Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1936, Part 12

Author: Wakefield, Massachusetts
Publication date: 1936
Publisher: Town of Wakefield
Number of Pages: 280


USA > Massachusetts > Middlesex County > Wakefield > Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1936 > Part 12


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The report of the manager showing the financial condition of the plant as of December 31, 1936, and its operations for the year, is included in this report.


174


TOWN OF WAKEFIELD


The books of the department are being audited by Thomas B. Don- nelly, C.P.A. Boston.


Respectfully submitted,


MARCUS BEEBE, 2nd, Chairman, A. FRANCIS HARRINGTON, Secretary CURTIS L. SOPHER. M. D.,


Board of Commissioners, Municipal Light Department.


January 2, 1937.


January 2, 1937.


To the Board of Light Commissioners,


Town of Wakefield.


Gentlemen:


I submit herewith a report of the activities and operations of this De- partment for the year ending December 31, 1936.


An inspection of the balance sheet will show that the Department has total assets of $904,459.53, liabilities of $108,419.80.


1


The net sales of gas amounted to $102,923.70, the operating expenses to $92,363.41 and a net profit of $7,632.12 after debt retirement.


The net sales of electricity amounted to $198,194.97, the operating expenses $167,771.97 and a net profit of $20,065.45 after debt retirement.


PROPERTY AND EQUIPMENT


Plant investments and general equipment have been increased by $26,932.53, of which the completion of the underground distribution in Chestnut Street and Park Avenue, together with a larger voltage regulator purchased and the duct lines installed for future underground distribution in North Avenue, Yale Avenue and Avon Street. The purchase of the un- used duct line from the Eastern Massachusetts Street Railway Company and installing of cables and two 100 KVA subway type single phase trans- formers in manholes built into this old duct line, make up a large part. It is anticipated that the use of this old duct line will be of great assistance in taking care of the distribution and increasing load in the business section and that section immediately surrounding it.


The opening of a new business venture at the head of the lake and the large use made of electricity in its operation necessitated the replacement of the overhead circuit with larger primary wire and the addition of three 25 KVA single phase transformers to care for the increase.


4


175


REPORT OF MUNICIPAL LIGHT BOARD


The customary inspection and replacement of defective poles has been continued this year, in conjunction with the Telephone Company's repre- sentatives.


The layout and construction of Butler Avenue from Water Street to New Salem Street, under W.P.A., made possible the largest extension of gas main, tying in several dead end mains into a complete circuit. Swain Place under the same arrangement had small main replaced and small ser- vices replaced with adequate sizes.


At the North Avenue Works, the entire area north of the holder has been fenced in and a fence erected around the grounds of the Substation on Wakefield Avenue. The lumber for this work was recovered from .old poles and from trees removed from the streets by the Town forester, and sawed to sizes by the mill at the Works. The Substation has had a coat of stucco applied to protect the building, which showed evidence or erosion from exposure to the elements for the past ten years.


This Department has as in the past few years, borne the expense and furnished the current for the Christmas decorations in the streets and the Common.


STREET LIGHTING


During the latter part of the year, 3 R. O. constant current series regu- lating transformers of the subway type, having a total capacity of 70 K.W. were installed on North Avenue to supply the street lighting service in the Commercial section there and the Residential section in Chestnut Street and Park Avenue with improved and additional required capacity. These transformers take current directly from our primary lighting circuit with manual control switches operated in the manholes, and from the regular series street lighting service.


176


TOWN OF WAKEFIELD


BALANCE SHEET AS OF DECEMBER 31, 1936 ASSETS


PLANT INVESTMENTS


Gas Department (Schedule A)


$368,942.05


Electric Department (Schedule B)


376,887.90


General Equipment (Schedule C)


16,238.11


Total Investments


$762,068.06


CURRENT ASSETS


Operation Fund


$34,486.84


Depreciation Fund


29,233.59


Office Fund


400.00


Special Deposits


36,830.54


Accounts Receivable


15,624.30


Materials and Supplies


25,135.68


Total Current Assets


$141,710.95


PREPAID ACCOUNTS


Insurance


$456.05


Interest


223.13


Total Prepaid Accounts


$679.18


DEFERRED CHARGES


1.34


TOTAL ASSETS


$904,459.53


REPORT OF MUNICIPAL LIGHT BOARD


177


BALANCE SHEET AS OF DECEMBER 31, 1936 LIABILITIES AND SURPLUS


BONDS PAYABLE


$69,000.00


CURRENT LIABILITIES


Consumers' Deposits


$36,830.54


Matured Interest


1,336.75


Liability Insurance


242.70


Total Current Liabilities


$38,409.99


ACCRUED LIABILITIES


Interest on Bonds 1,009.81


APPROPRIATED SURPLUS


Loans Repayment


$404,300.00


Appropriation for Construction Repayment 51,632.86


Total Appropriated Surplus


$455,932.86


SURPLUS (Schedule D)


340,106.87


TOTAL LIABILITIES AND SURPLUS


$904,459.53


178


TOWN OF WAKEFIELD


STATEMENT OF INCOME AND EXPENSE GAS DEPARTMENT


INCOME FROM SALE OF GAS


Regular Meters


$99,907.50


Prepay Meters


2,483.80


Municipal Meters


350.24


Minimum Meters


182.16


Total Sales


$102,923.70


DEDUCT-OPERATING EXPENSES


Gas Purchased


$50,152.82


Transmission and Distribution


17,016.66


Commercial


5,971.62


New Business


284.76


General


6,324.75


Depreciation


12,612.80


Total Operating Expense


$92,363.41


OPERATING INCOME


$10,560.29


ADD-OTHER INCOME


Merchandise and Jobbing


$26.00


Interest on Bank Balances


465.41


$491.41


GROSS INCOME


$11,051.70


DEDUCT-OTHER EXPENSE


Interest on Bonds


$697.96


Interest on Consumers' Deposits


673.53


Bad Debts


48.09


$1,419.58


NET INCOME TO SURPLUS (Schedule D)


$9,632.12


179


REPORT OF MUNICIPAL LIGHT BOARD


STATEMENT OF INCOME AND EXPENSE ELECTRIC DEPARTMENT


INCOME FROM SALE OF ELECTRICITY


Commercial Lighting


$132,297.40


Commercial Power


37,379.82


Municipal Power


7,075.20


Municipal Lighting


3,053.23


Street Lighting


18,000.00


Minimum Bills


389.32


Total Sales


$198,194.97


DEDUCT-OPERATING EXPENSE


Energy Purchased


$82,509.79


Transmission and Distribution


30,933.32


Utilization


5,786.67


Commercial


8,914.80


New Business


996.30


General


8,917.47


Depreciation


29,713.62


Total Operating Expense


$167,771.97


OPERATING INCOME


$30,423.00


ADD-OTHER INCOME


Merchandise and Jobbing


$29.38


Interest on Bank Balances


465.41


$494.79


GROSS INCOME


$30,917.79


DEDUCT-OTHER EXPENSE


Interest on Bonds


$2,097.63


Interest on Consumers' Deposits


675.89


Bad Debts


78.82


$2,852.34


NET INCOME TO SURPLUS (Schedule D)


$28,065.45


180


TOWN OF WAKEFIELD


PLANT INVESTMENTS


GAS DEPARTMENT-SCHEDULE A


Land


$6,591.75


Structures


22,215.82


Boiler Plant Equipment


1,964.33


Engines


4,749.47


Miscellaneous Power Plant Equipment


1,954.74


Street Mains


274,987.48


Services


24,273.39


Meters


25,028.77


Meter Installations


7,176.30


Total per Balance Sheet


$368,942.05


ELECTRIC DEPARTMENT-SCHEDULE B


Land


$213.57


Structures


19,881.73


Substation Equipment


36,000.43


Poles, Fixtures and Overhead Construction


74,240.52


Underground Conduits


116,648.21


Underground Conductors


45,974.59


Meters


20,090.85


Meter Installations


6,103.18


Transformers


24,663.53


Transformer Installations


1,967.15


Street Lighting Equipment


31,104.14


Total per Balance Sheet


$376,887.90


GENERAL EQUIPMENT-SCHEDULE C


Office Furniture and Equipment


$2,301.71


Automobiles


4,683.16


Laboratory Equipment


510.81


Miscellaneous Equipment


8,742.43


Total per Balance Sheet


$16,238.11


REPORT OF MUNICIPAL LIGHT BOARD


181


SURPLUS AS OF DECEMBER 31, 1936 CREDITS


Balance, January 1, 1936


$339,704.95


Profit from Electric Operations


Profit from Gas Operations


28,065.45 9,632.12


Total Credits


$377,402.52


DEBITS


Bonds Retired


$10,000.00


Property Abandoned


3,543.77


Cash-Returned to Town


23,751.88


Total Debits


$37,295.65


Balance, December 31, 1936 per Balance Sheet


$340,106.87


COST OF GAS


Cost of Gas in Holder


$50,152.82


Cost of Gas in Holder-per M.C.F.


.6105


Average Selling Price-per M.C.F.


1.4046


Average Cost of Gas Delivered-per M.C.F.


1.3071


Total Gas Purchased-cubic feet


82,149,790


Total Gas Sold-cubic feet


73,175,900


COST OF ELECTRICITY


Cost of Electricty on Switchboard


$82,509.79


Cost of Electricity on Switchboard-per K. W.H.


.01292


Average Selling Price- per K. W.H.


. 03405


Average Cost of Electricty delivered-per K.W.H.


.03071


Total Electricity Purchased-K.W. Hrs.


6,385,572


Total Electricity Sold-K. W. Hrs.


5,819,215


REPLACEMENTS AND NEW CONSTRUCTION-GAS


Street Mains (feet)


6,500


Services


24


Meters


50


Meters in use beginning of year


3,604


Meters in use end of year


3,642


182


TOWN OF WAKEFIELD


REPLACEMENTS AND NEW CONSTRUCTION-ELECTRICITY


Street Lights


56


Transformers


5


Poles


3


Overhead wires-(feet)


52,157


Services


28


Ducts-(feet)


35,015


Underground Cables-(feet)


48,907


Meters


129


Meters in use beginning of year


4,472


Meters in use end of year


4,571


I again express my gratitude and appreciation for the support and co- operation of the Commission, the employees and our customers in the past year. With the continuation of these relations, we can anticipate continued successful results.


Respectfully submitted,


SAMUEL H. BROOKS, Manager,


Municipal Light Department.


Fire Alarm, Police Signal and Traffic Lights


In January, the switchboard located at the Central Fire Station was completely installed and accepted by this Department; this board as was noted in last years' report, is acknowledged by the persons who know and are interested in Fire Alarm, to be the most recent and up-to-date appliance brought out in a long time. The box timing has been speeded up and the test blow, made at nine o'clock, morning and evening, sometimes called curfew has been reduced to one blow, instead of two, as has prevailed for years. New mechanism has been installed to operate this test so that it may be reliable as a time signal as well.


This Department has operated well the past year, no new boxes have been added for three years and it is recommended that five of the modern type boxes be purchased and installed in the more conjested sections, re- placing five of the older type now in use and these latter be used in out- lying districts where the chance of pulling two boxes for the same fire is more remote.


The Police Signal System, under this department, in so far as installa- tion and maintenance is concerned, has operated in a satisfactory manner;


REPORT OF MUNICIPAL LIGHT BOARD


183


each signal box has been equipped with a pad of paper so that the officer may have an opportunity of making notes of messages or leaving word for the next officer using the box, should occasion arise. A two-way radio in the cruiser car would place this system in an up-to-date condition, com- parable with many of the surrounding towns of the State.


The Traffic Light signals are under the care and maintenance of the Light Department and have operated in a satisfactory manner.


Respectfully submitted,


SAMUEL H. BROOKS,


Superintendent.


184


TOWN OF WAKEFIELD


27th Annual Report of the Wakefield Water and Sewerage Board


Presented herewith, we submit our report of operations of this Depart- ment for the year ending December 31, 1936.


We indicated in our report for 1935 that efforts would be made to lay water mains in several streets of the town and as a result, mains have been constructed under W.P.A. projects in the following-named streets:


Norway Street


Brook Street


Kendrick Road


Kendrick Court


Harrison Avenue


Kingmont Street Sheffield Road.


Mains were also constructed in Butler Avenue, Converse Street, and Strathmore Road under regular Department operations, and plans are under consideration for new mains in several streets (undefined as yet) for the year 1937, but these will largely depend upon operations of W.P.A. projects.


Provisions for the year 1937 should be made for repairs or recondition- ing of intake cages in Crystal Lake and for permanent construction of ade- quate fire-proof housing for the pumping machinery at the driven well plant off Nahant Street in Woodville. A W.P.A. project being urged for this latter item. The town is indeed fortunate in its possession of the auxiliary wells and equipment for pumping, not only from an economic standpoint but as a safeguard against occasional lowering of the water level of Crystal Lake to an abnormal point. These wells have again amply proved their worth since early December 1936 and are still supplying the town with water of most excellent quality as this report is compiled in mid-January 1937.


Income and outlay during the year 1936 were:


Receipts


Expenditures


Water Rates


$80,599.61


Maintenance $45,347.31


Hydrant Rental


8,700.00


Services


3,006.59


Services


3,027.34


Construction


1,386.06


Turn Ons


132.00


Bonds Retired


31,000.00


Summons


111.60


Interest 6,238.50


All Other


38.38


Commissioners' Salaries 270.00


Water Rate Refund 9.90


$87,258.36


Credit Balance


5,350.57


$92,608.93


$92,608.93


REPORT OF WATER AND SEWERAGE BOARD


185


and further details covering Department operations will be found in the report of Superintendent Merrill which follows.


We have carefully inspected the buildings and surface equipment of all plants operated by this Department both Water and Sewer, and found them all in most excellent condition ..


WILLIAM B. STANTIAL, SIDNEY F. ADAMS, GEORGE O. SHELDON,


Commissioners.


SUPERINTENDENT'S REPORT


To the Water and Sewerage Board:


I respectfully submit the following report for the year ending Decem- ber 31. 1936:


WATER CONSTRUCTION


Woodland Road, from former dead end to new dead end, 33 feet of 11/4" galvanized iron pipe.


Strathmore Road, from dead end to opposite house of Perkins, 148 feet of 6" cast iron pipe.


Converse Street, from dead end to house of Adams, 154 feet of 6" cast iron pipe.


*Brook Street, from dead end opposite house of Hopkins northerly and easterly to dead end opposite house of Lovell, 2236 feet of 8" cast iron pipe.


Butler Avenue, from Curtis Street southerly to dead end, 532 feet of 8" cast iron pipe.


*Kingmont Street, from Kendrick Road southerly to Norway Street, 700 feet of 8" cast iron pipe.


*Norway Street, from Essex Street northerly to Kingmont Street, 340 feet of 8" cast iron pipe.


*Harrison Avenue, from Kendrick Road southerly to dead end, 500 feet of 6" cast iron pipe.


*Kendrick Road, from Arundel Avenue easterly to Kendrick Court, 690 feet of 8" cast iron pipe.


*Kendrick Court, from Kendrick Road northerly to dead end, 173 feet of 2" wrought iron pipe.


*W.P.A. Projects


186


TOWN OF WAKEFIELD


WATER RECONSTRUCTION


Pitman Avenue, from opposite No. 32 to opposite No. 38, 195 feet of 6" cast iron pipe.


Vernon Street, from Eastern Avenue to Lowell Street, 1406 feet of 8" cast iron pipe.


Salem Street, from Montrose Avenue westerly, 24 feet of 12" cast iron pipe.


Salem Street, from Montrose Avenue easterly. 470 feet of 8" cast iron pipe.


NEW HYDRANTS


Hopkins Street, corner Brook Street, 5" Corey hydrant.


Brook Street, opposite house of Shepherd, 5" Corey hydrant.


Vernon Street, opposite Cordis Street, 5" Corey hydrant.


Kendrick Road, opposite house of Wilcox, 5" Corey hydrant.


Kingmont Street, opposite house of Pratt, 5" Corey hydrant.


HYDRANTS BROKEN BY AUTOMOBILES


July 6, 11 a. m., Crystal Lake Park. (This hydrant was not broken off, but caused joint leak in hydrant branch.)


SERVICES


New services laid this year 31


Services relaid during the year 47


Number of feet of pipe laid on public land


925'-1"


Number of feet of pipe laid on private land 1919'-0"


Number of feet of pipe relaid on public land 2809'-11"


Number of feet of pipe relaid on private land 1444'-1"


Services relaid from main to street line on account of street con- struction 68


MAIN BREAKS


TIME


Size


Location


Cause


Water Off


Water On


January


7


8.00 a.m.


11.30 a.m.


8" CI


Lake Avenue at dead end


January


10


Did not have to shut off


Call came in at


12" CI


Oak Street, corner Green Street


February


27


9.30 a.m.


5.10 p.m.


2" WI


Druid Hill Avenue near No. 7


April


8


8.12 a.m.


3.35 p.m.


May


26


3.55 p.m.


2.30 a.m.


August


21


8.00 a.m.


2.00 a.m.


6" Cem. 16" CI 6" Cem.


Main Street, opposite No. 763 Broadway at B. & M. R. R. Crossing Green Street, corner Sherman Road


September October


15


8


10.00 a.m. Did not have to shut off


3.00 p.m. Call came


S" CI 2" WI


Vernon Street, opposite Emerald Street Avon Court at West Chestnut Street


October November


13


11.50 a.m.


4.30 p.m.


6" Cem. 12" Cem.


Common Street, opposite Lafayette School Albion Street, opposite No. 177


December


1


12.05 p.m.


December


1


10.00 a.m.


9.30 p.m. 4.00 p.m. 8.55 p.m.


6" Cem. 12" Cem. 6" Cem.


Green Street, opposite No. 84 Albion Street, opposite No. 289 Greenwood Avenue. corner Madison Ave.


Blow off nipple in plug leaking Joint leak


Pipe broken at coupling Old age Joint leak Tick hole in pipe by W.P.A. Joint leak I ead connection at branch leaking


REPORT OF WATER AND SEWERAGE BOARD


Old age Joint leak at split sleeve Old age Old age Old age


December


3


3.10 p.m.


in at 8:00 a.m.


11.00 a.m.


18


10.30 a.m.


9 a.m.


Date 1935


187


188


TOWN OF WAKEFIELD


PUMPING RECORDS


1935


1936


January


22,370,000


19,060,000


February


21,320,000


19,675,000


March


22,390,000


22,015,000


April


22,060,000


20,220,000


May


24,455,000


22,720,000


June


22,635,000


23,740,000


July


24,470,000


25,875,000


August


26,135,000


24,925,000


September


21,810,000


22,080,000


October


21,010,000


21,300,000


November


18,555,000


19,590,000


December


20,940,000


19,323,275*


268,150,000 Gallons


260,523,275 Gallons


*11,370,000 Gallons pumped from Crystal Lake


7,953, 275 Gallons pumped from driven wells


Average daily consumption, 1935


734, 658 Gallons


Average daily consumption, 1936


711,812 66


Average daily per capita of estimated population, 1935


43.2


Average daily per capita of estimated population, 1936


41.8 66


Total pumped, 1935


268,150,000 66


Total pumped, 1936


260,523,275 60


PERMANENT IMPROVEMENTS


No. 2 Standpipe, located at Hart's Hill, received two coats of paint outside, which was both necessary to preserve the stand pipe and also greatly improved the appearance of the same.


WATER SUPPLY


Due to the low level of Crystal Lake, Wakefield's water supply, it was deemed necessary to resort to the driven wells off Nahant Street for ad- ditional water supply, and on December 10 pumping into the town's mains from this source was started. The approval of the State Department of Pub- lic Health was received on samples of well water sent to them before pump- ing was started.


A used 8 x 10 Gould Triplex Power Pump, a thirty horse power Squirrel Cage Motor and Compensator, and other necessary equipment were pur- chased to use at the wells The wells are yielding approximately 390,000 gallons of water per twenty-four hours. The plant is now operating seven days a week, twenty-four hours a day.


189


REPORT OF WATER AND SEWERAGE BOARD


FILTRATION PLANT


The filter plant has continued to produce water of excellent quality dur- ing the year ending December 31, 1936 and has been functioning as usual.


It was necessary during the year to scrape the impurities from the top of each filter seven times.


WATER MAINS LAID IN FOLLOWING STREETS UNDER W.P.A. PROJECTS


Brook Street


Sheffield Road Kendrick Road


Norway Street


Harrison Avenue Kendrick Court


Kingmont Street


RECOMMENDATIONS FOR THE COMING YEAR


No. 1 Standpipe, located at Green Street, Stoneham, should be painted outside and possibly inside.


The intake cages in Crystal Lake should be repaired or rebuilt.


Recommendation is also made that a W.P.A. project be sent in for ap- proval for a permanent, fire-proof building to house the equipment at the Department's driven wells off Nahant Street.


LOW LEVEL SEWER SYSTEM


The low level sewer system and pumping station have continued to give excellent results as in the past, and no repairs have been required dur- ing this year.


SEWER MAINTENANCE


The entire sewer system, including the low level system, has been inspected twice during the year and also thoroughly brushed and cleaned.


Manhole covers and frames have been raised or lowered to meet new street grades, as requested by the Highway Department. Also, new covers and frames have been installed where old ones were found to be faulty or broken.


W.P.A. PROJECT FOR SURVEYING UNSEWERED SECTIONS OF WAKEFIELD


The W.P.A. project for making the preliminary survey of the un- sewered sections of Wakefield, started on November 16, 1935, has been completed as far as W.P.A. money would permit.


SEWER CONNECTIONS


Applications for house connections to date 1,839


Number of connections made 1,729


Number of connections made during year 34


Number of connections waiting 0


190


TOWN OF WAKEFIELD


In conclusion, I wish to extend my sincere thanks to each and every member of the Department for his co-operation in all emergencies during the year.


I also extend my thanks to the heads and members of the various town departments for their support and co-operation during the year.


Respectfully submitted,


MORRISON MERRILL, Superintendent.


191


REPORT OF TOWN TREASURER


Report of Town Treasurer


To the Citizens of Wakefield :-


I herewith present my report for the fiscal year ending December 31, 1936.


TRUST FUNDS


The Trust Funds and available income balances now in my hands are as follows :


Principal of Fund


Income Available


Cornelius Sweetser Lecture Fund


$10,000.00


Cornelius Sweetser Lecture Guarantee Fund


2,532.65


John Gould Aborn Library Fund


1,689.26


Cyrus G. Beebe Library Fund


2,000.00


Frederick Beebe Library Fund


1,000.00


Willard Donnell Library Fund


500.00


Rev. Thomas Albert Emerson Library Fund


500.00


Flint Memorial Library Fund


1,000.00


Merrill W. Gove Library Fund


500.00


Melvin J. Hill Library Fund


500.00


Dr. Francis P. Hurd Library Fund


2,500.00


Franklin Poole Library Fund


500.00


Mary H. Pratt Library Fund


200.00


Cyrus Wakefield Library Fund


500.00


Mary E. Aborn Park Fund


2,000.00


Nancy White Park Fund


1,000.00


Rev. Thomas Albert Emerson High School Fund


1,000.00


$461.37


Nancy White Hurd School Fund


499.11


Jonathan Nichols Temperance Fund


1,000.00


313.09


Annie L. Cox Prize for advancement in Design Fund


100.00


18.27


Annie L. Cox Scholarship Fund for Italian Students


5,000.00


917.93


Mary Lizzie Smith Fund for care of old cannon on Common


100.00


27.99


Gad and Clarissa C. Carter Burial Lot Fund in Old Cemetery


200.00


65.35


Adams Coburn Burial Lot Fund in Old Cemetery


100.00


1.77


Ezra Eaton Burial Lot Fund in Old Cemetery


100.00


18.80


Rev. Thomas Albert Emerson Old Cemetery Fund


1,000.00


109.00


Levi Flanders Burial Lot Fund in Old Cemetery


100.00


5.95


Flint Old Burial Ground Fund


2,000.00


121.76


Dr. John Hart Burial Lot Fund in Old Cemetery


200.00


44.23


Carried forward


$38,321.02 $2,105.51


192


TOWN OF WAKEFIELD


Principal of Fund


Income Available


Brought forward


$38,321.02


$2,105.51


Harry E. Haskell Burial Lot Fund in Old Cemetery


100.00


3.02


Oliver Burial Lot Fund in Old Cemetery


50.00


2.14


Stimpson Family Burial Lot Fund in Old Cemetery


200.00


37.65


Clarissa E. Swain Burial Lot Fund in Old Cemetery Elizabeth Stout Burial Lot Fund in Old Cemetery Cornelius Sweetser Burial Lot Fund in Old Ceme- tery


300.00


20.18


1,000.00


91.68


John Sweetser Burial Lot Fund in Old Cemetery Jane K. Vinton Burial Lot Fund in Old Cemetery James and Elizabeth Walton Burial Lot Fund in Old Cemetery


100.00


3.68


The income from the following funds is for care of lots in Forest Glade Cemetery :


Sarah Burbank Fund


$100.00


$114.31


George M. Kelley Fund


25.00


2.97


P. M. Wilkinson Fund


50.00


5.68


Francis C. Robie Fund


25.00


1.69


Martha D. Wilson Fund


200.00


8.33


J. Walter Curley Fund


50.00


3.12


Rev. John M. Currie Fund


50.00


3.19


Sylvester Burditt Fund


50.00


3.38


Isaiah Blake Fund


10.00


.81


Fannie Doucette Fund


10.00


.81


Michael Hennessey Fund


10.00


.81


Lottie A. Lefave Fund


10.00


.81


Joseph F. McNeil Fund


50.00


3.12


Mary B. Staples Fund


50.00


3.12


Joseph O. Surrette Fund


10.00


.81


E. E. Burns Fund


10.00


.55


Susan A. Champagne Fund


50.00


3.05


Mary Harwood Fund


50.00


3.51


Masonic Lot Fund


100.00


6.74


George H. Collins Fund


50.00


3.05


Celia Moore Fund


10.00


.60


Mrs. Eliza J. Church Fund


50.00


3.05


Patrick Grimes Fund


20.00


1.15


Jane A. Gaston Fund


20.00


1.10


Catherine North Fund


50.00


2.80


Marjorie Smith Fund


50.00


2.80


John Meuse Fund


10.00


.55


Daniel Cotreau Fund


20.00


1.10


Carried forward


$42,021.02


$2,599.41


500.00


120.81


200.00


17.67


50.00


13.37


Ellen Scott Fund


10.00


.69


REPORT OF TOWN TREASURER


193


Principal of Fund


Income Available


Brought forward


$42,021.02


$2,599.41


John McCarthy Fund


50.00


2.54


D. J. Dougherty Fund


10.00


.50


Georgianna Patten Fund


50.00


2.40


Clara Sheperson Fund


10.00


.48


P. J. McArdle Fund


10.00


.48


George A. Brown Fund


50.00


2.02


Mary J. Giles Fund


25.00


1.01


William H. Burnham Fund


10:00


.40


Mary Derby Fund


50.00


1.90


Eber Holmes Fund


50:00


1.63


Kathryn Thurston Fund


20.00


.60


Charles McLellan Fund


50.00


1.50


Susie Callahan Fund


. 50.00


1.38


William E. Robinson Fund


50.00


1.25


Catherine Gates Fund


10.00


.25


John McCarriston Fund


50.00


1.13


Mary Cook Fund


10.00


.23


Mary G. Seabury Fund


50.00


1.13


Catherine Hyatt Fund


50.00


1.13


Benjamin D. Foss Fund


50.00


1.00


Jonathan N. McMaster Fund


50.00


.88


Maria Short Fund


25.00


. 44


Nelson Bishop Fund


10.00


.15


Mary C. Gould Fund


50.00


.50


Mary Marinelli Fund




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