Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1909-1912, Part 35

Author: Wakefield, Massachusetts
Publication date: 1909
Publisher: Town of Wakefield
Number of Pages: 1306


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


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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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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