Town annual report of the officers of Orange, Massachusetts 1932, Part 8

Author:
Publication date: 1932
Publisher: Orange, Mass. : The Town
Number of Pages: 218


USA > Massachusetts > Franklin County > Orange > Town annual report of the officers of Orange, Massachusetts 1932 > Part 8


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).


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40 75


Free Milk.


47 67


Printing, Stationery and Postage


108 81


Telephone.


158 54


Traveling Expenses


361 70


All Other


22 24


$5222 74


Teachers' Salaries


High .


$20937 04


Elementary


25546 55


Special


1590 20


$48073 79


Text Books and Supplies


High


Books .


$ 884 12


Supplies


1488 08


$2372 20


Elementary


Books


$1020 26


Supplies


704 93


$1725 19


Tuition


Agricultural


$575 75


Industrial


236 20


Extension Courses


6 00


$817 95


Transportation


$8230 60


133


Janitor Service


High .


$2755 04


Elementary


3280 70


. $6035 74


Fuel, Light and Water


High


Fuel.


$917 19


Light


609 38


Water


104 75


$1631 32


Elementary


Fuel.


$1559 32


Light.


279 33


Water


109 00


$1947 65


Maintenance of Buildings and Grounds


High


Repairs


$525 17


Janitor's Supplies


120 38


Insurance


591 50


All Other


125 53


$1362 58


Elementary


Repairs


$1532 87


Janitor's Supplies


36 11


Insurance


192 00


All Other


97 66


$1858 64


Other Expenses


Furniture and Furnishings


High .


$ 18 60


Elementary


629 00


Diplomas .


41 38


Pro Merito Pins


. . .


$716 48 $79994 88 $79994 88


Balance to E. &. D .. .


27 50


5 12


$80000 00


134


Library Maintenance


Appropriation


$6000 00


Dog Tax.


659 61


Goddard Library Fund Interest


81 85


$6741 46


Expended


Salaries and Wages


Librarian


$1462 50


Assistants


1605 26


Janitor


711 00


$3778 76


Books and Periodicals


Books. .


$1247 48


Books, North Orange.


81 85


Periodicals .


187 70


$1517 03


Binding


Books .


$105 50


Periodicals .


7 05


$112 55


Fuel, Lights and Water


Fuel.


$390 00


Lights


206 54


Water


8 50


$605 04


Buildings


Repairs


$83 28


Janitors' Supplies


25 68


All Other


13 09


$122 05


Other Expenses


Printing, Stationery


and Postage.


$56 32


Express


19 94


Covers.


35 50


135


Framing picture


$8 50


Supplies


8 68


$128 94


$6264 37


$6264 37


Balance to E. & D.


477 09


School Garden Exhibit


Appropriation .


$200 00


Expended


Prizes


$200 00


Total Education and Libraries


$86459 25


RECREATION AND UNCLASSIFIED


Care of Parks


Appropriation .


$150 00


Expended


Labor


$33 25


Lumber


86 35


Tennis Tapes


13 25


Shovels


3 75


Lights.


4 08


$140 68


$140 68 ยท


Balance to E. &. D .. .


9 32


$150 00


Goddard Park Fund


Interest Drawn


$11 27


Expended


Lumber


$8 37


Paint


2 90


$11 27


$11 27


Memorial Day


Appropriation . $250 00


Expended


Band .


$85 00


Wreaths


49 50


Transportation


42 00


$6741 46


136


Address


$25 00


Flags .


19 84


Transferred to Welfare


28 66


$250 00


Care of Town Clock


Appropriation


$50 00


Expended


Care.


$25 00


Lights


2 16


..


$27 16


$27 16


Balance to E. & D ....


22 84


$50 00


Town Reports


Appropriation


$580 00


Expended .


$578 00


$578 00


Balance to Welfare


Department . ..


2 00


$580 00


- Music, North Orange Reunion


Appropriation .


$30 00


Expended .


$30 00


Retired Pensions


Appropriated


$812 00


Expended


$812 00


Total Recreation and Unclassified.


$1820 45


ENTERPRISES AND CEMETERIES


Water Department.


Appropriation .


$7500 00


Transfer from Reserve. 172 96


$7672 96


$221 34


$221 34


137


Expended


Collector


$213 75


Printing and Postage


190 50


Telephone


47 40


Rent of Land.


50 00


Insurance .


18 33


Legal Services


5 00


Use of Auto


4 00


All Other


4 75


$533 73


General


Labor Payrolls


$1591 01


Pipe and Fittings


1369 73


Equipment.


96 20


Parts for Truck


33 39


Culvert .


25 20


Rubber Boots.


19 50


Supplies


19 18


Drawers and Cases.


17 00


Express and Freight.


15 30


Adding Machine Service .


10 25


Paint.


9 04


Cloth


7 47


Water Privilege


5 00


Sharpening Tools .


4 95


Rods and Bolts


3 00


Registering Car


2 00


All Other


2 86


$3231 08


Pumping Station


Engineers


$1744 50


Fuel.


93 00


Insurance


47 20


Oil .


21 58


Freight


1 87


$1908 15


$5672 96


$5672 96


Transferred to Welfare


2000 00


Department .....


$7672 96


138


Additional Water Supply


Balance carried forward from 1931 .


$369 80


Appropriation 1932.


500 00


Carried forward to 1933


$869 80


Cemetery Department


Appropriation .


$ 500 00


Interest on Perpetual Care Funds. . 2081 41


$2581 41


Expended


Labor Payrolls. .


$1536 26


Repairs to Tractor


195 45


Supplies


107 73


Collector


101 25


Loam


87 04


Printing and Postage


86 07


Trees and Shrubs


49 20


Water.


48 25


Shady Mixture


40 00


Sharpening Tools .


38 89


Pipe, Fittings and Labor. .


36 91


Repairs to Truck


31 74


Equipment.


15 64


Insurance


14 69


Re-dying Grass Mat


12 00


Fertilizer


11 87


Lumber


11 00


Paint. .


5 50


All Other


17 32


$2446 81


$2446 81


Balance to E. & D ...


134 60


$2581 41


Goddard Cemetery Fund


Interest Drawn


$27 90


Expended .


$27 90


Total Enterprises and Cemeteries


$8147 67


INTEREST AND MATURING DEBT


Interest


Appropriation


$12152 50


Transfer from Reserve.


65 42


$12217 92


139


Expended


Temporary Loans


$6565 42


High School Bonds.


4832 00


Road Roller Notes.


110 50


East Main Street Water


Notes


710 00


$12217 92 $12217 92


Maturing Debt


Temporary Loans


$265000 00


General Loans .


Appropriation $12800 00


Expended


High School Bonds. ..


$10000 00


Road Roller Notes . . .


1300 00


East Main Street


Water


1500 00


$12800 00 $12800 00


Total Interest and Maturing Debt.


.


$290017 92


AGENCY, TRUST AND REFUNDS


Agency


State Tax


$ 8287 50


County Tax.


14696 62


Old Age Assistance Tax


1798 00


State Audit .


76 73


National Bank Tax


24 45


Park and Reservation Tax .


11 78


$24895 08 $24895 08


Trust and Investment


Cemetery Care Funds


Central Cemetery


$ 608 33


South Cemetery


1200 00


Tully Cemetery


100 00


Holtshire Cemetery


300 00


$2208 33 $2208 33


140


Refunds


Taxes 1930. .


$ 41 40


Taxes 1931.


32 98


Sewer Rentals 1930


2 00


Sewer Rentals 1931


3 00


Sewer Rentals 1932


1 00


Fish, Game Licenses


3 50


Auto Excise Taxes 1931.


17 06


Auto Excise Taxes 1932


121 59


Town Hall Rent .


5 00


Cemetery Bill


2 77


Milk License


50


Interest on Taxes


1 45


Costs on Taxes


35


$232 60


$232 60


Total Agency, Trust and Refunds.


$27366 01


RECAPITULATION


Payments for the Year 1932


General Government .


$13926 63


Protection of Persons and Property


16423 49


Health and Sanitation


6821 35


Highways and Bridges.


33956 90


Charities and Soldiers' Benefits


72988 59


Education and Libraries .


86459 25


Recreation and Unclassified


1820 45


Enterprises and Cemeteries.


8147 67


Interest.


12217 92


Maturing Debt.


12800 00


Agency


24895 08


Trust Cemetery Funds


2208 33


Refunds


232 60


$292898 26


Temporary Loans


265000 00


$557898 26


Cash on hand December 31, 1932


18106 60


-- $576004 86


141 TRIAL BALANCE DECEMBER 31, 1932 BEFORE CLOSING BOOKS


Revenue


Cash .


$18106 60


Taxes 1932


57058 97


Taxes 1931


19009 46


Taxes 1930


1428 86


Overlay 1932


$3242 34


Overlay 1931


366 32


Overlay 1930


4273 15


Old Age Assistance Tax 1932


284 00


Old Age Assistance Tax 1931.


86 00


Old Age Assistance Tax Revenue


35 00


Tax Titles . .


261 96


Tax Titles Revenue .


261 96


Motor Vehicle Excise Tax 1932


910 86


Motor Vehicle Excise Tax 1931


795 07


Motor Vehicle Excise Tax 1930


311 26


Motor Vehicle Excise Tax Revenue


2017 19


Sewer Rentals 1932


365 00


Sewer Rentals 1931


140 00


Sewer Rentals 1930


17 00


Special Assessments Revenue


522 00


Town Hall Rentals.


488 31


Selectmen's Licenses


76 00


Fire Department.


20 56


Board of Health


334 43


Sewers


10 52


Sidewalks


361 42


Welfare Accounts


14589 67


State and Military Aid


1169 50


School Tuition.


4287 50


Cemetery Bills


1327 48


West Orange School House.


225 00


Departmental Revenue.


22890 39


Water Bills Accounts Receivable.


6557 74


Water Revenue.


6557 74


Estimated Receipts


75000 00


Temporary Loans


100 00


Trust Funds (Temporary Account)


125 50


Sale of Lots (Cemetery)


325 40


Revenue.


9289 92


Excess and Deficiency


5 00


State Tax


3949 01


142


General Government


Office Expense.


$ 85 60


Selectmen's Expense


16 41


Assessors' Expense


3 75


Election and Registration


7 50


Treasurer's and Collector's Expense


6 33


Town Hall Expense


107 78


Protection of Persons and Property


Police Department


$550 34


Fire Department. .


24 16


Fire Alarm Maintenance.


167 55


Sealer of Weights and Measures.


6 06


Moth Suppression.


11 90


Tree Warden .


17 72


Forest Fire Warden


106 39


Health and Sanitation


Sewer Maintenance


$9 88


Highways and Bridges


Residential Streets.


$373 77


Highway Department


97 33


Sidewalk Maintenance


371 57


Snow and Ice Removal.


106 35


Street Lights


1 50


Street Lights, North Orange.


11 13


Charities and Soldiers' Relief


Welfare Department .


$2685 29


Old Age Assistance


278 00


Soldiers' Relief .


278 44


Soldiers' Burials .


100 00


Education and Libraries


School Department


$ 5 12


Library Department


477 09


Recreation and Unclassified


Parks.


$


9 32


Town Clock


22 84


Reserve Fund


. .


1015 16


Enterprises and Cemeteries


Additional Water Supply


$869 80


East Main Street Water Extension


665 03


Cemetery Department.


134 60


$132903 90 $132903 90


143


TRIAL BALANCE DECEMBER 31, 1932 AFTER CLOSING BOOKS


Revenue


Cash .


$18106 60


Taxes 1932


57058 97


Taxes 1931


19009 46


Taxes 1930.


1428 86


Overlay 1932


$3242 34


Overlay 1931


366 32


Overlay 1930


4273 15


Old Age Assistance Tax 1932


284 00


Old Age Assistance Tax 1931


86 00


Old Age Assistance Tax Revenue


35 00


Tax Titles


261 96


Tax Titles Revenue


261 96


Motor Vehicle Excise Tax 1932


910 86


Motor Vehicle Excise Tax 1931


795 07


Motor Vehicle Excise Tax 1930


311 26


Motor Vehicle Excise Tax Revenue.


2017 19


Sewer Rentals 1932 .


365 00


Sewer Rentals 1931


140 00


Sewer Rentals 1930


17 00


Special Assessments Revenue


522 00


Town Hall Rentals.


488 31


Selectmen's Licenses


76 00


Fire Department


20 56


Board of Health


334 43


Sewers.


10 52


Sidewalks


361 42


Welfare.


14589 67


State and Military Aid.


1169 50


School Tuition


4287 50


Cemetery Department.


1327 48


West Orange School House.


225 00


Departmental Revenue.


22890 39


Water Bills Accounts Receivable.


6557 74


Water Revenue


6557 74


Temporary Loans


75000 00


Trust Funds Cemetery


100 00


Cemetery Sale of Lots


125 50


Excess and Deficiency


12104 39


State Tax .


5 00


Additional Water Supply .


869 80


East Main Street Water Extension


665 03


$128629 49 $128629 49


144


Indebtedness


Net Bonded Debt. $129100 00


High School Bonds.


$110800 00


East Main Street Water Extension Notes. .


17000 00


Gas Road Roller Notes


1300,00


Temporary Loans.


75000 00 75000 00


$204100 00 $204100 00


Trust Funds General


Asula P. Goddard Charity Fund


January 1, 1932.


$5519 71


Interest added 1932


227 74


$5747 45


Withdrawn 1932.


152 50


January 1, 1933.


$5594 95


Asula P. Goddard Library Fund


January 1, 1932.


$2633 52


Interest added


134 56


$2768 08


Withdrawn 1932


81 85


January 1, 1933.


$2686 23


Asula P. Goddard Park Fund


January 1, 1932.


$986 53


Interest added 1932


42 34


$1028 87


Withdrawn 1932


11 27


January 1, 1933


$1017 60


Asula P. Goddard Cemetery Fund


January 1, 1932.


$2236 41


Interest added 1932


96 03


$2332 44


Withdrawn 1932.


27 90


January 1, 1933


$2304 54


145


Sadie M. Orcutt Library Fund


January 1, 1932.


$3335 42


Interest added 1932


143 23


January 1, 1933.


$3478 65


George A. Whipple Library Fund


January 1, 1932.


$339 09


Interest added


14 54


January 1, 1933


$353 65


Addie J. Stratton Library Fund


January 1, 1932.


$101 88


Interest added 1932


4 35


January 1, 1933.


$106 23


Surplus War Bonus Fund


January 1, 1932.


$4057 39


Interest added 1932


174 24


$4231 63


Trust Funds


Perpetual Care


January 1, 1932


$49438 74


Added 1932.


2208 33


$51647 07


Interest 1932.


2081 41


$53728 48


Withdrawn 1932


2081 41


$51647 07


Central Cemetery


January 1, 1932.


$34364 10


Added 1932


608 33


$34972 43


1


South Cemetery


$10299 64


January 1, 1932


1200 00


Added 1932


$11499 64


146


Tully Cemetery


January 1, 1932.


$2250 00


Added 1932


100 00


$2350 00


Jones Cemetery


January 1, 1933. $1800 00


West Orange Cemetery


January 1, 1933.


$525 00


North Orange Cemetery


January 1, 1933.


$300 00


Holtshire Cemetery


January 1, 1932.


$000 00


Added 1932 300 00


$300 00


APPROPRIATIONS AND EXPENDITURES


Appropriations


Additions


Deductions


Totals


Expenditures


Balance


General Government


Manager's Salary


$3375 00


$3375 00


$3375 00


Manager's Clerk .


1264 00


1264 00


1264 00


Office Expense. .


450 00


450 00


364 40


$85 60


Selectmen's Expense


300 00


300 00


283 59


16 41


Assessors' Salaries .


1620 00


1620 00


1620 00


Assessors' Expense ..


780 00


50 00


830 00


826 25


3 75


147


Election and Registration . .


700 00


700 00


692 50


7 50


Treasurer's and Collector's Expense


400 00


400 00


393 67


6 33


Town Clerk and Accountant


1440 00


1440 00


1440 00


Treasurer and Collector. .


900 00


900 00


900 00


Town Officers' Bonds .


505 00


505 00


505 00


Town Hall Janitor. .


1170 00


1170 00


1170 00


Town Hall Expense.


1200 00


1200 00


1092 22


107 78


Planning Board Expense. .


100 00


100 00


Protection of Persons and Property


Police Department .


$5410 00


5410 00


4859 66


550 34


Fire Department. .


8410 00


8410 00


8385 84


24 16


Fire Alarm Maintenance.


800 00


800 00


632 45


167 55


Sealer of Weights and Measures


200 00


200 00


193 94


6 06


Insurance of Town Employees. . .. $1087 61


$1087 61


$1087 61


Moth Suppression . . 400 00


400 00


388 10


$ 11 90


Tree Warden . . .


200 00


200 00


182 28


17 72


Forest Fire Warden.


800 00


800 00


693 61


106 39


Health and Sanitation


Board of Health.


$3500 00


$1321 38


$4821 38


$4821 38


Visiting Nurse ..


1200 00


1200 00


1200 00


Sewer Maintenance.


200 00


200 00


190 12


9 88


Inspector of Animals and Slaugh- tering .


600 00


9 85


609 85


609 85


Highways and Bridges


North Orange Truck.


$ 900 00


$900 00


$900 00


North Orange Highways.


3000 00


47 42


3047 42


3047 42


Residential Streets.


4000 00


4000 00


3626 23


373 77


Wheeler Avenue


3500 00


150 00


3650 00


3650 00


Athol-Tully Road.


1500 00


1500 00


1500 00


Highways. .


8600 00


87 62


8687 62


8590 29


97 33


Sidewalk Maintenance.


900 00


900 00


528 43


371 57


Drinking Fountain


50 00


23 65


26 35


26 35


Snow and Ice . .


2500 00


2500 00


2393 65


106 35


Street Lights


9482 16


9482 16


9480 66


1 50


Street Lights North Orange


225 00


225 00


213 87


11 13


Charities and Soldiers' Benefits


Welfare Department .


$50000 00


$2800 57


$52800 57


$50115 28


$2685 29


Old Age Assistance .


14500 00


1766 02


16266 02


15988 02


278 00


Soldiers' Relief


4000 00


488 95


4488 95


4210 51


278 44


-


148


State and Military Aid


$1150 00 $229 50


$1379 50


$1379 50


Soldiers' Burials. . 100 00


100 00


$ 100 00


Memorial Hall Maintenance


900 00


242 78


1142 78


1142 78


Goddard Charity Fund


152 50


152 50


152 50


Education and Libraries


School Department.


.$80000 00


$80000 00


$79994 88


$ 5 12


Library Department .


6000 00


$741 46


6741 46


6264 37


477 09


School Garden Exhibit ..


200 00


200 00


200 00


Recreation and Unclassified


Park Department.


$150 00


$150 00


$140 68


$ 9 32


Memorial Day.


250 00


$28 66


221 34


221 34


Town Clock. . .


50 00


50 00


27 16


22 84


Town Reports .


580 00


2 00


578 00


578 00


Music North Orange Reunion.


30 00


30 00


30 00


Retired Pensions . .


812 00


812 00


812 00


Reserve Fund


5000 00


3984 84


1015 16


Goddard Park Fund.


11 27


11 27


11 27


Enterprises and Cemeteries


Water Department. .


$7500 00


$172 96


$2000 00


$7672 96


$7692 96


Additional Water Supply


869 80


869 80


$869 80


East Main Street Water Extension


665 03


665 03


665 03


Cemetery Department.


500 00


2081 41


2581 41


2446 81


134 60


Goddard Cemetery . .


27 90


27 90


27 90


Interest and Maturing Debt


Interest.


: $12152 50


$65 42


$12217 92


$12217 92


Maturing Debt. .


12800 00


12800 00


12800 00


149


-


TOWN OF ORANGE


BALANCE SHEET JANUARY 1, 1933


REVENUE


Cash


In Banks and Office (Veri-


fied) . . $18106 60


Accounts Receivable


Taxes


Levy of 1932


$57058 97


Levy of 1931


19009 46


Levy of 1930 1428 86


$77497 29


Overlay 1931 .


$366 32.


Old Age Assistance Tax


1932. $284 00


Old Age Assistance Tax


1931 . 86 00


$370 00


Old Age Assistance Revenue.


$35 00


Tax Titles . $261 96


LIABILITIES


Overlay 1932.


$ 3242 34


Overlay 1930.


4273 15


Tax Title Revenue. 261 96


Temporary Loans . . .


75000 00


Trust Funds, Temporary .


100 00


Reserve for Cemeteries .


125 50


Balances Carried Over


Additional Water Supply. .. $869 80


East Main Street Water


Extension . 665 03


$1534 83


Revenue Available When Collected


Departmental . $22890 39


Sewer Rentals. 522 00


Motor Vehicle Excise Tax. . . 2017 19


Water. . 6557 74


$31987 32


150


Motor Vehicle Excise Tax .


Sewer Rentals


$2017 19


$522 00


Surplus Revenue Excess and Deficiency ..... $12104 39


Departmental


Town Hall Rentals . $ 488 31


Selectmen's Licenses .


76 00


Fire Department.


20 56


Board of Health.


334 43


Sewers.


10 52


Sidewalks


361 42


Welfare .


14589 67


State and Military Aid


1159 50


School Tuition .


4287 50


Cemetery


1327 48


West Orange School House . 225 00


$22890 39


Public Service


Water.


$6557 74


State Tax.


$5 00


$128629 49


$128629 49


Respectfully submitted,


ROBERT H. ANDERSON, Town Accountant.


151


152


Appropriations Recommended by the Finance Commission


Orange, Mass., January 20, 1933.


To the Honorable Board of Selectmen,


Orange, Massachusetts.


Gentlemen:


The Finance Commission submit the following recommendations for the 1933 budget.


GENERAL GOVERNMENT


Town Manager's Salary, 112 mo. $ 389 42


Office Stenographer and Assistant . 1264 00


Office Equipment and Supplies, 112 mo 25 00


Town Officers' Bonds. 505 00


Selectmen's Salaries, 1012 mo.


472 50


Selectmen's Expense . 200 00


Town Treasurer and Collector, Salary, 112 mo. 112 50


Town Clerk and Accountant, Salary, 112 mo .. . 180 00 and fees


Town Treasurer's Salary, 1012 mo


472 50


Town Treasurer's Expense.


200 00


Tax Collector's Salary, 1012 mo.


511 88


Tax Collector's Expense .


350 00


Town Clerk's Salary, 1012 mo.


472 50 and fees


Town Clerk's Expense


175 00


Town Accountant's Salary, 1012 mo


787 50


Town Accountant's Expense 150 00


Assessors' Salaries


1200 00


Assessors' Expense


650 00


Election and Registration, Salaries and Expens- es


300 00


Town Hall, Janitor's Salary


900 00


Town Hall Expense


1000 00


Town Hall Insurance


330 00


Planning Board Expense


25 00


Total


$10672 80


153


PROTECTION OF PERSONS AND PROPERTY


Police Department. .


$4800 00


Fire Department. 7180 00


Fire Alarm Maintenance


500 00


Moth Suppression


400 00


Forest Fire Warden .


600 00


Sealer of Weights and Measures


175 00


Tree Warden . .


200 00


Insurance, Town Employees


984 07


Total


$14839 07


HEALTH AND SANITATION


Board of Health, Salaries, 1012 mo


$ 236 25


Board of Health, Expense


3500 00


Visiting Nurse Association


1100 00


Inspector of Animals and Slaughtering


550 00


Total


$5386 25


HIGHWAYS AND BRIDGES


Highway Department


$9500 00


Snow and Ice


2500 00


Sidewalk Maintenance.


500 00


Street Lights


7000 00


Street Lights, North Orange


200 00


Public Drinking Fountain


50 00


Residential Streets


3500 00


North Orange Highways


2500 00


Total


$25750 00


EDUCATION AND LIBRARIES


Library Department.


$ 5400 00


School Department


72000 00


School Garden Exhibit


200 00


Total


$77600 00


CHARITIES AND SOLDIERS' BENEFITS


Board of Public Welfare, Salaries, 1012 mo. . $ 472 50


Welfare Department


45000 00


Old Age Assistance.


17500 00


State and Military Aid 1500 00


Mothers' Aid .


500 00


Soldiers' Burials .


100 00


Soldiers' Relief .


4000 00


Memorial Hall Maintenance.


1000 00


Total


$70072 50


1


154


RECREATION AND UNCLASSIFIED


Care of Parks


$100 00


Playgrounds


100 00


Memorial Day


200 00


Town Clock .


50 00


Music, North Orange Reunion


30 00


Town Reports .


500 00


Retirement Pensions


812 00


Band Concerts


350 00


Reserve Fund


5000 00


Total


$7142 00


ENTERPRISES AND CEMETERIES


Water Commissioner's Salaries, 1012 mo ..


$ 275 63


Water Department.


5700 00


Cemetery Commissioner's Salaries, 1012 mo .. .


118 13


Cemetery Department.


500 00


Total.


$6593 76


INTEREST


Temporary Loans


$6500 00


High School Bonds


4432 00


East Main Street Water Bonds


650 00


Road Roller Notes


55 25


Total.


$11637 25


MATURING DEBT


High School Bonds.


$9000 00


East Main Street Water Bonds


1500 00


Road Roller Notes .


1300 00


Total


$11800 00


Total


$241493 63


Respectfully,


HERBERT M. JOHNSON, MICHAEL H. ROCHE, CLAUDE E. MARDEN, WILLIAM L. KIMBALL, JESSE C. WORRICK,


Finance Commission.


TOWN APPROPRIATIONS, 1932 - 1933


Below is given in tabular form, for comparison and information of voters, the appropriations for 1932, what was spent and those proposed for 1933, as recommended by the Board of Selectmen.


Appropriations 1932 $ 3375 00


Expended 1932 $ 3375 00


$


389 42 (112 mo.)


Clerk, Town Manager and Treasurer (Office Stenographer and Assistant)


1264 00


1264 00


1264 00


Office Equipment Supplies.


450 00


364 40


25 00 (112 mo.)


Town Officers' Bonds .


505 00


505 00


505 00


Selectmen, Salaries . .


472 50 (1012 mo.)


Selectmen's Expense .


300 00


283 69


200 00


Treasurer's Salary . .


300 00


283 69


472 50 (1012 mo.)


Collector's Salary (Town Collector)


511 88 (1012 mo.)


Treasurer's and Collector's Salary


900 00


900 00


112 50 (112 mo.)


Collector's Expense . .


350 00


Treasurer's and Collector's Expense.


400 00


393 67


Assessors' Salaries .


1620 00


1620 00


1200 00


Assessors' Expense ..


830 00


826 25


650 00


Treasurer's Expense


200 00


Town Clerk's Salary.


472 50 (1012 mo.)


Accountant's Salary


.


787 50 (10.12 mo.)


Town Clerk's Expense .


175 00


155


Recommended 1933


Town Manager's Salary .


Town Clerk and Accountant's Salary $ 1440 00 $ 1440 00 $ 180 00 and fees (11/2 mo.)


Accountant's Expense. . .


150 00


Election and Registration, Salaries and Expense.


700 00


692 50


300 00


Town Hall, Janitor's Salary .


1170 00


1170 00


900 00


Town Hall Expense. .


1200 00


1092 72


1000 00


Town Hall Insurance.


330 00


Planning Board Expense


100 00


100 00


25 00


Police Department . .


5410 00


4859 66


4800 00


Fire Department. .


8410 00


8385 84


7180 00


Fire Alarm Maintenance .


800 00


632 44


500 00


Moth Suppression .


400 00


388 10


400 00


Forest Fire Warden


800 00


693 61


600 00


Sealer of Weights and Measures


200 00


193 94


175 00


Tree Warden .


200 00


182 28


200 00


Insurance, Town Employees


1087 61


1087 61


984 07


Board of Health, Expense ..


4821 38


4821 38


3500 00


Board of Health, Salaries.


236 25 (1012 mo.)


Visiting Nurse Association .


1200 00


1200 00


1100 00


Inspector of Animals and Slaughtering.


550 00


Sewer Maintenance ..


200 00


190 12


(see highways)


Welfare Department .


52154 00


50115 28


45000 00


Old Age Assistance .


15988 02


15988 02


17500 00


State and Military Aid.


1379 50


1379 50


1500 00


Mothers' Aid . .


500 00


Soldiers' Burials.


100 00


100 00


Soldiers' Relief .


4210 51


4210 51


4000 00


Memorial Hall Maintenance.


1142 78


1142 78


1000 00


Memorial Hall Repairs. .


609 85


609 85


156


-


$ 472 50 (1012 mo.)


Highway Department.


$ 8600 00


$ 8590 29


9500 00


Snow and Ice .


2500 00


2393 65


2500 00


Sidewalk Maintenance


900 00


528 43


500 00


Street Lights . . .


9482 16


9480 66


7000 00


Street Lights, North Orange


225 00


213 87


200 00


Public Drinking Fountain .


50 00


50 00


50 00


Residential Streets .. .


4000 00


3626 23


3500 00


North Orange Highway


3047 42


3047 42


2500 00


Wheeler Avenue. . .


3650 00


3650 00


(warrant)


Library Department.


6000 00


(Dog Fund-For use of LibraryDepartment)


659 61


6264 37


5400 00


School Department .


80000 00


79994 88


72000 00


School Garden Exhibit.


200 00


200 00


200 00


Care of Parks ..


150 00


140 68


100 00


Playgrounds . .


100 00


Memorial Day


250 00


250 00


200 00


Town Clock. .


50 00


27 16


50 00


Band Concerts .


350 00


Music, North Orange Reunion


30 00


30 00


30 00


Town Reports. . .


580 00


580 00


500 00


Retirement Pensions


812 00


812 00


812 00


Reserve Fund.


5000 00


3984 42


5000 00


Water Department (Special Appropriation).


869 80


Water Department ..


5672 96


5672 96


5700 00


Water Commissioner's Salaries


275 63 (101/2 mo.)


Cemetery Department


500 00


2446 81


500 00


(Interest, Perpetual Care) .


2081 41


Cemetery Commissioners' Salaries


118 13 (1012 mo.)


*


157


Welfare Board Salaries


East Main Street Water Extension


$ 665 03


Interest (Temporary Loans) . . .


6565 00


$ 6565 00


$6500 00


High School Bonds . .


4832 00


4832 00


4432 00


Interest East Main Street Water Loans


710 00


710 00


650 00


Gas Roller Notes


110 50


110 50


55 25


High School Bonds .


10000 00


10000 00


9000 00


Road Roller Notes. .


1300 00


1300 00


1300 00


East Main Street Water Bonds .


1500 00


1500 00


1500 00


Raised and Appropriated at February 1, 1932 and August 24, 1932 meetings.


$258843 27


Add State, County and Highway Taxes and Agency Account. .


33784 05


Overlay . .


10716 22


$303343 54


Less Estimated Receipts


$93950 50


Sewer . . .


1332 00


$95282 50


95282 50


Raised by Taxation. . Voted at Town Meeting October 25, 1932. Recommended by Finance Commissioners. . Add State, County and Highway Tax and Agency Accounts (Estimated) . . Overlay (Estimated) . .


$207393 04


$ 10000 00 241493 63


24700 00 3000 00


$279193 63


158


Articles Recommended Article 14. .


$2500 00


1000 00


Article 15. Article 16.


1500 00


$5000 00


$5000 00


$284193 63


Less Estimated Receipts (Estimated)


89000 00


$195193 63


To Be Raised by Taxation .


*$900.00 for Vocational Education is included in the School Appropriation.


159


160


Commonwealth of Massachusetts


FRANKLIN, SS.


To either of the Constables of the Town of ORANGE, in the County of GREETING. Franklin:


IN THE NAME OF THE COMMONWEALTH OF MASSACHUSETTS, you are hereby directed to notify and warn the inhabitants of said Town, qualified to vote in elections and in Town affairs, to meet at the Town Hall in said ORANGE, on Monday, the sixth day of February next, at 7:30 o'clock in the afternoon, then and there to act on the articles hereinafter named; and also to meet at said Town Hall, at an adjournment of said meeting to be held on Monday the thirteenth day of February 1933, at six o'clock in the forenoon for the following pur- poses, to wit:


To choose by ballot the following town officers: A Moderator for one year; one Selectman for three years, one Selectman for two years, one Selectman for one year; one member of the Board of Public Welfare for three years, one member for two years and one member for one year, providing the town does not adopt article four of this warrant; one Assessor for three years, one for two years and one for one year; Town Clerk, Town Treasurer, Tree Warden and Tax Collector for one year; three members of the School Committee, two members for three years, one member for two years to fill the unexpired term; two Trustees of the public library for three years, two for two years and two for one year; one member of the Board of Health for three years, one member for two years and one member for one year providing the town does not adopt article five of this warrant; one member of the Cemetery commissioners for three years; one member for two years and one member for one year; one Water commissioner for three years, one member for two years and one member for one year; two Trustees of Memorial Hall for three years, two for two years and one for one year; three Constables for one year; all of the above named officers are in accord- ance with the vote of the Town to be chosen on one ballot.




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