USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1961 > Part 22
Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).
Part 1 | Part 2 | Part 3 | Part 4 | Part 5 | Part 6 | Part 7 | Part 8 | Part 9 | Part 10 | Part 11 | Part 12 | Part 13 | Part 14 | Part 15 | Part 16 | Part 17 | Part 18 | Part 19 | Part 20 | Part 21 | Part 22 | Part 23 | Part 24 | Part 25
Capacity of Reservoirs; 5,820,000 gallons
274
PUMPING MACHINERY GREAT POND STATION Low Lift
DeLaval Single Stage Pump 1,000 G.P.M. 15 H.P. G.E. Motor
DeLaval Single Stage Pump
2,000 G.P.M. 25 H.P. G.E. Motor 1,500 G.P.M. 20 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
DeLaval Single Stage Pump 875 G.P.M. 25 H.P. G.E. Motor
Emergency High Lift
DeLaval Single Stage Pump
1,800 G.P.M. 150 H.P. Sterling Motor Gasoline Driven
CIRCUIT AVENUE EMERGENCY STATION
Deep Well Pump
Pomona Turbine Pump 700 G.P.M. 25 H.P. Westinghouse Motor
MAIN STREET EMERGENCY STATION
Deep Well Pump
Cork Turbine Pump 700 G.P.M. 60 H.P. United States Motor
WHITMAN POND EMERGENCY STATION
Deming Turbine Pump 500 G.P.M. 50 H.P. Westinghouse Motor
DISTRIBUTION OF MAINS
Extended 11,611 Ft. 4,845 Ft.
Replaced
Total mains now in use
168.2 miles
Number of hydrants added
14
Total hydrants in use (exclusive of private)
879
Number of gates added
58
Total number of gates in use
1966
Number of blow offs
125
SERVICES
Number of services installed 1961
148
Number of services metered
12,156
Number of services active 12,335
Percentage of active services metered
98.5%
Total gallons Great Pond Station 1,039,120,000
Total gallons Circuit Ave. Station 62,400,000
Total gallons Main Street Station 70,800,000
Total gallons Whitman Pond Station 30,630,000
Total gallons consumed 1,202,950,000
Average daily consumption in gallons 3,295,000
Average daily consumption per capital in gallons 67.2
Total gallons through domestic meters 712,070,250
Total gallons througr commercial meters 313,418,250
Total gallons measurel 1,025,488,500
Proportional gallons accounted for by meters 85.2%
275
DeLaval Single Stage Pump
TABLE I METERS IN USE DECEMBER 31, 1961
Size in Inches
Make
5/8
34
1 11/2
2
3
4
6
8
10
Totals
Artic
79
79
Bager- Read-o-Matic
7
Hersey
1285
9
69
31
38
10
8
3
3
1
1457
Keystone
15
15
King
6
6
Nash-K
8
-
8
Trident
812
1
1
814
Watch Dog
- 9734
85
10
23
9852
Totals 12-31-61 11946
9 154
41
62
10
9 3 3
1
12238
Totals 12-31-60 11853
9 152
40
61
10
10
3
3
1
12142
7
-
276
277
April
3.90
1.51
43.69
49.10
34.69
2.52
1.18
38.38
87.48
4.83
165.11
May
5.97
3.47
45.25
54.69
33.78
3.01
2.38
39.17
93.86
4.90
165.9
June
3.08
8.04
48.63
59.75
33.13
3.26
5.77
42.16
101.91
4.69
165.7
July
4.45
12.72
50.90
68.07
33.32
3.12
7.63
44.07
112.14
4.34
164.9
August
3.22
13.32
49.47
66.01
41.34
.95
8.95
51.24
117.25
3.90
163.8
September
2.22
11.67
46.52
60.41
39.62
.44
9.57
49.63
110.04
4.57
163.5
October
1.98
5.61
46.07
53.66
41.36
.43
7.66
49.44
103.10
5.27
163.11
November
1.29
82
48.06
50.16
34.97
.09
4.25
44.79
94.95
4.10
163.74
December
0.00
.49
51.30
51.79
46.01
50
1.17
47.68
99.47
4.21
163.9
Totals
30.63
70.80
563.29
664.71
452.06
18.33
62.40
538.25
1202.95
-
-
Aver. 1961
.84
1.93
1.543
1.826
1.238
05
1.70
1.447
163.6
Aver. 1960
.31
1.430
1.740
1.130
.09
.26
1.574
164.07
Aver. Day 1961
3.295
-
Aver. Day 1960
3.218
-
On Max. Day 8-19
4.651
-
-
On Min. Day 5-7
2.424
-
-
On Max. Wk. 8-13 to 8-19
30.260
-
: . : :
Million Gallons
Whitman Sta.
Million Gallons
Main St. Sta.
Million Gallons
Great Pond
Station
Million Gallons
Total Consump.
High Service
Million Gallons
Great Pond
Station
Gravity
Million Gallons
Circuit Ave.
Station
Million Gallons
Total Consump.
Total Consumption
Wash Water Average
Percentage of Total
Average Monthly
Pond Level
January
6.67
44.38
51.04
37.34
2.47
3.67
43.48
94.52
4.95
162.11
February
.73
4.57
43.45
48.76
38.32
.04
8.52
46.88
95.63
5.48
162.11
March
3.79
1.91
45.57
51.27
38.18
1.50
1.65
41.33
92.60
4.34
164.11
Low Service
Million Gallons
High & Low Service
Pumped Great Pond Sta.
Low Service
Month
TABLE II CONSUMPTION AND, PUMPAGE 1961
High Service
Million Gallons
TABLE III TREATMENT FOR 1961
Average Color
Average P. H.
Alum. Soda Ash Soda Ash Coagulant Coagulant Corrective
Chlorine
Calgon
Chemical
Month
Raw Water
Final Effluent
Raw Water
Final Effluent
Hundred Pounds
Hundred Pounds
Hundred Pounds
Pounds
Pounds
Cost per Million
Gallons
Total Consumption
Average Water Temperature
278
January
68
9
5.5
7.5
248
119
175
266
900
19.44
34
February
70
9
5.5
7.5
260
120
218
236
875
18.36
34
March
68
2
5.5
7.6
242
120
228
262
940
18.16
38
April
70
5
5.8
7.6
236
93
149
256
930
15.52
42
May
70
4
5.5
7.6
258
114
135
257
875
16.01
54
June
70
5
5.5
7.6
232
104
135
250
975
14.66
67
July
70
1
5.6
7.6
219
96
128
247
1000
13.61
73
August
69
0
5.8
7.6
234
99
124
255
955
13.20
72
September
70
0
5.9
7.6
198
88
104
240
910
12.08
69
October
70
3
5.9
7.6
209
95
120
250
1110
13.09
55
November
70
0
5.9
7.6
199
81
122.
238
870
12.81
44
December
70
3
5.7
7.6
260
113
164
265
995
13.30
32
Totals
836
41
67.7
91.0
2795
1242
1802
3022
11335
--
614
Ave. Day 1961
70
3
5.7
7.6
7.65
3.40
4.93
8.27
31.05
15.02
51
Ave. Day 1960
76
3
5.8
7.6
7.41
3.30
4.31
7.91
28.8
15.59
54
TABLE IV NEW MAINS INSTALLED-1961
Cement Lined
Copper
W.I.
W. I.
Mech
Cast
Iron
Tyton
Tyton
Tyton
Cast
Iron
Transite
Street
11/2
11/2
2
4
4
6
8
10
12
4
6
8
Location
Bradford Roard
440
Off Ralph Talbot Street
Broad Street
7
Near #394 Broad Street
Broad Street
27
Off #365 Broad Street
Brook Terrace Bridge Street Bridge Street
Near #32 Brook Terrace Near Fairlawn Avenue At #725 Bridge Street
Columbian Street
120
139
At #474 Columbian Street
Cranberry Road Ellis Circle
11
41
550
Off Pine Street Off Hinston Road From No. 493 to No. 505 Essex St.
Emeline Road Essex Street
108
427
Fairlawn Ave.
14
Off Bridge Street Off Pleasant Street Off Hinston Road
Fredith Road Friend Street Heritage Lane
96
-
Off Commercial Street
King Avenue
-939
1169
King Phillip Street
From Mason St. to No. 180 King Phillip Street At Wildwood Road
Morningside Path
6
-
279
19
410
7
Near #50 Cranberry Road
689
300
18 3585
From No. 118 to No. 167 King Av
TABLE IV-Continued NEW MAINS INSTALLED-1961
Street
11/2
11%
2
4
4
6
8 10
12
4
6
8
Location
Newton Street
10
5 02
Off Bridge Street
North Street
5
Near # 538 North Street
Oak Hill Road
At Village Road
Oakcliff Road
31
Near #64 Oakcliff Road
Pleasant Street
21
At #1371 Pleasant Street
Princton Avenue
17
2 64
Off Standish Street
Randolph Street
23
387
At Newton Street
Short Street
253
Standish Street
241
Off Evans Street Off West Street
Sunny Plain Avenue
103
Thicket Street
7
Near # 420 Thicket Street From No. 1375 to 1385 Wash. St.
Webb Street
105
At #140 Webb Street
Winter Street
239
At Washington Street
Wright Street
-
-
-
Totals
295
41
326
296
14 1474 4524 24 93
239
300
440 1169
-
-
Near #379 Randolph Street
Sea Street
Off Ralph Talbot Street
280
Washington Street
179
-
-
92
Off White Street
-
10
TABLE IV-A GATES AND HYDRANTS INSTALLED 1961
Gates-Inches
Hydrants
Streets
11/2
2
6
8
10
Location
Bradford Road
1
-
1 Off Ralph Talbot Street
Broad Street
1
-
Broad Street
1
-
281
Bridge Street
Near Fairlawn Avenue
Bridge Street
1
Brook Terrace
Near #32 Brook Terrace At #474 Columbian Street
Columbian Street
1
1 Off Pine Street
Ellis Circle
3
Essex Street
1
Near # 493 Essex Street
Fairlawn Avenue
At Orlando Road At Filter Plant
Filter Plant
1
Ft. Point Road
1
-
Fredith Road
1
Off Pleasant Street
Heritage Lane
4
1
3
Off Commercial Street
King Avenue
-
-
1
-
Near # 118 King Avenue
King Phillip Street
-
-
-
-
1 #171 King Phillip Street
-
-
-
Near # 394 Broad Street
Near #365 Broad Street
2
Near # 725 Bridge Street
1
-
1
At Bacon Street
TABLE IV-A GATES AND HYDRANTS INSTALLED 1961
Gates-Inches
Hydrants
Streets
1 1/2
2
6
8
10
Location
Morningside Path
1
1
At Wildwood Road At Twilight Path
Morningside Path
3
Newton Street
1
Off Bridge Street
North Street
1
Near #538 North Street
North Street
1
Near # 328 North Street
Oak Hill Road
1
1
At Village Road
Oak Cliff Road
1
Near #64 Oakcliff Road
Pearl Street
1
-
At Crescent Street
Pleasant Street
1
At # 1371 Pleasant Street
Princton Avenue
1
1
1
Near Standish Street
Randolph Street
1
1
1
Near # 380 Randolph Street
Sea Street
1
At Wessagussett Road Off Ralph Talbot Street
Short Street
1
Sunny Plain Avenue
1
1 Near #131 Sunny Plain Avenue
Thicket Street
1
1 Near # 420 Thicket Street
Webb Street
1
-
At 140 Webb
Woodland Drive
1
1
At King Phillip Street
Totals
2
3
29
3
7
-
14
282
TABLE V REPLACEMENT OF MAINS-1961
Mains
Gates
Taken Out
Installed
Location
Size
Inches
Kind
Feet
Size
Inches
Kind
Feet
Taken
Out
Installed
Brook Terrace
2
Steel
105
6
Tyton
105
Commercial St.
8
C. I.
171
8
Tyton
171
-
--
Emeline Rd.
11/2
Steel
364
4
Mech.
612
2
2
1
Steel
248
Morningside Path 1
Steel
716
6
Tyton
816
1
1
2
Steel
100
Primrose Lane
11/2
Steel
192
4
Mech.
192
1
1
Randolph St.
4
C. I.
1200
8
Tyton
288
1
1
6
C. I.
1156
10
Tyton
2068
Sagamore Rd.
4
C. I.
391
8
Tyton
391
1
1
Wildwood Rd.
1
Steel
42
2
C. L.
42
Wright St.
2
C. L.
160
4
Mech.
160
Totals
4845
4845
6
6
283
-
TABLE VI DISTRIBUTION PIPE AND GATES IN USE DECEMBER 1961
Size
Inches
Copper
Steel
Lead
Lined
Transite
Cast
Iron
Cast
Iron
Universal
Cement
Lined
Mech.
Cement
Lined
Cement
Lined
Tyton
Gates
20
-
1
-
-
-
-
-
-
-
-
-
1
16
2879
4
14
22555
1740
16
12
48158
52566
7576
146:
10
49362
9939
· 8808
109
8
25380
59063
-
44912
8983
244
6
100
68221 283181
1958
66851
8903 1213
4
4268
20305
751
1260
818
53
3
112
-
2
280 43749
384
6671
-
13292
115.
11/2 1236 16303
-
-
-
939
29
11/4
370
6495
-
-
-
1
5240
-
-
-
Ttl. 1998 71887
384
97869 491670
2709
1260 193936 34270 1931
1
18
2090
-
-
-
-
-
-
-
284
-
285
TABLE VII COMMONWEALTH OF MASSACHUSETTS DEPARTMENT OF PUBLIC HEALTH WEYMOUTH WATER ANALYSIS-1961
Appearance
Amonia
Sample Number
Date of
Collection
Turbidity
Color
Free
Total
Albuminoid
Chlorides
Hardness
Alkalinity
P. H.
Iron
285
45046
Aug. 14
6
80
10.
14
3
6.0
.80
Raw Water
45047
Aug. 14
2
25
8.5
10
3
5.5
.40
Coagulated Water
45048
Aug. 14
0
0
9.0
14
17
7.0
.04
Final Effluent
45049
Aug.
14
0
10
72.
70
101
6.6
.01
Main St. Well
45050
Aug.
14
0
15
19
40
124
7.1
.04
Circuit Ave. Well
45051
Aug. 14
0
0
13
22
46
6.9
.01
Whitman Well
46464
Oct.
25
2
0
01
.04
62
68
76
6.2
.01
Main St. Well
47386
Dec. 18
4
10
06
.26
18
1
5.9
Raw Water
47387
Dec. 18
2
60
06
.14
22
1
5.4
Coagulated Water
47388
Dec. 18
1
20
03
17
20
17
6.8
Final Effluent
47389
Dec. 18
0
0
61
76
66
6.4
.00
Main St. Well
47390
Dec. 18
0
20
18
54
119
6.9
.05 Circuit Ave. Well
.
Location of
Sample Taken
-
-
-
-
-
-
-
.
1961 REPORT OF THE TOWN ACCOUNTANT WATER DEPARTMENT
January 19, 1962
To the Board of Public Works:
Gentlemen:
Herewith is submitted the sixtieth annual report of the Accounting Department for the year ending December 31, 1961.
WARREN F. ROULSTON Town Accountant
WATER DEPARTMENT STATEMENT OF RECEIPTS AND PAYMENTS FOR THE YEAR ENDING DECEMBER 31, 1961 RECEIPTS
Water Rates
398,691.53
Water Liens
31,042.06
Water Liens Held in Escrow 1961
4,038.66
Water-New Services
13,994.22
Water-Private Work
19,298.99
South Weymouth Savings Bank-Interest
3,437.12
Weymouth Savings Bank-Interest
3,394.91
Refunds-Commonwealth
154.88
Water Construction Deposits
18,529.00
Water Loans-1961
140,000.00
Premium on Water Loan
1,104.60
Accrued Interest on Water Loan
176.94
Temporary Loan-Water 1961
140,000.00
Accrued Interest on Temporary Loan
72.92
Total
773,935.83
Cash on hand January 1, 1961
171,851.84
Total
945,787.67
Less Warrants Paid in 1961
676,743.90
Cash on hand December 31, 1961
269,043.77
Analysis Treasurer's Cash:
South Shore National Bank 119,248.64
Less Outstanding Checks
15,010.69
104,237.95
Weymouth Savings Bank
71,995.16
South Weymouth Savings Bank
92,508.51
State Street Bank & Trust Company
77.15
Cash in Treasurer's Office
225.00
269,043.77
286
PAYMENTS
Filter Plant Improvements-1950: Other Expenses
$7,441.92
Water Mains-1961:
Labor
$1,446.92
Other Expenses
8,416.85
Transfers-Equipment
558.90
Stock
8,712.56
19,135.23
Water Mains-1959:
Other Expenses
5,183.54
Water Construction Loan-1959:
Development of Well Fields Whitman's Pond
Other Expenses
11,003.12
Water Construction Loan-1961:
Labor
1,282.45
All Other
35,445.18
Transfers-Equipment
589.47
Stock
5,541.90
42,859.00
Minor Construction:
New Meters:
Labor
404.27
All Other
7,839.07
Transfers-Equipment
84.13
Stock
189.41
8,516.88
Miscellaneous:
Labor
7,542.12
All Other
2,882.04
Transfers-Equipment
2,129.25
Stock
4,383.62
16,937.03
25,453.91
New Services:
Labor
5,254.12
All Other
715.85
Transfers-Equipment
2,918.11
Stock
7,198.53
16.086.61
Maintenance and Operation:
Distribution:
Labor
74,801.59
Engineering
694.43
All Other
6,248.59
Transfers-Equipment
8,950.59
Stock
4,857.94
95,553.14
287
Care of Meters:
Labor All Other Transfers-Equipment
7,333.63
3,293.14
739.76
Stock
115.80
11,482.33
Hollis Street Garage:
658.95
Labor All Other
1,681.11
Transfers-Equipment
27.75
Stock
9.67
2,377.48
Circuit Avenue Station:
Labor
752.39
All Other
4,440.75
Transfers-Equipment
71.99
5,265.13
Filter Plant Operation:
Labor
22,079.88
Fuel
2,111.61
Light
17,786.54
Chemicals
16,647.39
All Other
4,682.50
Transfers-Equipment
678.31
Stock
11.23
63,997.46
Whitman Pond Station:
Labor
185.19
All Other
1,504.19
Transfers-Equipment
40.29
Stock
7.62
1,737.29
Cleaning Mains:
Labor
516.85
All Other
381.00
Transfers-Equipment
134.50
Stock
201.26
1,233.61
Grounds and Buildings:
·Labor
6,018.16
All Other
204.63
Transfers-Equipment
560.79
Stock
119.00
6,902.58
Water Shed:
Labor
1,062.40
All Other
23.80
Transfers-Equipment
167.38
1,253.58
288
1
:
Main Street Station:
Labor All Other Transfers-Equipment
693.67 3,963.00 60.73
4,717.40
194,520.00
Replacements:
Labor All Other
11,114.33
613.58
Transfers-Equipment
5,177.66
Stock
6,463.54
23,369.11
Commercial Expenses:
Salaries
36,441.73
Stationary and Postage
3,698.57
All Other
2,557.99
Transfers-Equipment
12,25
42,710.54
Interest
12,219.92
Debt Retirement
201,000,00
Purchase Land on Pond
1,540.54
Purchase Land off Pleasant Street
16,190.31
Purchase Land-Winter Street
19,784.46
Water Liens Held in Escrow
4,038.66
Private Work:
Labor All Other
115.00
Transfers-Equipment
1,941.56
Stock
7,876.78
15,218.14
Equipment Account:
Labor All Other
19,990.63
23,465.76
Stock Account:
Labor All Other
41,847.57
Transfers-Equipment
189.02
46,121.27
727,342.04
289
5,284.80
3,475.13
4,084.68
STATEMENT OF APPROPRIATIONS AND EXPENDITURES
Appropriation Accounts:
Balances from 1960 Accounts:
Improvements-Pumping Station 1957
$ 11.062.83
Filter Plant Improvements-1950
8,041.54
Water Mains-1959
5,183.54
Purchase Land on Pond
2,125.77
Land-Well Location-Off Pleasant Street 16,410.90
Purchase Land-Winter Street for Wells 19,784.46
Well Development,Whitman's Pond; Loan 59 11,003.12
Equipment Account 13,047.23
Stock Account 20,490.35
Appropriations :- March 6, 1961
From Revenue
415,027.00
From General Fund
45,000.00
Water Loans
140,000.00
Transfer Credits:
Equipment Account
25,032.44
Stock Account
45,688.86
Premium on Bond Issue
72.92
777,970.96
Expended:
Filter Plant Improvements
7,441.92
Water Mains-Loan 1961
42,859.00
Water Mains-1959
5,183.54
Water Mains-1961
19,135.23
Minor Construction
25,453.91
New Services
16,086.61
Land-Well Location-off Pleasant Street
16,190.31
Land-Winter Street Well
19,784.46
Well Development-1959 Loan
11,003.12
Maintenance and Operation
194,520.00
Replacements
23,369.11
Commercial
42,710.54
Purchase Land on Pond
1,540.54
Interest
12,219.92
Debt Retirement
61,000.00
Private Work
15,218.14
Equipment Account
23,465.76
Stock Account
46,121.27
583,303.38
Balance Unexpended
194,667.58
Balance to Revenue
44,521.69
Balances to 1960 Accounts
150,145.89
194,667.58
Balances to 1962 Accounts:
. Improvements-Pumping Station-1957
11,062.83
Filter Plant Improvements-1950
599.62
Development of Additional Well Fields
40,000.00
Water Mains Construction-1961 Loan
57,141.00
Water Mains Special-1961
5,864.77
290
Land-Well-off Pleasant Street Purchase Land on Pond Equipment Account Stock Account
220.59' 585.23 14,613.91 20,057.94
150,145.89
Balances to Revenue:
Minor Construction
4,546.09
New Services
5,913.39
Maintenance and Operation
24,470.00
Replacements Commercial
2,107.89
2,249.46
Interest
453.00
Private Work
4,781.86
44,521.69
-----
291
WATER DEPARTMENT BALANCE SHEET DECEMBER 31, 1961
ASSETS
LIABILITIES
Treasurer's Cash
$269,043.77
Water Construction Deposits $ · 956.79
Accounts Receivable:
Water-Rates
$93,791.94
New Services
1,076.59
Private Work
1,358.35
Filter Plant Improvements 599.62
Water Mains-1961
5,864.77
Land-Well Location-Pleasant Street
220.59
Well Fields-1961 Loan
40,000.00
Water Mains-1961 Loan
57,141.00
Purchase Land-Pond 585.23
Equipment Account
14,613.91
Stock Account 20,057.94
150,145.89
Revenue Reserved Until Collected
100,984.55
Surplus Revenue (E & D)
116,613.31
Unclaimed Checks
46.24
Accured Interest Account
176.94
Premium Account 1,104.60
$370,028.32
$370,028.32
-
Unexpended Appropriation Balances: Improvements : Pumping Station-1957 $11,062.83
Liens-1960
314.55
Liens-1961
4,443.12
100,984.55
292
WATER DEPT ACCOUNT
Net Water Debt
$555,000.00
Water Loan-August 1, 1948
$ 20,000.00
Water Loan-April 1, 1950
12,000.00
Water Loan-October 1, 1951 30,000.00
Water Loan-May 15, 1954
80,000.00
Water Loan-November 1, 1956
125,000.00
Water Loan-November 1, 1958
70,000.00
Water Loan-April 1, 1959 78,000.00
Water Loan-August 15, 1961
140,000.00
$555,000.00
$555,000.00
--
293
1961 REPORT OF THE TREASURER FOR THE WATER DEPARTMENT RECEIPTS
Water Rents
$398,691.53
Water Loan
141,281.54
New Services
13,994.22
Private Account
19,298.99
Water Liens
31,042.06
Construction Deposits
18,529.00
Savings Bank Interest
6,832.03
Refund of Mass. Gasoline Excise Tax
154.88
$629,824.25
Cash on hand January 1, 1961
144,111.58
$773,935.83
PAYMENTS
Paid on Selectmen's Warrants for: Notes and Bonds
$ 61,000.00
Sundry Appropriations
615,743.90
$676,743.90
TREASURER'S CASH.
On deposit at State Street Bank & Trust Co.
$ 77.15
On deposit at South Shore National Bank
104,237.95
On deposit at South Weymouth Savings Bank On deposit at Weymouth Savings Bank
71,995.16
Petty Cash Drawers
225.00
$269,043.77
WATER FUNDS
Amount due for Water Rents
$ 93,791.94
Amount due for Private
1,358.35
Amount due for New Services
1,076.59
$ 96,226.88
Cash on hand December 31, 1961
269,043.77
$365,270.65
294
92,508.51
Deposit State Street Bank & Trust Co.
$ 77.15 Deposit Weymouth Savings Bank 71,995.16
Deposit South Weymouth Savings Bank 92,508.51
Deposit South Shore National Checking Account Petty Cash Drawer
104,237.95
225.00
$269,043.77
Water Rents, New Services and Private accounts receivable
$ 96,226.88
$365,270.65
TOTAL WATER LIABILITIES JANUARY 1, 1962
. Construction Loan August 1, 1948-63 Incl.
$ 20,000.00
Additional Water Supply April 1, 1950-65
12,000.00
Water Mains Bonds Oct. 1, 1951-66
30,000.00
Water Dept. Bonds May 15, 1954-69
80,000.00
Water Dept. Bonds Nov. 1, 1956-70
125,000.00
Water Dept. Bonds Nov. 1, 1958-68
70,000.00
Water Dept. Bonds Apr. 1, 1959-74
78,000.00
Water Dept. Bonds Aug. 15, 1961-75 140,000.00
$555,000.00
NOTES AND BONDS DUE 1962
Construction Loan August 1, 1948
$ 10,000.00
Water Supply April 1, 1950
3,000.00
Water Mains Bonds Oct. 1, 1951
6,000.00
Water Dept. Bonds May 15, 1954
10,000.00
Water Dept. Bonds Nov. 1, 1956
15,000.00
Water Dept. Bonds Nov. 1, 1958
10,000.00
Water Dept. Bonds April 1, 1959
6,000.00
Water Dept. Bonds Aug. 15, 1961
10,000.00
$ 70,000.00
Respectfully submitted,
HARRY I, GRANGER, Treasurer of Water Department
1961 FINANCIAL REPORT OF THE COLLECTOR FOR THE WATER DEPARTMENT WATER ACCOUNT CHARGES
Balance due January 1, 1961 Charges to December 31, 1961
$ 82,713.66 441,832.82
$524,546.48
295
WATER ACCOUNT CREDITS
Cash Paid to Treasurer Abatements and Service Transfers
Transfers to Lien Account Balance due December 31, 1961
$398,691.53 893.80 31,169.21 93,791.94
$524,546.48
PRIVATE ACCOUNT CHARGES
Balance due January 1, 1961 Charges to December 31, 1961
$ 2,578.07
18,366.00
$ 20,944.07
PRIVATE ACCOUNT CREDITS
Cash Paid to Treasurer
$ 19,298.99
Abatements
31.42
Transfers to Lien Account
255.31
Balance due December 31, 1961
1,358.35
$ 20,944.07
NEW SERVICE ACCOUNT CHARGES
Balance due January 1, 1961 Charges to December 31, 1961
$ 1,326.20
14,079.33
$ 15,405.53
NEW SERVICE ACCOUNT CREDITS
t
Cash Paid to Treasurer
$ 13,994.22
Transfers to Lien Account
334.72
Balance due December 31, 1961
1,076.59
$ 15,405.53
Respectfully submitted,
HARRY I. GRANGER Collector
I have examined the Treasurer's and Collector's accounts in the Weymouth Water Department and believe them to be correct. Regular examinations 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 entrusted to him.
WARREN F. ROULSTON Town Accountant
296
TOWN TREASURER'S REPORT
To the Honorable Board of Selectmen and To the Citizens of the Town of Weymouth
Treasurer's Cash January 1, 1961
$
4,824,094.19
Total Receipts for 1961
12,897,184.82
$ 17,721,279.01.
Disbursed on Selectmen's Warrants
-14,071,804.28
Treasurer's Cash December 31, 1961
$ 3,649,474.73
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 1959 $ 1,476.83
Motor Vehicle & Trailer Excise
Due from the Collector of Taxes for 1960
Personal Taxes
$ 38.74
Poll Taxes
320.00
Real Estate Taxes
9,645.98
Motor Vehicle Excise Taxes
13,968.82
Water Liens
314.55
1
Common Sewer Assessment Apportioned
67.00
Particular Sewer Assessment Apportioned
30.00
Committed Sewer Interest
29.32
24,414.41
Due from the Collector of Taxes for 1961
Real Estate Taxes
$150,123.93
Personal Taxes
2,502.00
Poll Taxes 1,030.00
Motor Vehicle & Trailer Excise
187,403.59
Particular Sewer Assessment Apportioned
511.47
Common Sewer Assessment Apportioned
921.96
Common Sewer Assessment Unapportioned
63,755.68
Particular Sewer Assessment Unapportioned
76,197.45
Committed Sewer Interest 647.02
Water Liens 4,443.12
487,536.22
1
297
Balance Quincy Trust Co. Balance South Shore National Bank Balance State Street Bank & Trust Co. Trust Funds and Accumulated Interest U. S. Treasury Bills Maturing in 1962 Sundry Bills Receivable Judgments Petty Cash
10,000.001 1,708,565.77 14,847.00
1,121,685.41
2,484,462.83 22,159.47 69.33 500.00
Total Assets Dec. 31, 1961
$5,362,289.81
LIABILITIES
Bonds Outstanding Dec. 31, 1961
South Junior High School May 1950-70 incl.
$ 540,000.00 149,000.00
Eldon Johnson School February 1951-66 incl.
Sewer Loan October 1951-58 incl. 110.000.00
Sewer Loan October 1952-72 incl.
110,000.00
South Junior High Additional Loan October 1951-66 incl.
10,000.00
Homestead School May 1952-70 incl.
225,000.00
Humphrey School Extension October 1952-71 incl.
190,000.00
Nevin School Extension October 1952-72 incl.
120,000.00
Sewer Loan August 1953-73 incl.
120,000.00
Bicknell-Pond School August 1953-70 incl.
270,000.00
Central Jr. High and Johnson Addition Jan. 1954-74 incl.
1,380,000.00
Academy Ave. School May 1954-74 incl.
325,000.00
Ralph Talbot Street School Dec. 1, 1954-74 incl.
325.000.00 65,000.00
Sewer Loan May 1954-74 incl.
Sewer Loan August 1955-86 incl.
240,000.00
Pingree School Bonds April 1956-76 incl.
355.000.00
Sewer Bonds Nov. 1956-76 incl.
225.000.00 100,000.00
Surface Drainage Nov. 1956-69 incl.
75,000.00 120.000.00
Sewer Bonds Nov. 1957-86 incl.
Nash School Bonds Nov. 1957-76 incl.
Homestead School Addition Nov. 1958-78 incl.
250,000.00 380,000.00 85.000.00
Center School Replacement Nov. 1958-78 incl.
255,000.00
Pond School Second Addition Nov. 1958-78 incl. 205,000.00
Green Street School Nov. 1958-78 incl.
375,000.00
Drainage & Stream Improvement Nov. 1958-68 incl.
70,000.00
Highway Construction Nov. 1958-68 incl.
70.000.00
Sewer Construction Nov. 1958-78 incl.
240.000.00
Highway & Sewer Bonds Sept. 1959-89 incl.
440,000.00
Public Works Garage Oct. 1, 1960-80 incl.
190,000.00
Highway Construction Oct. 1, 1960-68 incl. North Senior High School Oct. 1, 1960-80 incl.
1,900,000.00
Sewer Construction Oct. 1, 1960-80 incl.
240.000.0.0
Sewer Construction Aug. 15, 1961-90 incl.
600,000.00
Highway Construction Aug. 15, 1961-90 incl.
200,000.00
North Senior High School Second Loan
2.000,000.00
Street Bonds Nov. 1956-66 incl.
Highway Bonds Nov. 1957-67 incl.
175,000.00
$12,729,000.00
298
BONDS DUE 1962
South Junior High School 11/2 % May 1950
$ 60,000.00 30,000.00
Sewer Loan 1 3/4 % October 1951 7,000.00
South Junior High Additional Loan 134% October 1951
2,000.00
Homestead School 11/2% May 1952
25,000.00
Humphrey School Extension 2% October 1952
19,000.00
Nevin School Extension 2% October 1952
11,000.00
Sewer Loan 2% October 1952
10,000.00
Bicknell Pond School 2.30% August 1953
30,000.00
Sewer Loan 2.30% August 1953
10,000.00
Central Junior High and Johnson Addition 2% Jan. 1954
115,000.00
Academy Ave. School 2% May 1954
25,000.00
Sewer Loan of 1954 2%
5,000.00
Ralph Talbot Street School 1.90% Dec. 1954
25,000.00
Sewer Loan 2.30% August 1955
10,000.00
School Bonds 2.20% April 1956
25,000.00
Sewer Bonds 2.80% Nov. 1956
15,000.00
Street Bonds 2.80% Nov. 1956
20,000.00
Surface Drainage Bonds 2.80% Nov. 1956
10,000.00
Nash School 3.40% Nov. 1957
30,000.00
Highway Construction 3.40% Nov. 1957
Need help finding more records? Try our genealogical records directory which has more than 1 million sources to help you more easily locate the available records.