Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1913-1916, Part 45

Author: Wakefield, Massachusetts
Publication date: 1913
Publisher: Town of Wakefield
Number of Pages: 1374


USA > Massachusetts > Middlesex County > Wakefield > Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1913-1916 > Part 45


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Receipts


Income from Trust Funds


Paid Books


Paid Expenses Rebind- Reading ing Room


1895


11,761


20


31


20,566


$1,058.93


$ 17.43 $170.00


$265.10


$ 45.48 $177.80


1900


13,461


101


102


26,785


1,251.69


29.91


189.17


366.32


84.37


166.70


1905


15,384


45


74


32,166


1,440.97


72.56


260.00


395.81


89.25


245.89


Dec. 31,


New


Re- placed


Dupli- cate


1910


17,499


238


183


42,973


2,306.48


118.47


280.20 $322.11 $127.29 $25.95


1911


17,873


290


169


50,665


2,364.18


163.17


286.94


368.44


126.26


26.17


199.42


275.00


1912


18,222


382


206


54,399


2,422.07


187.24


280.20


363.28


120.37


26.59


260.03


275.00


1913


18,678


325


159


54,728


2,534.39


200.63


280.20


374.24


99.01


37.96


147.17


274.17


1914


18,417


988


181 61,066


2,520.66


218.70


280.20


288.98


137.40


24.89


253.54


300.00


1915


18,132


1,250


257


78,266


*3,056.44


+210.31


280.20


387.06


139.07


17.51


267.19


66


TOWN OF


WAKEFIELD


178.80


275.00


* Includes Reading Room


¡ Returned to town


67


REPORT OF ASSESSORS


REPORT OF ASSESSORS


State tax .


$ 23,985.00


County tax


12,470.36


Metropolitan sewer tax


10,878.06


Metropolitan Park tax


5,324.22


Charles River basin .


919.45


Auditing town accounts


1,227.61 $ 54,804.70


Annual appropriations


334,791.91


Total app. including state charges


389,596.61


Less receipts


81,419.79


Less 3,779 polls @ $2.00


7,558.00


Total to enter the levy .


300,618.82


PROPERTY


Personal (including bank stock) .


$2,127,882.00


Real estate land .


3,519,100.00


Real estate building's .


6,537,032.00


Resident bank stock


108,778.00


Total valuation ·


$12,292,792.00


Tax rate $ 25.20


Overlay


9,159.53


Bonds paid in 1915 levy


42,900.00


Interest .


18,700.00


NUMBER OF RESIDENTS ASSESSED ON PROPERTY


Individual .


1969


All others .


315 2284


NUMBER OF NON-RESIDENTS ASSESSED ON PROPERTY


Individuals


570


All others


96 666


NUMBER OF PERSONS ASSESSED


On property 2950


For a poll tax only


2614


5564


Number of poll tax payers


3780


Number of dwellings .


2360


Number of acres of land .


3987


Number of horses Apr. 1, 1915


325


Number of cows Apr. 1, 1915


264


Number of neat cattle Apr. 1, 1915


6


Number of swine Apr. 1, 1915 150


Number of fowl Apr. 1, 1915 .


1960 ·


Number of pairs of pigeons Apr. 1, 1915


2500


.


68


TOWN OF WAKEFIELD


BONDS PAID IN 1915 LEVY


Junction School


$ 1,500.00


North School .


1,000.00


Greenwood School


1,000.00


High School repairs


1,000.00


High School site


2,500.00


$ 7,000.00


Sewer, 1st issue .


5,000.00


Byron Street, 1st issue .


1,000.00


Byron Street, 2nd issue


500.00


Elm and Armory Street sewer


1,000.00


Main and Franklin Street sewer


500.00


Gould Street extension


500.00


8,500.00


Insurance premiums .


500.00


500.00


Fire station


1,000.00


Motor fire apparatus .


900.00


1,900.00


Highway Department, Main St., 1st


6,000.00


Highway Department, Main St., 2nd


6,000.00


12,000.00


Water Department


8,000.00


Water meters, 1st


1,500.00


Water meters, 2nd


1,500.00


Main Street water main, 1st .


1,000.00


Main Street water main, 2nd .


1,000.00


$


13,000.00


Total .


$ 42,900.00


Interest Account .


18,700.00


$ 18,700.00


APPROPRIATIONS


Moderator


25.00


Selectmen


1,100.00


Town Accountant .


1,150.00


Treasurer .


1,100.00


Collector of taxes


950.00


Assessors' Department


2,200.00


Town Clerk


550.00


Finance Committee


65.00


Election and Registrars


1,200.00


Town Counsel


600.00


Town Hall


4,000.00


Vital Statistics


150.00


Police Department


10,475.00


Fire Department .


16,500.00


Fire Alarm


1,200.00


Rifle range rental


550.00


Sealer of W. and M. .


175.00


Moth Department .


6,000.00


REPORT OF ASSESSORS


69


Tree Warden Department


600.00


Forest Warden Department


250.00


Fish and Game Warden .


25.00


Board of Health


6,000.00


Sewer Department


1,800.00


Highway Department .


26,400.00


Poor Department


14,375.00


State Aid .


3,500.00


Military Aid


300.00


Soldiers Relief


3,800.00


School Department


84,100.00


Library and Reading room


1,790.00


Park Department .


2,150.00


Reserve fund


2,000.00


Insurance .


2,500.00


Miscellaneous account


3,800.00


Light Department


25,000.00


Cemetery Department


650.00


Water Department


53,441.25


Interest account


18,780.00


Bonds due 1915


29,900.00


Reimburse Treas. Department


236.66


Lowell Street special work .


2,000.00


Gas and Electric meter rental


1,404.00


New street lights .


800.00


Sweetser trust fund


100.00


Screen on lake


25.00


Valuation list .


75.00


Memorial Day G. A. R. .


350.00


Memorial Day Spanish W. V.


50.00


Care of soldiers' graves


100.00


July 4 Committee


500.00


Total .


334,791.91


State charges .


54,804.70


Grand total for 1915


$ 389,596.61


INCOME


Water Department total income .


43,322.67


Poor Department .


2,320.82


Highway Department .


851.10


Sewer Department


797.63


Library .


444.75


Moth Department .


56.01


School Department


2,301.95


Sealer of W. and M.


72.96


Cemetery


91.50


70


TOWN OF WAKEFIELD


Licenses


317.00


Town Hall .


424.40


Fire Department


163.35


Park Department .


120.00


Tax deeds


649.71


Refund


20.15


Tax Cert.


12.00


Sewer tax paid in full


27.00


Court fines


470.00


Wakefield estate


272.00


Interest


396.61


Recording fees


100.26


Donation H. B. & W. Co .


500.00


Sale of fire horses .


400.00


Milk Inspector Department .


27.00


Private work by Moth Department .


2,885.93


Sewer cards


2,153.82


State of Massachusetts


18,764.64


Excise tax


3,456.53


$ 81,419.79


ABATEMENTS ON 1915 LEVY


Soldiers polls .


158.00


Soldiers' wives or widows


1,737.54


Widows and spinsters


1,170.69


Poll tax payers deceased


10.00


Inability


25.20


Over valuation


1,038.91


Moth tax


5.60


Sworn off and filed (personal)


1,624.03


$ 5,769.75


Re-assesed


497.63


PROPERTY EXEMPT FROM TAXATION


Baptist Society land and buildings . Episcopal Society land and buildings Rom. Cath. Society land and buildings Congregational Society, Greenwood. Methodist Society land and buildings Universalist Society land and buildings Mont. Chapel Soc. land and buildings Mass. Baptist S. S. Ass'n


$ 59,000.00


30,000.00


60,000.00


4,900.00


21,525.00


26,500.00


3,225.00


Young Men's Christian Ass'n


39,500.00


Home for Aged Women .


8,050.00


First Congregational Society


134,275.00


State Armory


54,500.00


Quannapowitt Agricultural Society .


12,000.00


25,000.00 $ 478,745.00


REPORT OF OVERSEERS


THE POOR


71


ASSETS AND LIABILITIES


School property


$ 339,483.00


Other buildings and land


414,950.00


Public grounds


62,000.00


Cemeteries


10,000.00


Other real estate


162,000.00


Water works


331,000.00


Fire apparatus


25,000.00


Trust funds


25,980.00


Sewer system


332,500.00


Gas and Electric plant


267,400.00


Public Library


12,500.00


$1,982,813.00


Bonded debt


567,600.00


Assets above liabilities


$1,415,213.00


For department expenses see Accountant's report.


SAMUEL T. PARKER, Chairman, GEORGE H. STOWELL, Sec'y, CHARLES A. CHENEY.


REPORT OF OVERSEERS OF THE POOR


The Overseers of the Poor herewith submit their report for the year 1915.


There are twelve inmates at the Home; five females and seven males, most of whom are quite feeble. The Home is in good con- dition and the inmates are well cared for by the superintendent and matron, Mr. and Mrs. George F. Holbrook.


HUGH CONNELL, Chairman,


ALBERT D. CATE, Sec'y, GEORGE E. ZWICKER.


REPORT OF PARK COMMISSIONERS


The Board of Park Commissioners respectfully submits its an- nual report for the municipal year ending December 31st, 1915. Also the report of the Supervisor of the Bath House. The report of the Kosmos Club committee who furnished matrons for the Bath House on days set apart for its use by girls is also appended.


An addition to the holdings of the Park Department was made by the acceptance by the town of a small plot of land situated in Wakefield Park known as the "Park Oval." This is a very pretty plot, oval in shape, with several good-sized shade trees; also quite a large amount of well-rolled and seeded grass ground. With proper care this lot will make a valuable acquisition to the Department.


72


TOWN OF WAKEFIELD


PARK AND COMMON


The improvements on the Park which were begun in the late fall of 1914 were completed in the early spring of 1915. A large part of the Park on the westerly and southerly sides was filled with several inches of loam and seeded to grass, and now is in excellent condition. The usual care and attention was given to the Park and Common and judging from the favorable expressions heard, merited the approval of our citizens.


The Board was fortunate in securing several loads of excellent sand which was placed on the children's beach. Owing to the ex- cessive rainfall during July and August the beach was not used quite as much as in former years.


No attempt was made to improve conditions along Lakeside, as the finances of the Department would not admit of the outlay re- quired. The Commissioners have recommended $300 in their esti- mate of permanent improvements for 1916. The same to be ex- pended at Lakeside to put that portion of the Park in a more credit- able condition. The mall of the Common is now and has been for two or more years a source of inconvenience to the people who use it. After heavy or even moderate rainfall, large quantities of water coming down Park and Bryant streets, overflow Main street onto the Common, covering the concrete walk and adjacent grass ground with several inches of water, mud and slime, many times making the mall impassable. Some attempt should be made to remedy this nuisance, and the Commissioners will cheerfully co-operate with the Street Department to improve present conditions. The trees on both the Common and Park receive the attention of the Moth Depart- ment in their warfare against the Gypsy and Brown Tailed Moth. Whether the Leopard Moth has infested the trees to any extent time alone can demonstrate.


CHURCH STREET LOT


No appropriation having been made by the town for this pur- pose at the annual meeting in March, the Commissioners did not feel justified in diverting other funds for this purpose. The grass was cut on the land adjoining the Congregational church, and for several rods bordering the Old Cemetery. Considerable filling will be required to put this lot in proper condition.


HART'S HILL RESERVATION


The town is again indebted to its esteemed fellow citizen, Mr. John J. Round, for another manifestation of his liberality and public spiritedness in the construction of a fine stone-faced and cement-


73


REPORT OF PARK COMMISSIONERS


capped wall extending along the entire frontage of Charles Street; also broad. cement steps leading into the Reservation from that street. This has made a great improvement in the appearance of both the Reservation and the street. The Main street portion was kept in good condition through the season. No attempt was made to continue the driveway, or to build paths to the summit. Each year an increase is noted of the number of visitors to this attractive Reservation, and as the population of the town increases and the attractiveness of "Hart's Hill" is more widely known a large number will be attracted to it.


The Commissioners at this time are not disposed to recommend any special improvements on the Reservation. There may be some loss among the evergreen trees which were set out, some a year ago and others early in the spring, but this contingency can be provided for from the $400 for miscellaneous expenses recommended by the Commissioners.


THE JUNCTION LOT


Considerable attention was given to improving the appearance of this lot and the driveways. For a small park this has few equals in this vicinity. The shrubbery stood the severity of the winter weather, and came along in good shape during the spring and summer. Provisions should be made for a water connection, as during a dry season the grass plot would suffer greatly. The residents of the Junction district are justly proud of their Park, as evidenced by the generosity of Mr. William C. Strong of No. 9 Nahant street, who fur- nished free of cost to the town, nearly 10 cords of excellent stable manure which was spread on this lot late in the fall. The Park Commissioners take this opportunity to express their appreciation of Mr. Strong's liberality and commendable public spiritedness.


THE BATH HOUSE


No improvements of importance were made on the Bath House during the year, although many are needed. Mr. W. H. Danks was appointed Supervisor and performed the duties appertaining to the position to the satisfaction of the Commissioners and to the patrons of the Bath House. The Kosmos Club again furnished matrons on Wednesdays-the day set apart for the exclusive use of the Bath House by girls and young women. Very few complaints were re- ceived compared with previous years regarding annoyances to the residents of that locality, and the few received were quickly remedied. Attention is called to the report of the Supervisor, also that of the Kosmos Club committee.


74


TOWN OF WAKEFIELD


BAND CONCERTS


There were six concerts given during the summer, three by the town and three furnished by the state. These concerts were greatly enjoyed by the townspeople as well as from the adjoining towns, an average of five thousand people attending each concert.


The Park Commissioners believe that these concerts are a good advertisement for the town. and have recommended that the town appropriate money for the same next year.


FINANCIAL


The amount available for the Park Department in 1915 was: Town appropriation $2,150.00


Income from trust funds .


120.00 $2,270.00 All of which was expended.


The estimate for 1916 submitted to the Town Accountant Dec. 21st, 1915, was as follows:


PARK DEPARTMENT


Requirements


Care of Park and Common


Hart's Hill Reservation


Junction Lot


Church Street Lot


Wakefield Park Oval .


$1,000.00


Water for three fountains


225.00


Both House


350.00


Three Band Concerts .


275.00


Income from trust funds


120.00


Miscellaneous


400.00


$2,370.00


PERMANENT IMPROVEMENTS


Grading and filling at Lakeside . $ 300.00 Repairs on Rockery, Fountain and Basin


100.00


$


400.00


$2,770.00


Respectfully submitted, EUGENE S. HINCKLEY, Chairman, ARTHUR P. KNIGHT, GEORGE W. ABBOTT, Sec'y.


75


REPORT OF PARK COMMISSIONERS


To the Board of Park Commissioners.


As Supervisor of the Bath House, I beg leave to submit the following report.


Work was started June 14th, arranging, clearing, painting and a number of inside and outside repairs, along with cleaning and im- proving the general outside appearance of the beach and its sur- roundings.


The bath house officially opened June 17th, as has been the custom in previous years, although the boys took advantage of its shelter in great numbers before this.


With the opening, I organized classes, teaching in four periods: early morning and afternoon, with the advanced, diving and perfect- ing of strokes; later morning and afternoon with those that could not swim. The result was that 70 learned to swim, 120 acknowl- edged as swimmers.


The girls were treated in the same way, although they only had one day (Wednesday) of the week, 70 learned to swim, 33 acknowl- edged as swimmers.


At this time for those who take advantage of the short time, I wish to recommend more time for the girls, say one or two morn- ings more a week.


The attendance was inspiring, even on cold, rainy days the bath house was filled to its capacity, saying nothing of the bright warm days, when the floor, walls, and even the piazza and green outside was covered with clothes, making a total attendance of 9,088 for the season and an average of 142 a day (boys only). Girls' total was 1,909 with 191 a day average, making a grand total attendance of 10,997.


The safety first and care for others method was followed, with the good result of no accidents the entire season.


Nearing the end of the season when tests were taken, and ribbons awarded to the three classes, we had 70 learned to swim 60 feet; 102 took the intermediate test of 50 yards, dive from raft; 31 took the advanced test of one mile, 25 yards on back and front and back dive. Girls: 70 learned to swim 60 feet; 47 intermediates of 50 yards, dive from raft; 2 advanced test, making a total of 320 rib- bons awarded.


I wish to recommend the bath house being opened in the evening, also on Sundays, to accommodate those who do not get a chance to cool off during the day, (the working men).


I also wish to extend my gratitude to the ladies of the Kosmos Club, especially the ladies who acted as matrons, in every detail and to whom I owe my thanks.


Respectfully submitted,


W. H. DANKS.


76


TOWN OF WAKEFIELD


REPORT OF COMMITTEE FOR GIRLS' DAY AT BATH HOUSE


To the Board of Park Commissioners.


Dear Sirs :- A committee from the Kosmos Club had charge of the bathing for girls at the bath house last summer. Two matrons had charge each week.


The bath house was open for the girls on Wednesdays from July 7 to September 8. There were 1200 who took advantage of the privilege-an average of 120 each time.


An awning was generously provided by a member of the Kosmos Club and greatly appreciated by the committee.


Respectfully submitted, 4


MRS. C. B. HALL, Chairman,


MRS. C. E. MONTAGUE,


MRS. W. B. WILEY,


MRS. A. C. WISWALL,


MRS. E. S. JONES.


TAX COLLECTOR'S STATEMENT


TAX OF 1913


Uncollected balance Jan. 1, 1915 $ 37,633.59


Re-assessed by Assessors


25.16


Received as interest .


2,841.46 $ 40,500.21


Paid Town Treasurer


38,560.36


Abated by Assessors


1,939.85


40,500.21


TAX OF 1914


Uncollected balance Jan. 1, 1915 .


118,146.71


Re-assessed by Assessors


78.16


Received as Interest .


1,976.08


120,200.95


Paid Town Treasurer


73,255.00


Abated by Assessors


4,697.12


77,952.12


Balance uncollected Jan. 1, 1916 $ 42,248.83


77


TAX COLLECTOR'S STATEMENT


TAX OF 1915


Total amount assessed


323,025.63


Bank Tax


3,452.40


St. R. R. Excise Tax


3,346.88


Received as Interest .


82.50 329.907.41


Paid Town Treasurer


204,125.52


Abated by Assessors .


6,189.03 210,314.55


Balance uncollected Jan. 1, 1916


$ 119,592.86


RENWICK RD., ASHLAND ST. AND OVERLOOK RD. SEWER


Balance uncollected Jan. 1, 1915


135.21


Received as interest


12.03


147.24


Paid Town Treasurer


147.24


ARMORY STREET SEWER


Balance uncollected Jan. 1, 1915


2,006.44


Balance uncollected Jan. 1, 1916 2,006.44


ELM STREET SEWER


Balance uncollected Jan. 1, 1915


508.17


Balance uncollected Jan. 1, 1916 508.17


FRANKLIN STREET SEWER TAX


Balance uncollected Jan. 1, 1915


321.35


Balance uncollected Jan. 1, 1916 321.35


GOULD AND BYRON STREET SEWER TAX


Balance uncollected Jan. 1, 1915


2,871.39


Apportioned by Sewer Commiss'n'rs 1,638.84


Balance uncollected


1,232.55


PARK AVENUE AND STEDMAN STREET SEWER TAX


Total amount assessed


4,190.48 4,190.48


Abated by Sewer Commissioners


273.00


Paid Town Treasurer


406.58 679.58


Balance uncollected


$ 3,510.90


SEWER APPORTIONMENTS PAID IN FULL


Paid Town Treasurer


54.44


CHARLES E. WALTON, Collector.


78


TOWN OF WAKEFIELD


SIXTH ANNUAL REPORT OF THE WAKEFIELD WATER AND SEWERAGE BOARD .


The annual report of the Wakefield Water and Sewerage Board is herewith presented, including the thirteenth annual report of the Water Department and the sixteenth annual report of the Sewer Department.


The appropriations of $18,000 for maintenance and $4,000 for construction have been carefully expended and a balance of $1,100 returns to the town.


Several improvements have been made to the pumping machin- ery, notably the new governor valves ,which protect the pumps from injury by racing when breaks in the pipe lines occur, and also when hydrants are opened suddenly for fire and other purposes.


The department has purchased a light Henderson Bros. truck, which will replace some of the teams now in use, and enable the department to respond more promptly when breaks in mains and services occur, thus better protecting the town and citizens from damage, also saving a considerable waste of water.


The apparent success of our neighboring town of Reading in deep boring for an additional supply of water should be of great interest to this board and to our citizens generally. It is the purpose of the board to carefully note the results of the continuation of this work.


SEWER DEPARTMENT Maintenance


Appropriation .


$ 800.00


Expended for labor and materials


754.13


Unexpended balance


45.87


Connections


Appropriations


$ 1,000.00


Expended for labor and materials .


$686.70


Stock on hand last year .


238.64


925.34


Stock on hand


73.40


851.94


Credit by cash received .


851.94


Unexpended balance


$ 1,000.00


-


REPORT OF WATER AND SEWERAGE BOARD 79


Construction


Appropriations for Park avenue, Dell avenue and Stedman street Expended for labor and materials .


$ 5,151.94


3,970.21


Unexpended balance . Connections


1,081.73


Applications for house connections,


to date


773


Number of connections made


745


Number of connections during year


28


WATER DEPARTMENT


Annual Financial Statement


Receipts :


From water rates


$ 41,733.65


Services


860.27


Rents


240.00


Totals Receipts


42,833.92


Expenditures :


By maintenance .


17,021.35


Proportion of fire insurance


156.93


Commissioners' salaries


266.67


Construction


3,218.42


Bonds (Town Treasurer)


13,000.00


Interest (Town Treasurer)


8,841.25


Expenses of year 1915


42,504.62


Unpaid bills, insufficient appro- priation 1914 .


629.77


Metropolitan Water, 1914 .


7,800.31


Totals expenditures 50,934.70 Statements of receipts and expenditures under the several appropriations follow :


Maintenance


Appropriation


$ 25,800.00


Transfer, for fire insurance . ·


156.93


Total available .


25,956.93


Expended including Met. Water and unpaid bills


25,608.36


Unexpended balance


348.57


80


TOWN OF WAKEFIELD


Construction


Appropriation


$ 4,000.00


Expended .


3,218.42


Unexpended balance Construction work:


781.58


Eustis Avenue


6 inch pipe 305 feet


Greenwood Street


6 inch pipe


645 1/2 feet


Salem Street


6 inch pipe 48


feet


New Salem Street


6 inch pipe


964 1/2 feet


Pine Street


6 inch pipe


117


feet


Bancroft Avenue


6 inch pipe


240


feet


Spring Street


6 inch pipe 110


feet


Cyrus Street


6 inch pipe


194


feet


Merriam Street


6 inch pipe


249


feet


Morrison Road Ext'n


6 inch pipe


527 1/2


feet


Walker Terrace


4 inch pipe


298


feet


Hillside Avenue


4 inch pipe


266


feet


Total


39641/2 feet


Meters


Balance of appropriation available .


$ 1,254.85


Expended .


1,031.67


Unexpended balance


223.18


Commissioners' Salaries


Appropriation


$ 300.00


Expended, salaries to December 31,


1915


266.67


Unexpended balance


33.33


Services


Appropriation


$ 1,500.00


Expended .


$864.39


Credit by cash collected .


860.27


Net expenditures


4.12


Unexpended balance


1,495.88


REPORT OF WATER AND SEWERAGE BOARD 81


New services added during year Services relaid during year


48


21


69


On private land


On public land


Total


New services


1394 ft.


1060 ft.


2454 ft.


Relaid services


385 ft.


363 ft.


748 ft.


Totals


1779 ft.


1423 ft.


3202 ft.


Hydrants


Number of hydrants Jan. 1, 1915


235


New hydrants added during the year


5


Present number of hydrants


240


Location of New Hydrants


East side of Walker Terrace.


New Salem Street, opposite Grand Passway.


Greenwood Street, corner of Myrtle Avenue.


Greenwood Street, 620 feet west of Myrtle Avenue.


Morrison Road Extension, corner of Waldorf Circle.


Water Pumped During the Year


Gallons


January


16,862,056


February


16,249,366


March


16,579,198


April


16,204,657


May


17,905,240


June


19,604,184


July


18,649,842


August


19,342,962


September


18,965,518


October


19,432,076


November


17,939,502


December


18,364,238


Total


216,098,839


Greatest amount pumped in 1915, June 29 .


942,388


Greatest amount pumped in a week, June 24 to 30 .


4,909,624


82


TOWN OF WAKEFIELD


Average daily pumping


Average daily per head of estimated population .


Uncollected water bill, Street Dept. . $300.00 Uncollected services bills 75.87 .


Respectfully submitted, CHARLES A. DEAN, JAMES H. KIMBALL, HERVEY J. SKINNER,


Commissioners.


REPORT OF SCHOOL COMMITTEE


Arthur H. Boardman, Ch'n, 56 Pleasant St., Mrs. Ida Farr Miller, Sec., 18 Lawrence St., J. Lowe McMahon, Treas., Prospect St., Mrs. Eva Gowing Ripley, 40 Emerson St., Edward E. Lee, Greenwood, Mass.


Dr. Charles E. Montague, 15 Richardson Ave.,


term expires


1917


"


1918


"


1916


"


1916


"


"


1918


"


1917


SUB-COMMITTEES


Dr. Montague


PUBLIC PROPERTY Mr. Lee Mr. Boardman


Mr. McMahon


FINANCE AND ACCOUNTS Mr. Lee


Mr. Boardman


Mrs. Miller


TEACHERS AND SALARIES Mr. Lee


Dr. Montague


Mrs. Ripley


COURSES OF STUDY Mrs. Miller


Dr. Montague


Mr. Lee


TEXT BOOKS AND SUPPLIES Mrs. Ripley Mr. McMahon


SUPERINTENDENT OF SCHOOLS Willard B. Atwell, 76 West Chestnut St.


OFFICE HOURS


Monday, 7 to 8 p. m. Tuesdays and Thursdays, 8 to 8.30 a. m. Wednesdays and Fridays, 4 to 5.30 p. m.


Office, Flanley Block.


Telephone, Office, 471W. Residence, 195M.


Clerk, Miss Gertrude V. Lofstrom. Hours, 8-12 and 1.30 to 5 on school days.


592,052 47


83


REPORT OF SCHOOL COMMITTEE


REGULAR MEETINGS OF THE SCHOOL COMMITTEE


Second and fourth Fridays of each month at 8 p. m. at Committee Rooms, Flanley Block.


SCHOOL COMMITTEE REPORT


In our last report mention was made of the growth in population. in the Lincoln School District. As anticipated in that report the in- crease in the number of pupils attending the Lincoln School necessi- tated putting the first grade upon half time, a part attending the morning session and the remainder the afternoon session. The same teacher, with an assistant, is in charge of both sessions.


The continued increase in population in this district will probably necessitate a division of the second grade the coming year, as well as the continued division of the first grade. The purchase of a two-room portable building would provide accommodations for all the grades at this school for full time. If this building is obtained it might be possible to transfer a few pupils from the Woodville District to the Lincoln School, thus relieving the crowded condition of the lower room at Woodville.




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