USA > Massachusetts > Middlesex County > Wakefield > Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1909-1912 > Part 35
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STATEMENT
Balance on hand Jan. 1, 1911 . $924 60
Interest added to Aug. 1, 1911 34 97 . .
959 57
Paid Lecture Committee deficit
65 35
Balance available
. $894 22
This balance is on deposit with the Wakefield Savings Bank.
C. SWEETSER LECTURE FUND, $10,000
The fund is now invested in a one year note of the town of Wakefield (temporary loan) maturing Jan. 1, 1913.
The sum of $400, as income from the fund for one year, to Jan. 1, 1912, has been paid to the Sweetser Lecture Committee.
NANCY WHITE PARK FUND, $1,000
The principal has been invested in a certificate of deposit bear- ing interest at the rate of four per centum per annum; $44.89 has been placed at the credit of Park Department, as interest on fund.
71
NANCY WHITE HURD SCHOOL FUND, $500 STATEMENT OF INCOME AND PAYMENTS
Balance income available as per last report .
. $ 15 47
Interest from Wakefield Savings Bank . 19 49
$ 34 96
Expended :
00 00
Balance available . $ 34 96
MERRILL W. GOVE LIBRARY FUND, $500
This fund is on deposit with the Blackstone Savings Bank of Boston. Interest received, $20.20, has been credited to Library account.
CLARISSA E. SWAIN BURIAL LOT FUND, $500
This fund was established for the care of the Swain and Moses Lots, and surroundings thereof in the Old Cemetery, and is deposited in the Wakefield Savings Bank.
STATEMENT OF INCOME AND PAYMENTS
Interest from Wakefield Savings Bank to Aug. 1, 1911 $ 10 00
Paid labor roll, care of lots 10 00
Some slight variation in amounts received as income on above funds will be noticed from last year, some more and others less due to rearrangement of dates of investment, so that all funds will eventually receive income for town year.
In former years the funds were credited with one year's income when investments came due. This year the income is credited to January 1, 1912 on most of its funds.
LOAN ACCOUNT
Amount of loans Jan. 1, 1911 $830,976 22
Notes issued for temporary loans 175,000 00
Notes issued account November appropriations 16,000 00 .
Notes issued Byron street sewer 5,500 00
Notes issued Insurance Premiums
2,500 00
$1,029,976 22
72
Notes and bonds paid from Jan. 1, 1911 to Jan. 1,1912
290,976 22
Balance outstanding
$739,000 00
TEMPORARY LOANS IN ANTICIPATION OF TAXES
Anticipation taxes due May 8, 1912 $25,000 00
66 " May 8, 1912
25,000 00
66 " May 8, 1912
10.000 00
66
May 8, 1912
10,000 00
66
6 Jan. 21, 1912
20,000 00
66
" July 16, 1912 15,000 00
" Jan. 1, 1913 10,000 00
$115,000 00
TIME LOANS DUE 1912
November, 1911, appropriations ·
$16,000 00
Municipal Light Plant, 2nd, due April 1, 1912 2,500 00
Greenwood Gas Extension, due July 1, 1912 1,000 00 Municipal Light Plant, 1st, due Oct. 1, 1912
6,000 00
Warren school house, due Oct. 1, 1912 2,000 00
Water, due Oct. 1, 1912 . 4,000 00
Greenwood school house, due Oct. 1, 1912
1,000 00
Junction school house, due Oct. 1, 1912
1,500 00
Insurance Premium due Oct. 1, 1912
500 00
West Chestnut street sewer, due Oct. 1, 1912
2,500 00
Byron street sewer, due Oct. 1, 1912 1,500 00
Insurance premiums, 2nd, due Oct. 1, 1912 500 00
North school, due Nov. 1, 1912
500 00
Sewerage, 1st, due Nov. 1, 1912
5,000 00
1,000 00 Greenwood school house, 2nd, due Nov. 1, 1912
Junction school house, 2nd, due Nov. 1, 1912 500 00
North school, 2nd, due Dec. 1, 1912 500 00
Fire station, due Dec. 1, 1912 1,000 00
High school repairs, due Dec. 1, 1912 .
1,000 00
Total for 1912
.
$48,500 00
73
Due 1912, temporary loans
$115,000 00 .
1912 time loans
48,500 00
1913
30,500 00
1914
.
.
30,000 00
1915
31,500 00
1916
29,500 00
1917
28,000 00
1918
27,000 00
1919
26,000 00
1920
23,500 00
1921
24,500 00
1922
23,000 00
1923
24,000 00
1924
28,000 00
1925
19,000 00
1926
19,000 00
1927
19,000 00
1928
19,000 00
1929
19,000 00
1930
19,000 00
1931
23,000 00
1932
23,000 00
1933
18,000 00
1934
11,000 00
1935
11,000 00
1936
10,000 00
1937
10,000 00
1938
10,000 00
1939
10,000 00
1940
.
.
.
10,000 00
Total
$739,000 00
.
.
.
.
.
74
TOWN DEBT
MUNICIPAL LIGHT PLANT LOAN
18 bonds, $1,000 each, due $6,000 each year from 1912 to 1914 $18,000 00
:90 bonds, $1,000 each. due $9,000 each year from 1915 to 1924 90,000 00
$108,000 00
SEWERAGE LOAN-"First Issue"
45 bonds, $1,000 each, due $5,000 each year from 1912 to 1920 $45,000 00
60 bonds, $1,000 each, due $6,000 each year from 1921 to 1930 60,000 00
100 bonds, $1,000 each, due $10,000 each year, 1931 to 1940 100,000 00 .
Total
$205,000 00.
"Second Issue" .
13 bonds, $1,000 each, due $1,000 each year from 1923 to 1935 $13,000 00
WARREN SCHOOL HOUSE
4 bonds, $1,000 each, due $2,000 each year from 1912 to 1913 $4,000 00
GREENWOOD SCHOOL HOUSE
1 bond, $1,000, due 1912 $1,000 00
6 bonds, $1,000 each, due $1,000 each year from 1912 to 1917 6,000 00
$7,000 00
JUNCTION SCHOOL HOUSE
30 bonds, $500 each, due $1,500 each year from 1912 to 1921 $15,000 00
1 bond, $500, due 1912 500 00
$15,500 00
75
NORTH SCHOOL HOUSE
14 bonds, $500 each, due $1,000 cach year from 1912 to 1918 $7,000 00
FIRE STATION LOAN
4 bonds, $1,000 each, due $1,000 each year from 1912 to 1915 $4,000 00
WATER LOAN
8 bonds, $1,000 each, due $4,000 each year from 1912 to 1913 $8,000 00 80 bonds, $1,000 each, due $8,000 each year from 1914 to 1923 80,000 00
108 bonds, $1,000 each, due $12,000 each year from 1924 to 1932 108,000 00
7 bonds, $1,000 each, due 1933 7,000 00
$203,000 00
HIGH SCHOOL REPAIRS
4 bonds, $1,000 each, due $1,000 each year from 1912 to 1915 $4,000 00
MUNICIPAL LIGHT PLANT-"Second Issue" 16 bonds, $1,000 each, due $2,000 each year from 1912 to 1919 $16,000 00
8 bonds, $500 each, due $500 each year from 1912 to 1919 4,000 00
$20,000 .00
GREENWOOD GAS EXTENSION
3 bonds, $1,000 each, due $1,000 each year from 1912 to 1914 $3,000 00
WEST CHESTNUT STREET SEWER'
2 notes, $2,500 each, due $2,500 each year from 1912 to 1913 $5,000 00
76
INSURANCE PREMIUMS
3 notes, $500 each, due $500 each year from 1912 to 1914 $1,500 00
INSURANCE PREMIUM-"2nd issue"
5 notes, $500 each, due $500 each year from 1912 to 1916 $2,500 00
BYRON STREET SEWER
1 note, $1,500, due 1912 $1,500 00
4 notes, $1,000 each, due $1,000 each year from 1913 to 1916 4,000 00
$5,500 00
RECAPITULATION
Municipal Light Plant, first issue . $108,000 00
Sewerage, first issue .
205,000 00
Sewerage, second issue
13,000 00
Warren school house .
4,000 00
Greenwood school house
7,000 00.
Junction school house
15,500 00
North school house
7,000 00
Fire station
4,000 00.
High school repairs
4,000 00
Water
203,000 00
Greenwood gas extension
3,000 00
Municipal light plant, second issue
20,000 00
Insurance, first issue
1,500 00
West Chestnut street sewer .
5,000 00
Insurance, second issue
2,500 00:
Byron street sewer
.
5,500 00.
Total town debt Dec. 31, 1911
$608,000 00
Town debt, Jan. 1, 1911
670,500 00
Retired during 1911 as follows :
Light plant, 1st issue . 6,000 00
Warren school house
- 2,000 00
.
.
77
Greenwood school house .
. 2,000 00
North school house
1,000 00
Fire station
1,000 00
High school repairs
1,000 00
Junction school
. 2,000 00
'Sewerage, 1st issue
· 5,000 00
Sewerage, 2nd issue
. 39,000 00
Water
. 4,000 00
Greenwood gas extension
1,000 00 ·
Insurance premiums .
500 00
Light plant extension
1,000 00
Light plant, 2nd issue
.
. 2,500 00
West Chestnut street sewer
. 2,500 00
70,500 00
$600,000 00
New issues 1911 :
Byron street sewer
. $5,500 00
Insurance premiums, 2nd
. 2,500 00
8,000 00
$608,000 00 Town debt has decreased for year ending Dec. 31, 1911, $62,500.00.
INTEREST ACCOUNT
Appropriation authorized
$18,897 50
Voted from water receipts .
8,280 00
Voted from light plant receipts
5,466 25
$32,643 75
Expended :
Temporary loans $5,289 47
Municipal light plant, 1st issue
4,560 00
Municipal light plant, 2nd issue
743 75
Sewerage, 1st issue
7,350 00
Sewerage, 2nd issue;
1,478 75
Warren school . .
·
.
.
.
240 00
.
·
·
.
.
.
.
78
Greenwood school, 1st issue
80 00
Greenwood school, 2nd issue
245 00
Junction school, 1st issue
5-77 50
Junction school, 2nd issue .
35 00
North school, 1st issue
240 00
North school, 2nd issue
80 00
Fire station
175 00
High school repairs
175 00
Water
8,280 00
Light plant extension
40 00
Insurance premium
80 00
Greenwood gas extension
122 50
West Chestnut street sewer
300 00
Overdraft, 1910
1,786 39.
$31,878 36
Balance unexpended .
765 39
$32,643 75.
LICENSE FEE:
Jacob Greene, preciens
816 00
Arthur B. Robinson.
- -
John Freeman,
Ignozo Palumbo. ..
.
John H. Driscoll.
Patrick Scammell.
-
w. P. Whitehead.
F. Goldberg.
Qui- Gon
Apostoias Zesis.
I. P. Nader,
-
.
.
G. Santoro,
George Panies,
Henry Zipoular,
C
F. De Vito,
1
J. H. Whelping,
-
e
George Cummaylis.
George &. Doyle,
.
Angie De Cecca.
Christus Zisopoloas.
-
.
E L. Phillips,
Frank Holuba. ..
.
-
-
-
Cassidy wod Langtry. -.
-
.
.
4
Edward Barbos.
Peter Parsevos.
I
S. H. Peny.
-
-
-
C. C. Bournewal.
-
A. M. Woodman.
-
-
George Capantoros,
Dans I. Sveisez. --
-
-
F. S. HarTU
I. Horowitz Co., inc
M. Levine .
.
..
-
John Taylor. ..
-
M. Arenstein Co.
-
-
Barman & Godfrey, Bowling
.
-
-
-
-
-
-
-
-
-
-
1
2
.
-
-
80
Signor Santelle, circus
5 00
Jos. J. Nolan, pool . 5 00
F. Goldberg second hand furniture
15 00
Edward B. Kelley, auctioneer
2 00
Samuel E. Metever, pedlers
1 00
Charles Voltz,
.
.
1 00
H. B. Wilson, 66
1 00
Abraham Newprice,
6.
·
1 00
Robinson & Piper,
1 00
Daniel Quinn,
66
.
1 00
Harry Lipwick,
66
1 00
Petropolous Bros.,
1 00
A. L. Whitten, 66
1 00
B. J. Cotter,
66
1 00
.S. S. Cantor,
1 00
E. P. Dinan,
66
1 00
Smith & Russell,
66
1 00
W. R. Magee, 66
1 00
H. T. Russell,
66
1 00
R. G. Cook,
1 00
Benj. Holmes,
. 6
1 00
Phillip Glasser,
66
1 00
Total
. $353 00
.
.
.
.
81
FLOATING DEBT
Notes outstanding in anticipation taxes
$115,000 00
Outstanding town orders 2,939 13 .
Outstanding treasurer's checks
19 45
Fall appropriation noto outstanding
16,000 00
Accrued interest to Jan. 1, 1912
5,278 72
Sewer department betterments
559 65
Balances carried over as per auditors :
Renwick Road Sewer .
$1,865 00
Motor hose wagon
.
5,800 00
Evening school .
.
426 50
Town hall
290 00
Salaries
250 00
Common and park
57 61
Railroad street land damage
165 00
Water street land damage
235 00
Beebe town library
4 63
List of polls and estates
440 66
Junction park donation
400 00
Land for park purposes
401 00
Moth department
3,169 68
Miscellaneous .
200 00
13,705 08
$153,502 03
CREDIT
Cash in treasury
$23,188 33
Uncollected taxes, 1910
29,694 91
Uncollected taxes, 1911
68,640 60
Due from State, state aid one year to Jan. 1, 1912 3,710 00
Due from State, military aid one year to Jan. 1, 1912 192 00
Appropriations since tax levy to enter next levy . 18,093 30
Due from accrued interest . 5,278 72
Due from county dog tax, 1911 . 921 30
Uncollected taxes, 1911, Dec. levy
·
1,304 33
Due from State Moth account "estimated"
1,600 00
Overdraft as per Auditors :
Soldiers Relief
109 00
Light Plant depreciation account
1,147 07
1,256 07
$153,879 56
Excess credits
377 53
.
.
.
$153,502 03
82
NOTES AND BONDS ISSUED
Date
Amount
Account
Rate
Payable
Mar. 20, 1911
$25,000 00
Temporary Loan
3.09
Nov. 20, 1911
Mar. 20, 1911
25.000 00
66
3.09
Nov. 20, 1911
Mar. 20, 1911
5,000 00
3.09
Nov. 20, 1911
Mar. 20, 1911
5,000 00
3.09
Nov. 20, 1911
May
8, 1911
25,000 00
66
3.40
May
8, 1912
May
8, 1911
25,000 00
66
3.40
May
8, 1912
May
8, 1911
10,000 00
66
3.40
May
8, 1912
May
8, 1911
10,000 00
66
3.40
May
8, 1912
Aug. 21, 1911
20,000 00
3.95
Jan. 21, 1912
Oct.
1, 1911
5,500 00
Byron St. Sewer Ins. Premium
4
Serially
Oct.
1, 1911
2.500 00
4
Serially
Nov. 16, 1911
15,000 00
Temporary Loan
3.48
July 16, 1912
Dec. 21, 1911
16,000 00
Fall Appropria'n
3.22
June 21, 1912
Jan. 1, 1912
10,000 00
Temporary*
4
Jan. 1,1913
$199,000 00 1
*Trust Fund investments.
· 83
NOTES AND BONDS PAID
Date of Note or Bond
Amount
Account
Date Paid
May 27, 1910
$10,000 00
Temporary.
Jan. 27,1911
May 27, 1910
10,000 00
Jan. 27,1911
May 27, 1910
10,000 00
66
Jan. 27, 1911
Apr.
1, 1910
500 00
66
July 18, 1911
Nov. 18, 1910
30,000 00
66
Apr.
18, 1911
Nov. 18, 1910
40,000 00
May
18, 1911
Dec. 30, 1910
10,000 00
66
May
31, 1911
Dec
30, 1910
10,000 00
66
May
31,1911
Dec. 30, 1910
10,000 00
66
May
31,1911
Dec. 23, 1910
9,976 22
66
May
23, 1911
June
1, 1910
2 000 00
July 18, 1911
June 1,1910
2,500 00
66
July
18, 1911
June 1, 1910
500 00
66
July 18, 1911
July
25, 1910
2,000 00
Oct. 25, 1911
Oct. 1, 1910
10,000 00
Dec. 31, 1911
Nov. 17, 1910
1,000 00
66
Dec. 31, 1911
Dec. 1, 1910
· 1,000 00
Dec. 31, 1911
Dec.
1, 1910
1,000 00
Dec. 31, 1911
Mar. 20, 1911
25,000 00
Nov. 20, 1911
Mar. 20, 1911
25,000 00
Nov. 20, 1911
Mar. 20, 1911
5,000 00
Nov. 20, 1911
Mar. 20, 1911
5,000 00
Nov. 20, 1911
Apr.
1, 1909
1,000 00
Apr.
1, 1911
Apr.
1, 1909
1,000 00
66
66
Apr.
1,1911
Apr. 1, 1909
500 00
Apr 1, 1911
July
1, 1904
1,000 00
Greenwood Gas Ext.
July 1,1911
Sept.
1, 1906
1,000 00
Light Plant Extension
Sept. 1, 1911
Oct.
1, 1894
6,000 00
Light Plant 1st
Oct.
1, 1911
Apr.
1, 1896
2,000 00
Warren School
Oct.
1, 1911
Apr.
1, 1896
1,000 00
Greenwood School
Oct. 1, 1911
Oct.
1, 1901
1,500 00
Junction School
Oct.
1, 1911
Oct.
1, 1902
39,000 00
Sewerage 2nd
July 1, 1911
Oct.
1, 1903
4,000 00
Water
Oct. 1, 1911
Oct.
1,1910
2,50 ) 0J
W. Chestnut St. Sewer
Oct. 1, 1911
Oct.
1, 1910
500 00
Insurance Premium
Oct.
1, 1911
Nov.
1, 1898
500 00
North School 1st
Nov. 1,1911
Dec.
1, 1898
500 00
North School 2nd
Dec. 1, 1911
June
1, 1900
1,000 00
Fire Station
Dec.
1, 1911
June
1, 1900
1,000 00
High School Repairs
Dec. 1, 1911
Nov. 1, 1900
5,000 00
Sewerage 1st
Nov. 1,1911
Nov.
1, 1902
1,' 00 00
Greenwood School
Nov. 1, 1911
Nov.
1, 1902
50, 00
Junction School
Nov. 1, 1911
$290,976 22
66
Light Plant, 2nd
66
66
84
DR.
ALBERT W. FLINT,, Treasurer,
To Balance from last report
. $46,615 32
Hired on temporary loans
·
·
175,000 00
Sale of Byron St. sewer notes
5,500 00
Sale of Insurance Premium notes.
2,500 00
Sale of Fall Appropriation note
16,000 00
Chas. E. Walton, collector, certifying taxes
5 00
66
66
66 street railway excise tax, 1911
2,130 79
66
66
66 sewer apportionments
610.86
66
66 66
66 taxes 1909
31,495 67
1910 . .
43,988 33
66
66
66
1911 . ,
126,662 67
66
66
66
66
66 Parker Road sewer
959 29
6.
Chestnut St. sewer
921 53
Sewer Department, receipts
County Dog Tax, 1910 .
868. 23
Municipal Light Plant, receipts
69,118 20
Water Department, 66
38,009 40
Poor Department, 66
6,818 77
Highway Department,
1,636 89
Fire Department, 60
1,293 94
Cemetery Department, Old Cemetery receipts
16 00
Moth Department, receipts
609 81
School Department, credit schools
1,330 76
Selectmen, Town Hall 66
947 00
Beebe Town Library 66 credit Library 163 17
W. B. Tyler, clerk of courts, fines
1,080 50
License fees .
353 00
Income Library trust funds .
286 94
J. Nichols temperance fund
36 67
66 Sweetser lecture fund
400 00
C. Sweetser burial lot fund, from Savings Bank .
285 00
Flint Old Burial Ground fund, “ 66
38 59
Jane K. Vinton burial lot fund, “
66
1 50
C. S. Swain 66 66 6 66 66
10 00
Income Nancy White park fund
44 89
Interest on deposits and premium on notes . 281 65 Release tax deeds . 36 00
Insurance on Town Hall and Armory .
4,079 00
Sweetser Lecture deficit, from Savings Bank
65 35
Amount carried forward
. $581,693 44
+
66 66
66
Foundry St. sewer
78 52
1,123 84
66 Forest Glade receipts
290 86
85
DR.
ALBERT W. FLINT, Treasurer,
Amount brought forward
. $581,693 44
F. S. Hartshorne, refund assessors salary .
33 33
American Surety Co., award for suit
45,221 63
Costs refunded, Tax suit
11 78
C. E. Montague, sale of junk, Warren school
2 50
Barnard & Godfrey, sale of armory
4,501 00
County, killing and burying thirteen dogs
13 00
Geo. W. Abbott, tent privilege on park, July 4
5 00
Receipts Milk Inspector
22 00
Sealer Weights and Measures
73 56
M. E. S. Clemons, salary overpaid refunded
02
Sale of insurance blanks
1 36
Clarissa E. Swain, burial lot fund
500 00
Soldiers' Relief, refunded
10 00
G. W. Abbott, for donor, Junction Park
400 00
F. E. Bunker, July 4th committee
42 26
Commonwealth of Mass., Moth Dept.
1,190 98
Armory Rent
1,010 00
66
66
66
Corporation Tax
5,462 42
66
66 66 Sick Paupers
3 23
66
66
Temporary Aid .
322 30
66
66
66 Independent Industrial Schools
38 14
66
Tuition, State Children
887 00
6%
66 National Bank Tax
1,472 36
66
66 Military Aid
192 00
66
66
66 State Aid
3,837 00
66
66 Burial Soldiers and Sailors
148 00
66
66
66 Street Railway Tax
3,999 48
C. Wakefield fund
F. Poole fund
F. P. Hurd fund
2,500 00
Flint Old Burial Ground fund
2,000 00
C. G. Beebe fund
2,000 00
Nancy White fund
1,000 00
Flint Memorial fund
1,000 00
Sweetser Lecture fund .
10,000 00
J. Nichols fund
1,000 00
Income Flint Old Burial fund to Treasury
36 22
C. E. Walton, Coll., Byron St. sewer
154 70
C. E Walton, Coll., tax deeds
1,283 37
Selectmen, sale old desk
5 00
Insurance, Light Plant fire
2,240 00
$675,313 08
66
500 00
500 00
86
in account with the TOWN OF WAKEFIELD,
CR·
By Cash paid Selectmen's orders . $259,258 14
Principals on loans
290,976 22
Interest on loans
30,091 97
( has. E. Walton, Collector, tax deeds .
1,283 37
J Nichols Temperance fund payments
20 00
C. Sweetser burial lot fund payments . Flint Old Burial Ground fund payments
90 81
Jane K. Vinton burial lot fund payments
1 50
C. S. Swain burial lot fund payments .
10 00
Sweetser Lecture Committee, income from fund
400 00
Payments account Beebe Town Library
2,364 18
Payments account Reading Room
275 00
County Treasurer, County tax
8,778 98
State Aid payments
3,710 00
C. W. Eaton, account tax deeds .
84 90
Eden K. Bowser, account tax deeds
1 50
Bureau of State Statistics, certifying notes
63 .00
Extra pay for firemen, "Cutler fire"
100 00
Sweetser Lecture Course deficit, from fund
65 35
C. S. Swain fund, invested .
500 00
Flint Old Burial Ground fund, invested
2,000 00
F. P. Hurd fund, invested
2,500 00
Franklin Poole fund, invested
500 00
C. Wakefield fund, invested .
500 00
C. G. Beebe fund, invested .
2,000 00
Nancy White Park fund, invested
1,000 00
J. Nichols Temperance fund, invested .
1,000 00
Flint Memorial fund, invested
1,000 00
Sweetser Lecture fund, invested .
10,000 00
Commonwealth of Mass., for armory land .
1,000 00
Corporation tax .
2 11
State tax
13,750 00
66
66
66 Nat. Bank tax
496 80
66
Met. Park loan sinking fund
629 98
66
66
66
66
66 interest
1,764 50
66
66
66
maintenance
2,274 76
66
66
66
66 serial bonds
9 58
66
66
66
66
66 loan No.2 sink'g fund
95 89
66
66
66
66
66
66 No. 2 interest
281 41
6.
66
66
6 No. 2 maintenance
296 85
66
66
Nantasket beach
110 97
Amount carried forward
. $639,572 77
66
285 00
87
in account with the TOWN OF WAKEFIELD,
CR.
Amount brought forward
$639,572 77
66
66
Wellington bridge maintenance. No. Met. sewer loan sinking fund
2,210 79
66
66
4,021 36
6:
66
66
"
6 maintenance
3,273 00
66
66
Charles River basin sinking fund
413 05
66
66
66
interest
1,487 66
66
66
66
66
66 maintenance.
381 70
66
66
66
66
66
serial bonds .
29 68
66
66
Board State inmate
29 20
W. B. Tyler, Clerk of Courts, account fines
101 00
Premium on Sewer bonds purchased .
608 40
Total payments . Cash balance in treasury
. $652,144 20
. $23,168 88
$675,313 08
interest
15 59
66
DR.
88 ALBERT W. FLINT, Treasurer,
To Balance as per last report Appropriation authorized
$ 0 48
.
.
.
1,050 00
Dog tax, 1910 .
868 22
Income F. P. Hurd fund . ,
108 62
C. Wakefield fund
21 73
66 Flint Memorial fund
36 67
Franklin Poole fund
25 06
C. G. Beebe fund
74 66
66 M. W. Gove fund .
20 20
142 32
H. Gertrude Lee, sundry incomes
I. F. Studley, sundry incomes, Greenwood
20 85
.
.
.
.
$2,368 81
DR. ALBERT W. FLINT, Treasurer,
$275 00 To Appropriation authorized
$275 00
89
in account with BEEBE TOWN LIBRARY,
CR.
By H. Gertrude Lee, librarian to Dec. 31, 1911 .
$600 00
Ruth Gowen, ass't librarian
190 00
Idabelle F. Studley, ass't librarian .
146 45
Emma L. Campbell, ass't librarian .
40 74
Marjorie D. Hawkes, services
7 73
Dorothy Stone, services .
1 18
J. H. Ringer, services
26 00
Cora McQuarrie, services.
46 55
W. B. Clarke Co., books .
235 27
DeWolfe & Fiske Co., books
245 52
Young Folks Educational League, books
15 44
Palmer Corbett, expressing
25 50
A. B. Comins, expressing
11 10
P. J. Bowker, books
3 50
Mass. Society Mayflower Descendants, books
2 00
Michaelson Bros., binding
194 92
Dura Binding Co., binding
4 50
Daily Item, printing
57 25
Falcon Press, printing
.
2 25
A. H. Thayer, supplies
17 43
D. F. Munroe Co., paper .
6 50
Municipal Light Plant, lighting and supplies
277 42
Lucas Bros., repairs
3 50
W. A. Prescott. repairs
32 30
G. H. Taylor, repairs
1 00
Morss & Whyte Co , repairs
12 00
Daniel Keifer, books
6 00
Estate John Flanley. table
4 50
Library Bureau, supplies .
32 50
Sam'l Ward Co., supplies.
3 61
M. D. Jones Co , supplies
1 50
S. M Seabury, repairs
3 50
H. R. Huntting Co , books
15 14
H. Gertrude Lee, sundry expenses .
36 65
I. F. Studley, sundry expenses, Greenwood
16 33
H. W. Wilson, indexes
2 95
Total expended
$2,364 18
Balance unexpended
4 63
$2,368 81
in account with PUBLIC READING ROOM,
CR.
By Ruth Gowen, services
$60 00
W W. Oliver, services
21 00
Theodore Cram, services .
18 75
H M. Meek Pub. Co., directory
00
A. H. Thayer, periodicals
136 15
F. J. Barnard & Co , binding
5 85
F. J. Black. repairs .
1 25
G. H. Taylor, repairs
6 00
H W. Wilson, indexes
9 05
J Q. Adams Co , dictionary
13 00
John Middleton, repairing chair .
95
35 50
Citizen & Banner Press, printing
.
$275 00
90
LIST OF TAX DEEDS HELD BY TREASURER FOR NON-PAYMENT OF TAXES.
No.
To Whom Taxed.
Tax of
Date of Deed.
Amt.
222
Elizabeth R. Doyle,
1904
Aug. 8, 1906
$ 9 68
223
Willard Welsh,
1904
Aug. 8, 1906
35 21
224
Miami Cycle Co.,
1904
Aug. 8, 1906
8 05
225
Miami Cycle Co.,
1904
Aug.
8, 1906
12 86
226
Edward T. Gray, Jr.,
1904
Aug.
8, 1906
17 10
227
Edward T. Gray, Jr.,
1904
Aug.
8, 1906
36 70
228
Edward T. Gray, Jr.,
1904
Aug.
8, 1906
22 41
229
Edward T. Gray, Jr.,
1904
Aug. 8, 1906
11 80
230
Edward T. Gray, Jr.,
1904
Aug.
8, 1906
35 70
231
Edward T. Gray, Jr.,
1904
Aug.
8, 190€
17 10
235
Harlow H. Rogers,
1904
Aug. 8, 1906
8 05
236
Harlow H. Rogers,
1904
Aug.
8, 1906
11 23
237
Harlow H. Rogers,
1904
Aug.
8, 1906
15 96
238
Harlow H. Rogers,
1904
Aug.
8, 1906
11 23
241*
Annie E. D Hamilton,
1904
Aug.
8, 1906
255 12
245
T. F. Nutter & S. Jennings,
1904
Aug.
8, 1906
17 19
246
T. F. Nutter & S. Jennings,
1904
Aug.
8, 1906
12 86
247
T. F. Nutter & S. Jennings,
1904
Aug.
8, 1906
14 98
248
T. F. Nutter & S. Jennings,
1904
Aug
8, 1906
17 10
249
T. F. Nutter & S. Jennings,
1904
Aug. 8, 1906
12 86
251
T. F. Nutter & S. Jennings,
1904
Aug. 8, 1906
14 98
252
Robert S. Barlow,
1905
Aug. 14, 1907
25 64
253
Robert S. Barlow,
1905
Aug. 14, 1907
13 14
254
Robert S. Barlow,
1905
Aug. 14, 1907
19 24
255
Robert S. Barlow,
1905
Aug. 14, 1907
17 18
256
Robert S Barlow,
1905
Aug. 14, 1907
70 41
257
Wm. H. Broadhead,
1905
Aug. 14, 1907
12 88
258
Henry B. Goodenough,
1905
Aug. 14, 1907
38 45
259
Edward T Gray, Jr.,
1905
Aug. 14, 1907
17 18
260
Edward T. Gray, Jr.,
1905
Aug. 14, 1907
35 74
261
Edward T. Gray, Jr.,
1905
Aug. 14, 1907
17 18
262
Edward T. Gray, Jr.,
1905
Aug. 14, 1907
11 84
263
Edward T. Gray, Jr.,
1905
Aug. 14, 1907
22 45
264
Edward T. Gray, Jr.,
1905
Aug. 14, 1907
35 74
265
Edward T. Gray, Jr.,
1905
Aug. 14, 1907
11 84
266
Maurice Hayes,
1905
Aug. 14, 1907
10 74
269
Henry Kenney,
1905
Aug. 14, 1907
11 23
270
Sarah E. Merrifield,
1905
Aug. 14, 1907
62
271
Miami Cycle Co.,
1905
Aug. 14, 1907
3 07
272
Miami Cycle Co.,
1905
Aug. 14, 1907
12 88
273
Frank Moore,
1905
Aug. 14, 1907
10 74
274
Frank Moore,
1905
Aug. 14, 1907
8 62
275
J. J. Naughton,
1905
Aug. 14, 1907
32 04
276
T F. Nutter & S. Jennings,
1905
Aug. 14, 1907
12 88
277
T. F. Nutter & S. Jennings,
1905
Aug. 14, 1907
12 88
278
T. F. Nutter & S. Jennings,
1905
Aug. 14, 1907
14 95
280
T. F. Nutter & S. Jennings,
1905
Aug. 14, 1907
14 95
281
Harlow H. Rogers,
1905
Aug 14, 1907
8 62
282
Harlow H. Rogers,
1905
Aug. 14, 1907
11 23
91
LIST OF TAX DEEDS HELD BY TREASURER FOR NON-PAYMENT OF TAXES-Continued.
No.
To Whom Taxed.
Tax of
Date of Deed.
Amt.
283
Frank W. Smith,
1905
Aug. 14, 1907
$ 8 07
284
Lillian E. Snelling,
1905
Aug. 14, 1907
17 18
286
Willard Welsh,
1905
Aug. 14, 1907
35 26
287
Wm. Williams,
1905
Aug. 14, 1907
8 62
288
Wm Williams,
1905
Aug. 14, 1907
8 62
289
Wm. Williams,
1905
Aug. 14, 1907
12 88
290
Wm. H Woodman,
1905
Aug 14, 1907
9 12
291
Wm. H. Woodman,
1905
Aug. 14, 1907
7 80
292
Wm. H. Woodman,
1905
Aug. 14, 1907
7 80
294
Mabel J. Corliss,
1906
Aug 4, 1908
8 18
295
Helen A. Crooker,
1906
Aug. 4, 1908
29 13
296
Edward T Gray, Jr.,
1906
Aug. 4, 1908
12 13
297
-
Edward T. Gray, Jr.,
1906
Aug. 4, 1908
17 77
298
Edward T Gray, Jr.,
1906
Aug. 4, 1908
37 55
299
Edwa d T. Gray, Jr.,
1906
Aug.
4, 1908
23 42
300
Edward T. Gray, Jr ,
1906
Aug
4, 1908
37 55
301
Edward T. Gray, Jr.,
1906
Aug.
4, 1908
17 77
302
Clarence E. Hill,
1906
Aug.
4, 1908
13 26
303
George H. Jones,
1906
Aug.
4, 1908
8 18
304
Henry Kenney,
1906
Aug.
4, 1908
11 25
305
Sarah E. Merrifield,
1906
Aug. 4, 1908
8 57
306
J. J. Naughton,
1906
Aug. 4, 1908
33 64
307
Harry H. Newcomb,
1906
Aug. 4, 1908
13 26
313
T. F. Nutter & S. Jennings,
1906
Aug. 4, 1908
15 50
314
T. F. Nutter & S. Jennings,
1906
Aug.
4, 1908
13 26
315
T. F. Nutter & S. Jennings,
1906
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