Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1951, Part 19

Author: Wakefield, Massachusetts
Publication date: 1951
Publisher: Town of Wakefield
Number of Pages: 306


USA > Massachusetts > Middlesex County > Wakefield > Town annual report of the officers of Wakefield Massachusetts : including the vital statistics for the year 1951 > Part 19


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295.96


295.96 **


Water Mains Extension


5,115.22


5,115.22 **


Water Mains-1950


46,056.01


46,056.01


REPORT


OF


TOWN ACCOUNTANT


273


Water Mains-1951


30,000.00


11,995.34


18,004.66 **


Water and Sewer Department Power Shovel


1,433.94


1,433.94 **


Sewer Construction 1947


6,600.00


6,600.00


Sewer Construction 1948


2,069.93


296.45


1,773.48 **


Sewer Construction 1949


10,577.50


10,577.50 **


Sewer Construction 1950


126,385.77


105,344.41


21,041.36 **


Sewer Construction 1951


58,000.00


1,621.29


56,378.71 **


Sewer Construction Montrose 1949


3,840.42


3,840.42 **


Sewer Construction 1946


191.79


191.79 **


Sewers for Drainage 1948


27,986.50


27,986.50 **


Sewers for Drainage 1949


489.37


489.37 **


Hurd School Addition


11.41


11.41 **


Lowell Street School Site 1951


25,000.00


25,000.00


Western Avenue School Site 1951


13,000.00


13,000.00


Davidson Road School Site 1951


1,000.00


1,000.00 **


Lowell Street Construction 1951


320,000.00


320,000.00 **


Western Avenue Construction 1951


225,000.00


225,000.00 **


$ 977,915.05


$ 266,130.19


$ 711,784.86


Totals


$ 977,915.05 $ 2,476,878.58


$ 2,502,137.22 $ 952,656.41


*Appropriation Balances Dec. 31, 1951-Transferred to Revenue Available Balances Dec. 31, 1951-Carried forward to 1952


$ 74,573.12*


$ 878,083.29 **


$ 952,656.41


274


TOWN OF


WAKEFIELD


TOWN OF WAKEFIELD


ASSETS


LIABILITIES


BALANCE SHEET - DECEMBER 31, 1951


Revenue Cash


$613,162.66 711,784.86


- $1,324,947.52


Real Estate Taxes 1939


$ 2.82


Trust Fund Income


15.68


Real Estate Taxes 1941


2.36


Perpetual Care Funds Income


978.91


Real Estate Taxes 1942


2.28


Income on Post War Rehabilitation Fund


8,455.66


Real Estate Taxes 1943


2.10


Excise Tax Revenue


24,177.59


Real Estate Taxes 1944


2.08


Departmental Revenue 90,463.83


Real Estate Taxes 1949


70.72


Special Assessment Revenue


97,221.55


Real Estate Taxes 1950


10,434.11


Real Estate Taxes 1951


48,886.81


$ 59,403.28


Personal Property Taxes 1950


$ 74.00


Personal Property Taxes 1951


3,499.55


$ 3,573.55


Poll Taxes 1949


$ 4.00


Poll Taxes 1950


78.00


Poll Taxes 1951


296.00


$ 378.00


Excise Taxes 1949


$ 164.70


Excise Taxes 1950


996.70


Excise Taxes 1951


23,016.19


$ 24,177.59


Betterment Assessments 1950


$ 1,106.29


Temporary Loans - Highway Reimbursements $ 20,800.00


Non Revenue Cash


Premium on Notes and Bonds 2,209.51


Sewer Connection Deposits 4,341.25


REPORT OF TOWN ACCOUNTANT


275


Betterment Assessments 1951 1,219.39


$ 2,325.68


Sewer Assessments 1950


$ 71.06


Sewer Assessments 1951


2,273.20


$ 2,344.26


Moth Assessments 1950


$


4.00


Moth Assessments 1951


78.00


$ 82.00


Sewer Assessments Not Apportioned


$ 62,441.27


Betterment Assessments Not Apportioned


$ 29,029.91


Committed Interest 1950


$ 173.32


Committed Interest 1951 825.11


$ 998.43


Tax Collector - Petty Cash


$ 100.00


Civilian Defense - Petty Cash 25.00


Health Department - Petty Cash 25.00


Welfare Department - Petty Cash 50.00


School Lunch Fund -Petty Cash 300.00


School Athletic Fund - Petty Cash 600.00


Light Department - Petty Cash 400.00


$ 52,865.80


Tax Title Revenue


Tax Titles Accounts Receivable :


Health Department


638.65


Welfare Department


6,092.39


Aid Dependent Children 3,549.58


Old Age Assistance


54,119.23


School Department 23,563.16


Comm. of Mass .- Veterans' Benefits 2,362.61


$ 1,500.00 Reserve for Petty Cash Advances $ 1,500.00 52,865.80


276


TOWN OF WAKEFIELD


Comm. of Mass .- Veterans' Burials 138.21


$ 90,463.83


State Aid-Highways


$ 5,058.55


County Aid-Highway


4,734.48


$ 9,793.03


Water Rates


$ 2,636.01


Water Services


1,074.39


$ 3,710.40 Water Revenue $ 55,816.98 Municipal Light Revenue


3,677.87 55,816.98


Special Cash-Municipal Light Guarantees Overlay:


1939


$ 2.82


Overlay Surplus-Reserve Fund


6,505.06


1941


2.36


Excess and Deficiency


385,466.24


1942


2.28


1943


2.10


1944


2.08


1949


79.04


1950


1,433.40


Sewer Assessments Apportioned


$ 34,384.75


Sewer Assessments Apportioned:


Due in 1952


$ 6,076.07


Due in 1953


5,453.38


Due in 1954


4,700.62


Due in 1955


4,583.19


Due in 1956


4,265.67


Due in 1957


3,697.46


Due in 1958


2,912.81


Due in 1959


1,356.71


Due in 1960


1,338.84


Betterment Assessments Apportioned $ 83,932.46


$ 34,384.75


277


REPORT OF TOWN ACCOUNTANT


Light Department Bills


$ 43,875.02


Overlay 1951


2,516.81


$ 1,524.08


Betterment Assessments Apportioned :


Due in 1952


$ 10,581.39


Due in 1953


10,288.73


Due in 1954


10,246.62


Due in 1955


10,032.35


Due in 1956


9,793.51


Due in 1957


9,788.28


Due in 1958


9,776.27


Due in 1959


8,882.61


Tax Title Possessions


$ 34,160.88


Due in 1960


4,542.70


$ 83,932.46


Tax Title Possessions Revenue


$ 34,160.88


Sale of Real Estate


11,976.00


Sale of Lots and Graves


3,192.00


Perpetual Care Bequests


565.00


Partial Payments-Sale of Lots


80.00


Partial Payments-Perpetual Care


85.00


Old Age Assistance-Recovery


234.70


Municipal Light Guarantee Deposits


43,875.02


Protective Equipment Account


375.00


Police Department-Other Expense


36.07


Police Department-Screens, Targets, Emergency Lights 274.00


New Boat House


2,305.00


Fire Department-New Equipment


961.79


Sealer Weights and Measures-Fire Loss


1,599.94


Civilian Defense-Other Expense


5,159.31


Board of Public Works:


Sand Spreaders 914.00


278


TOWN


OF


WAKEFIELD


Road Machinery Fund


1.00


Town Hall Study


200.00


New Police Station-Public Toilets


3,748.38


New Equipment 1948


1,064.18


New Equipment 1949


412.32


New Equipment 1950


1,105.74


Chapter 90 Main Street 1951


5,198.64


New Sidewalks 1951


7,021.68


Vernon Street Sidewalks


668.90


Rebuilding Sidewalks 1951


9,757.60


Special Drainage 1951


4,506.63


Replacing Concrete Curbing 1951


4,275.00


Fosters' Lane Construction


629.73


Barriers Quannapowitt Boulevard


159.68


Water Department-Other Expense


6,071.77


Sewer Construction 1951


6,263.17


Sewer Survey-Montrose


10,262.49


Welfare-Unpaid Bills 1950


287.21


Aid Dependent Children-Federal Funds


5,851.38


Old Age Assistance-Federal Funds


27,916.15


Old Age Assistance Adm .- Federal Funds


989.09


Willard Donnell Trust Fund


299.29


Veterans' Benefits


538.05


School Athletic Fund


2,760.46


School Lunch Fund


1,073.21


High School Addition-Plans and Prelim. Exp. 143.88


High School Planning Committee Expenses


3,908.07


Schools-Professional Survey


43.21


Elementary Schools Planning Committee Exp.


1,520.62


REPORT


OF


TOWN


ACCOUNTANT


279


1.00


24.00


Over Estimates-State and County Charges:


Metropolitan Charges-Charles River Basin


1,178.92


Metropolitan Parks-Loans 764.51


Metropolitan Sewer Loan-North System 8,257.18


Joseph DeRenne-Perpetual Care Fund


100.00


Water Supply Survey


250.00


Hall Property Improvement


500.00


Insurance Damage-Town Hall


47,120.79


Agency and Trust:


Blue Cross Deductions $ 772.82


Federal Tax Deductions 13,962.63


Teachers' Retirement Deductions 1,916.63


$ 16,652.08


Municipal Light Department: Operation Fund


$ 22,617.77


Depreciation Fund 39,872.68


$ 62,490.45


$ 1,225,140.12


Total Revenue Bond Issues-Non-Revenue Cash: Street Construction 1949-Bond Issue No. 2 Highway Special Bond Issue Transfer 3,403.08


$ 2,274.88


Street Construction 1951


12,966.58


Water Supply Addition


295.96


Water Mains Extensions


5,115.22


280


Under Estimates-State and County Charges: County Tax $2,357.71 Middlesex County Hospital 3,237.49


State Charge-Smoke Inspection


.38


Metropolitan Parks and Reservations 9,600.68


1


Purchase of Land-M. D. C. Dog Licenses


TOWN OF WAKEFIELD


Water Construction 1951


18,004.66


Power Shovel


1,433.94


Sewer Construction 1948


1,773.48


Sewer Construction 1949


10,577.50


Sewer Construction 1950


21,041.36


Sewer Construction 1951


56,378.71


Montrose Sewer 1949


3,840.42


Sewer Construction 1946


191.79


Sewers for Drainage 1948


27,986.50


Sewers for Drainage 1949


489.37


Hurd School Addition


11.41


Davidson Road-School Site


1,000.00


Lowell Street Construction- School


320,000.00


Western Avenue Constructionn-


School


225,000.00


$711,784.86


Grand Total


$ 1,936,924.98


$ 1,936,924.98


REPORT OF TOWN ACCOUNTANT


281


SUPPLEMENTARY BALANCE SHEET TRUST AND INVESTMENT FUNDS


Cash on Hand, December 31, 1951


$156,052.76 Sweetser Lecture Fund


$ 10,000.00


Sweetser Lecture Guarantee Fund


3,495.89


$156,052.76


Jonathan Nichols Temperance Fund


1,765.26


Forest Glade Cemetery Funds


37,470.00


Post War Rehabilitation Funds


65,000.00


Library Trust Funds


16,389.26


Park Trust Funds


5,640.62


Old Cemetery Trust Funds


6,703.39


School and Scholarship Funds


9,588.34


$156,052.76


$156,052.76


SUPPLEMENTARY BALANCE SHEET RETIREMENT SYSTEM FUNDS-CASH AND SECURITIES


Balance, January 1, 1951


$241,785.88


Payments:


Transfers from Payroll Deductions


34,510.50


Pensions and Annuities


$ 60,500.40


From Town Appropriations:


Administrative Expense


3,091.35


For Pensions


$ 42,701.00


Refunds-Members Deductions


2,747.96


Members Military Service


138.60


Balance December 31, 1951


263,287.47


Expense Fund


3,273.40


$ 46,113.00


Increase in Market Value of Bank Stock Investment Income


600.00


6,617.80


$329,627.18


282


TOWN OF WAKEFIELD


$329,627.18


1951 Indebtedness Account


Outstanding January 1, 1951 Bonds Issued 1951 Payments 1951 Outstanding, December 31, 1951


$ 1,326,000.00 706,000.00


117,000.00 $


1,915,000.00


$ 2,032,000.00


$ 2,032,000.00


RECAPITULATION


Sewers


$ 512,000.00


Highways


188,000.00


Water


287,000.00


Schools


772,000.00


Highway Building and Police Station Loan


66,000.00


Police Station Loan 1949


90,000.00


$ 1.915,000.00


INDEBTEDNESS ACCOUNT-DUE 1952 TO 1973 INCLUSIVE


Loans


Outstanding


Due


Due


Due


Due


Due


Due


Due


Due 1959


Due 1960


Du 1961


Due 1962


Due 1963 5,000.00


Due 1964 5,000.00


Due 1965


Due 1966


Due 1968


Due


Due


Due


Due


Du


Dec. 31, 1951


1952


1953


195


1955


195€


1957


1958


$ 6,000.00


6,000.00


6,000.00


$ 5,000.00


$ 5,000.00


$ 3,000.00


$ 3,000.00


6,000.00


3,000.00


3,000.00


Sewer Loan 1948


84,000.00


7,000.00


7,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5.000.00


$ 5,000.00


Sewer Loan 1949


229,000.00


13.000.00


13,000.00


13,000.00


10.000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


10,000.00


$ 10.000.00


$ 10,000.00 $ 10,000.00 $ 10,000.00 $ 10,000.00


Sewer Loan 1950


55,000.00


4,000.00


4,000,00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


3,000.00


Sewer Loan 1951


58,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


3,000.00


3,000.00


3,000,00


3,000.00


3,000.00


2,000.00


2,000.00


2,000.00


2,000,00


2,000.00


2,000.00


2,000.00


2,000.00


2,000.00


Street Loan 1948-First Issue


6,000.00


3,000.00


3,000.00


Street Loan 1949


46,000.00


7,000.00


7,000.00


7.000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


Street Construction 1950


29,000.00


4,000.00


4,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


Street Construction Loan 1951


41,000.00


5,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


4,000.00


Highway Building and Police Station Loan


66,000.00


6,000.00


6,000.00


6.000.00


6,000.00


6,000.00


6,000.00


6,000.00


6,000.00


6,000.00


6,000.00 5,000.00


5,000.00


5,000.00 10,000.00 28,000.00


5,000.00 10,000.00 28,000.00


10,000.00 28,000.00


28,000.00


28,000.00


28,000.00


25,000.00


Water Mains Relaying Loan 1930


8,000.00


3,000.00


Water Loan 1942


2,000.00


2,000.00


Water Loan 1946


27,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


2,000.00


1,000,00


Water Loan 1950


93,000.00


7,000.00


7,000.00


7,000.00


7,000.00


7,000.00


7,000.00


7,000.00


7,000.00


7,000.00


6,000.00


6,000.00


6,000.00


6,000.00


6,000.00


Water Mains Loan 1948


50,000.00


5,000.00


5,000,00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


65,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


8,000.00


4,000.00


4,000.00


$ 1,915,000.00


$159,000.00


$156,000.00


$140,000.00


$133,000.00


$133,000.00


$117,000.00


$117,000.00


$114,000.00


$108,000.00


$102,000.00


$ 86,000.00


$ 80,000.00


$ 80,000.00


$ 63,000.00


$ 60,000.00


$ 55,000.00


$ 45,000.00


$ 40,000.00


$ 35,000.00 $ 10,000.00 $ 10,000.00


$


6,000.00


6,000.00


$


6,000.00 $


6,000.00 $


6,000.00 $ 6,000.00


1970


1971


1972


1973


Sewer Loan 1946


$ 80,000.00


$


21,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


Water Loan 1951


30,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


3,000.00


10,000.00 30,000.00 3,000.00


10,000.00 30,000.00 3,000.00


10,000.00


10,000.00


School Loan 1951


577,000.00


30,000.00


30,000.00


30,000.00


30,000.00


30,000.00


30,000.00


30,000.00


30,000.00


28,000.00


28,000.00


4,000.00 6,000.00


Police Station Loan 1949


90,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


5,000.00


Hurd School Building Loan 1948


195,000.00


15,000.00


15,000.00


15,000.00


15,000.00


15,000.00


10,000.00


10,000.00


10,000.00


Water Mains Loan 1947


4,000.00


2,000.00


2,000.00


Water Mains Loan 1949


Water and Sewer Loan 1948


45,000.00


9,000.00


9,000.00


9,000.00


9,000.00


9,000.00


Street Loan 1948-Second Issue


5,000.00


5,000.00


5,000.00 10,000.00


10,000.00


28,000.00


3,000.00


2,000.00


Due


1967


1969


$


Sewer Loan 1947


Street Loan 1947


5,000.00


$ 72,000.00


REPORT OF TOWN ACCOUNTANT


283


The accounts of the Treasurer have been examined and found to be in agreement with the Accountant's books.


Cash balances have been verified and found to be distributed as follows:


General Funds-on deposit in:


Wakefield Trust Company $566,046.46


Second National Bank of Boston 790,144.22


Cash in hands of Treasurer not deposited


until January 1952 27,930.12


Total December 31, 1951 $ 1,384,120.80 Trust Funds have been checked by examination of Savings Bank deposit books.


Investment Funds have been checked and found in the custody of the Treasurer and consist of the following:


U. S. War Bonds 21/2 %-Series G $ 65,000.00


Funds of the Contributory Retirement System have been checked by examination of Cooperative Bank books, securities, and the statement of the Wakefield Trust Company covering the checking account, and have been found to be in agreement with the Town Accountant's books.


Funds are invested as follows:


Wakefield Savings Bank $ 5,351.65


Melrose Savings Bank 5,349.39


Malden Savings Bank 10,752.23


Cooperative Banks - Serial Shares including


$ 21,453.27 accrued interest


$116,992.50


United States War Bonds 21/2 % Series G.


70,000.00


100 shares First National Bank of Boston, purchase price $ 4,900.00


100 shares National Shawmut Bank of Boston, pur- chase price 3,000.00 $ 7,900.00


Wakefield Trust Company-Checking Account $ 44,707.06


Check for Payroll Deductions in hands of Treas- urer not deposited until January 1952 758.37


Accrued Interest on Bonds 531.21


$ 45,996.64


Total Funds December 31, 1951


$262,342.41


All cancelled, permanent and temporary loans paid during the year by the Treasurer have been examined and found to be as reported.


I wish to express my appreciation to the Honorable Board of Select- men and to all other officers and employees who have cooperated in carry- ing on the financial administration as designed by the Accounting De- partment.


Respectfully submitted, JOHN J. MCCARTHY, Town Accountant


284


TOWN OF WAKEFIELD


Index to Town Officers' Reports


Animal Inspector


121


Assessors


126


Births


75


Board of Public Works


158


Building Inspector


120


Civil Defense


117


Deaths


Dog Licenses


99 105 121


Dog Officer


Election Results and Town Meetings


Engineering Division


Fire Department


Forest Warden


Health Department


Highway Division


Hunting and Fishing Licenses


. 105 279


Indebtedness Account


.


Jurors


Library Trustees


Light Department


Marriages


Milk and Food Inspector


Moth and Tree Division


Park and Cemetery Division


Planning Board


Plumbing Inspector


Police Department


Recreation Commission


Retirement Board


School Department


Sealer of Weights and Measures


Selectmen


Sewer Division


Sporting Licenses


Sweetser Lecture Committee


Town Accountant


235


Town Meetings


13


Town Officers 1951-1952


3


Treasurer


172


Veterans' Benefits and Services


139


Water Division


161


Wire Inspector


118


Welfare Department


148


10 158 115 119 128 165


6 131 141 87 130 159 159 140


129 109 156 122 195 125 106 165 105 124


285


INDEX TO TOWN ACCOUNTANT'S REPORT


Index to Town Accountant's Report


Accounting


240


Accounts Receivable-Various Departments


276


Aid to Dependent Children 237, 245


Appeals Board


236, 252


Appropriations Schedule


267


Appropriations Balances Transferred to Revenue


274


Armistice Day


253


Assessments-Special


235


Assessors


241


Available Balances


274


Balance Sheet


275


Blue Cross Deductions


239, 253


Bond, Accrued Interest


239


Bond Issues


239, 258, 273


Building Inspector


236, 245


Cemetery Division


238, 257


Cemetery Sale of Lots and Graves


238


Civil Defense


244


Collector 236, 241


Commonwealth of Massachusetts-Receipts


237


Commonwealth of Massachusetts-Old Age Assistance 237


Compensation Account 245


Cox Scholarship Fund 239,262


Dog Licenses


236, 253


Dog Officer


245


Dumps


256


Election and Registration 241, 242


Excess and Deficiency 263


Excise Tax-Motor Vehicle


235


Federal Withholding Taxes


237, 253


Finance Committee 253


Fines and Forfeits


236


Fire 236, 243, 255


Fire Alarm, Police Signal, Traffic Lights 262


Fire Insurance Recovery Town Hall 236


Fire and Liability Insurance 253


Forest Warden 244


Garbage


255


Health 236, 244


Highway 237, 238, 256


Highway Chap. 90 237, 256


Hurd School Construction Grant 237


Hydrant Rental 244


.


.


.


.


.


.


286


TOWN OF WAKEFIELD


Indebtedness Account-insert following


282


Infirmary 237, 246


Inspector of Animals


245


Inspector of Buildings


245


Inspector of Plumbing


245


Inspector of Wires


245


Interest 239, 261


Investment-War Bonds


239


Lafayette Building


238, 255


Legal


241


Library


237, 251


Licenses and Permits


235


Light Department


238, 253, 262


Maturing Debt


261


Memorial Day


252


Middlesex County Tax


253


Middlesex County Hospital


253


Miscellaneous Account


252


Moth and Tree Division


257


Moth Assessments


235


Old Age Assistance


237, 246


Overlay -- Prior Years


277


Overlay Surplus


277


Park Division


238, 257


Payments


240


Perpetual Care-Cemetery


238, 239, 262


Planning Board


252


Police


236, 242


Police Station-New


243, 256


Post-War Fund Income


239


Premium on Notes and Bond


239, 261


Public Works Dept.


238, 255


Real Estate-Sale


278


Receipts


235


Recreation Commission


252


Refunds


239, 261


Reserve Fund


263


Retirement System


253, 282


Rifle Range 252


Sealer of Weights and Measures 236, 244


Selectmen


240


Schools 237, 247


Sewer Assessments


235


Sewer Connections 238, 258


Sewer Construction


258


Sewer Division


238, 258


Sewerage Surveys


258


INDEX TO TOWN ACCOUNTANT'S REPORT 287


Snow and Ice


256


Special Assessments 235


State and Metropolitan Charges 237, 253


Street Lights


252


Streets-New Construction, 1948, 1949, 1950, 1951 256


Sweetser Lecture Fund 239, 261


Taxes, Deferred 239


Taxes-Receipts


235


Taxes Prior Years


235


Tax Title Interest


239


Tax Title Possessions


276, 278


Tax Title Redemptions


235


Tax Titles


241


Teachers' Retirement Fund


239, 253


Temporary Loans


239, 261


Town Clerk


236, 241


Town Hall


238, 255


Treasurer


241


Trust Fund Account 265, 282


Trust Fund Income


239


Trust Fund Payments


282


Veterans' Pensions


246


Veterans' Burials 252


Veterans' Service Department


246


Visiting Nurse


252


Vital Statistics


241


Water Division


238, 257


Water Rates


238, 277


Water Services


238, 277


Welfare


236, 245


Willard Donnell Trust


239, 246


!


222836


RECEIVED





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