USA > Massachusetts > Norfolk County > Weymouth > Town annual report of Weymouth 1962 > Part 26
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Total Fund January 1, 1962
$ 12,847.88
Interest 1962 Paid Tufts Library $443.88
Total Fund East Weymouth, South Weymouth,
Weymouth Savings Bank and U. S. Savings Bonds December 31, 1962 $ 12,847.88
SUSANNAH HUNT STETSON FUND
Total Fund January 1, 1962
$100.00
$
2,500.00
Interest 1962 Paid Tufts Library Total Fund in Weymouth Savings Bank December 31, 1962 $ 2,500.00
CHARLES Q. TIRRELL FUND
Total Fund January 1, 1962
Interest 1962. Paid Tufts Library
$ 40.00
$
1,000.00
Total Fund in Weymouth Savings Bank December 31, 1962 $ 1,000.00
FRANCIS FLINT FORSYTH FUND
Total Fund January 1, 1962 $ 1,000.00
Interest 1962 Paid Tufts Library $ 40.00
Total Fund in Weymouth Savings Bank December 31, 1962 $
1,000.00
MARY FIFIELD KING CARILLON FUND
Total Fund January 1, 1962 Interest received in 1962 Total Fund in South Weymouth Savings Bank December 31, 1962 $ 138.72
$
133.34
5.38
319
MARY FIFIELD KING LIBRARY FUND
Total Fund January 1, 1962 $ 2,029.82 Interest Paid 1962 Tufts Library $ 81.16 Total Fund in South Weymouth Savings Bank December 31, 1962 $ 2,029.82
AUGUSTUS J. RICHARDS FUND
Total Fund January 1, 1962
Interest 1962 Paid to Tufts Library
$180.48
$
5,012.00
Total Fund in Weymouth, South Weymouth Savings Banks and U.S. Savings Bonds December 31, 1962 $ 5,012.00
MARTHA HANNAH KING FUND for care of Foye Graves
Total Fund January 1, 1962 Interest received in 1962
$ 115.48 4.66
Total Fund in Weymouth Savings Bank December 31, 1962 $ 120.14
ASHWOOD CEMETERY FUND
Total Fund January 1, 1962 Interest received in 1962
$ 497.90 20.18
Total Fund Weymouth Savings Bank December 31, 1962
$
518.08
ELIAS S. BEALS FUND
Total Fund January 1, 1962
$ 1,000.00
Interest to December 31, 1962
424.81
Total Fund South Weymouth Savings Bank December 31, 1962
$ 1,424.81
LABAN PRATT FOUNTAIN FUND
Total Fund January 1, 1962 Interest to December 31, 1962
$ 400.00
1,179.23
Total Fund Weymouth Savings Bank December 31, 1962
$ 1,579.23
JOHN C. RHINES FUND
Total Fund January 1, 1962
$10,000.00
Interest 1962 to Income Account $ 781.36
Total Fund Weymouth and South Weymouth Savings Bank $10,000.00
TUFTS PUBLIC LECTURES FUND
Total Fund January 1, 1962 Interest 1962 to Income Account
$ 5,000.00
Total Fund in Securities
$269.02
$ 5,000.00
320
TUFTS SIDEWALKS & SHADE TREES FUND
Total Fund January 1, 1962 Interest 1962 to Income Account
Total Fund in Securities
$ 2,000.00
$
107.59
$ 2,000.00
QUINCY TUFTS FUND FOR SHADE TREES AND SIDEWALKS
INCOME ACCOUNT
Total Fund January 1, 1962 Interest 1962 Massachusetts Life Fund
$ 955.74
107.59
Interest 1962 Weymouth Savings Bank Total Fund in Weymouth Savings Bank December 31, 1962 $ 1,105.37
QUINCY TUFTS FUND FOR BOOKS FOR TUFTS LIBRARY
Deposited in Massachusetts Life Fund
$
2,500.00
Interest 1962 Paid to Tufts Library Total Fund December 31, 1962
$134.51
$ 2,500.00
QUINCY TUFTS FUND FOR MAINTENANCE OF READING ROOM
Deposited in Massachusetts Life Fund
$
2,500.00
Interest 1962 Paid to Tufts Library Total Fund December 31, 1962
$134.51 $ 2,500.00
N. F. T. HUNT CEMETERY FUND
Bequest May 11, 1942 Benefit Lot in Ashwood Cemetery $ 335.03
Interest received in 1962 Total Fund in South Scituate Savings Bank
13.52
December 31, 1962
$ 348.55
CHARLES TAYLOR FUND FOR TUFTS PUBLIC LIBRARY
Total Fund January 1, 1962
$ 10,000.00
Interest 1962 Paid to Tufts Library
$233.33
Total Fund East Weymouth Savings Bank
December 31, 1962
$ 10,000.00
JAMES HUMPHREY FUND FOR TUFTS PUBLIC LIBRARY
Total Fund January 1, 1962
$
5,000.00
Interest 1962 Paid to Tufts Library
$116.67
Total Fund East Weymouth Savings Bank
December 31, 1962 $ 5,000.00
LABAN PRATT HOSPITAL INC. FUND
Bequest July 22, 1925
$300,000.00
Net income to January 1, 1962
594,935.07
Net Income in 1962
28,805.21
Total Fund December 31, 1962
$923,740.28
321
42.04
INVESTMENTS OF HOSPITAL FUNDS
East Weymouth Savings Bank
$ 67,120.56 362,372.53 310,637.50
South Weymouth Savings Bank Weymouth Savings Bank South Shore National Bank Checking Account U.S. Government Bonds, Series G Total Fund December 31, 1962
609.69
183,000.00
$923,740.28
MUNICIPAL BUILDING INSURANCE FUND
Total Fund January 1, 1962 Appropriation Interest Received in 1962
$154,234.06
1.00
6,258.29
Total Fund December 31, 1962
$160,493.35
INVESTMENT OF INSURANCE FUND
Weymouth Savings Bank
$ 64,022.67
East Weymouth Savings Bank
16,558.71
South Weymouth Savings Bank
75,481.05
Corporate Bonds
4,430.92
Total Fund December 31, 1962
$160,493.35
WEYMOUTH CONTRIBUTORY RETIREMENT FUND
(See Report of Weymouth Contributory Retirement System) Page 276
322
INVESTMENTS OF TRUST FUNDS SAVINGS BANKS
East Weymouth
South Weymouth
Weymouth
Government Securities
Balance
Balance Jan. 1, 1962 Dec. 31, 1962
Ashwood Cemetery
$ 518.08
$
497.90 $
518.08
Elias S. Beals Park
$
1,000.00 424.81
369.51
424.81
Alida M. Denton Lib. Fund
$
700.00
700.00
700.00
Francis Flint Forsyth Fund
1,000.00
1,000.00
348.55a
335.03
348.55
Mary Fifield King Carillon Fund
138.72
133.34
138.72
Mary Fifield King Tufts Library
2,029.82
2,029.82
2,029.82
Martha Hannah King Fund
120.14
115.48
120.14
Arthur E. Pratt Library
3,000.00
3,000.00
3,000.00
Charles H. Pratt Library
500.00
500.00
500.00
Laban Pratt Fountain
400.00
400.00
Laban Pratt Fountain Inc. a/c
1,179.23
1,117.63
1,179.23
William H. Pratt Library
2,798.80
2,798.80
2,798.80
John C. Rhines Income for Public Purposes
3,000.00
5,000.00
2,000.00
10,000.00
10,000.00
John C. Rhines Inc. a/c
7,631.94
4,000.00
10,850.58
11,631.94
Augustus J. Richards Library
1,012.00
2,000.00
2,000.00
5,012.00
5,012.00
Susannah Hunt Stetson Library
2,500.00
2,500.00
2,500.00
Charles Q. Tirrell Library
1,000.00
1,000.00
1,000.00
Joseph E. Trask Library
2,000.00
7,000.00
12,847.88
12,847.88
Tufts Public Lectures
5,000.00c
5,000.00b
5,000.00c
Tufts Public Lectures Inc. a/c
3,245.55
2,852.57
3,245.55
Tufts Reading Room
2,500.00c
2,500.00b
2,500.00c
Tufts Books
2,500.00c
2,500.00b
2,500.00c
Tufts Sidewalks & Shade Trees
2,000.00
2,000.00
2,000.00
Tufts Sidewalks & Shade Trees
. Inc. a/c
1,105.37
Tufts Care Tufts Tomb ".
500.00c
955.74 500.00b
1,105.37
: 500.00c
· 323
-
*
-
1,000.00
1,000.00
Elias S. Beals Park Inc. a/c
1,000.00
N.F.T. Hunt Cemetery Fund
400.00
2,005.88
1,842.00
James Humphrey Library Charles Taylor Library
5,000.00
5,000.00 10,000.00
10,000.00
Municipal Building Fund
16,558.71
75,481.05
64,022.67
4,430.92d
154,234.06
160,493.35
Laban Pratt Hospital Inc.
67,120.56
362,982.22e
310,637.50
183,000.00
894,935.07
923,740.28
$112,315.89
$448,259.17
$397,728.54
$214,930.92 $1,121,685.41 $1,173,234.52
a. Fund in South Scituate Savings Bank
b. 977.02 Units in Massachusetts Life Fund Jan. 1, 1962 $24.14 per unit
c. 992.763 Units in Massachusetts Life Fund Jan. 1, 1963 @ $21.72 per unit
d. $5,000.00 California-Oregon Power Co. 37/8 % 1986 Bonds
e. Includes $609.69 South Shore National Bank Checking Account
Respectfully submitted,
R. CHESTER LOPAUS Town Treasurer
324
REPORT OF THE TOWN ACCOUNTANT
January 18, 1963
To the Honorable Board of Selectmen Weymouth, Massachusetts
Gentlemen:
Herewith is submitted the sixty-first annual report of the Account- ing Department.
WARREN F. ROULSTON Town Accountant
RECEIPTS
General Revenue:
Taxes:
Current Year:
Poll
Personal
$ 21,010.00 2,025,029.79
Real Estate
5,355,347.27 $7,401,387.06
Previous Years:
Poll
434.00
Personal
2,126.74
Real Estate
142,996.03
145,556.77
From the Commonwealth:
School Aid-Chapter 70
491,727.19
Income Taxes
214,500.00
Corporation Taxes
331,323.54
Meals Taxes
21,417.72
Aid to Free Public Libraries
12,044.25
1,071,012.70
Licenses and Permits:
Alcoholic
21,820.00
All Other
2,385.50
State Licenses
125.00
24,330.50
Fines and Forteits
1,773.14
Grants and Gifts:
From the Commonwealth:
U.S. Grant-O.A.A .- Administration
10,875.54
O.A.A .- Assistance
182,057.83
A.D.C .- Administration
11,300.19
A.D.C .- Relief
90,325.55
D.A. - Administration
2,169.51
D.A. - Assistance
21,008.40
M.A.A .- Administration
6,567.09
M.A.A .- Assistance
157,113.84
325
Vocational Schools 82,675.83 George Barden Fund 5,940.00
National Defense Education Act, No. 864 Title III Title V Title VIII
8,387.14
3,174.85
13,093.80
School Construction Grants:
Academy Avenue School
8,808.34
Bicknell Junior High School
6,107.22
Central Junior High School
33,948.55
Homestead School
7,559.35
Homestead School Addition
2,014.07
Humphrey School
6,264.15
Eldon Johnson School
9,214.21
Eldon Johnson School Addition
4,272.57
Nash School
10,288.42
Nevin School
3,445.95
North Senior High School
66,687.50
Pingree School
9,425.56
Pond School Addition
3,546.13
Pond School Second Addition
5,076.23
Ralph Talbot School
8 001 67
South Junior High School
20,355.66
William Seach School
6,123.12
806,821.27
From the U. S. Treasury:
School Maintenance Public Law No. 874
146,464.00
From the County:
Dog License Fees
4,233.88
Special Assessments:
Motor Vehicle Excise Taxes-1959
394.90
Motor Vehicle Excise Taxes-1960
6,258.23
Motor Vehicle Excise Taxes-1961
264,022.47
Motor Vehicle Excise Taxes-1962
564,830.44
Farm Animal Excise Taxes-1962
101.36
835,607.40
General Government:
Tax Collector-Fees, etc.
13,929.41
Treasurer
49.83
Town Clerk-Fees, etc.
9,379.40
Selectmen-Vending Machines
21.70
Selectmen-Sale of Maps
102.50
124.20
Registrars' Sale Poll List Books
28.50
23,511.34
Engineering Division-Sale of Maps, Plans
525.60
Building Inspector-Permits and Fees
5,251.00
Building Inspector-Sale of By-Law Books
51.50
Refund Out-of-State Allowance
8.39
5,310.89
326
Wiring Inspector-Permits Sealer of Weights and Measures-Fees Police Department-Pistol Permits
1.978.00 741.40
503.00
Health Department:
Commonwealth-Subsidy
1,421.42
Licenses and Permits
2,949.87
Dental Clinic Revenue
140.55
Polio Clinic-Overpayment of bill
18.19
Premature Births-Overpayment of bill
25.55
4,555.58
Sewer Division:
Common Sewer Assessments
46,951.86
Particular Sewer Assessments
59,053.71
Interest on Sewer Assessments
16,744.69
Sewer Service Charges
32,538.00
Commonwealth-Gas Refund
86.73
Rental of Equipment
568.00
Miscellaneous
1,314.39
157,257.38
Highway Division:
Permits etc.
194.00
Rental of Equipment
901.00
Commonwealth of Massachusetts
Chapter 90 Construction
9,501.80
County of Norfolk
Chapter 90 Construction
4,750.90
15,347.70
Public Welfare:
From Individuals-Refunds
537.18
From Other Cities and Towns
6,063.68
From the Commonwealth
1,495.18
8,096.04
Aid to Dependent Children:
From Individuals-Refunds
4,362.70
From the Commonwealth-Administration 3,889.28
From the Commonwealth-Assistance 55,943.45
64,195.43
Disability Assistance:
From Individuals-Refunds
239.75
From the Commonwealth-Administration 1,069.74
From the Commonwealth-Assistance 27,728.15
29,037.64
Old Age Assistance:
From Individuals-Refunds 4,529.62
From Individuals-Recoveries 30,094.82
From Other Cities and Towns 5,760.34
From the Commonwealth-Administration 5,402.05
From the Commonwealth-Assistance 91,559.97
137,346.80
327
Medical Assistance for the Aged:
From Individuals-Refunds 923.77
From the Commonwealth-Administration 3,251.82
From the Commonwealth-Assistance 110,933.76 115,109.35
Veterans' Services:
From Individuals- Refund
5,023.35
From the Commonwealth 67,922.20
72,945.55
School Department:
Hall Rentals 3,888.67
Tuition-General 317.65
Tuition-Summer School 7,560.00
Commonwealth-Youth Service Board 4,500.00
Sale of Materials, Supplies, etc. 4,021.09
Commonwealth-Transportation of Pupils 85,550.10
Tuition-Vocational School
4,936.00
Sale of Materials and supplies
4,726.37
Vocational School-Auto Parts
3,905.84
Overpayment of Bills
130.92
119,536.64
Libraries:
Income from Funds
1,784.46
Fines, Fees, etc.
4,633.01
6,417.47
Unclassified:
Tax Title Releases-Principal
8,933.92
Tax Title Releases-Excess
1,370.43
Sale of Tax Possession Property
199.38
Sale of Land of Low Value
168.03
Profit on Sale Tax Possession Property
170.37
Sewer Receipts-In Escrow
10,394.10
Commonwealth-Summer Recreation
Physically Handicapped 2,009.68
Commonwealth-Lien of Taxes
2,040.70
Weymouth Housing Authority
7,351.50
Commonwealth-Civil Defense
5,860.50
John Hancock Mutual Life Insurance Co. Dividend
1,248.00
Selectmen-Lease Alewife Fishery
100.00
Refund-Individual-Old Age Assistance 1961 111.05
Refund-Pensions-1961
1,123.32
Refund-Veterans' Services-1960
3,514.10
Refund-Veterans' Services-1961
3,952.86
Commonwealth-A.D.C .- 1961
200.00
Refund-Individuals-A.D.C .- 1961
432.64
Refund-Individuals-Welfare-1961
601.16
Refund-Individuals-M.A.A .- 1961 7.50
Refund-Premium Insurance-Town Barn
46.04
328
High School Building Construction Overpayment of bill Land Court-Refunds
1,080.61 9.25
Civil Defense-Refund-Out-of-State Travel Allowance 150.00
Contributory Retirement System Duplicate Payment 200.00
Massachusetts Teachers Retirement
Fund-Duplicate Payment
62.16
Group Insurance-Refunds
1,663.58
Fire Department-Burning Detail
155.00
Fire Department-Use of Truck- Weymouth Fair 5.00
School Department-Restitution for Damages
350.50
Election Expenses-Overpayment of bill
10.00
Public Works Department-Refund Out-of-State Allowance
2.11
School Department-Overpayment of Bills
55.70
Legal Department-Overpayment of Bill 11.25
Personnel Board-Overpayment of Bill 1.35
Rent of Rooms-Essex Street 636.00
Rent-127 Commercial Street 160.00
Rent-Town Barn 450.00
Redeposit-Rufo Construction Check 27,063.54
Taxes Paid After Abatement-1961-Poll
4.00
Taxes Paid After Abatement-1962-Poll
2.00
Taxes Paid After Abatement-1961 Personal 7.50 Taxes Paid After Abatement-1955-M.V.E. 17.66 Taxes Paid After Abatement-1957-M.V.E. 16.53
Taxes Paid After Abatement-1958-M.V.E. 76.01
Taxes Paid After Abatement-1959-M.V.E. 93.86
Taxes Paid After Abatement-1960-M.V.E. 151.14 Taxes Paid After Abatement-1961-M.V.E. 24.05
Insurance Settlements:
Damages to Police Vehicles
380.28
Damages to Police Signals 30.00
Damages to Fire Alarm Boxes 696.81
Damages to Fire Department Vehicle
25.00
Damage-Fire Loss-Selectmen
525.26
Oil Damages-Selectmen
3,000.00
Damages-Library
140.00
Damages-Vehicle-Sewer Division
4.40
Damages-Forms for School Department
220.43
87,316.26
Interest:
On Deferred Taxes
1959 Accounts
26.63
1960 Accounts
668.78
1961 Accounts
6,009.08
1962 Accounts
482.97
On Unapportioned Sewer Assessments-1961 19.29
On U. S. Treasury Bills 64,526.56
On Stabilization Fund 2,792.00
74,525.31
329
Municipal Indebtedness:
Sewer Loan Highway Loan School Loan Premiums on Loans Accrued Interest on Loans
300,000.00 200,000.00 2,000,000.00
9,983.00
8,657.22
2,518,640.22
Agency Accounts : John C. Rhines Fund Income
340.00
Tufts Lecture Fund
269.02
Tufts Tomb Fund
26.86
Tufts Shade Tree Fund
107.59
Dog Licenses for County
6,411.00
Sale of Dogs
30.00
Fish and Game Licenses for State
5,573.00
School Lunch Account
179,450.15
Refund National Cash Register
69.79
179,519.94
Athletic Account
18,457.06
Federal Withholding Taxes
801,049.19
State Withholding Taxes
73,686.21
Parking Meter Receipts
1,726.27
1,087,196.14
TOTAL
$14,967,280.46
Cash on hand January 1, 1962
3,649,474.73
TOTAL
$18,616,755.19
EXPENDITURES GENERAL GOVERNMENT
Appropriation Committee
Services and Expenses
$ 3,000.00
Public Works Building Committee
1,089.00
Incinerator
864.00
Urban Renewal
12.05
Council for the Aging
503.65
Industrial Development Committee
9,225.00
Selectmens Department:
Salaries-Selectmen
$2,098.75
Clercial Assistance 5,117.28
7,216.03
Stationery and Postage
523.76
Printing and Advertising
770.90
Auto Expenses
750.00
Miscellaneous Expenses
376.61
Physical Examinations
475.00
Workmen's Compensation Agent: Salary
900.00
· · Other expenses
600.00
1,500.00
11,612.30
330
Accounting Department:
Salaries-Town Accountant
Clerical Assistance
7,808.00 13,171.20
20,979.20
·
Stationery and Postage
620.04
Printing and Advertising
191.45
Payroll Checks
805.58
New Equipment
6,432.07
Miscellaneous Expenses
884.99
Out-of-State-Travel-Sec. 5, Chap. 40
96.60
30,009.93
Treasurer's Department:
Salaries-Treasurer
5,544.00
Clerical Assistance
8,380.85
13,924.85
Stationery and Postage
1,679.63
Printing and Advertising
771.22
Armored Car Service
366.00
Bonds and Insurance
512.71
Acquiring Tax Titles
2,042.86
Preparation of Bonds
6,408.39
New Equipment
350.00
Miscellaneous Expenses
632.32
26,687.98
Tax Collector s Department:
Salaries-Tax Collector Clerks
7,292.80
21,668.16
28,960.96
Stationery and Postage
2,981.04
Printing and Advertising
1,791.73
Expenses of Deputy Collectors
392.00
Bonds and Insurance
735.42
Acquiring Tax Titles
136.36
Miscellaneous Expenses
449.35
New Equipment
179.10
36,625.96
Assessors' Department:
Salaries-Assessors
8,295.00
Executive Secretary
3,225.60
Clerks
19,202.40
30,723.00
Stationery and Postage
779.05
Printing and Advertising
736.00
Probate Cards
94.40
Car Expenses
750.00
Miscellaneous Expenses
948.50
34,030.95
331
Legal Department:
Salary-Town Counsel
2,500.00
Town Counsel-Trial Cases
5,495.00
Clercial Assistance
1,300.00
Stationery and Postage
191.19
Law Library Equipment
241.84
Street and Land Takings
4,389.29
Appraisals
2,168.31
Legal Service-Laban Pratt Trustees
2,258.82
Miscellaneous Expenses
265.74
18,810.19
Damages, Judgments, etc .:
Compensation Paid Injured Persons
9,800.04
Medical Expenses
6,157.51
Settlement of Claims:
Land Damages
10,322.77
Other Damages
3,267.62
Final Judgment
1,930.80
15,521.19
31,478.74
Town Clerk's Department:
Salaries -- Town Clerk
8,104.80
Clerks
11,624.00
19,728.80
Stationery and Postage
609.63
Printing and Advertising
1,293.30
Binding Books
89.00
Town Meeting Expenses
335.28
Bonds and Insurance
40.00
Miscellaneous Expenses
477.01
22,573.02
Registrars' Department:
Salaries -- Registrars
800.93
Clerical Assistance
4,788.80
5,589.73
Poll Listing-Salaries
2,949.80
Expenses
275.00
3,224.80
Stationery and Postage
287.24
Printing and Advertising
2,510.70
Miscellaneous Expenses
644.04
12,256.51
Election Expenses :
Election Officers
8,176.00
Janitor Services
1,144.96
Hall Rental Expense
105.00
Telephones, Supplies, etc.
533.95
9,959.91
332
Personnel Board: Salaries-Personnel Officer Clerk
520.00 578.64
1,098.64
Charles M. Evans Associates Miscellaneous Expenses
198.28
2,176.92
Planning Board:
Clerical Services
200.00
Stationery, Postage, Printing etc.
241.07
Miscellaneous Expenses
184.00
625.07
Civil Defense:
Clerical Services
450.40
Telephones Light, etc.
11,721.00
Miscellaneous Expenses
2,073.80
Out-of-State-Travel-Sec. 5, Chap. 40.
150.00
14,850.30
Maintenance Town Hall and Annex:
Town Hall:
Janitor Services
10,412.64
Switchboard Operator
3,480.80
Engineer
2,856.04
Fuel
1,167.46
Light
1,743.71
Telephones
3,571.62
Transportation
400.00
Supplies
715.31
Repairs
981.85
Special-Furniture, Repairs, etc.
4,372.00
29,701.43
Annex:
Janitor Service
4,474.40
Fuel and Gas
790.48
Light
572.24
Water
45.56
Telephones
1,465.92
Miscellaneous Expenses
643.91
7,992.51
37,693.94
PROTECTION OF PERSONS AND PROPERTY
Police Department: Salaries and Wages:
Chief
8,665.50
Other Salaries
421.255.30
Special Police
63,625.52
Handyman
4,240.00
Clerk
4,240.00
Pensions
1,225.00
503,251.32
333
880.00
455.10
International Harvester Company
Maintenance of Motor Vehicles Maintenance of Equipment Fuel Light
11,982.56
2,159.56
798.88
Maintenance of Buildings and Grounds
1,396.65
Telephones
1,907.98
Food for Prisoners
192.72
Printing, Sationery, etc.
1,458.67
Lighting-Parking Areas
346.75
Silent Police Traffic Signs, etc.
2,140.99
Maintenance Police Signals
8,888.22
Purchase Uniforms
5,211.39
Miscellaneous Expenses
869.06
Out-of-State-Travel-Sec. 5, Chap. 40
150.00
541,826.52
Police Department-New Equipment
Traffic Lights-Middle and Broad Streets
263.00
Fire Department:
Salaries and Wages:
Chief
8,665.50
Other Salaries
534.971.64
Fire Alarm
13,057.21
Pensions
5.135.08
561,829.43
Maintenance of Apparatus
4.425 15
General Equipment
4,644.70
Fire Prevention Work
300.00
Fire Alarm Supplies, etc.
3,686.18
Fuel
3,185.20
Light
1.435.78
Telephones
1,179.24
Maintenance of Buildings and Grounds: Laundry
612.55
Miscellaneous
3,582.69
4.195.24
Purchase Uniforms
3,730.45
Miscellaneous Expenses
574.78
Out-of-State-Travel-Sec. 5, Chap. 40
85.50
592.232.83
Fire Department-New Equipment
Inspectors' Department:
Salaries-Building Inspector 7,292.80
Wiring Inspector
5,319.84
Clerical Assistance
4,781.60
17,394.24
Transportation-Building Inspector 800.00
Wiring Inspector 778.79
1,578.79
Stationery and Postage
203.23
Printing and Advertising
485.43
Miscellaneous Expenses
749.38
Board of Appeals-Salaries
450.00
334
1.655.00
Callmen's Wages
2,561.18
12,605.00
1,071.77
Stationery and Postage 66.12
Printing and Advertising
527.29
Miscellaneous Expenses Removal of Dilapidated Buildings
40.00
1,083.41
377.54
Out-of-State-Travel-Sec. 5, Chap. 40
150.00
22,022.02
Sealer of Weights and Measures:
Salary of Sealer of Weights and Measures Transportation Miscellaneous Expenses
300.00
149.94
2,321.88
HEALTH AND SANITATION
Health Department:
Salaries of Board
1,050.00
Miscellaneous Expenses:
930.66
Maintenance of Incinerator
713.88
Rat Extermination
287.00
Emergency Baby Cases
110.00
Diphtheria Clinic
549.00
School Doctors
400.00
Vision Tester
298.00
Hearing Clinic
10.50
Prevention of Rabies
49.50
3,348.54
Premature Infant Cases
1,179.31
Hospitalization Cases
2,931.26
Health Agent-Salary
5,978.40
Transportation
800.00
6,778.40
Health Clerk-Salary
3,856.00
Health Nurse-Salary
4,748.80
Transportation
400.00
5,148.80
Plumbing Inspector-Salary 5,766.40
Substitute Inspector-Salary
1,373.44
Transportation
800.00
7,939.84
Maintenance of Dump-Labor
1,200.00
Other Exp. 171.59
1,371.59
Dental Assistant-Salary
2,349.44
Transportation 100.00
2,449.44
Dentists, Supplies, Transportation, etc.
3,826.14
Health Tests
935.75
Burying Animals-Salary
1,100.00
Transportation 400.00
1,500.00
Polio Clinic Part-time Medical Consultant
8,312.64
1,200.00
51,827.71
335
1,871.94
Postage, Printing ,etc.
Nurses:
Weymouth Visiting Nurses Association, Inc. 8,000.00 Garbage Disposal:
Holbrook Livestock Farm, Inc.
67,050.00
PUBLIC WORKS DEPARTMENT
Public Works Department:
Personnel:
Salaries-Superintendent 11,081.60
Clerks
21,140.00
Janitors 6,517.60
Commissioners 2,866.67
41,605.87
Operational Expenses and Supplies
2,861.94
Gasoline and Diesel Oil
13,419.93
Miscellaneous Expenses
461.02
Commissioners' Expenses
350.00
Out-of-State-Travel-Sec. 5, Chap. 40
450.00
Sundries
279.26
Public Works Building Maintenance
14,389.90
73,817.92
Public Works Department-New Equipment
57,921.60
Engineering Division:
Salaries-Engineer
8,432.80
Other Salaries
75,057.97
83,490.77
Office Supplies
2,200.38
Field Supplies
1,512.55
Photostats
695.84
Printing for Assessors
330.12
Miscellaneous Expenses
579.17
Mileage Allowance
2,248.90
91,057.73
Tree Division:
Salaries-Superintendent
6,487.20
Labor
35,427.67
41,914.87
Supplies
1,606.68
Insecticides
2,599.86
Tree Planting
4,038.13
Repairs, etc.
1,684.79
Aerial Spray
4,328.75
Miscellaneous Expenses
853.04
57,026.12
Control Dutch Elm Disease:
MacQuinn Tree Service
6,073.00
Miscellaneous Expenses
3,547.90
9,620.90
336
Park Division-Maintenance:
Labor
General Maintenance
4,779.76
Building Maintenance
641.38
Miscellaneous-Beach Sand
2,060.00
46,733.04
Special Account-Park Maintenance Little League Field-Negus Park
1,614.85
Sewer Division:
Maintenance and Operation.
Salaries-Superintendent
7,589.60
Labor:
Equipment Maintenance
6,856.90
Maintenance Sewer System
20,048.70
Snow Removal 4,793.66
Holidays, etc.
6,754.84
46,043.70
Mileage Allowance
27.36
Equipment, Const., Maint., Trans.
1,030.50
Supplies :
Office
2,099.74
Department Equipment
9,662.85
Maintenance Sewer System
3,210.36
62,074.51
Particular Sewers:
Supplies:
House Connections and Rented Equipment
32.560.21
Labor-House Connections
30,272.21
House Connections-Contracts:
Contract 39
J. D'Amico, Inc. 5,515,62
Contract 40
Power Construction Company, Inc. 1,699.35
Contract 42
DiMascio Brothers and Company 2,090.52
Contract 43
J. D'Amico. Inc. 21,491.84
Contract 44 DiMascio Brothers and Company 17,890.24
Contract 45 J. Andreassi and
56,785.56 119,617.98 Sons 8,097.99
337
39,251.90
46,733.04
12,777.57
Common Sewers:
Contract 39 J. D'Amico, Inc
30,825.36
Contract 40
Power Construction
Company, Inc.
3,111.32
Contract 41
Ralph Civitarese
Corporation
2,300.00
Contract 42
DiMascio Brothers
and Company 12,032.02
Contract 43
J. D'Amico, Inc. 133,260.86
Contract 44
DiMascio Brothers and Company 203,383.97
Contract 45 J. Andreassi and Sons 68,319.32 453,232.85
Consulting Engineering Service
9,421.70
Legal
1,608.38
Contract Expense
366.35
Traffic Control
1,548.15
New Development Const. Supplies
10,472.35
476,649.78
Fort Point and Wessagusset Sewers:
Contract 40-S
Power Construction Company, Inc.
33,153.65
Contract 41 S
Ralph Civitarese Corporation
78,040.88
111,194.53
Sewer Special-1962-Accepted Streets:
Contract 44-S
DiMascio Brothers and Company
15,806.88
Contract 45-S J. Andreassi and Sons
6,798.10
22,604.98
Highway Division:
Administration: Salary-Superintendent
7,889.60
General:
Labor
153,538.09
Pensions
8,930.23
Maintenance of Trucks
9,065.80
Equipment
9,696.29
Supplies
11,520.05
Miscellaneous
7,575.69
200,326.15
338
Traffic Signs, Crosswalks, etc. Rubbish Collections-Labor Street Cleaning-Labor Drains and Catch Basins: Labor Other Expenses
6,986.99 46,602.70 24,602.73
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