Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1938, Part 37

Author: Plymouth (Mass.)
Publication date: 1938
Publisher: Plymouth [Mass.] : Avery & Doten
Number of Pages: 922


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1938 > Part 37


Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).


Part 1 | Part 2 | Part 3 | Part 4 | Part 5 | Part 6 | Part 7 | Part 8 | Part 9 | Part 10 | Part 11 | Part 12 | Part 13 | Part 14 | Part 15 | Part 16 | Part 17 | Part 18 | Part 19 | Part 20 | Part 21 | Part 22 | Part 23 | Part 24 | Part 25 | Part 26 | Part 27 | Part 28 | Part 29 | Part 30 | Part 31 | Part 32 | Part 33 | Part 34 | Part 35 | Part 36 | Part 37 | Part 38 | Part 39 | Part 40 | Part 41 | Part 42 | Part 43


The work of the Engineering Department for the year 1940 has, like the activities of 1939, been concerned chiefly with WPA projects. Surveys and plans were made, and quantities estimated, to write projects for grading and re- moval of the abutments at three Middleborough R. R. bridges that were to be removed, Viz: Court Street, Standish Avenue and Parting Ways.


SEWERS AND DRAINS


Lines and grades were furnished for the intercepting sewer north from Lumber Lane, as were all the grades necessary for laying subsurface drains on Water Street, between the State Pier and South Park Avenue.


STREET LAYOUTS


Surveys were made, plans drawn, and descriptions writ- ten of proposed street layouts on the following:


Cedar Bushes and Manomet Ave., in Manomet, and Cordage Terrace, Savery Ave. Terrace, Marjorie St., Ocean View Ave., and Knapp Terrace.


CURBING


Lines were established and grades given for the con- struction of 22,720 lineal feet on concrete curbing.


CLAM GRANTS


Clam grants have been staked out and descriptions fur- nished for grants on Wine Flat, Beytes Flat and a closed area of 40 acres established at Saquish.


A plan was also submitted for a grant of approximately 40 acres on the easterly shore of Clark's Island.


Respectfully submitted,


ARTHUR E. BLACKMER,


Town Engineer.


-128-


REPORT OF THE PLANNING BOARD


To the Honorable Board of Selectmen,


Town House, Plymouth, Mass.


Gentlemen:


The Planning Board desires to submit its report for the year just ending.


The question of Zoning was taken up again in late 1939, and early 1940, at the request of the Garden Club. The maps were redrawn to meet the objections of former years insofar as that was possible. The ordinance was redrawn and the whole town restudied and the results offered to the voters but the town declined to accept the idea by a vote of about 200 to 300, which showed that only about one thirteenth of the voters knew or cared what it was all about.


Another project was the development for the use and the recreation of the town, of the Plymouth Beach area which might be affected by the disposal of dredged ma- terial from the proposed harbor dredging for a new anchorage basin.


A meeting was also held with our Tree Warden, Mr. Raymond, at which the shade tree situation was dis- cussed and a few days later the Board and Mr. Ray- mond made a tour of the town noting the condition and placement of existing trees and the locations for new plantings. We wish to acknowledge the courtesy and helpfulness of Mr. Raymond in this survey.


In addition studies were made of the proposed new street running easterly from Court Street over the old Knapp property, the Westerly Route, the parking and traffic problem facing the Town during 1941 and ensuing years, and the possibility of improving and extending the


-129-


Town water system in the Cape Cod Avenue area of Manomet.


In addition the Board met with the Selectmen and the Board of Public Welfare, the Board of Health and the Community Nurse Association, on the question of a Fed- eral Housing project which meetings are more fully covered in the report of the joint committee.


Yours respectfully,


ALLEN D. RUSSELL, Chairman.


REPORT OF REGISTRARS OF VOTERS


The Board of Registrars herewith submits its report for the year 1940.


Men Women


Number of registered voters Dec. 31, 1939


3,473


2,955


Registered in 1940


315


448


Removed from Voting list:


By reason of death


56


45


Not listed in January


55


51


Removal of residents from the Town


9


8


Change of name by marriage


82


Number of registered voters Dec. 31, 1940


3,668 3,217


In accordance with the requirements of Chapter 440 of the General Laws, listing was made of all persons twenty years of age and older.


The Board held forty-five meetings during the year 1940.


J. ERNEST BEAUREGARD, HAROLD P. SEARS, ENRICO FERRARI, HERBERT K. BARTLETT, Registrars of Voters.


-130-


REPORT OF BOARD OF RETIREMENT


March 11, 1941.


To the Citizens of the Town of Plymouth:


The Board of Retirement presents herewith its annual report. The year has been an uneventful one, and has presented no particular problems, save in one instance. As a result of the Valentine's Day blizzard, a request for a pension for the widow and children of a member of the police force was presented to the Board. Due to the age and physical condition of the deceased officer, the Board felt that there was some question as to the cause of death, and not only held a hearing, but conducted a thorough investigation. Satisfied, in the end, that the facts presented a proper case for the allowance of a pen- sion, a pension was granted. The important point to be borne in mind is that every department should maintain some check on the physical condition of the men working for the Town, and care should be taken that men physi- cally unfit should not be subjected to heavy physical ex- ertion.


As yet, despite marked conditions, the Board has found little difficulty in investing its funds, and feels that the interest earned for the year makes a very creditable show- ing. However, in the months to come, the problem of how to invest the funds, with safety and with any assurance of a continued yield somewhere nearly approaching the three (3) per cent per annum we are required to provide for, is a real one.


The annual statement follows:


I. MEMBERSHIP


1. Membership Dec. 31, 1939 84


Enrolled during 1940 12


Reinstated during 1940 1


- 97


-131-


Deaths


2


Withdrawals


3


Members retired


2


Total active members


90


2.


Pensioners Dec. 31, 1939


20


Members retired during 1940


2


Beneficiaries from accidental death 1


23


Deaths


2


Total pensioners 21


II. RECEIPTS AND EXPENDITURES


Balance Dec. 31, 1939


$18,313.61


1. Receipts:


Appropriation March 23, 1940 $13,843.70


Deductions from members' salaries and wages


7,036.68


Income from interest


675.20


Increase in value of stocks and bonds 69.14


21,624.72


$39,938.33


2. Expenditures:


Pensions


$11,511.52


Annuities


74.95


Accidental death benefits


2,458.69


Repayment of members' de- ductions


858.24


Clerical services


317.00


Medical fees


25.00


Printing and stationery


25.17


Legal expense


55.85


Association dues and expenses


22.20


Decrease in value of stocks and bonds


172.89


15,521.51


Cash Balance


$10,095.35


Value in Securities


14,321.47


Balance Dec. 31, 1940


$24,416.82


-


7


-


-132-


III. BALANCE SHEET


1. Assets:


Plymouth National Bank de-


posit $1,374.76


Plymouth Savings Bank de- posit 5,283.97


Plymouth Five Cents Savings Bank deposit


3,436.62


U. S. Treasury bonds


1,084.30


Union Pacific Railroad bonds


2,060.00


Central Ill. Pub. Service bonds


4,177.17


Peoples' Gas Light & Coke Co. bonds


2,000.00


First National Bank of Bos-


ton stock


2,500.00


National Shawmut Bank stock


2,500.00


24,416.82


2. Liabilities:


Annuity Savings Account


$19,902.86


Pension Account


4,341.56


Expense Account


97.98


Undistributed Income


74.42


$24,416.82


Respectfully submitted,


RUSSELL P. DEARBORN, Chairman A. RODMAN HUSSEY, Secretary ELMER R. HARLOW


Contributory Retirement System Board of Retirement, Plymouth.


-133-


LIST OF JURORS


Prepared by the Selectmen of Plymouth, Mass., for 1941.


Adams, James P., River St., Mason.


Anderson, Albert S., Manomet, Grocer.


Anderson, Russell W., Bartlett Road, Carpenter. Armstrong, John A., 14 Nelson St., Reporter. Armstrong, William H., 197 Sandwich St., Salesman.


Arthur, Richard B., 61 Samoset St., Buyer. Arthur, Richard W., 61 Samoset St., Retired.


Ashton, John W., 28 Vernon St., Weaver. Asker, Carl, Warren Ave., Ice Dealer. Axford, William B., 9 Washington St., Clerk. Badger, Leon D., 2 Lewis St., Painter. Bagnell, George F., 33 So. Spooner St., Clerk.


Bailey, Frank L., 18 Chilton St., Optician. Balboni, Frank J., So. Cherry St., Laborer.


Bander, Charles H., 19 Mayflower St., Merchant. Banzi, Amedio, 183 Court St., Steward. Banzi, Roldo, 20 Nelson St., Laborer. Bartlett, Robert A., 245 Sandwich St., Clerk. Barufaldi, Umberto, 5 Lincoln St., Engineer. Bassett, Ernest L., Long Pond, Plumber. Baumgartner, Charles J., 139 Sandwich St., Clerk. Beaton, Daniel E., River St., Chauffeur. Bennett, George V., 208 Court St., Accountant.


Benson, Raymond E., White Horse Beach, Storekeeper. Bergamini, Antonio I., 322 Court St., Laborer. Blackmur, Maurice E., 68 Warren Ave., Salesman.


Bongiovanni, Louis, 3 South Cherry St., Poultryman.


Borgatti, Armando J., 13 Prince St., Mill Emp. Botieri, Ernest, 279 Court St., Jeweler. Bowers, Louis H., 71 Samoset St., Dresser. Boyle, John J., 7 Shaw Ct., Bookkeeper. Bradford, Harry A., 4 Warren Ave., Grocer. Brini, Beltrando M., 10 Forest Ave. Ct., Teacher. Brown, Fred C., 10 Fremont St., Clerk. Bunker, Guy C., 4 Sever St., Foreman.


Burbank, Roger M., 111/2 Clyfton St., Ass't Treas.


-134-


Burgess, Leonard M., 371/2 Union St., Contractor. Cameron, William B., 51 So. Spooner St., Retired. Cappannari, David A., 4 Bradford St., Grocer. Carafoli, Charles E., 225 Standish Ave., Unemp. Cassidy, Walter F., 42 High St., Salesman. Ceccarelli, Leo J., Harding Ave., Tailor. Chadwick, Edwin C., 1171/2 Court St., Mill Emp. Commeau, Lawrence, 186 Summer St., Mechanic. Craig, M. Herbert, D-17 Court St., Clerk. Cummings, Harold S., 29 Middle St., Laborer. Danti, Angelo, 13 Cordage Terrace, Clerk. Darsch, Andrew L., 401 Court St., Painter. Downie, Fred W., 33 Russell St., Caretaker. Dunbar, Ralph B., 64 Samoset St., Grocer. Dyer, Donald, 25 Standish Ave., Painter. Estes, Kendall S., 223 Sandwich St., Bank Clerk. Feci, Louis V., 119 Summer St., Garage Emp. Feci, Perino, 42 Standish Ave., Gas Sta. Prop. Fohrder, Lawrence F., 28 Forest Ave., Laborer. Fortini, Alfred V., 4 Prince St., Clerk. Fraser, Walter L., 30 Chilton St., Weaver. Giles, Harold E., Obery St., Health Inspector. Gilli, Fred R., 17 Prince St., Gas Co. Emp. Giovanetti, Louis G., 242 Court St., Hdwe. Prop. Godfrey, Charles L., Jr., 11 Russell St., Retired. Goldberg, Abraham, 3 Towns St., Cleaner. Gomes, August J., 74 Spooner St., Cord. Emp. Green, William E., 23 Brewster St., Waiter. Griswold, Gordon L., Vallerville, Foreman. Gulhang, Arthur E., 21 Fremont St., Laborer. Gunther, Herbert E., 23 Standish Ave., Puritan Mill Emp. Harlow, Everett T., River St., Salesman. Harlow, Leslie A., Clifford Road, Radio Man.


Haskell, Chester B., Cedarville, Cranberry Grower. Haskell, Walter B., 23 Middle St., Ass't Editor. Hatch, Harvey S., 21 Bay View Ave., Electrician. Hathaway, George D., 13 Bradford St., Foreman. Holmes, Edwin K., 140 Sandwich St., Carpenter. Holmes, Howard R., 28 Mt. Pleasant St., Mill Emp. Holmes, Knowlton B., 8 Winter St., Salesman.


-135-


Holmes, Ralph B., Manomet Road, Cabinet Maker. Holmes, Webster L., 64 Pleasant St., Bookkeeper. Howland, Ashton L., 1 Bay View Ave., Carpenter. Hudson, C. Brooks, 7 Holmes Terrace, Engineer. Hughes, Allan E., 204 Court St., Electrician. Jackson, Philip, Jackson Lane, Farmer. Jones, Edward W., 238 Sandwich St., Title Exam. King, Edward F., 22 Fremont St., Chauffeur. Lapham, Otis S., Vallerville, W.P.A. Coordinator. Lapham, William T., 42 Mayflower St., Truck Driver. Leland, Benjamin W., 30 Bay View Ave., Carpenter. Leonardi, Regolo, 38 South St., Cord. Emp. Loft, William H., 37 Davis St., Loomfixer. Longhi, Thomas, 29 So. Spooner St., Musician. Loring, Charles E., Overlook Road, Jeweler. Maffini, Emelio R., Sandwich Road, Laborer. Malaguti, Charles V., 48 Cherry St., Electrician. Malaguti, Chester V., 6 Phoenix Court, Truck Driver. Marsh, Percy H., Ellisville, Fisherman. Martin, James M., 45 Mayflower St., Janitor. Martinelli, Horace, 47 Stafford St., Health Dept. Emp. Morgado, Antone L., 282 Court St., Mill Emp. Moskoff, Harold L., 47 Russell St., Prop. O'Fihelly, C. Francis, 3 Birch Ave., Salesman. O'Leary, John E., B-17 Court St., Manager. Oosterdiep, John W., 98 Allerton St., Unemp. Ottani, Delmo S., 10 Forest Ave. Ct., Barber. Pease, Herbert H., 72 South St., Unemp. Peck, Adam, 366 Court St., Cordage Foreman. Peck, George A., 312 Court St., Cord. Emp. Peck, Warren H., 139 Standish Ave., Mabbett Emp. Perkins, Thomas M., Jr., 219 Summer St., Painter. Peterson, Harold W., 234 Sandwich St., Cord. Emp. Pimental, Francis A., 192 Standish Ave., Unemp. Pincelli, Alfred M., 285 Court St., Clerk. Pioppi, Joseph A., rear 79 Court St., Musician. Pioppi, William R., 136 Court St., Rest. Prop. Pratt, Irving L., 243 Sandwich St., Laborer. Priestley, Edmund J., 43 Mayflower St., Mabbett Emp. Rae, James, 14 Cushman St., Supervisor.


-136-


Raymond, Carl W., Sandwich Road, Ins. Agent. Raymond, Frank A., 1 Lafayette Ct., Painter. Rebuttini, Argio P., 26 Chilton St., Fruit Business. Reggiani, Lawrence F., 123 Sandwich St., Mabbett Emp. Rogers, Alcott L., Point Road, Unemp. Roulston, A. Lee, Stafford St., Accountant. Rounds, Carl A., Clifford Road, Garageman. Ruemker, Frank H., 70 So. Spooner St., Unemp. Ryan, Charles A., 12 Clyfton St., Clerk. Sassi, Albert C., 29 Russell St., Clerk. Saunders, Albert A., 21 Chilton St., Supervisor. Scagliarini, Amerigo, 71 South St., Unemp. Schortman, Walter A., 83 Samoset St., Ass't Overseer. Sears, Harold P., 9 Bay View Ave., Purchasing Agent. Sherman, Leon A., 11 Winter St., Retired. Sirrico, Arthur, 66 South St., Gardener. Sloan, Wilfred B., 221 Sandwich St., Clerk. Stefani, Joseph R., 22 Park Road, Salesman. Strassel, Arsene A., Jr., 158 Court St., Cord. Emp. Strassel, John N., 66 Cherry St., Cord. Emp. Taddia, Amando J., 12 No. Park Ave., Caretaker. Tassinari, Carl E., Warren Ave., Manomet, Rest. Owner. Tavares, Antone, 31 Cordage Terrace, Janitor. Tinti, Louis, 29 Summer St., Mabbett Emp. Tinti, Silvio, 7 Margerie St., Clerk. Toupin, Jules H., 40 South St., Druggist. Valler, James A., Vallerville, Caretaker.


Vaz, Manuel M., 65 Cordage Terrace, Cord. Emp. Volta, Joseph, 2 Suosso Lane, Cord. Emp. White, James A., 18 Alvin Road, Monument Dealer. Whiting, Adrian P., 163 Sandwich St., Prov. Dealer. Wood, Daniel C., Beaver Dam Road, Laborer. Wood, Leonard E., Beaver Dam Road, Carpenter. Wood, Roland L., 80 South St., Mechanic. JAMES A. WHITE, HOWARD M. DOUGLAS, JAMES T. FRAZIER, WILLIAM H. BARRETT, JOHN A. ARMSTRONG, Board of Selectmen.


PART II


ANNUAL REPORT


OF THE


TOWN ACCOUNTANT


OF THE


Town of Plymouth


ITH


1620.


SS


ON


JSE


For the Year Ending December 31, 1940


-3-


TWENTY-NINTH ANNUAL REPORT OF THE TOWN ACCOUNTANT


For the Year Ending December 31, 1940.


Plymouth, Mass., February 4, 1941.


To the Board of Selectmen,


Town of Plymouth:


Gentlemen:


I submit herewith my report of the financial transac- tions of the Town of Plymouth, for the year ending De- cember 31, 1940, in the customary form. The schedules are as follows:


Schedule A. Cash receipts and Payments as reported to the Division of Accounts, of the Commonwealth.


Schedule B. Departmental and all special appropria- tions, including W. P. A. projects, with all payments classified as to purpose.


Schedule C. Estimated Receipts, other than from taxes, as used by the Assessors in making the 1940 tax rate. Also showing the actual cash receipts from like sources.


Schedule D. Revenue Account for 1940.


Schedule E. Excess and Deficiency Account and a list of all unexpended appropriation balances closed into it at the end of the year.


Schedule F. Balance Sheet, January 1, 1941.


Schedule G.)


Bonded Indebtedness, January 1, 1941.


Schedule H.


Schedule I. List of Trust Funds, not including the Jan- uary 1941, dividends.


Schedule J. Calculation of the Town's Borrowing Ca- pacity.


No overdrafts were made and no department has re- ported unpaid 1940 bills. A very considerable amount was turned back from unexpended appropriations, par-


4


ticularly welfare appropriations. Actual cash receipts, other than from taxes, exceeded the amount that the Assessors could, and did, legally estimate in making the tax rate.


The Excess and Deficiency Account which was greatly depleted in 1939 has been built up to $85,000.


Tax Titles were increased but the amount held is still very small when compared with most other towns. Some of the larger liens will undoubtedly be redeemed.


The schedule of borrowing capacity shows that Plym- outh has out-standing bonds of less than one per cent of valuation, which places us in a class of ten to fifteen towns out of eighty-seven Massachusetts towns having five thousand or more inhabitants.


A visible record system of salaries and wages of all town employees was installed in this office soon after the beginning of the year and has thus far been kept up to date. This is a real necessity. The lack of such figures has been felt for several years. The continuous posting of these cards which number nearly four hundred is a time consuming task in an office with only part time cleri- cal assistance and constantly increasing regular duties. It is quite probable that some aid will be needed for this particular work during the coming year.


The adoption of segregated departmental appropria- tions adds quite considerably to the bookkeeping detail.


An example of the increase in everything having to do with the accounting office is shown in the following com- parison of Cemetery Perpetual Care Funds :


In 1912, when the Town Accounting System was first put in operation in Plymouth, these funds numbered 108 and amounted to $21,572.70. In 1918, when I made my first annual report as accountant, they numbered 172 and amounted to $35,223.79. At present there are 676 such funds and the total has increased to $127,515.41.


Respectfully submitted,


ELMER R. HARLOW,


Town Accountant.


-5-


SCHEDULE A


RECEIPTS AND PAYMENTS


RECEIPTS


Sources of Receipts


Expenses Outlays Total


GENERAL REVENUE


1. TAXES


Current Year-


1. Property


$577,971.08


2. Poll


8,034.00


Previous Years-


3. Property


121,466.97


4. Poll 221.00


2,158.03


5. Tax Title Redemptions From the State-


6. Corporation 60,945.45


7. Street Railway


8. Bank


9. Income


55,220.16


10. Soldiers' Exemption


Reimbursement for Loss of Taxes 1,264.32


Total, Taxes $827,281.01 $827,281.01


2. LICENSES AND PERMITS


Licenses-


11. Liquor


$16,318.00


12. All Other Permits-


2,360.68


13. Marriage


210.00


14. All Other


Total, Licenses and Permits $18,888.68 18,888.68


3. FINES AND FORFEITS


15. Court $917.75


16. Departmental Penalties


17. Contract Violations


Total, Fines and Forfeits $917.75 917.75


Total forward,


$847,087.44


Revenue for Revenue for


-6-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Revenue for


Expenses Outlays Total


$847,087.44


4. GRANTS AND GIFTS


Grants from Federal Government-


18. For Expenses $71,845.90


19. For Outlays


Grants from Other Civil Divisions-


20. From State, for Education


a. Support of Public Schools


b. Aid to Industrial Schools


c. High School Tuition


d. High School Transportation


e. Union Superintendency


f. English-speaking Classes 1,005.00


g. Sight-saving Classes


21. From State, Armories


22. From State, Highways (Chapter 504) 36,382.49


23. From State, Other Purposes


a. Inspector of Animals b. Protection against Forest Fires


c.


24. From State, Racing Com- mission


25. From State, Alcoholic Bev- erage Commission


26. From County, Dog Licenses 1,742.10


Gifts from Individuals -


27. For Expenses 1,100.00


28. For Outlays 500.00


Total, Grants and Gifts $112,075.49 $500.00 112,575.49


29.


5. ALL OTHER GENERAL REVENUE $117.37


Total, All Other General Revenue $117.37 117.37


Total forward


$959,780.30


-7-


RECEIPTS


Sources of Receipts Total forward


Revenue for


Revenue for Expenses Outlays Total $959,780.30


COMMERCIAL REVENUE 6. SPECIAL ASSESSMENTS


30. Street Sprinkling


31. Moth Extermination $223.25


32. Sewers 768.00


33. Sidewalks and Curbing


34.


Other Purposes


Total, Special Assessments $991.25 991.25


7. PRIVILEGES


35. Public Service


36. Minor


a. Motor Vehicle Excise Tax $26,984.76 b. Other


Total, Privileges


$26,984.76


26,984.76


Total forward $987,756.31


-8-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Expenses


Offsets to Outlays Total


$987,756.31


8. DEPARTMENTAL


8a. General Government


Legislative-


37. Aldermen and Council; Moderator


Executive-


38. Mayor; Commission; Se- lectmen


Financial-


39. Auditor, Accountant and Auditing


40. Treasurer


41. Collector $554.12


42. Assessors


43. License Commissioners,


44. Other Finance Offices and Accounts


Other General Departments-


45. Law 85.00


General Government forward $639.12 Total forward


$987,756.31


-- 9-


PAYMENTS


Objects of Payments


Expenses Outlays Total


1. DEPARTMENTAL


la. General Government


Legislative-


1. Aldermen and Council; Moderator


a. Salaries and Wages $150.00


b. Other Expenses 121.43


Executive-


2. Mayor; Commission; Se-


lectmen


a. Salaries and Wages 3,748.00


b. Other Expenses 1,083.97


Financial-


3. Auditor, Accountant and Auditing


a. Salaries and Wages 3,124.00


b. Other Expenses 320.66


4. Treasurer


a. Salaries and Wages 2,345.50


b. Other Expenses 848.54


5. Collector


a. Salaries and Wages 2,920.00


b. Other Expenses 1,451.39


6. Assessors


a. Salaries and Wages 6,264.00


b. Other Expenses 430.44


7. License Commissioners


a. Salaries and Wages


b. Other Expenses


8. Other Finance Offices and Accounts


a. Sinking Fund Commis- sioners


b. Miscellaneous 34.00


Other General Departments-


9. Law


a. Salaries and Wages 1,075.00


b. Other Expenses 126.20


General Government forward $24,043.13


-10-


RECEIPTS


Sources of Receipts Total forward


Revenue for Expenses


Offsets to Outlays


Total $987,756.31


General Government forward $639.12


46. City or Town Clerk


230.05


47. City Messenger


48. Public Works


49 Engineering


50. Superintendent of Build- ings


51. Election and Registration 5.00


52. Supply Department


53. Other General Depart- ments


Municipal Buildings-


54. City or Town Hall


1,672.50


Total, General Government $2,546.67 2,546.67


Total forward $990,302.98


-11-


PAYMENTS


Objects of Payments


Expenses Outlays Total


General Government forward $24,043.13


10. City or Town Clerk


a. Salaries and Wages 2,122.50


b. Other Expenses 177.50


11. City Messenger a. Salaries and Wages b. Other Expenses


12. Public Works a. Salaries and Wages b. Other Expenses


13. Engineering


a. Salaries and Wages 852.92


b. Other Expenses 47.03


14. Superintendent of Build- ings


a. Salaries and Wages


b. Other Expenses


15. Election and Registration a. Salaries and Wages 1,744.75


b. Other Expenses 1,531.11


16. Supply Department . a. Salaries and Wages b. Other Expenses


17. Other General Depart- ments 200.00


Municipal Buildings-


18. City or Town Hall


a. Salaries and Wages 3,922.00


b. Other Expenses


4,114.00


$243.50


Total, General Government


$38,754.94


243.50


$38,998.44


Total forward


$38,998.44


-12-


RECEIPTS


Sources of Receipts


Revenue for Expenses


Offsets to Outlays


Total


Total forward


$990,302.98


8b. Protection of Persons and Property


Police Department-


55. Services of Officers


56. Sale of Materials


57. Miscellaneous $32.00


Fire Department-


58. Sale of Materials 3.30


59. Miscellaneous


Militia-


60. Armories


61. Rifle Ranges


Inspection-


62. Buildings and Storage Spaces


63. Wires


64. Sealing of Weights and Measures 423.54


Forestry-


65. Insect Pest Extermination 249.90


66. Planting and Trimming Trees


67. Forest Fires


Other Protection of Per- sons and Property-


68. Bounties 15.00


69. Dog Officer, from County 915.00


Total, Protection of Persons and Property $1,638.74 1,638.74


Total forward


$991,941.72


-13-


PAYMENTS


Objects of Payments


Expenses Outlays Total


Total forward 1b. Protection of Persons and Property


$38,998.44


Police Department-


19. Salaries and Wages


$30,958.83


20. Equipment 1,886.12 $752.38


21. Fuel and Light 798.09


22 Maintenance of Buildings and Grounds 481.85


23. New Buildings


24 Other Expenses 443.91


Fire Department-


25. Salaries and Wages


37,340.75


26. Equipment


4,039.38


14,485.15


27. Hydrant Service


28 Fuel and Light


1,431.38


29. Maintenance of Buildings and Grounds


1,571.41


30. New Buildings


31. Other Expenses


581.44


Militia-


32. Armories


33 Rifle Ranges


Inspection-


34. Buildings and Storage Spaces 157.20


35 Wires


36 Sealing of Weights and Measures 1,650.00


716.01


Forestry-


37. Insect Pest Extermination


7,665.98


1,113.00


38 Planting and Trimming Trees 2,677.72 263.00


39. Forest Fires 1,808.10


Other Protection of Per- sons and Property-


40. Bounties


15.00


41. Fish Wardens


1,766.23


42. Miscellaneous 908.00


Riprap Construction


4,000.00


Total, Protection of Persons


and Property


$96,181.39


21,329.54


117,510.93


Total forward


$156.509.37


-14-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Expenses


Offsets to Outlays Total


$991,941.72


8c. Health and Sanitation


Health-


70. Quarantine and Contagious Hospitals $802.90


71. Tuberculosis 1,271.52


72. Miscellaneous


73. Inspection of School Children (Including Dental Clinic) 134.45


Sanitation-


74. Sewers and Sewage Disposal


75 Sewer Construction


76. Refuse and Garbage Disposal 825.00


77. Street Cleaning


Other Health and Sanitation-


78. Public Sanitary Stations


77.84


79.


Total, Health and Sanitation


$3,111.71


3,111.71


Total forward $995,053.43


-15-


PAYMENTS


Objects of Payments


Expenses Outlays Total


Total forward


$156,509.37


1c. Health and Sanitation


Health-


43. General Administration $1,160.06


44. Quarantine and Contagious Hospitals


3,315:34


45. Tuberculosis


16,046.82


46. Vital Statistics


47. Other Expenses 107.00


3,305.07


48. Inspection


a. School Children 8,100.65


b. Animals 350.00


c. Meat and Provisions 488.24




Need help finding more records? Try our genealogical records directory which has more than 1 million sources to help you more easily locate the available records.