USA > Massachusetts > Plymouth County > Plymouth > Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1936 > Part 26
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We have done as much pruning and weeding as our appropriation would permit, and have cut and turned over to the Welfare Board about twenty cords of wood to be used for fuel.
It is our intention to do some reforesting in the spring and we have therefore placed an order for two thousand white pine seedlings.
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For the ensuing year we recommend an appropriation of $1500.00 for reforesting and improvement.
ADRIAN P. WHITING, Chairman ABBOTT A. RAYMOND, CHARLES MONING,
'Town Forest Committee
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REPORT OF COMMITTEE ON INLAND
FISHERIES
The Honorable Board of Selectmen Plymouth, Mass.
Gentlemen :
Your Committee on Inland Fisheries report that the sum of two hundred and fifty dollars was appropriated for stocking our streams and ponds last year. Pond fish were not available but trout were. Your Committee stocked the following streams as itemized below, with trout that averaged three quarters of a pound each. Seventy-five to Russell Pond Brook, two hundred eighty- seven Town Brook, two hundred eighty-six Hayden Mills, two hundred eighty-seven to Beaver Dam; nine hundred thirty-five altogether.
Your Committee request that the sum of three hun- dred dollars be appropriated this year so that pond fish may be secured. The pond fish have to be trucked from a long distance and is a big matter in this small appro- priation.
Respectfully submitted,
W. S. GALE GEOFFREY PERRIER M. D. WELSH
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REPORT OF TOWN ENGINEER
To the Honorable Board of Selectmen :
Gentlemen :
The work of the Engineering Department for 1937 has, as usual, been varied and interesting. Surveys, plans and cost estimates for numerous W. P. A. Projects have been made. Among the more important of these was one for Manomet Cemetery for a new wall and grading to develop new lots. Also, an extension of Birch Avenue, to connect Stafford St. with Newfields St., and a continu- ation of wall on Water St. to Millar's wharf.
STREET LAYOUTS
Surveys and plans for new street layouts were made of Cape Cod Avenue, in Manomet, Cherry St. Extension, Stafford St. Extension and Birch Avenue.
The Cape Cod Avenue plan has never been presented to the Town for acceptance but the remaining layouts were accepted and descriptions and plans of them are on file in the Town Clerk's office.
RIFLE RANGE
A great deal of time was given to studies for a suit- able rifle range for L Co., 101st Reg., M. N. G.
Approximately, two weeks of field work was devoted to the study of a proposed range on Sandwich Road, near Symington's, and when this was rejected a similar study was made for a range on Beaver Dam Road. We under- stand that this latter location has been approved by the proper authorities and will be recommended to the Town for acceptance.
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CLAM GRANTS
Two clam grants, one at Saquish and one at Corey's flat, have been staked out and plan and description on each have been recorded with your Board.
SEWERS
Lines and grades for sewer extension on Overlook Road and Wellingsley Avenue have been furnished by this department and record plans made of installations.
MISCELLANEOUS
Some miscellaneous engineering work in relation to grading School grounds and developing lots in Vine Hills Cemetery and Chiltonville Cemetery Addition have been among the activities of this department.
Respectfully submitted,
ARTHUR E. BLACKMER, Town Engineer
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REPORT ON COUNTY AID TO AGRICULTURE
(Plymouth County Extension Service)
To the Honourable Board of Selectmen, Plymouth, Mass.
Gentlemen :-
I beg to submit the following report as the Town Di- rector of County Aid to Agriculture. The County Ex- tension Service, with whom your director works, has been functioning in this county for the past twenty-three years. It is for the betterment of all branches of agri- culture and to get the most out of it, one should freely write to the service with their problems and only by your inquiries can we know you are in difficulties, and thus be of greater help to all branches of agriculture.
During 1937 much work has been done and time given to the Agricultural Conservation Program. To show how various branches of farm industry will benefit by taking advantage of the program, four hundred and fifty men who have enrolled will receive from the Federal Gov- ernment about $25,000. If any farmer in this area has not as yet enrolled I should advise him at once to get in touch with the County Agent and do so, as we may as well have our share of the Federal funds as any one else.
Among the various organizations who have benefited by the service are the Association of County Diarymen, Poultrymen, Cranberry Growers, Production Credit, Goat Owners, Bee Keepers, Rural Resettlement and vari- ous fairs, Granges and the Egg Auction. Thirty-two hundred farmers in the County were supplied with time-
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ly information regarding agricultural problems and 696 farm visits were made.
During 1937, in addition to the service given individual homes, there were sixty-seven groups organized to study the problems connected with housekeeping, home man- agement and family life. The enrollment in the county is well over 1500 and 257 women have helped in the or- ganization and carrying out of this program.
There were 106 4-H clubs organized in the county in 1937, with a total enrollment of 1620 boys and girls.
Perhaps the following table and summary will prove interesting and show the growth of the Extension Serv- ice in our County in the last twenty years.
1917
1927
1937
Increase in 20 Years
Meetings
35
91
152
434%
Attendance
1599
2643
5370
335%
Farm Visits
278
466
696
250%
Office Calls
261
223
591
225%
Telephone Calls
969
933
Individual Letters
392
(inc. cir.) 487
1137
287%
Circular Letters
49
176
360%
Copies Sent
1360
20,760 66,654
4900%
Also it may be interesting to note that the County has spent a little over $24,000 of which about ten percent was contributed by the various towns in the county to carry on this very important work. In my opinion, we should contribute no less than last year, to carry out the pros- grams for 1938.
Very truly yours,
JAMES S. A. VALLER, Town Director of County Aid to Agriculture.
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REPORT OF THE PLANNING BOARD
The Board organized on April 6th, 1937, and Allen D. Russell was again elected Chairman and Arthur E. Blackmer, Clerk.
At the organization meeting the work for the year was laid out and consisted of further study of, the westerly highway, an intercepting sewer, the Middleboro-Plymouth Road, parking places and harbor improvement.
During the year regular meetings were held by the Board in the Town Offices and delegations made many trips to hearings and conferences with state officials.
The Board reports that some surveying was done on the westerly route by state engineers but due to lack of funds the information has not been put in final form and nothing has been done by the Highway Department or the Legislature towards actual construction.
Conferences were held with the engineers regarding the intercepting sewer. The engineers were much pleased by the data collected under the W. P. A. project that has been fostered by the Planning Board, concerning drains and sewers, their location, grades, etc. This project of an intercepting sewer is an expensive one and the Board felt it should be left to better times.
The Chairman and Clerk attended a meeting at the State House where the proposed Middleboro-Plymouth Road was investigated by the proper state committee under the bill introduced by Rep. Ira Ward. All speakers including the representative of the Highway Commission favored the project. It remains for the legislature to or- der the work done and appropriate the money.
The Planning Board investigated the possibility of us- ing the old Morton Grain Mill sight as a parking place.
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Plans have been drawn up for this development and pre- sented to the Selectmen. An article will probably be put in this year's warrant for the construction of this park- ing place.
The Planning Board was asked by the Selectmen to lay out a plan for the parking place along the east side of Water street. The Board drew up a plan calling for some sort of fence or wall along the easterly edge of the area with a sidewalk just behind it. This sidewalk to be pro- tected from parking cars by a low cement wall similar to the one in front of the town house. The area reserved for cars to be covered with broken stone and preferably raised a few inches above the sidewalk to give a better view to those parking in cars.
The Board did not design the present wall, but when a few people raised objections to it the Board did visit the spot and after examining into costs of construction and upkeep of various types of barriers they decided that if the wall were lowered six inches in front of the big parking space the present wall was as satisfactory a one as could be built. Upon such opinion being made known to the selectmen the lower wall was built.
The Board attended two or three meetings in Boston where the question of harbor improvement was discussed especially the possibility of digging an anchorage basin for larger boats where the main channel meets the beach. This basin of forty-two acres and with a depth of eigh- teen feet at mean low water, has now been approved by the proper agency of the Federal Government and the dredging will go forward as soon as the State, County, or Town arrange to pay their share, which is $284,700 being one-third of the total cost.
Under date of February 25, 1938, we have a copy of a letter from the Department of Public Works stating in part, "We wish to assure you that this department will Recommend to our Legislature that an appropriation of State funds, or state and town or county combined, be
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made to provide for the contribution required by local interests."
The Planning Board does not claim full credit for the above achievements but wishes to acknowledge the help of other departments and to pledge the aid of the Board to all departments and organizations as in the past.
The Planning Board respectfully requests that the Town appropriate the sum of two hundred dollars for their work for the coming year.
Respectfully submitted,
ALLEN D. RUSSELL, Chairman.
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REPORT OF BOARD OF RETIREMENT
March 15, 1938
To the Citizens of the Town of Plymouth :
The Board of Retirement submits herewith a report of its activities for the year ending December 31, 1937. The contributory retirement system has now been in operation for several months. The statute setting up the system (G. L., c. 32, ss. 26-311) was accepted by the Town at the State and National Election, November, 1936. Under the law, the system became effective July 1st, 1937. The Board was organized during the summer months, and, in September, Mr. Norman Gray was em- ployed to assist the Board in contacting all town em- ployees and explaining to them the workings of the system. It is too early, as yet, to enter into any dis- cussion either of the significance of these first figures or of the probable effect of the system upon the Town.
I. MEMBERSHIP
1. Membership December 31st, 1937
Members employed 79
Members pensioned
3*
-
82
2. Total Membership
Members joined
84
Members resigned 1
Members died 1
2
82
* Does not include widow of deceased mem- ber, now being pensioned.
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II. RECEIPTS AND EXPENDITURES
1. Receipts
Transfer from Reserve Ac-
count to Pension Account $280.00
Transfer from Reserve Ac-
count to Expense Account 320.00
Deductions from Members'
wages and salaries 2,048.26
$2,648.26
2. Expenditures
Pensions $151.25
Stationery, Books of Ac-
count, Forms, Postage, etc. 130.26
Salary, Norman Gray, 11 weeks @ $10 110.00
Wm. E. Curtin, M. D., medi- cal services 5.00
Repayment of deductions to
resigned member 5.25 $ 401.76
Balance $2,246.50
3. Disposition of Balance
Deposit, Plymouth National Bank, Pension Account $128.75
Deposit, Plymouth National Bank, Expense Account 74.74
Deposit, Plymouth Savings
Bank, Annuity Savings Account 2,043.01
$2,246.50
$0,000.00
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III. BALANCE SHEET
1. Assets
Deposit, Plymouth National
Bank, Pension Account $128.75
Deposit, Plymouth National
Bank, Expense Account 74.74
Deposit, Plymouth Savings
Bank, Annuity Savings Account
2,043.01
$2,246.50
2. Liabilities
Annuity Savings Account
$2,043.01
Pension Account
128.75
Expense Account
74.74
$2,246.50
$0,000.00
Respectfully submitted,
RUSSELL P. DEARBORN, Chairman A. RODMAN HUSSEY, JR., Secretary ELMER R. HARLOW.
Board of Retirement Plymouth Contributory Retirement System
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LIST OF JURORS
Prepared by the Selectmen of Plymouth, Mass., for 1938
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Alexander, Earl, 65 Alden St., Fireman.
Anderson, Robert E., 12 So. Spooner St., Clerk.
Armstrong, Robert, 5 So. Spooner St., Cordage Emp.
-B-
Bain, James, 11/4 So. Spooner St., Retired. Baker, Harold W., 8 Chilton St., Mgr. Bartlett, Elston K., 30 Vernon St., Carpenter. Beauregard, L. Edgar, 4 Alden St., Weaver. Bell, Harry W., 74 Court St., Retired. Berg, Elmer L., 68 Summer St., Electrician.
Besse, Ezra L., 6 Alden St., Edes Mfg. Co. Emp. Besse, Loring P., 66 Sandwich St., Carpenter. Birnstein, Fred C., 17 So. Russell St., Loom Fixer. Brenner, Henry, 191 Standish Ave., Laborer. Brewster, Wallace B., 14 Mayflower St., Electrician. Briggs, Lyman W., 28 Oak St., Clerk. Buchanan, Vincent, 47 Oak St., Painter. Bumpus, Harold A. C., 23 Vernon St., Carpenter. Burgess, Osborne, Newfields St., Cord. Emp. Busi, Andrea, 15 Lincoln St., Janitor.
-C-
Cadose, Manuel, Jr., 7 Castle St., Cord. Emp. Callahan, Harry F., 18 Lothrop St., Mill Emp. Canevazzi, Mauro J., 319 Court St., Ins. Agt. Carr, Andrew J., 18 Standish Ave., Retired. Carr, Charles F., 21 Middle St., Laborer.
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Carr, Edward B., 23 Centennial St., R. R. Employee. Carr, Walter E., 92 Spooner St., Foreman.
Carreiro, Joseph D., 142 Standish Ave., Cord. Emp. Cassidy, Charles H., 21 Wood St., Fireman. Clark, Alton T., 80 Sandwich St., Painter. Cohen, Harris B., 2 South Green St., Clerk. Contente, Joseph S., 280 Court St., Shoe Dealer. Covell, Carl L., Sandwich St., Carpenter. "
-D-
Darsch, John M., Jr., 39 Cordage Terrace, Cord. Emp. Darsch, Joseph A., 24 So. Spooner St., Cord. Co. Emp. Derby, Samuel, 28 Davis St., Mill Emp. Dittmar, Warren E., 25 So. Spooner St., Cord. Emp. Donovan, Richard J., 8 Bourne St., Mill Emp. Douglas, Harold E., South Pond, Clerk.
Douglas, Howard M., 44 Mayflower St., Retired.
-F-
Finney, George, Cliff St., Laborer.
Fox, George T., 15 Alvin Road, Cord. Emp. Franc, Samuel E., Manomet, Electrician.
-G-
Gallagher, Harold C., 38 Davis St., Moulder. Gardner, Samuel L., 15 Alden St., Weaver. Ginhold, George E., 5 Lafayette Court, Weaver. Girard, Raymond F., Clifford Rd., Electrician. Goddard, Harrison F., 14 Chilton St., Cranberry Grower. Goodwin, Frank J., Jr., Wilson Place, Chauffeur. Gould, Harold W., 209 Court St., Clerk. Grandi, Charles J., 10 Brewster St., Foreman. Gray, Norman W., 362 Court St., Cord. Emp. Greaves, Robert, 5 Shaw Court, Mill Emp. Greene, Harold F., 12 Alvin Road, Bookkeeper. Griffin, Chester D., 15 Alden St., Machinist. Griswold, Frank B., Vallerville, Laborer. Gunther, Harvey, 2 Cordage Ter. Ext., Theatre Emp.
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-H-
Hagen, Frank A., 16 Atlantic St., Foreman. Haire, George F., 10 Middle St., Salesman. Hanson, George, 18 Nelson St., Loom Fixer. Harper, William C. J., 58 High St., Electrician. Hedge, I. Lothrop, 26 Standish Ave., Grocer. Hennessey, Andrew A., 68 Oak St., Lineman. Hunt, Walter E., 6 Water St. Ext., Co. Electric Co. Emp. Hurd, William E., 12 Bartlett St., Machinist.
--- J ---
Jenkins, Gordon H., 42 So. Spooner St., Cord. Emp.
-K-
Karle, Ario A., Sandwich Rd., Clerk.
-L-
Laurent, Lucien A., 98 Spooner St., Cord. Emp. Loring, Elmer E., Manomet, Lobsterman.
Loring, Elmer M., White Horse Beach, Lobsterman.
-M-
Mahler, Laurence P., 31 Vernon St., Plumber. Mansfield, Fred T., 16 Brewster St., Weaver. Manter, Walter L., 380 Court St., Cord. Emp. Martin, Frank M., 251/2 Warren Ave., Mechanic. Martin, Harold A., 45 Mayflower St., Chauffeur. Martin, Theophilus, 1 Warren Ave., Clerk. McCosh, Gordon S., 39 Mayflower St., Painter. McCosh, John A., Manomet, Clerk. McCosh, Sidney C., Beaver Dam Road, Laborer. Mckay, Neil, 2 So. Spooner St., Cord. Emp. McNeil, H. Gordon, River St., Cord. Emp. Metcalf, James F., 92 Allerton St., Mill Emp. Minelli, James, Jr., 11 So. Spooner St., Machinist. Mondeau, Leo O., 26 Chilton St., Clerk. Morin, Louis G., 14 Savery Ave., Mill Emp.
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Morton, Albert E., 257 Sandwich St., Supt. Morton, Reginald, 7 Washington St., Carpenter. Murray, John H., Manomet, Mechanic.
-N-
Nickerson, John C., River St., Trout Raiser.
-P-
Parenteau, Alphonse, 31 Russell St., Janitor. Pascoe, John, 63 Samoset St., Monument Dlr. Peterson, Valentine J., 312 Mayflower St., Foreman. Phaneuf, George A., 44 Russell St., Poultry Dlr. Pierce, Albert F., 17 Lincoln St., Fisherman. Pierce, William S., 1B So. Spooner St., Boss Spinner. Pioppi, Anthony V., 29 Cherry St., Ply. Bottling Works. Pirani, Humbert, 25 Cherry St., Printer.
-R-
Rae, James, 338 Court St., Supervisor. Raymond, Elmer E., Long Pond, Cran. Grower. Raynes, George H., 8A North St., Mfgr. Riedel, Joseph H., 308 Court St., Mabbett Emp. Robbins, Louis C., 25 Leyden St., Salesman. Roberts, Walter R., 94 Allerton St., Bank Clerk. Rogan, Joseph S., Newfields St., Grocer. Russell, John A., Vallerville, Farmer.
-S-
Sampson, Emerson F., Manomet, Agent. Schreiber, David A., 26 Alden St., Retired. Schreiber, John J., 361/2 Standish Ave., Laborer. Searles, John W., 2 Holmes Terrace, Chemist. Sears, John H., 9 Bay View Ave., Clerk. Sears, Luther F., 240 Sandwich St., Cord. Emp. Sgarzi, Enzo V., 354 Court St., Plumber. Simmons, Harry L., 36 Mayflower St., Cord. Emp. Sink, Sidney L., 6 Lewis St., Tel. Emp. Spurr, James E. T., Billington St., Mill Emp. Surrey, LeRoy B., 18 Nelson St., Accountant.
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-T-
Thom, George S., 1 So. Spooner St., Cord. Emp. Thom, Robert, 4071/2 Court St., Cord. Emp. Torri, Tonino, 19 Castle St., Laborer.
-V-
Volta, Charles, 33 Cherry St., Oil Dlr.
-W-
Ward, George A., Sandwich Rd., Foreman. Watkins, Alvin M., 78 Oak St., Mill Emp. Wood, Leonard S., Beaver Dam Road, W. P. A. Wood, William R., 74 Summer St., Sign Painter.
-Y-
Youngman, Fred W., 67 Samoset St., Weaver.
-Z-
Zaniboni, Fred, 298 Court St., Weaver.
JAMES A. WHITE, WILLIAM H. ARMSTRONG, HOWARD M. DOUGLAS, JAMES T. FRAZIER, JOHN H. MURRAY,
Board of Selectmen.
ANNUAL REPORT
OF THE
TOWN ACCOUNTANT
OF THE
Town of Plymouth
1620.
CH
OF
For the Year Ending December 31, 1937
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TWENTY-SIXTH ANNUAL REPORT OF THE TOWN ACCOUNTANT
For the Year Ending December 31, 1937
Plymouth, Mass., February 26, 1938
To the Board of Selectmen.
Town of Plymouth.
Gentlemen:
I submit herewith my report of the financial trans- actions of the Town for the year ending December 31, 1937.
The schedules are in the usual forms and comprise the following :
Schedule A. Receipts and Payments classified in ac- cordance with the requirements of the Division of Ac- counts of the State of Massachusetts.
Schedule B. Departmental and Other Expenditures, including all local funds expended on Works Progress Administration projects, and final payments of Federal and Town funds on the New High School Construction Public Works Administration project.
This schedule shows all sums appropriated at town meeting, together with unexpended balances of 1936
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construction or special accounts reserved for use during the year, all payments made therefrom classified as to the purposes of payments, and disposition made of any unexpended balances remaining December 31, 1937.
Schedule C. Estimated and Actual Cash Receipts, other than from taxes or special grants to be used for specific purposes.
Schedule D. Revenue Account for the year 1937. This shows total town meeting appropriations, estimated re- ceipts used by the Assessors, and amount to be raised by taxation for that year.
Schedule E. List of Unexpended Appropriation bal- ances which were transferred to Excess and Deficiency at the close of the year.
Schedule F. Balance Sheet, January 1, 1938, showing debit or credit balances of all open accounts.
Schedule G. Summary of Outstanding (Bonded) In- debtedness at the beginning of the year, amounts paid thereon during the year, and the requirements for pay- ment of principal and interest during the ensuing year.
Schedule H. Detailed Statement of the Bonded In- debtedness, with dates of issue, rates of interest, and amounts to be retired annually.
Schedule I. List of Trust Funds, not including the January, 1938, dividends.
Schedule J. Borrowing Capacity of the Town calcu- lated as of January 1, 1938.
Although our publication of financial matters in this report every year would seem to be complete, and fills more pages of the town report than in most towns, I still am asked many times during the year for figures that appear in the Accountant's Report but which the in- quirer is unable to readily find for himself. As it is not practical to rearrange the figures alphabetically or to furnish an index to them, I am providing below the group headings which constitute the State System of Account-
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ing, which is followed as near as possible in both of the long schedules (A) and (B).
General Government
Protection of Persons and Property Health and Sanitation Highways Charities and Soldiers' Benefits Schools and Libraries
Recreation and Unclassified Public Service Enterprises Cemeteries
Interest and Town Debt
No department has submitted any unpaid bills at the close of the year.
The discount rate for temporary borrowings has re- mained at the same low figure as the last three or four years.
Overdrafts amounting to $29,679.82 appear in the balance sheet, in addition to the deficit in assessment for State Tax of $2,920.24. This latter of course was something over which the Town had no control and is shared in proportion, by all Massachusetts towns.
Respectfully submitted,
ELMER R. HARLOW,
Town Accountant
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SCHEDULE A
RECEIPTS AND PAYMENTS
RECEIPTS GENERAL REVENUE 1. TAXES
Sources of Receipts
Current Year-
1. Property
$511,895.09
2. Poll
7,738.00
Previous Years
3. Property
101,396.42
4. Poll
250.00
Tax Title Redemptions
7,103.52
From the State-
47,446.64
5. Corporation
6. Street Railway
7. Bank
8. Income
77,861.16
9. Soldiers' Exemption
51.33
Reimbursement for Loss of Taxes
993.73
Total, Taxes
$754,735.89 $754,735.89
2. LICENSES AND PERMITS
Licenses-
10. Liquor
11. All Other Permits-
$16,566.00 3,067.65
12. Marriage
13. All Other
Total, Licenses and Permits $19,633.65 19,633.65
3. FINES AND FORFEITS $836.01
14. Court
15. Department Penalties
16. Contract Violations
Total, Fines and Forfeits $836.01 836.01
Total forward
$775,205.55
Revenue for Expenses
Offsets to Outlays
Total
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RECEIPTS
Sources of Receipts
Total forward
Revenue for Revenue for
Expenses Outlays Total
$775,205.55
4. GRANTS AND GIFTS
Grants from Other Civil Divisions-
17. From State, for Education
a. Support of Public Schools
b. Aid to Industrial Schools $1,116.00
c, d, e
f. English-speaking Classes 1,278.91 g.
18. From State, Armories
19. From State, Highways
20. From State, Other Purposes a, b, c
21. From State, Racing Commission
22. From County, Dog Licenses 1,923.25
Gifts from Individuals-
23. For Expenses 49,751.34
24. For Outlays $30,700.00
Total, Grants and Gifts
$54,069.50
$30,700.00
84,769.50
5. ALL OTHER GENERAL REVENUE
25.
Total forward
$859,975.05
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RECEIPTS
Sources of Receipts
Total forward
Revenue for Revenue for
Expenses Outlays Total
$859,975.05
COMMERCIAL REVENUE
6.
SPECIAL ASSESSMENTS
26. Street Sprinkling
27. Moth Extermination
$419.55
28. Sewers 645.00
29 Sidewalks and Curbing
30.
Other Purposes
Total, Special Assessments $1,064.55 1,064.55
7. PRIVILEGES
31. Public Service
32. Minor
a. Motor Vehicle Excise Tax
$23,576.58
Total, Privileges $23,576.58 23,576.58
Total forward $884,616.18
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RECEIPTS
Sources of Receipts
Total forward
Revenue for
Offsets to
Expenses Outlays Total
$884,616.18
8. DEPARTMENTAL
8a. General Government
Legislative-
33. Aldermen and Council; Moderator
Executive-
34. Mayor; Commission; Selectmen
Financial-
35. Auditor, Accountant, and Auditing
36. Treasurer
37. Collector $214.25
38. Assessors
39. License Commissioners
40. Other Finance Offices and Accounts
Other General Departments
41. Law
General Government forward ยข $214.25 Total forward $884.616.18
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PAYMENTS
Objects of Payments
Expenses Outlays Total
1. DEPARTMENTAL
la. General Government
Legislative-
1. Aldermen and Council; Moderator
a. Salaries and Wages $120.00
b. Other Expenses 190.76
Executive-
2. Mayor; Commission; Selectmen
a. Salaries and Wages 3,234.20
b. Other Expenses 900.45
Financial-
3. Auditor, Accountant and Auditing
a. Salaries and Wages 2,254.40
b. Other Expenses 344.70
4. Treasurer
a. Salaries and Wages 2,244.00
b. Other Expenses 700.31
5. Collector
a. Salaries and Wages 2,468.69
b. Other Expenses 1,657.31
6. Assessors
a. Salaries and Wages 6,254.11
b. Other Expenses 984.34
7. License Commissioners a. Salaries and Wages
b. Other Expenses
8. Other Finance Offices and Accounts
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