USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1962 > Part 25
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640
King Phillip Street
46
748
Klasson Lane
105
Main Street
18
-
-
-
5
Near No. 95 Appletree Lane From No. 16 to End Off No. 71 Astor Circle
293
Near No. 58 Hollis Street Off Green Street From No. 195 King Phillip Street to End Off Spring Street
Near No. 100 Main Street
-
From Burkhall Street to No. 16 Circuit Road At Clinton Road Near No. 945 Commercial Street At Unicorn Ave. Near No. 998 Commercial Street
Ellis Circle Ford Road
180
4
-
TABLE: IV-Continued NEW MAINS INSTALLED-1962
Cement Lined
Copper
C.L.
Tyton
Tyton
Tyton
Tyton
Transite
Street
11/2
2
6
8
10
12
4
6
Main Street
44
Martin Lane
25
Mason Street
140
Nash Road Oak Street
7
400
Oakden Avenue
13
Pleasant Street
7
Pond Street
459
Pond Street
16
29 2710
Richards Road
127
Rockway Avenue
20
440
Sandra Lane North
130
Stoney Brook Lane
322
Off No. 359 Broad Street
Summer Street
6
Near No. 69 Summer Street
Washington Street
5 1475
From No. 555 to 665 Washington Street
Washington Street Washington Street
-
1743
Western Avenue
309
Winter Street
22
17
270
Woodlawn Drive
-
755
Totals
25
707 3406 5181
102 4185 1.05 180
At Beacon Street
Off Lane Ave. Off. King Phillip Street From No. 68 Nash Road to Nash Lane From No. 191 Oak Street to Tamarack Trail
294
Near No. 41 Oakden Ave. At No. 703 Pleasant Street From No. 647 to End Location
From Pond School to Thicket Street Near Heritage Lane Off No. 1038 Middle Street From No. 10 to 22 Sandra Lane North
Near No. 587 Washington Street
From Pleasant St. to No. 1293 Washington St. Off Southern Ave.
At No. 60 Winter Street Off King Phillip Street
-
32
-
198
TABLE IV-A GATES & HYDRANTS INSTALLED 1962
Gates-Inches
-
Hydrants
Streets
11/2
2
6
8
10
12
14
Location
Appletree Lane
1
1 Near No. 95 Appletree Lane
Astor Circle
1
1 Off No. 71 Astor Circle At Grandview Road
Bayside Avenue
1
Commercial Street
1
1
At Clinton Road
Commercial Street
Near No. 945 Commercial Street
Commercial Street
At Garey Street
Commercial Street
At Unicorn Avenue
Commercial Street
Near No. 1044 Commercial Street
Commercial Street
Near No. 998 Commercial Street
Commercial Street
1
1
At No. 1515 Commercial Street
Edward Cody Lane
1
Near No. 82 Edward Cody Lane
Ellis Circle
4
2 Off Pine Street Near No. 58 Hollis Street
HollisStreet
1
John Street
1 Off Green Street
King Phillip Street
2
3
1 From No. 195 King Phillip Street to End
Main Street
1
Near No. 112 Main Street
Main Street
Near No. 100 Main Street
Main Street
At Beacon Street
Main Street
Near No. 751 Main Street
Mason Street
Off King Phillip Street
Middle Street
1
Near No. 593 Middle Street
Martin Road
1
-
Off Lane Avenue
1
1
1
1
1
1
1
1
295
TABLE IV-A-Continued GATES & HYDRANTS INSTALLED 1962
Gates-Inches
Hydrants
Streets
11/2
2
6
8
10
12
14
Location
Oak Street
1
1
1 From No. 191 Oak Street to Tamarack Trail
Oakden Avenue
1 Near No. 41 Oakden Avenue
Pleasant Street
At No. 703 Pleasant Street
Pond Street
1
4
1
4
1 From Pond School to Thicket Street
Randall Avenue
1
Near Broad Street
Randolph Street
1
Near No. 379 Randolph Street
Rockway Avenue
2
1
1
Off. No. 1038 Middle Street
Shawmut Street
1
Near Broad Street
Summer Street
1
Near No. 69 Summer Street
Washington Street
2
1
From No. 555 to 665 Washington Street
Washington Street
1
Washington Street
2
1
Western Avenue
1
Winter Street
1
1
At No. 60 Winter Street
Woodlawn Drive
1
-
Off King Phillip Street
Totals
1
3
36
11
3
5
1 11
-
1
At No. 647 Pond Street
Pond Street
-
Near No. 587 Washington Street From Pleasant Street to No. 1293 Washington St. Off Southern Avenue
296
TABLE V REPLACEMENT OF MAINS-1962
Mains
Gates
Taken Out
Installed
Location
Size
Inches
Kind
Feet
Size
Inches
Kind
Feet
Taken Out
Installed
Apple Tree Lane
2
C. L.
94
6
Tyton
94
-
-
Derby Street
6
C. L.
150
8
Tyton
150
-
-
Foye Ave.
2
Steel
356
6
Tyton
356
1
1
Garfield Ave.
6
Tyton
3
1
1
11/2
Steel
638
8
Tyton
635
1
1
Main Street
8
C. I.
570
8
Tyton
570
Main & Henderson 2
C. L.
28
6
Tyton
28
1
1
Oakden Ave.
2
Steel
733
6
Tyton
733
1
1
Peddock Road
6
C. I.
43
6
Tyton
43
Ralph Talbot St.
11/2
Steel
481
6
Tyton
481
1
1
Welland Road
6
Transite
26
6
Tyton
26
-
-
Weybosset Road
2
Steel
428
6
Tyton
428
1
1
Totals
3547
3547
7 7
297
TABLE VI DISTRIBUTION PIPE AND GATES IN USE DECEMBER 1962
Size Inches
Copper
Steel
Lead
Lined
Transite
Cast
Iron
Cast
Iron
Universal
Cement
Lined
Mech
Cement
Lined
Cement
Lined
Tyton
Gates
20
285
-
-
-
1
18
2090
1
16
2879
4
14
22555
1740
17
12
48158
52566 11761
151
10
49362
9939
8910
112
8
25380
58493
-
44912 15519
255
6
100
68375 283138
1958
66701 14501 1249
4
4373
20305
751
1260
818
53
3
112
-
-
-
2
280 42178
384
6671
13877
118
112 1261 15184
939
30
11/4
370
6495
1
-
5240
Ttl. 2023 69197
384
98128 491057
2709
1260 194371 50691 1991
-
-
-
-
-
-
-
-
298
TABLE VII COMMONWEALTH OF MASSACHUSETTS DEPARTMENT OF PUBLIC HEALTH WEYMOUTH WATER ANALYSIS-1962
Appearance
Amonia
Sample Number
Date of Collection
Turbidity
Color
Free
Total
Albuminoid
Chlorides
Hardness
Alkalinity
P. H.
Iron
Location of
Sample Taken
449335
Apr. 24. 1962
0
80
.02
.07
9.0
12.
3
6.5
Raw Water
449336
Apr.
24, 1962
0
20
.01
.10
9.0
30
1
5.6
Coagulated Water
449337
Apr.
24. 1962
1
5
.01
.09
9.0
66
16
7.0
Final Effluent
449338
Apr.
24. 1962
0
5
13.0
50
46
7.4
.01
Whitman Well
449339
Apr.
24, 1962
0
5
74.0
30
112
7.1
01
Main St. Well
449340
Apr.
24, 1962
1
10
15.0
32
97
7.2
.02
Circuit Ave. Well
451651
Aug.
8,
1962
2
10
9.0
18
16
6.9
Final Effluent
451652
Aug.
8,
1962
0
10
20.0
66
92
6.8
20
Circuit Ave. Well
451653
Aug.
8, 1962
0
10
79.0
84
132
6.8
.08
Main St. Well
451654
Aug.
8, 1962
0
10
-
13.0
32
51
7.1
01
Whitman Well
1
-
1962 REPORT OF THE TOWN ACCOUNTANT WATER DEPARTMENT
January 18, 1963
To the Board of Public Works:
Gentlemen:
Herewith is submitted the sixty first annual report of the Accounting Department for the year ending December 31, 1962.
WARREN F. ROULSTON Town Accountant
WATER DEPARTMENT STATEMENT OF RECEIPTS AND PAYMENTS FOR THE YEAR ENDING DECEMBER 31, 1962
RECEIPTS
Water Rates
$447,306.81
Water Liens
34,528.24
Water Liens Held in Escrow 1962
4,308.55
Water-New Services
12,625.82
Water-Private Work
20,261.41
South Weymouth Savings Bank-Interest
3,700.32
Weymouth Savings Bank-Interest
2,879.80
Water Construction Deposits
19,019.67
Refunds-Commonwealth
148.83
Refund-Overpayment of Bill
4.00
Refund-Meter Tests
4.00
Total
544,787.45
Cash on hand January 1, 1962
269,043.77
Total
813,831.22
Less Warrants Paid in 1962
503,219.20
Cash on hand December 31, 1962
$310,612.02
Analysis Treasurer's Cash:
South Shore National Bank
167,413.81
Less Outstanding Checks 21,530.46
145,883.35
Weymouth Savings Bank
71,995.16
South Weymouth Savings Bank
92,508.51
Cash in Treasurer's Office
225.00
$310,612.02
300
PAYMENTS
Filter Plant Improvements-1950: Other Expenses
$653.42
Filter Plant Improvements-1957:
Labor
149.69
Transfers-Equipment
47.00
Stock
402.93
599.62
Water Mains-1961:
Labor
1,296.32
Other Expenses
2,001.20
Transfers-Equipment
615.39
Stock
1,951.86
5,864.77
Water Mains-1962:
Labor
1,139.15
Other Expenses
5,963.43
Transfers-Equipment
575.67
Stock
8,084.39
15,762.64
Water Construction Loan-1961:
Labor
3,923.04
Other Expenses
22,166.23
Transfers-Equipment
1,112.19
Stock
22,421.87
49,623.33
Minor Construction :
New Meters:
Labor
662.09
Other Expenses
6,294.10
Transfers-Equipment
99.34
Stock
28.10
7,083.63
Miscellaneous:
Labor
2,697.97
Other Expenses
395.51
Transfers-Equipment
1,277.46
Stock
6,961.81
11,332.75
18,416.38
New Services:
Labor
4,699.96
Other Expenses
755.79
Transfers-Equipment
2,609.49
Stock
6,927.36
14,992.60
301
Maintenance and Operation: Distribution:
Labor
80,772.37
Engineering
586.91
Other Expenses
1,994.91
Transfers-Equipment
10,967.86
Stock
6,301.85
100,623.90
Care of Meters:
Labor
7,062.80
Other Expenses
3,300.92
Transfers-Equipment
708.37
Stock
59.81
11,131.90
Hollis Street Garage:
Labor
1,571.65
Other Expenses
1,698.77
Transfers-Equipment
72.63
3,343.05
Circuit Avenue Station:
Labor
1,044.65
Other Expenses
3,359.97
Transfers-Equipment
120.73
4,525.35
Filter Plant Operation:
Labor
23,917.71
Fuel
1,969.93
Light
18,667.63
Chemicals
17,268.03
Other Expenses
11,489.29
Transfers-Equipment
855.03
Stock
269.64
74,437.26
Whitman Pond Station:
Labor
445.32
Other Expenses
1,606.85
Transfers-Equipment
57.52
2,109.69
Grounds and Buildings:
Labor
6,593.24
Other Expenses
424.10
Transfers-Equipment
739.78
Stock
.51
7,757.63
302
Water Shed:
Labor
2,069.23
Other Expenses
3.76
Transfers-Equipment
440.09
2,513.08
Main Street Station:
Labor
1,031.79
Other Expenses
2,959.48
Transfers-Equipment
193.91
Stock
23.88
4,209.06
Snow Removal:
Labor
274.56
210,925.48
Replacements:
Labor
12,309.76
Other Expenses
682.51
Transfers-Equipment
5,649.31
Stock
7,570.29
26,211.87
Commercial Expenses:
Salaries
37,541.71
Stationary and Postage
3,765.43
Other Expenses
2,569.41
Transfers-Equipment
6.50
43,883.05
Interest
Debt Retirement
70,000.00
Purchase Land off Pleasant Street
6.16
Water Liens Held in Escrow
4,308.55
Private Work:
4,910.92
Labor
16.00
Other Expenses
1,764.83
Stock
10,714.87
17,406.62
Equipment Account:
Labor
3,314.19
Other Expenses
25,405.56
28,719.75
Stock Account:
Labor
5,308.54
Other Expenses
55,120.42
Transfers-Equipment
270.78
60,699.74
$583,646.48
303
15,572.50
Transfers-Equipment
STATEMENT OF APPROPRIATIONS AND EXPENDITURES
Appropriation Accounts:
Balances from 1961 Accounts:
Filter Plant Improvements-1950
$ 599.62
Filter Plant Improvements-1957
11,062.83
Water Mains-1961
5,864.77
Water Mains-1961 Loan
57,141.00
Development of Well Fields
40,000.00
Purchase Land on Pand
585.23
Land-Well Location-Off Pleasant Street
220.59
Equipment Account
14,613.91
Stock Account
20,057.94
Appropriations :- March 7, 1962
From Revenue
435,047.00
From E & D Account
57,500.00
Transfer Credits:
Equipment Account
28,183.88
Stock Account
71,719.17
Premium on Bond Issue
1,104.60
Accrued Interest or Bond Issue
176.94
743,877.48
Expenditures :
Filter Plant Improvements-1950
599.62
Filter Plant Improvements-1957
653.42
Water Mains-1961
5,864.77
Water Mains-1962
15,762.64
Water Loan-1961
49,623.33
Land-Well Location
6.16
Replacements
26,211.87
Interest
15,572.50
Debt Retirement
70,000.00
Maintenance and Operation
210,925.48
Commercial
43,883.05
Minor Construction
18,416.38
New Services
14,992.60
Private Work
17,406.62
Equipment Account
28,719.75
Stock Account
60,699.74
579,337.93
Balance Unexpended
164,539.55
Balances To Revenue
38,920.04
Balances To 1963 Accounts
125,619.51
164,539.55
304
Balances To 1963 Accounts:
Filter Plant Improvements-1957
10,409.41
Filter Plant Improvements-1962
214.43
Land-Well Location Purchase Land on Pond Development of Well Fields
585.23
40,000.00
Water Main Loan-1961
9,237.36
Water Mains-1962 Equipment Account Stock Account
14,078.04
31,077.37
$125,619.51
Balances to Revenue:
Private Work
2,593.38
New Services
7,007.40
Minor Construction
14,083.62
Commercial
2,016.95
Maintenance and Operation
11,797.65
Debt Retirement
1,104.60
Interest
316.44
$38,920.04
305
12,500.00
7,517.67
WATER DIVISION BALANCE SHEET DECEMBER 31, 1962
ASSETS
LIABILITIES
Treasurer's Cash Accounts Receivable: Rates
$310,612.02
Water Construction Deposits
$ 1,510.78
Unexpended Balances to 1963
125,619.51
New Services
1,311.76
Private Work
1,617.07
Liens-1961
1,075.17
Liens-1962
5,417.85
101,650.89
$412,262.91
$412,262.91
306
WATER DEBT
Net Water Debt
$485,000.00 Water Loan-August 1, 1948
10,000.00
Water Loan-April 1, 1950
9,000.00
Water Loan-October 1, 1951
24,000.00
Water Loan-May 15, 1954
70,000.00
Water Loan-November 1, 1956
110,000.00
Water Loan-November 1, 1958
60,000.00
Water Loan-April 1, 1957 72,000.00
Water Loan-August 15, 1961
130,000.00
$485,000.00
$485,000.00
$92,229.04
Revenue Reserved Until Collected
101,650.89
Surplus Revenue-E & D
125,935.49
Unclaimed Checks
46.24
Due from Tovn E & D to correct transfer on Assessors Recap Sheet 57,500.00
To the Board of Public Works
Gentlemen:
Following are the Treasurer's and Collector's Financial Reports for the Water Division:
1962 REPORT OF THE TREASURER FOR THE WATER DIVISION RECEIPTS AND CASH ON HAND
Water Rents
$447,306.81
New Services
12,625.82
Private Accounts
20,261.41
Water Liens
34,528.24
Water Liens held in Escrow
4,308.55
Miscellaneous
4.00
Construction Deposits
19,023.67
Savings Bank Interest
6,580.12
Refund of Mass. Gasoline Excise Tax
148.83
Cash on hand January 1, 1962
269,043.77
$813,831.22
PAYMENTS
Paid on Selectmen's Warrants for:
Notes and Bonds
$ 70,000.00
Sundry Appropriations
433,219.20
$503,219.20
TREASURER'S CASH DECEMBER 31, 1962
$145,883.35
On deposit at South Shore National Bank (including outstanding checks)
92,508.51
On deposit at Weymouth Savings Bank
225.00
Petty Cash
$310,612.02
ACCOUNTS RECEIVABLE DECEMBER 31, 1962
$ 92,229.04
Water Rents
1,617.07
Private Work
1,311.76
New Services
6,493.02
Liens
$101,650.89
Respectfully submitted, R. CHESTER LOPAUS Treasurer of Water Department
307
$544,787.45
On deposit at South Weymouth Savings Bank
71,995.16
1962 FINANCIAL REPORT OF THE COLLECTOR FOR THE WATER DIVISION WATER ACCOUNT CHARGES Balance due January 1, 1962 Charges to December 31, 1962
$ 93,791.94 482,173.00
$575,964.94
WATER ACCOUNT CREDITS
Cash Paid to Treasurer
$447,306.81
Abatement and Service Transfers
914.65
Transfers to Lien Account
35,514.44
Balance due December 31, 1962
92,229.04
575,964.94
PRIVATE ACCOUNT CHARGES
Balance due January 1. 1962
$ 1,358.35
Charges to December 31, 1962
21,355.33
$ 22,713.68
PRIVATE ACCOUNT CREDITS
Cash Paid to Treasurer
$ 20,261.41
Abatements
$ 577.80
Transfers to Lien Account
257.40
Balance due December 31, 1962
1,617.07
$ 22,713.68
NEW SERVICE ACCOUNT CHARGES
Balance due January 1, 1962
$ 1,076.59
Charges to December 31, 1962
13,058.30
$ 14,134.89
NEW SERVICE ACCOUNT CREDITS
Cash Paid to Treasurer
$ 12,625.82
Abatements
11.32
Transfers to Lien Account
185.99
Balance due December 31, 1962
1,311.76
$ 14,134.89
Respectfully submitted, R. CHESTER LOPAUS Collector
I have examined the Treasurer's and Collector's accounts in the Weymouth Water Division 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
308
TOWN OF WEYMOUTH, MASSACHUSETTS BALANCE SHEET JUNE 3, 1961 See Report of State Audit - Page 183 GENERAL ACCOUNTS
Assets
Liabilities and Reserves
Cash:
General
$4,215,972.84 286,026.09
Temporary Loans: In Anticipation of Serial Issue
$390,000.00
Water
$4,501,998.93
State and County Assessments: State:
Audit of Municipal Accounts 141.09
Collector
250.00
Examination of Retirement System 878.03
School Cafeteria
142.00
Metropolitan Parks
83,037.99
School Athletic
200.00
Metropolitan Sewage-
South System
142,306.38
Smoke Inspection Service 1,278.77
County Tax 175,142.13
Accounts Receivable :
402,784.39
Payroll Deductions: Federal Taxes
79,389.11
49.79
State Taxes 12,037.68
91,426.79
Real Estate
50.00
Levy of 1958:
Payments in Advance of Commitments: Real Estate Taxes 1961 69.00
Real Estate
52.40
Levy of 1959: Poll
70.00
Real Estate
56.80
Water Liens Added to
Levy of 1960: Poll 614.00
Taxes, 1961 3,317.71
3,812.80
Advance for Petty:
309
Library
50.00
642.00
Taxes: Levies of 1954 to 1956, Inclusive: Real Estate Levy of 1957:
Unapportioned Sewer Assessments 426.09
Personal Property Real Estate Levy of 1961: Poll Personal Property
548.32 44,428.26
11,142.00
165.060.00
Guarantee Deposits: Planning Board Water
1,100.00 1,426.57
2,526.57
Agency:
County-Dog Licenses 1,442.50
State-Sporting Licenses 575.50
Excess-Sale of Lands of Low Value 367.66
2,385.66
Tailings-Unclaimed Checks
2,937.58
Farm Animal Excise: Levy of 1961
30.28
Premium on Loans:
Public Works Building
1,660.00
Sewer
2,116.50
Highway
1,660.00
School
16,600.00
Added to Taxes, 1960
225.88
Committed Interest:
Levy of 1960 366.28
1,249.98
Highway
65.10
Tax Judgments
69.33
Water
72.92
203.12
Tax Titles and Possessions: Tax Titles
20,884.30
Tax Possessions
15,044.98
:
35,929.28ª
Departmental:
General Relief
1,347.46
Aid to Dependent Children 19,936.55
Welfare Auministration 263.27
Medical Assistance for the Aged 52,551.44
Disability Assistance
11,332.87
Old Age Assistance 40,006.72
Aid to Dependent Children
45,341.53
Vocational Education
156.00
Old Age Assistance
32,425.46
School:
222,071.57
Motor Vehicle and Trailer Excise: Levy of 1959 3,559.43
Levy of 1960
43,025.75
46,585.18
C. 310
Special Assessments: Sewer:
Added to Taxes, 1960
657.82
Particular Sewer:
22,036.50
Accrued Interest on Loans:
Sewer
65.10
Recoveries : Old Age Assistance
482.50
Federal Grants: Disability Assistance $2,163.06
Medical Assistance of the Aged 25,155.91 Veterans' Services School Hall Rentals Vocational School 406.50
17,366.25 981.66
Public Law-85-864
Public Law-81-874
13,870.52 226,518.27
355,202.56
134,620.91 Revolving Funds: School Lunch School Athletics
29,714.21
Water:
Liens Added to Taxes: Levy of 1960
1,698.37
Rates
76,323.10
New Services
827.72
Construction
937.45
79,786.64
Appropriation Balances: Revenue: General Water
6,393,446.65 365,198.98
Aid to Highways: State
40,000.00
County
20,000.00
311
60,000.00
Revenue 1961:
Real Estate Taxes- To be Committed
5,270,439.00
Estimated Receipts to be Collected:
General
1,350,122.46 241,845.16
1,591,967.62
Receipts Reserved for Appropriation: Parking Meters 12,835.88 38,902.00
Sewer
Loans Authorized:
51,737.88
Highway Construction 200,000.00
Sewer Construction 600,000.00
School Construction
2,000,000.00
Water Construction
140,000.00
2,940,000.00
Levy of 1960
1
36,837.80
Non-Revenue: Sewer Construction
372,197.53
Highway Construction 154,454.28
Drainage Construction 220,500.00
School Construction
1,902,249.27
Water 140,000.00
Public Works Building 78,539.56
9,626,586.27 2,550,000.00 10,025.00
Loans Authorized and Unissued Sale of Real Estate Fund
Water
39,286.89
Reserve Fund-Overlay Surplus Overlays Reserved for Abatements: Levy of 1959 126.80 17,386.65
2,959.37
Vocational School- Automobile Parts
4,164.22
312
$14,885,390.72
Levy of 1961 171,737.34
189,250.79
Revenue Reserved until Collected:
Motor Vehicle and Trailer Excise 46,585.18
Farm Animal Excise 30,28
Special Assessment 1,249.98
Tax Judgment
69.33
Tax Title and Possession
35,929.28
Departmental 134,620.91
Water 79,786.64
Aid to Highway 60,000.00
358,271.60 642.00
Reserve for Petty Cash Advances Surplus Revenue: General
731,145.19
Water
17,808.83
748,954.02
14,885,390.72
DEFERRED REVENUE ACCOUNTS
Apportioned Assessments not Due: Sewer Particular Sewer
132,595.54 292,285.52
Apportioned Sewer Assessment Revenue: 132,595.54 Due in 1961 to 1980, Inclusive Apportioned Particular Sewer Assessment Revenue: Due in 1961 to 1980, Inclusive 292,285.52
$424,881.06
$424,881.06
DEBT ACCOUNTS
Net Funded or Fixed Debt: Inside Debt Limit: General
Outside Debt Limit: General Public Service Enterprise
5,272,000.00 457,000.00
5,280,000.00
Serial Loans: Inside Debt Limit: General:
Public Works Building 200,000.00
Sewer
1,680,000.00
Highway
720,000.00
Surface Drainage
165,000.00
School
2,515,000.00
5,280,000.00
Outside Debt Limit: General:
Sewer
304,000.00
School
4,968,000.00
Public Service Enterprise: Water
457,000.00
5,729,000.00
5,729,000.00
11,009,000.00
$11,009,000.00
313
TRUST AND INVESTMENT ACCOUNTS
Trust and Investment Funds: Cash and Securities: In Custody of Town Treasurer
1,101,580.88
John C. Rhines Fund: Principal Income
10,000.00 10,439.21
20,439.21
Laban Pratt Hospital Fund:
Principal
300,000.00
Income
578,991.11
878,991.11
Quincy Tufts Fund:
Principal
2,000.00
Income
929.13
2,929.13
Library Funds:
Alida M. Denton
700.00
Francis Flint Forsythe
1,000.00
Mary Fifield King
2,029.82
Arthur E. Pratt
3,000.00
Charles Henry Pratt
500.00
William H. Pratt
2,798.80
Augustus J. Richards
5,012.00
Susan Hunt Stetson
2,500.00
Charles Q. Tirrell
1,000.00
Joseph E. Trask
12,847.88
Quincy Tufts:
Reading Room
2,500.00
Book
2,500.00
36,388.50
- 314
1
Elias S. Beal Park Fund: Principal Income
1,000.00 344.30
1,344.30
Laban Pratt Fountain Fund: Principal
400.00
Income
1,074.84
1,474.84
Quincy Tufts Free Lecture Fund: Principal 5,000.00
Income
2,772.95
7,772.95
Memorial Fund: Mary Fifield King
130.90
Cemetery Funds: Quincy Tufts
500.00
Martha Hannah King
112.23
Ashwood
483.87
N. F. T. Hunt
328.88
1,424.98
Investment Fund: Municipal Building Insurance
150,684.96
1,101,580.88
1,101,580.88
: 315
RETIREMENT SYSTEM ACCOUNTS
Contributory Retirement System: Cash and Securities
1,286.485.85
Contributory Retirement Funds:
Annuity Savings 899,382.09
Annuity Savings for Militry Service Credits 3,376.35
Annuity Reserve 144,555.06
Pension 221,716.03
Expense 4,708.53
Undistributed Income
12,747.79
1,286,485.85
1,286,485.85
316
TOWN TREASURER'S REPORT
To the Board of Public Works
Gentlemen:
Following is the financial report for the year 1962 in reference to collection of Sewer Service Charges:
Committeed by Sewer Division Payments received
$41,894.00 32,538.00 12.00
Refund
$ 9,368.00
Abatements
34.00
Accounts receivable December 31, 1962
$ 9,334.00
Respectfully submitted
R. CHESTER LOPAUS Town Treasurer
To the Honorable Board of Selectmen and
To the Citizens of the Town of Weymouth
Following is the Town Treasurer's Report for the year 1962:
Treasurer's Cash January 1, 1962
$ 3,649,474.73 14,967,280.46
Total Receipts for 1962
$18,616,755.19
Disbursed on Selectmen's Warrants
14,820,619.20
Treasurer's Cash December 31, 1962
$ 3,796,135.99
PAYMENTS DUE AND PAYABLE IN 1963 FOR DEBT RETIREMENT AND INTEREST ON CURRENT LOANS, EXCLUDING WATER LOANS
Interest
Debt Retirement $103,000.00
Central Junior High School 2% Jan. 1, 1954
$ 22,660.00
Johnson School Addition 2% Jan. 1, 1954
2,640.00
12,000.00
Johnson School 114% Feb. 1, 1951
1,300.00
30,000.00
Pingree School 2.20% Apr. 1, 1956
6,985.00
25,000.00
South Junior High School 11/2% May 1, 1950
6,750.00
60,000.00
Homestead School 112% May 1, 1952
2,812.50
25,000.00
Academy Avenue School 2% May 15, 1954
5,750.00
25,000.00
Sewer Bonds 2% May 15, 1954
1,150.00
5,000.00
Sewer Bonds 3.30% July 15, 1962
9,900.00
10,000.00
Street Bonds 234% July 15, 1962
5,500.00
20,000.00
Bicknell School 2.30% Aug. 1, 1953
3,896.48
21,176.47
Pond School 2.30% Aug. 1, 1953
1,623.52
8,823.53
· 317
i
Sewer Bonds 2.30% Aug. 1, 1953
2,530.00
10,000.00
Sewer Bonds 2.30% Aug. 1, 1955
5,290.00
10,000.00
Sewer Bonds 3.50% Aug. 15, 1961
20,125.00
25,000.00
Street Bonds 3.50% Aug. 15, 1961
6,125.00
25.000.00
Street Bonds 3.70% Sept. 1, 1959
5,180.00
20,000.00
Sewer Bonds 3.70% Sept. 1, 1959
9,990.00
10,000.00
South Jr. High School Addition 134 % Oct. 1 1951
140.00
2,000.00
Sewer Bonds 134% Oct. 1, 1951
1,802.50
7,000.00
Humphrey School 2% Oct. 1, 1952
3,420.00
19,000.00
Nevin School 2% Oct. 1, 1952
2,180.00
11,000.00
Sewer Bonds 2% Oct. 1, 1952
2,000.00
10,000.00
New High School (1st) 3.10% Oct. 1, 1960
55,800.00
100,000.00
Public Works Building 3.10% Oct. 1, 1960
5,580.00
10,000.00
Sewer Bonds 3.10% Oct. 1, 1960
6,975.00
15,000.00
Street Bonds 3.10% Oct. 1, 1960
4,650.00
25,000.00
Sewer Bonds 2.80% Nov. 1, 1956
5,880.00
15,000.00
Street Bonds 2.80% Nov. 1, 1956
2,240.00
20,000.00
Surface Drainage Bonds 2.80% Nov. 1, 1956
1,820.00
10,000.00
Nash School 3.40% Nov. 1, 1957
11,900.00
25,000.00
Sewer Bonds 3.40% Nov. 1, 1957
8,160.00
10,000.00
Street Bonds 3.40% Nov. 1, 1957
3,400.00
20,000.00
School Project 3.20% Nov. 1, 1958
27,520.00
60,000.00
(Homestead Addition, Seach, Pond
2nd Addition, McCulloch)
Sewer Bonds 3.20% Nov. 1, 1958
7,200.00
15,000.00
Street Bonds 3.20% Nov. 1, 1958
1,920.00
10,000.00
Drainage & Stream Improvement Bonds 3.20% Nov. 1, 1958
1,920.00
10,000.00
Ralph Talbot School 1.90% Dec 1, 1954
5,700,00
25,000.00
New High School (2nd) 3.25% Dec. 1, 1961
61,750.00
100,000.00
$342,165.00
$964,000.00
ARTHUR E. PRATT FUND
Total Fund January 1, 1962
$ 3,000.00
Interest 1962 Paid Tufts Library
$120.00
Total Fund Weymouth Savings Bank December 31, 1962
$ 3,000.00
WILLIAM H. PRATT FUND
Total Fund January 1, 1962
Interest 1962 Paid Tufts Library
Total Fund East Weymouth Savings Bank
December 31, 1962
$ 2,798.80
CHARLES HENRY PRATT FUND
Total Fund January 1, 1962
Interest 1962 Paid Tufts Library
$ 20.00
$
500.00
Total Fund East Weymouth Savings Bank December 31, 1962
$ 500.00
ALIDA M. DENTON FUND
Total Fund January 1, 1962 Interest 1962 Paid Tufts Library Total Fund East Weymouth Savings Bank December 31, 1962 $ 700.00
$ 28.00
$
700.00
318
$111.92 $ 2,798.80
QUINCY TUFTS FUND FOR FREE PUBLIC LECTURES INCOME ACCOUNT
Total Fund January 1, 1962 Interest 1962 Massachusetts Life Fund
$ 2,852.57
269.02
Interest 1962 Weymouth Savings Bank Total Fund Weymouth Savings Bank December 31, 1962
123.96
$ 3,245.55
QUINCY TUFTS FUND FOR CARE OF TUFTS FAMILY TOMB
Deposit in Massachusetts Life Fund
$ 500.00
Interest 1962 Paid North Weymouth Cemetery Association Total Fund December 31, 1962
$ 26.86. . $ 500.00
JOHN C. RHINES INCOME ACCOUNT
Income received to January 1, 1962 Interest received in 1962
$ 10,850.58
781.36
Total Fund East Weymouth Savings Bank and U.S. Savings Bonds December 31, 1962
$ 11,631.94
JOSEPH E. TRASK FUND
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