USA > Massachusetts > Middlesex County > Wakefield > Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1935 > Part 15
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A. J. Vincent
1,235.26
William Barry
949.89
John Humphrey
739.17
Donald Cockburn
608.76
Eli Muse
550.38
Lyman Allen
533.39
Joseph Hurlburt
501.52
Various Persons
9,056.32
$ 86,616.54
Water and Sewerage Department
SALARIES OF COMMISSIONERS Credit
Appropriation
Debit
$ 90.00
Aaron A. Butler, Secretary
90.00
Sidney F. Adams
90.00
WATER MAINTENANCE Credit
Appropriation
$ 52,900.00 356.13
Refunds
Debit
Morrison Merrill, Superintendent (in part) $ 2,440.40
Leah Kinder, Clerk (in part)
1,400.85
Helen Salipante, Clerk (in part)
849.00
Carl W. Sunman, Paymaster & Collector of Water Bills 356.44
Charles E. Walton, Paymaster & Collector of Water Bills Jan. to March
93.56
Telephone
223.36
Labor
20,892.57
Office Expenses
632.87
Meters, and Pipes
5,466.97
$ 270.00
William B. Stantial, Chairman
$ 270.00
$ 270.00
REPORT OF TOWN ACCOUNTANT
253
Equipment and Repairs
1,147.20
Transportation Expenses
1,595.27
Freight, Coal
819.24
Power
5,373.81
Chlorine Gas
253.65
Insurance
299.54
Asphalt
217.44
Supervision and Analyses
278.60
Taxes-Town of Stoneham
207.20
Repairs to Chimney
400.00
Poles
108.75
Protecting Railroad Tracks
57.67
All Other
916.89
Water Services Labor
$ 1,242.79
Material
1,431.14
$ 2,673.93
Water Construction
Labor
$ 1,253.93
Material
859.29
$ 2,113.22
$ 48,818.43
Balance to Revenue
4,437.70
$ 53,256.13 $ 53,256.13
WATER BONDS
Credit
Appropriation Transfer
$ 30,929.30 70.70
Debit
Payments
$ 31,000.00
$ 31,000.00
$ 31,000.00
PREMIUM ON BONDS
Credit
Balance January 1, 1935
$ 70.70
Transfer
Debit
$ 70.70
$ 70.70
$ 70.70
254
TOWN OF WAKEFIELD
WATER INTEREST
Credit
Appropriation
$
7,301.25
Payments
$ 7,301.25
$ 7,301.25 $ 7,301.25
FEDERAL GOVERNMENT GRANT RE-LAYING WATER MAINS PWA PROJECT
Credit
Cash
$ 7,628.96
Debit
Transfer
$ 7,628.96
$ 7,628.96 $ 7,628.96
RELAYING WATER MAINS-FEDERAL AID PWA
Credit
January 1, 1935 Overdraft
Debit
Cash from Federal Government
$ 18,096.55
$ 18,096.55 $ 18,096.55
LAKE QUANNAPOWITT
Credit
Appropriation
Debit
$ 216.08
E. & F. King Co.
33.70
Weston & Sampson A. B. Comins Labor
9.00
45.04
$ 303.82
Balance to Revenue
296.18
$ 600.00 $ 600.00
SEWER MAINTENANCE
Credit
$ 7,000.00
Debit
Morrison Merrill, Superintendent (in part) $ 259.60
148.50
Leah Kinder, Clerk (in part) Helen Salipante, Clerk (in part) Paymaster
90.00
45.00
$ 18,096.55
$ 600.00
Appropriation
Debit
REPORT OF TOWN ACCOUNTANT
255
Labor
3,489.53
Tools and Equipment
234.67
Power
542.13
Insurance
346.22
Telephone
32.24
Water
53.64
Gasoline
222.02
Asphalt
173.91
All Other
526.62
Balance to Revenue
835.92
$ 7,000.00
$
7,000.00
SEWER CONNECTIONS Credit
Appropriation
$
1,800.00
Transfer from Reserve Fund
200.00
Labor
$ 1,305.16
Pipe All Other
245.46
$ 1,975.88
Balance to Revenue
24.12
$ 2,000.00
$ 2,000.00
SWAIN PLACE SEWER CONSTRUCTION
Credit
Appropriation
Debit
$ 1,464.30
Materials
576.68
$ 2,040.98
Balance to Revenue
479.02
$ 2,520.00
$ 2,520.00
WATER AND SEWER DEPARTMENT PAYROLL FOR 1935
Morrison Merrill William L. Wenzel
1,831.05
James J. O'Rourke
1,592.05
James L. Palmer
1,586.50
Arthur M. Gibbons
1,565.45
Leah F. Kinder
1,549.35
$ 2,520.00
Labor
425.26
Debit
$ 6,164.08
$ 2,700.00
256
TOWN OF WAKEFIELD
John R. Fraughton
1,533.24
Patrick Sexton
1,519.65
Patrick Keefe
1,510.21
Patrick Curran
1,502.34
Patrick J. Finn
1,442.83
Matthew Curran
1,431.58 ·
Harold J. Maloney
1,373.07
Edmund M. DeVeau
1,367.99
Dominick Bennedetto
1,366.93
Chester W. Eldredge
1,358.92
Helen R. Salipante
939.00
Serafino Volpe
897.79
Daniel Calore
890.30
Harry Ayscough
860.38
Various Persons-Under $500 each
6,063.04
$ 34,881.67
INTEREST
Credit
Appropriation
$ 33,000.00
Debit
$ 7,598.75
School Loans
15,571.89
Discount Interest
2,573.33
Transfer to Reserve Fund
6,000.00
$ 31,743.97
Balance to Revenue
1,256.03
$ 33,000.00
$ 33,000.00
MATURING DEBT
Credit
Appropriation Cash Refund - Overpayment
$ 89,500.00 1,000.00
Debit
Sewer Bonds
$ 31,000.00
School Bonds
58,500.00
$ 89,500.00
Balance to Revenue
1,000.00
$ 90,500.00
$ 90,500.00
Sewer Loans
1935 Indebtedness Account
Outstanding January 1, 1935 Payments 1935
$883,500.00
129,500.00
Outstanding December 31, 1935
$754,000.00
RECAPITULATION
Sewers
$167,000.00
Schools
329,000.00
Water
179,000.00
Light
79,000.00
$754,000.00
Indebtedness Account, Due 1936 to 1950 Inclusive
Loans Outstanding Dec. 31, '35
Due
Due 1937
Due
Due
Due
Due
Due
Due
Due
Due
Due
Due
Due
Due
Sewer Loan
1,000
1,000
Sewer Loan
14,000
1,000
1,000
1,000
1,000
1,000
$ 1,000
$ 1,000
$ 1,000
$ 1,000
$ 1,000
$ 1,000
$ 1,000
$1,000
$1,000
Sewer Loan
15,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
$1,000
Sewer Loan
49,000
9,000
8,000
8,000
8,000
8,000
8,000
Sewer Loan
2,000
1,000
1,000
Sewer Loan
36,000
4,000
4,000
4,000
4,000
4,000
4,000
4,000
4,000
4,000
Montrose Sch. Loan
2,000
1,000
1,000
6,000
5,000
Montrose Sch. Loan
36,000
8,000
8,000
8,000
8,000
4,000
High School Loan
45,000
7,500
7,500
7,500
7,500
7,500
7,500
High School Loan
70,000
10,000
10,000
10,000
10,000
10,000
10,000
10,000
High School Loan
35,000
5,000
5,000
5,000
5,000
5,000
5,000
5,000
Woodville Sch. Loan
10,000
2,500
2,500
2,500
2,500
9,500
9,500
9,500
9,500
Franklin Sch. Loan
32,000
8,000
8,000
8,000
8,000
Water Loan
8,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
Water Loan
4,000
1,000
1,000
1,000
1,000
Water Loan
9,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
Water Loan
96,000
8,000
8,000
8,000
8,000
8,000
8,000
8,000
8,000
8,000
8,000
8,000
Water Loan
2,000
1,000
1,000
Water Loan
22,000
3,000
3,000
3,000
3,000
2,000
2,000
2,000
2,000
1,000
1,000
Water Loan
38,000
16,000
16,000
6,000
Light Dept. Loan
5,000
1,000
1,000
1,000
1,000
1,000
Light Dept. Loan
14,000
2,000
2,000
2,000
2,000
2,000
2,000
2,000
Light Dept. Loan
20,000
2,500
2,500
2,500
2,500
2,500
2,500
2,500
2,500
Light Dept. Loan
12,000
1,500
1,500
1,500
1,500
1,500
1,500
1,500
1,500
Light Dept. Loan
18,000
2,000
2,000
2,000
2,000
2,000
2,000
2,000
2,000
2,000
Light Dept. Loan
10,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
1,000
$754,000
$125,500
$123,500
$110,500
$103,500
$82,000
$67,000
$51,500
$34,500
$19,000 .
$12,000
$10,000
$10,000
$2,000
$2,000
$1,000
1936
1938
1939
1941
1942
1943
1944
1945
1946
1947
1948
1949
1950
Sewer Loan
$ 50,000
$ 10,000
$ 10,000
$ 10,000
$ 10,000
$10,000
Montrose Sch. Loan
23,000
6,000
6,000
Greenwood Sch. Loan
76,000
9,500
9,500
9,500
9,500
8,000
Due 1940
Trust Fund Account BALANCING ACCOUNT
Cash on Hand, January 1, 1936 Funds Set Up, 1935 Interest for 1935 Interest transferred to Library Interest transferred to Park Department Payments, 1935 Cash on Hand, December 31, 1935
$ 43,680.45 1,150.00 1,308.09
$ 353.23
100.83
596.97 45,085.51
$ 48,136.54 $ 46,136.54
New Funds
Trust Funds
Set Up in 1935
Interest January 1, 1935
For 1935
Total Interest
Payments or Transfers, 1935
Fund and Interest Dec. 31, 1935 $
Nancy White Hurd School Fund
500.00
4 63.19
$ 17.02
80.21
45.32
534.89
Rev. Thomas A. Emerson High School Fund
1,000.00
376.91
41.60
418.51
1,418.51
Flint Memorial Library Fund
1,000.00
30.23
30,23
30.23
1,000.00
Dr. Francis P. Hurd Library Fund
2,500.00
88.25
88,25
88.25
2,500.00
Cyrus Wakefield Library Fund
500.00
15.11
15.11
15.11
500.00
Franklin Poole Library Fund
500.00
15.11
15.11
15.11
500.00
Cyrus G. Beebe Library Fund
2,000.00
70.61
70.61
70.61
2,000.00
Merrill W. Gove Library Fund
500.00
15.11
15.11
15.11
500.00
John Gould Aborn Library Fund
1,689.26
51.05
51.05
51.05
1,689.26
Mary H. Pratt Library Fund
200.00
6.05
6.05
6.05
200.00
Frederic Beebe Library Fund
1,000.00
30.23
30.23
30,23
1,000.00
Rev. Thomas A. Emerson Library Fund
500.00
16.37
16.37
16.37
500.00
Melvin J. Hill Library Fund
500.00
15,11
15.11
15.11
500.00
Willard Donnell Library Fund
. 600.00
500.00
Jonathan Nichols Temperance Fund
1,000.00
246.81
37.67
284.28
1,284.28
Cornelius Sweetser Lecture Fund
10,000.00
246.87
246.87
246.87
10,000.00
Cornelius Sweetser Lecture Guarantee Fund
552.00
1,834.23
72.12
1,906.35
2,458.35
Mary Lizzie Smith Fund
100.00
3.63
24,24
124.24
Annle L. Cox Fund
100.00
11.45
3.37
14.82
114.82
Annie L. Cox Scholarship Fund
5,000.00
575.70
168.62
744.32
5,744.32
Nancy White Park Fund
-
2,000.00
65.53
65.53
65.53
2,000.00
Cornelius Sweetser Cemetery Fund
1,000.00
33.35
137.16
28.00
1,109.16
Jane K. Vinton Cemetery Fund
50.00
13.55
1.91
15.46
2.00
63.46
Clarissa E. Swain Cemetery Fund
500.00
106.95
18.33
125.28
11.50
613.78
Flint Old Burial Ground Fund
2,000.00
147.98
70.35
218.33
119.00
2,099.33
Ezra Eaton Cemetery Fund
21.63
3.67
25.30
5.50
119.80
Sarah Burbank Cemetery Fund
100.00
103.88
6.14
110.02
2.00
208.02
Stimpson Family Cemetery Fund
200.00
44.99
7.38
52.37
11.00
241.37
Levi Flanders Cemetery Fund
100.00
7.49
3.25
10.74
4.00
106.74
George M. Kelley Cemetery Fund
25.00
1.37
78
2.15
27.15
Gad and Clarissa C. Carter Cemetery Fund
200.00
67.69
8.08
75.77
8.00
267.77
P. M. Wilkinson Cemetery Fund
50.00
2.48
1.58
4.06
54.06
Francis C. Robie Cemetery Fund
25.00
1.62
.80
2,42
1.50
25.92
James and Eliza Walton Cemetery Fund
100.00
5.36
3.17
8.53
4.00
104.53
Adams Coburn Burial Lot Fund
100.00
3.55
3.13
6.68
4.00
102.68
Rev. Thomas A. Emerson Old Cemetery Fund
1,000.00
132.61
37.09
169.70
50.50
1,119.20
Martha D. Wilson Cemetery Fund
200.00
8.84
6.29
15.13
10.00
205.13
J. Walter Curley Cemetery Fund
50.00
2.99
1.58
4.57
3.00
51.57
Rev. John M. Currie Cemetery Fund
50.00
2.08
1.56
3.64
2.00
51.64
Sylvester Burdett Cemetery Fund
50.00
3.22
1.61
4.83
3.00
51.83
Dr. John Hart Cemetery Fund
200.00
47.31
7.48
54.79
8.00
245.79
Harry E. Haskell Cemetery · Fund.
100.00
75
3.03
3.78
3.78
100.00
Elizabeth Stout Cemetery Fund
300.00
30.37
9.98
40.35
15.00
325.35
John Sweetser Cemetery Fund
200.00
14.67
6.47
21.14
5.00
216.14
Ol.ver Burial Lot Fund
50.00
1.08
1.54
2.62
2.00
50,62
Isaiah Blake Cemetery Fund
10.00
.21
.30
.51
10.51
Fannie Doucette Cemetery Fund
10.00
.21
.30
.51
10.51
Michael Hennessey Cemetery Fund
10.00
.21
.30
.51
10.51
Lottie A. LeFave Cemetery Fund
10.00
30
,51
10.51
Joseph F. McNeil Cemetery Fund
50.00
1.54
2.57
1.00
51.57
Mary B. Staples Cemetery Fund
50.00
1.03
1.54
2.57
1.00
51.57
Joseph O. Surrette Cemetery Fund
10.0
21
.30
.51
10.51
E. E. Burns Cemetery Fund
10.00
25
25
10.25
Susan A. Champagne Cemetery Fund
50.00
1.50
1.50
51.50
Mary Harwood Cemetery Fund
10.00
.09
30
.39
10.39
Ellen Scott Cemetery Fund
50.00
.44
1.52
1.96
51.96
Masonic Lodge Cemetery Fund
100.00
58
3.03
3,61
103.61
George H. Collins Cemetery Fund
50.00
1.50
1.50
51.50
Celia Moore Cemetery Fund
10.00
.30
.30
10.30
Eliza J. Church Cemetery Fund
50.00
1.50
1.50
51.50
Patrick Grimes Cemetery Fund
20.00
.55
.55
20.55
Jane A. Gaston Cemetery Fund
20.00
.50
.50
20.50
Catherine North Cemetery Fund
50.00
1.25
1.25
51.25
Marjorle Smith Cemetery Fund
50.00
1.25
1.25
51.25
John Meuse Cemetery Fund
10.00
.25
.25
10.25
Daniel Cotreau Cemetery Fund
20.00
.50
.50
20.50
John McCarthy Cemetery Fund
50,00
1.00
1.00
51.00
D. J. Doherty Cemetery Fund
10.00
.20
.20
10.20
Georgianna Patten Cemetery Fund
50.00
.88
.88
50.88
Clara Sheperson Cemetery Fund
10,00
18
.18
10.18
P. J. McArdle Cemetery Fund
10.00
18
.18
10.18
George A. Brown Cemetery Fund
50.00
.50
.50
50.50
Mary J. Giles Cemetery Fund
.25
25
25.25
William H. Burnham Cemetery Fund
10.00
.10
.10
10,10
Mary Derby Cemetery Fund
50.00
.38
.38
50.38
Eber Holmes Cemetery Fund
60.00
.13
.13
50,13
Kathryn Thurston Cemetery Fund
20.00
20.00
Charles Mclellan Cemetery Fund
50.00
50,00
Susle Callahan Cemetery Fund
50.00
50.00
Willlam E. Robinson Cemetery Fund
50.00
50.00
Katherine Gates Cemetery Fund
10.00
10.00
John McCarriston Cemetery Fund
50.00
50.00
Mary Cook Cemetery Fund
10.00
10.00
Mary G. Seabury Cemetery Fund
50.00
50.00
Catherine Hyatt Cemetery Fund
50.00
50.00
Benjamin D. Foss Cemetery Fund
50.00
50.00
Jonathan N. McMaster Cemetery Fund
50.00
50.00
25.00
25.00
$ 39,671.26
* 1,150.00
$ 4,009.19
$ 1,308.09
$ 5,315.28
$ 1,051.03
$ 45,085.51
Name of Fund
January 1, 1935
$
Maria Short Cemetery Fund
1,000.00
35.30
35.30
35.30
1,000.00
Mary E. Aborn Park Fund
103.81
100.00
.
21
1.03
25.00
20.61
Interest
TOWN OF WAKEFIELD
BALANCE SHEET - DECEMBER 31, 1935
ASSETS
LIABILITIES
Revenue Cash
$251,625.85
Temporary Loans
Taxes 1932
$ 1,398.29
Surplus War Bonus Funds
Taxes 1933
4,747.03
Excise Tax Revenue
Taxes 1934
88,327.09
Overlay 1931
$ 5.00
Taxes 1935
269,011.53
363,483.94
Overlay 1932
1,392.03
Overlay 1933
4,747.03
Old Age Assistance 1932
526.00
Overlay 1934
24,005.06
Old Age Assistance 1933
837.00
1,363.00
Overlay 1935
19,962.09
50,111.21
Excise Tax 1932
3,444.74
Tax Title Revenue
95,622.78
Excise Tax 1933
2,510.05
Special Assessment Revenue
14,815.96
Excise Tax 1934
3,145.49
Departmental Revenue
4,077.11
Excise Tax 1935
5,207.20
14,307.48
Water Revenue
4,134.69
Municipal Light Revenue
21,140.78
Betterment Assessments 1933
26.87
Overlay Surplus
15,236.27
Betterment Assessments 1934
665.07
Excess and Deficiency
106,736.41
Betterment Assessments 1935
1,766.74
2,458.68
Tax Collector - Petty Cash
100.00
Sewer Assessments Revenue Apportioned
Sewer Assessments 1933
76.01
Due in 1936
9,009.40
Sewer Assessments 1934
2,294.29
Due in 1937
6,514.96
Sewer Assessments 1935
5,532.65
7,902.95
Due in 1938
4,760.42
Due in 1939
4,417.28
Moth Assesments 1933
4.50
Due in 1940
3,447.47
Moth Assessments 1934
143.54
Due in 1941
2,576.06
$350,000.00 9,022.99 14,307.48
REPORT OF TOWN ACCOUNTANT
257
Moth Assessments 1935
254.54
402.58
Due in 1942
1,071.04
Due in 1943
772.59
Sewer Assessments Not Apportioned
1,715.10
Due in 1944
773.26
33,342.48
Betterment Assessments Not Apportioned
606.25
Committed Interest
1,730.40
Tax Collector's Petty Cash
100.00
Tax Titles
95,622.78
Accounts Receivable-School Department
351.95
Accounts Receivable-Welfare Department
673.91
Accounts Receivable-Health Department
620.25
Commonwealth of Massachusetts
State Aid
1,350.00
Military Aid
976.00
State Military Aid
105.00
Water Rates
3,474.95
Water Services
659.74
Light Department Bills
21,140.78
Sewer Assessments Apportioned
33,342.48
Betterment Assessments Apportioned
Betterment Assessments Apportioned
Due in 1936
2,833.72
Due in 1937
2,574.07
Due in 1938
2,226.76
Due in 1939
2,180.46
Due in 1940
1,428.57
Due in 1941
574.42
Due in 1942
362.52
Due in 1943
232.08
Due in 1944
23.83
12,436.43
258
TOWN OF WAKEFIELD
12,436.43
Appropriation Balances forwarded to 1936
Revision of Assessors' Plans 77.81
Chapter 464-Grant from State 1,286.60
Oak Street Construction 28.00
Land Damage-Meriam Street
105.30
George Reed Fund (School)
8.41
Smith-Hughes Fund (School)
166.01
Plans for Intermediate School
100.68
Sale of Dogs 3.00
Investigating Com .- Welfare Dept.
197.00
Greenwood Playground
50.00
Greenwood Playground Article 35
350.00
Greenwood Playground Article 36
1.00
Add'l Land, Water St. Playground
100.00
Municipal Advertising
17.00
Land Takings-Chapter 249
500.00
Survey Lake Quannapowitt
200.00
Old Age Assistance
3.00
Moulton Playground
107.58
Light Dept. Depreciation Acct.
58,312.64
Light Dept. Operation Acct.
23,751.88
85,365.91
$816,450.50
$816,450.50
REPORT OF TOWN ACCOUNTANT
259
GUARANTEE DEPOSIT ACCOUNT - LIGHT DEPARTMENT
Cash on Hand, January 1, 1935 Received as Deposits
$ 31,939.58 Payments 7,901.96 Cash on Hand December 31, 1935
$ 5,742.87 34,098.67
$ 39,841.54
$ 39,841.54
BONDED DEBT ACCOUNT
Bonded Debt December 31, 1935
$754,000.00
Sewer Department
$167,000.00
School Department
329,000.00
Water Department
179,000.00
Light Department
79,000.00
$754,000.00
$754,000.00
TRUST FUND ACCOUNT
Cash on Hand January 1, 1935 New Funds 1935 Interest 1935
$ 43,680.45 Interest transferred to Library Department
$ 353.23
1,150.00 Interest transferred to Park Department
100.83
1,306.09
Payments 1935
596.97
Cash on Hand December 31, 1935
45,085.51
$ 46,136.54
$ 46,136.54
260
TOWN OF WAKEFIELD
261
REPORT OF TOWN ACCOUNTANT
The accounts of the Treasurer have been examined and agree with the Accountant's books. Cash balances have been verified by bank state- ments. All permanent and temporary loans cancelled during the year by the Treasurer have been examined and found as reported.
Respectfully submitted, HARRY A. SIMONDS,
Town Accountant.
262
TOWN OF WAKEFIELD
Index to Town Officers' Reports
Animal Inspector
100
Assessors
98
Births
49
Building Inspector
103
Compensation Agent
104
Deaths
63
Dog Licenses
68
Dog Officer
100
Election Results
11
Fire Department
88
Fishing Licenses
68 90
Health Department
91
Hunting Licenses
68
Jurors
6
Library Trustees
146
Light Department
111
Marriages
55
Milk and Food Inspector
96
Moth Department
103
Planning Board
122
Plumbing Inspector
95
Police Department
84
School Committee
161
Sealer of Weights and Measures
101
Selectmen
69
Slaughtering Inspector
97
Street Superintendent
123
Sweetser Charity
79
Sweetser Lecture Committee
77
Town Counsel
102
Town Meetings
13
Town Officers 1935-1936
3
Treasurer
132
Tuberculosis Dispensary
93
Water and Sewerage Board 105
Welfare Department 80
Wire Inspector
90
Forest Warden
263
REPORT OF TOWN ACCOUNTANT
Index to Town Accountant's Report
Accountant
213
Accounts Receivable Schools
208
Accounts Receivable - Welfare Department
208
Accounts Receivable - Infirmary
208
Accounts Receivable - Health
208
Accounts Receivable - Light Department
209
Board of Appeal
246
Appropriations to Enter the Tax Levy
194
Armistice Day
245
Assessors
215
Balance Sheet
257
Betterment Assessments 1931
202
Betterment Assessments 1932
202
205
Betterment Assesments 1933
202
205
Betterment Assessments 1934
203
205
Betterment Assessments 1935
206
Betterment Assessments Not Apportioned
203
206
Betterment Assessments Apportioned
206
Collector
214
Commonwealth of Massachusetts - State Aid
209
Commonwealth of Massachusetts - Military Aid
209
Commonwealth of Massachusetts-State Military Aid
209
Commonwealth of Massachusetts-Soldiers' Burials
209
Committed Interest
210
Compensation
222
Court Fines
249
Dog Licenses
243
Dog Officer
243
Dumps
224
Election and Registration
218
Excess and Deficiency
211
ERA and WPA
228
Excise Tax 1930
200
Excise Tax 1931
200
Excise Tax 1932
200
204
Excise Tax 1933
200
205
Excise Tax 1934
200
205
Excise Tax 1935
205
Fire
220
Fire Alarm, Police Signal, Traffic Lights
248
Fire Alarm Switch Board
248
Fire Insurance
247
Forest Warden
221
Garbage
224
264
TOWN OF WAKEFIELD
Greenwood Playground
245
Health
222
Highway
225 226
Hydrant Rental
221
Indebtedness Account-Insert following
256
Inspector of Animals
243
Inspector of Buildings
222
Inspector of Wires
221
Interest
256
Investigating Committee, Welfare Department
247
Land Takings
247
Legal
216 239
Light Department
249
Maturing Debt
256
Memorial Day - American Legion
244
Memorial Day - G. A. R.
244
Memorial Day - U. S. W. V.
244
Memorial Day - Veterans of Foreign Wars
245
Middlesex County Tax
248
Middlesex County Hospital Tax
Military Aid
Miscellaneous
Moderator
Moth
Moth Assessments 1930 .
201 201
Moth Assessments 1932
201
206
Moth Assessments 1933
201
206
Moth Assessments 1934
201
206
Moth Assessments 1935
207
Moulton Playground
246
Municipal Advertising
247
Old Age Assistance 204
248 199
Old Age Assistance 1931
199
204
Old Age Assistance 1933
200
204
Overlay 1931
211
Overlay 1932
211
Overlay 1933
211
Overlay 1934
211
Overlay 1935
211 212
Overlay Surplus
Park and Cemetery
240
Planning Board
246
Police
219
Old Age Assistance 1932
221
Moth Assessments 1931
248 233 241 212
Library
Houston Street Construction
REPORT OF TOWN ACCOUNTANT
265
Receipts
191
Recreation Commission
242
Revision of Assessors' Plans
216
Reserve Fund
242
Rifle Range
242
Salem Street Rebuilding
225
Sale of Dogs
243
Sealer of Weights and Measures
222
Selectmen
212
School
Sewer Assessments 1931
201
207
Sewer Assessments 1933
202
207
Sewer Assessments 1934
202
207 207
Sewer Assessments Not Apportioned
202
208
Sewer Assessments Apportioned
207
Sewer Connection Deposits
210
Sewer Department
252 209
Soldiers' Relief
232
Spanish War Veterans' Rent
245
State Aid
233 249 233
Street Lights
248
Surplus War Bonus Funds
248
Survey, Lake Quannapowitt
247
Taxes 1930
198
Taxes 1931
198
Taxes 1932
199
203
Taxes 1933
199
203
Taxes 1934
199
204
Taxes 1935
204
Tax Titles
210
Teachers' Retirement Fund
249
Temporary Loans
210
Town Clerk
217
Town Hall
218
Treasurer
214
Trust Fund Account-Insert following
256
Vernon Street Rebuilding
226 247
Vital Statistics
217
Walton, Charles E., Collector
203
Water Department
252
Water Rates
210
234 201
Sewer Assessments 1932
Sewer Assessments 1935
Soldiers' Burials
State Charges
State Military Aid
Visiting Nurse
266
TOWN OF WAKEFIELD
Water Services 209
Water Street Playground 246
Welfare 229
73000
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