burgess, Chairman


2,000.00


Joseph Crehan. Executive Secretary


5,917.25


John W. Heffernan


724.17


George H. Bell


1,650.00


Edward F. Butler


1,650.00


J. Warren Heffernan


721.88


Registrar of Voters:


Edward C. McIntosh


250.00


Helen R. Corridan


316.68


John J. Santry


283.32


Harry Christensen (Included under Town Clerk)


Trustees of Tufts Library


Park Commissioners:


Otto Mason


300.00


Joseph D. Slattery


300.00


William G. Rennie, Jr.


300.00


David W. Kelley


300.00


Chester L. Boyle, Jr.


300.00


William F. Kirrane, Superintendent


5,742.75


Planning Board


None


Annual Moderator


None


Town Counsel:


4,965.09


Robert H. Gaughen


4,750.01


370


Town Accountant : Warren F. Roulston


6,896.00


Public Works Department:


Commissioners :


John E. McCaffrey


478.34


Joseph M. Nover, Jr.


421.66


Robert G. Ahlstedt 400.00


George F. Brady


400.00


Everett J. McIntosh


400.00


Alan R. McKinnon


400.00


John C. Nourse


200.02


George E. Lane


179.98


Superintendent


Arthur J. Bilodeau 9,369.75


Town Engineer


Frank Lagrotteria 6,678.75


Street Division


Daniel J. Slattery, Superintendent


6,747.00


Sewer Division


Norman M. Smith, Superintendent 6,747.00


Water Division


Henry Tilden, Jr., Superintendent


5,824.00


Tree Warden and Moth V. Leslie Hebert, Superintendent 5,811.00


Sealer of Weights and Measures:


John R. Sheehan


1,500.00


Welfare Agent:


Thomas P. Delahunt


6,990.75


Police Department:


Joseph B. O'Kane, Chief


7,413.25


John W. Coyle, Captain


6,738.90


Charles A. Coyle, Captain


6,714.20


Fire Department:


Walter R. Murray, Chief


7,413.25


Norman E. Dorey, Deputy Chief


7,131.01


Clarence T. Sherman, Deputy Chief


7,114.05


James O. Stevens, Deputy Chief


6,922.85


Board of Health:


Paul V. Coffey


350.00


Norman J. Reilly


350.00


Francis R. Cashman


350.00


Health Agent:


Henry F. Godin


4,953.00


371


Plumbing Inspector : Thomas J. MacDonald


4,953.00


Building Inspector : Andrew A. Chisholm


6,747.00


Wiring Inspector : Joseph W. Ross


5,375.50


Harbor Master:


Cecil L. Evans


3,913.00


Shellfish Warden:


Charles W. MacMurray


3,913.00


Veterans' Administrator: Flurance I. Lyons 5,375.50


Dog Officer:


John H. Reidy (4 months)


233.32


Francis R. Cashman (8 months) 466.68


Custodian of Veterans' Graves: William A. Connell, Sr.


300.00


Animal Inspector:


John H. Reidy


500.00


Personnel Board


None


Personnel Officer :


William A. Taylor


520.00


Librarian:


Eleanor T. Cooney


5,801.25


School Department:


Elmer S. Mapes, Superintendent


13,666.67


Harold G. Olson, Assistant Superintendent


8,966.67


Francis E. Whipple, Director


8,766.67


Ray G. Parker, Director


8,566.67


Flora H. McGrath, Director


8,466.67


Walter C. Gutterson, Director


8,066.67


Russell H. Jack, Director


7,766.67


Paul C. Cleaves, Director


7,466.67


John E. Fisher, Director


8,866.67


High School:


Wallace L. Whittle, Principal


9,966.67


Thomas A. Lyons, Assistant


7,966.67


Francis X. Kelley, Assistant


7,300.00


Junior High School:


John F. Martin, Principal


8,466.67


E. Leo Madden, Principal


7,866.67


F. Randall Powers, Principal


8,716.67


Civil Defense Director:


Herbert W. Causer


None


372


TABLE OF CONTENTS


Annual Town Meeting, March 7 14


Adjourned Annual Town Meeting, March 9 57


Appropriations Annual Town Meeting 75


Annual Town Election, March 14 81


Assessors' Report 217


Building Inspector 223


Civil Defense 149


Classification and Compensation Plan


30


Council for the Aging 146


Collector of Taxes 213


Dental Clinic 234


Dog Officer 227


Electric Lighting Committee 148


Fire Department 225


Fire Alarm 226


Graduation Exercises


320


Harbor Master


235


Health Officer


232


Highway Program


159


Health Nurse


234


Inspector of Animals


229


Industrial Development Commission 229


Jury List 135


Jurors Drawn 141


Laban Pratt Hospital Report 237


Lighting Committee 146


Mosquito Control Project 143


Park Division 230


Planning Board 231


374


Plumbing Inspector 222


Police Department 227


Public Welfare 144


Public Works Department 151


Personnel Board 238


Retirement System 204


Registrars of Voters 147


Presidential Primary, April 26 100


Special Town Meeting, March 9 79


Special Town Meeting, April 25 89


Special Election, May 7 111


Special Election, June 11


113


Sealer of Weights and Measures


228


Salaries of Town Officials


370


State Primary


116


State Election


128


School Report


262


Town Counsel 218


Town Officers


3


Town Clerk's Financial Report


133


Town Meeting Members


5


Town Treasurers Report


253


Town Accountant


331


Tufts Library Report 241


Veterans Day Committee 148


Veterans Service 226


Veterans Graves 231


Visiting Nurse Association 233


Vital Statistics 133


Water Division 181


Wiring Inspector 224


375





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