Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1944, Part 43

Author: Plymouth (Mass.)
Publication date: 1944
Publisher: Plymouth [Mass.] : Avery & Doten
Number of Pages: 1038


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1944 > Part 43


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).


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Fuel


$354.16


Light


286.60


Janitor's Supplies


238.43


Repairs


101.31


pewriters & Stand, Assessors' Room


202.50


hairs and Cushions, Assessors' Room


143.50


: ypewriter, Accounting Office


129.25


Lighting, Accounting Office


49.02


Chair, Accounting Office


29.32


Other Furnishings


39.87


Telephones


284.56


Care of Machines


52.34


Supplies


18.53


Total Payments


1,929.39


Balance to Revenue


$131.61


.... . . ..


-- --


-


$1,148.00


41-


TOWN HOUSE REPAIRS


Balance from 1945 Appropriation


$170.88 360.00


$530.88


Payments:


New Floor in Accounting Office


$118.00


Carpentry, Painting in Selectmen's Room


236.46


Other Painting


104.00


Installing New Radiator


45.18


Total Payments


503.64


Balance Remaining


$27.24


OLD HIGH SCHOOL MAINTENANCE


Appropriation


$1,758.17


Payments:


Janitor


1,691.17


Substitute Janitor to Cover Vacation


66.56


Total Salaries


1,757.73


Balance to Revenue


$ .44


Appropriation


$1,595.00


Payments:


Fuel


$698.94


Gas


35.25


Light


231.88


Janitor's Supplies


96.66


Repairs


69.79


Telephones


127.81


New Lighting, Town Engineer's Office


50.00


Total Payments 1,310.33


Balance to Revenue


$284.67


TOWN HALL MAINTENANCE


$3,786.51


Appropriation


Payments:


Custodian


$2,225.46


Assistant Custodian (9 mos.)


1,244.55


-42-


Helpers


9.75


Total Salaries


3,479.76


Balance to Revenue


$306.75


Appropriation, March 23


$4,225.00


Appropriation, Oct. 14


1,100.00


Transfer from Reserve, Dec. 11


625 .. 00


$5,950.00


Payments:


Fuel


2,078.52


Gas


178.86


Light and Power


620.98


Janitor's Supplies


488.31


Painting Outside of Building


1,182.00


Repairing & Replacing Ventilators


300.00


Repairs to Heating System


407.55


Water Cooler Tank


68.00


Carpentry


110.88


Wiring


53.19


Repairing Gas Leak


77.11


New Gas Lights


55.45


Paint & Minor Repairs


164.59


Telephone


51.56


Water


20.00


Amplifier


40.00


Pianos Tuned and Repaired


53.00


Total Payments


5,950.00


TOWN HALL REPAIRS


Appropriation, Oct. 14


$3,380.00


No Payments


Balance Remaining


$3,380.00


POLICE DEPARTMENT


Appropriation


$46,540.44


Transfer from Reserve, May 11


3,962.00


$50,502.44


Payments:


Chief


$3,809.50


Sergeants


8,426.51


1


-43-


Patrolmen


22,433.23


Special Officers


10,230.14


Clerk


1,379.40


Janitor


664.15


Pension of One Man Retired from Department


1,202.57


Total Salaries


48,145.50


Balance to Reserve


$2,356.94


Appropriation


$5,685.00


Transfer from Reserve, Dec. 11


500.00


$6,185.00


Payments:


Transportation-


Auto and Motorcycle Repairs


$1,027.65


Gasoline and Oil


1,165.89


Auto Insurance


218.20


$2,411.74


Equipment and Repairs-


Photography


$117.34


Signal System


163.75


Radio


127.08


Equipment and Supplies


417.83


Repairs


21.70


847.70


Fuel and Lights-


Fuel


$524.17


Gas and Light


373.40


897.57


Maintenance of Buildings and Grounds-


Repairs


$288.16


Janitor's Supplies


183.55


471.71


General Expenses-


Stationery, Printing, Postage


$230.46


Telephone


320.23


Travel Expenses and Dues


57.45


Medical Attendance


22.00


First Aid Supplies


11.49


641.63


Traffic Signs and Street Marking-


Painting on Streets


$339.75


Trailer for Road Marker


20.00


Traffic. Paint and Supplies


440.54


1


-44


Signs


102.20


902.49


Total Payments


6,172.84


Balance to Reserve


$12.16


Appropriation for Out-of-State Travel Payments:


$100.00


Travel Expenses


$100.00


Appropriation for New Road Marker Payments:


$700.00


12-gallon Striper with Gasoline Engine


$700.00


Appropriation for Two New Cars, Oct. 14, from E. & D. Payments:


$3,000.00


Chevrolet Sport Sedan less trade-in


$839.75


Chevrolet Aero Sedan less trade-in


1,031.75


Extra Equipment


540.54


Transferring Equipment


75.67


Total 'Payments 2,487.71


Balance to Excess and Deficiency


$512.29


FIRE DEPARTMENT


Appropriation


$53,322.26


Appropriation, Article 45


4,650.21


$57,972.47


Payments:


Chief


$3,670.00


Assistant Chief


3,034.28


Regular Firemen


44,872.71


Callmen


3,692.15


Other Employees


268.86


Total Salaries


55,538.00


Balance to Revenue


$2,434.47


Appropriation


$8,275.00


Transfer from Reserve


804.68


$9,079.68


Payments: Equipment and Repairs- Plymouth Deluxe Club Coupe, less trade-in $804.68


-45-


Other Apparatus


1,220.25


Greaser


50.00


Bench Grinder


34.50


Electric Drill


32.00


Other Machine Shop Tools


89.79


Gasoline and Oil


583.07


Hose


460.35


Rubber Coats


369.94


Mitts and Gloves


90.70


Helmets


79.75


Other Personal Equipment


78.69


First Aid Supplies


31.02


Pool Table Repairs


80.50


Fire Alarm


270.80


Radio


228.49


$4,504.53


Fuel and Light-


Fuel


$1,034.60


Gas and Light


484.48


Wiring, Lamps, etc.


103.37


1,622.45


Maintenance of Buildings and Grounds-


Janitor's Supplies


$459.40


Pointing Wall


181.80


Painting North Station


287.59


Painting Central Station


81.00


Other Repairs


64.00


Furnishings


20.00


Dormitory


92.48


1,186.27


Other Expenses-


Printing, Stationery, Postage


$248.51


Telephone


273.37


Freight & Express


14.42


Dues, Travel, Convention Expenses


115.20


Insurance for Men


200.00


Food


24.45


Repairs to Firemen's Lot


30.85


Funeral Spray


10.00


Damages


10.00


1


-46-


926.80


Total Payments


8,240.05


Balance to Revenue


$839.63


Appropriation for Out-of-State Travel Payments: Travel Expense


48.00


Balance to Revenue


$102.00


Appropriation for Liability Insurance for Trucks


$1,190.84


Payments:


1,093.20


Balance to Revenue $97.64


DOCTOR'S AND HOSPITAL EXPENSES OF WILLIAM MARTIN, JR.


Appropriation, Oct. 14


$909.00


Payments:


Doctor


444.00


Hospital


465.00


Total Payments $909.00


INSPECTION OF BUILDINGS


Appropriation $171.60


Payments:


Salary of Inspector


$171.60


Appropriation Payments:


$25.00


Postage 4.68


Balance to Revenue 20.32


SEALING OF WEIGHTS AND MEASURES


Appropriation, March 23


$1,587.50 32.08


Appropriation, Oct. 14


$1,619.58


Payments: Salary of Sealer


$817.50


Pension of Retired Sealer


802.08


Total Salaries


$1,619.53


----


---


$150.00


Premium


-47-


$700.00


Appropriation Payments:


Printing and Postage


$11.80


Equipment


94.14


Auto Expense


57.90


Gasoline and Oil


18.72


Mileage and Travel


62.40


Telephone


1.20


Total Payments


246.16


Balance to Revenue


$453.84


GYPSY AND BROWN TAIL MOTH SUPRESSION


Appropriation


$1,830.95


Payments:


Salary of Superintendent


1,827.10


Balance to Revenue


$3.85


Appropriation


$5,091.28


Payments:


Labor


$3,490.29


Insecticides


317.37


Tools, Paint, Hardware


56.30


Auto and Sprayer Expense


627.68


Gasoline and Oil


274.31


Use of Boat


20.00


Telephone


48.51


Office Repairs


70.92


Stationery


23.00


Total Payments


4,928.38


Balance to Revenue


$162.90


TREE WARDEN'S DEPARTMENT


$888.25


Payments:


Salary of Superintendent (Tree Warden)


$888.25


Appropriation


$4,961.92


Payments:


Labor


Insecticides


$3,079.39 262.35


Appropriation


-48-


Tools, Hardware, Paint


60.78


Trees


136.00


Auto and Sprayer Expense


376.26


Gasoline and Oil


54.53


Telephone


25.35


Repairs


30.51


Stationery and Supplies


13.25


Travel and Dues


30.00


Total Payments


4,068.42


Balance to Revenue


$893.50


MEMORIAL TREES


Appropriation


$175.00


No Payments


Balance Remaining


$175.00


FOREST WARDEN'S DEPARTMENT


Appropriation


$837.50


Payments:


Salary of Warden


216.67


Balance to Revenue


$620.83


Appropriation for Forest Fire Payrolls


$2,000.00


Transfer from Reserve, May 11


3,000.00


$5,000.00


Payments:


Forest Fire Payrolls


4,645.00


Balance to Reserve


$355.00


Appropriation


$2,435.00


Payments:


Equipment-


Maintenance and Repairs


$999.05


New Equipment


201.97


Storage of Truck


96.00


Gasoline and Oil


301.32


Chemicals and Torches


108.30


$1,706.64


South Street Station-


Fuel $283.04


-49 --


Light


39.52


Heater Repairs


42.46


Rubbish Removal


6.00


371.02


Other Expenses-


Stationery, Printing. Postage


$36.35


Telephone, Central Station


36.88


Food


137.38


210.61


Total Payments 2,288.27


Balance to Revenue


$146.73


Appropriation for Liability Insurance for Trucks


$881.28


Payments:


Premium


819.90


Balance to Revenue $61.38


DEFENSE COMMITTEE EXPENSES


Balance from 1945


Payments:


Police-


Special Officer


$138.00


Ammunition


92.02


Meals, etc., Miller Case


191 .. 23


Painting on Streets


289.93


Fire-


Property Officer's Bond


$5 .. 00


Total Payments $716.18


REPAIRING STORM DAMAGE AT WARREN'S COVE


Balance from 1945 Payments:


$2,537.33


Fill at Bathhouse


$500.00


Contract with State Div. of Waterways


2,037.33


Total Payments $2,537.33


SEAWALL AT WARREN'S COVE


Appropriation from E. & D., March 23 7,000.00


$716.18


$711.18


-50-


No Payments


Balance to Excess and Deficiency Appropriation from E. & D., Oct. 14 No Payments


$7,000.00


$7,000.00


Balance Remaining $7,000.00


SURVEY OF CONDITION OF SEAWALL AT WATER STREET


Appropriation, Oct. 14


$2,000.00


Payments:


Making Borings


490.77


Balance Remaining


$1,509.23


JETTIES AT MANOMET


Appropriation from E. & D., Oct. 14


$1,500.00


Payments:


Contract with State Div. of Waterways


$1,500.00


SEAWALL AT NELSON STREET PLAYGROUND


Balance from 1945


$225.00


Payments:


Gravel


$108.00


Use of Bulldozer


21.00


Total Payments 129.00


Balance to Excess and Deficiency


$96.00


RIPRAP AT NELSON STREET


Appropriation


$1,000.00


Payments:


Contract


$1,000.00


DOG OFFICER


Balance from 1945


$50.50


Appropriation


1


645.00


Reimbursement from County


226.00


$921.50


-51-


Payments: Salary of Dog Officer


$645.00


Care, Custody & Destroying Dogs


206.00


Total Salaries 1


851.00


Balance Remaining


$70.50


INLAND FISHERIES


Appropriation $300.00


Payments:


Yellow Perch


$300.00


PLYMOUTH COUNTY AID TO AGRICULTURE


Appropriation


$150.00


Payments:


To Trustees of County Aid to Agriculture


$150.00


CULTIVATION, PROPAGATION & PROTECTION OF SHELLFISH


$1,500.00


Appropriation


· Payments:


Salary of Supervisor


1,085.00


Balance to Revenue


$415.00


Appropriation


$500.00


Payments:


Boat Repairs


$46.91


Gasoline and Oil


39.06


Total Payments 85.97


Balance to Shellfish Project with State


$414.03


JOINT SHELLFISH PROJECT NO. E 4733 (For Destroying Mussels)


Transfer from Shellfish Appropriation, Dec. 31 No Payments


$414.03


Balance Remaining $414.03


-52-


HEALTH DEPARTMENT


Appropriation


Transfer from Reserve, Nov. 18


$7,387.59 300.00


$7,687.59


Payments:


Clerical Assistance


$1,316.00


Burial Agent


73.75


Health Inspector


2,318.20


Plumbing Inspectors


798.00


Meat Inspector


650.37


Inspector of Animals


455.27


Milk Inspector


387.00


Dentists


818.00


Medical Attendance-


Quarantine & Contagious Diseases


$322.50


Tuberculosis Dispensary


322.50


$645.00


Total Salaries


7,461.59


Balance to Reserve


$226.00


Appropriation


$12,707.95


Payments:


General Expenses-


Stationery, Postage


$97.91


Printing, Advertising


70.75


Telephones


131.78


Rent


465.00


Light


94,92


Supplies


17.48


Repairs


9.25


Typewriter Repairs


35.00


Table Top


13.95


Freight and Express


11.06


$947.10


Quarantine and Contagious Diseases-


Drugs, Medicines


$38.23


Groceries, Provisions


30.00


Maintenance of Contagious Ward at Jordan Hospital


$2,300.00


Other Hospitals


532.40


Tuberculosis-


$2,900.63


.


-53-


Board and Care


3,361.63


Vital Statistics-


Births


68.50


Deaths


49.75


118.25


Public Dumps-


Labor


$2,452.44


Installing Elec. at New Dump


210.00


Bulldozer, Shovel, Trucks


236.88


Burning at Manomet Dump


20.00


Balance on Pumping Unit


10.09


Tools and Supplies


83.86


3.013.27


Dental Clinic-


Dental Supplies


27.98


Other Expenses-


Resuscitators


$30.19


Auto Hire


459.90


490.09


Total Payments


10,858.95


Balance to Revenue


$1.849.00


COLLECTION OF GARBAGE


Appropriation


$574.92


Payments:


Clerical Assistance


$574.92


Appropriation


$14,528.29


Payments:


Labor


$10,065.90


Truck Expense


634.79


Gasoline and Oil


259.19


Equipment and Repairs


121.78


Contract for Collection (10 mos.)


3,289.74


Total Payments


14,371.40


Balance to Revenue


$156.89


Appropriation for Manomet Collection- Balance from 1945


$460.28


Payments:


Contract for Collection (2 mos.)


$460.28


-54-


Appropriation for Garbage Truck Unit Payments: Master Refuse Getter


$4,000.00


1,540.00


Balance Remaining


$2,460.00


PUBLIC DUMP SURVEY AND INSTALLATION OF WATER SYSTEM


Balance from 1945


$2,145.69


Payments:


Drilling Well


$777.00


Installing Screen


255.00


-


Gravel


210.00


Pumping Unit


730.38


Hose


114.25


Use of Bulldozer


34.50


Building


24.56


Total Payments


$2,145.69


PLYMOUTH COUNTY HOSPITAL MAINTENANCE


Appropriation


$12,440.73


Payments:


Treasurer of Plymouth County


(Assessment of 1945 Maintenance)


$12,440.73


SEWERS


Appropriation


$5,013.60


Payments:


Labor


$3,555.45


Use of Shovel


572.10


Pipe


372.40


Grates, Frames, etc.


191.91


Brick, Cement, Lime


218.44


Equipment


97.55


Notice in Paper


5.75


Total Payments


$5,013.60


STREET CLEANING


Appropriation Payments:


$5,488.00


--- 55-


Labor Brooms


$5,455.97 32.03


Total Payments


$5,488.00


PUBLIC SANITARIES


Appropriation


$3,265.40


Payments:


Town House-


Janitor


$877.08


Substitute Janitor for Vacation


30.80


Matron


862.90


$1,770.78


State Pier-


Caretaker


$922.13


Matron


570.07


1.492.20


Total Salaries


3,262.98


Balance to Revenue


$2.42


Appropriation, March 23


$240.00


Appropriation, Oct. 14


185.00


$425.00


Payments:


Janitor's Supplies


$105.69


Repairs


232.95


Equipment


48.90


Total Payments


387.54


Balance to Revenue


$37.46


MOSQUITO CONTROL WORK IN THE TOWN OF PLYMOUTH


$500.00


Appropriation Payments: Treasurer of the Commonwealth (Maintenance) $500.00


-56-


ROADS AND BRIDGES


$4,743.57


Appropriation


Payments:


Superintendent


$3,120.00


Clerk


1,623.57


Total Salaries


$4,743.57


Appropriation


$36,330.00


Payments:


General Administration-


Auto Allowance


$416.00


Stationery and Postage


65.24


Telephones


158.97


Fuel and Light


147.04


Janitor's Supplies


47.85


Care of Machines


11.89


Dues


3.00


General Highway Expenditures-


Labor


$24,576.66


Trucks


3,575.23


Gravel & Stone


353.85


Mix, Tar and Oil


888.80


Lumber, Pipe and Cement


276.35


Equipment and Supplies


1,725.18


Repairs


390.56


Gasoline and Motor Oil


1,507.86


Kerosene


122.09


Tuel


84.17


Freight and Express


22.07


rst Aid Supplies


20.01


Workmen's Liability Insurance


1,819.68


Other Expenses-


Drinking Fountains


$50.14


Fences


10.33


60.47


Total Payments 36,272.97


Balance to Revenue $57.03


Appropriation for Fire-Proofing Garage in 1943 Payments:


$600.00


849.99


33,542.83


-57-


Fire -- Proofing


$600.00


Appropriation for Dump Truck Payments:


$2,000.00


New Ford Dump Truck, less trade-in


1,501.52


Balance Remaining


$498.48


Appropriation for Pick-Up Truck Payments:


$1,000.00


1/2-ton Studebaker Pick-Up


$935.27


Additional Equipment


64.45


Total Payments


999.72


Balance to Revenue


$ .28


LONG POND BRIDGE


Appropriation from E. & D.


$2,500.00


Payments:


Contract


$2,500.00


ACQUISITION OF LAND FOR HIGHWAY PURPOSES AT JUNCTION OF RUSSELL & HIGH STS.


Appropriation


Payments:


Removal of Building


$500.00


Acquiring Titles


81.00


Total Payments


581.00


Balance to Revenue $19.00


HIGHWAY CONSTRUCTION & RECONSTRUCTION


Balance from 1945


$4,198.49


Appropriation


16,628.00


$20,826.49


Payments:


Labor


$6,196.20


Trucks


50.50


Stone


2,922.84


Tar, Patch


7,174.86


Traffic Duty


36.00


Contract-Mayflower Hotel


3,500.00


$600.00


-58-


Culverts


445.20


Total Payments


20,325.60


Balance Remaining


$500.89


SOUTH CHERRY STREET & SQUANTO ROAD


Appropriation


$100.00


Payments:


Acquiring and Recording Titles


25.35


Balance Remaining


$74.65


BOUTEMAIN AVENUE


Appropriation


Payments:


9.90


Balance Remaining


$90.10


LONG POND ROAD


Balance from 1945


$1,650.11


Payments:


Labor


$404.45


Tar


774.18


Gravel


471.48


Total Payments $1,650.11


CHAPTER 90 CONSTRUCTION


(State and County Reimbursements Restored to E. and D.)


Appropriation from E. & D.


$20,000.00


Payments:


$1,582.15


Traffic Duty


191.00


Trucks, Shovel, Spreader


271.57


Stone


317.19


Curbing


Asphalt Concrete


17,476.09


Total Payments


$20,000.00


Labor


162.00


$100.00


Acquiring and Recording Titles


-59-


HARD-SURFACING STREETS


Balance from 1945


$2,945.74 2,368.00


Appropriation


$5,313.74


Payments:


Labor


$3,161.02


Use of Roller


11.25


Stone, Dust


560.30


Tar


767.48


Concrete Mix


813.69


1


Total Payments


$5,313.74


SIDEWALKS


Appropriation


$5,360.00


Payments:


Labor


$3,662.51


Contract Work


88.00


Asphalt,. Patch


1,265.00


Dust


344.49


Total Payments $5,360.00


GRANOLITHIC SIDEWALKS AND CURBINGS


Balance from 1945


$3,273.39


Payments:


Labor


$2,889.58


Cement


218.68 .


Supplies


19.69


Contract Work


145.44


Total Payments $3,273.39


SNOW AND ICE REMOVAL, 1945 OVERDRAFT


Balance Overdrawn in 1945


$3,767.79


Appropriation, March 23, 1946


$3,767.79


SNOW AND ICE REMOVAL


Appropriation


$10,000.00


Payments:


Labor $4,473.98


-60-


Trucks


832.80


Plowing


796.75


Salt


405.38


Fences, guards, plow blades


530.81


Total Payments


7,039.72


Balance to Revenue


$2,960.28


STREET SPRINKLING


Appropriation


$1,500.00


Payments:


Labor


40.84


Calcium Chloride


416.00


Total Payments


456.84


Balance to Revenue


$1,043.16


STREET LIGHTING


Appropriation


$20,800.00


Payments:


Ornamental


$7,078.23


Ordinary


10,535.31


Manomet


1,746.00


Cedarville


414.00


Plymouth Rock


64.92


Range Lights


54.00


State Wharf Float


42.96


Spot Light Installations-


Shirley Square


$79.44


Opposite Memorial Building


180.00


259.44


Total Payments


20,194.86


Balance to Revenue


$605.14


TRAFFIC LIGHTING


Appropriation Payments: Lights $338.40


$375.00


.


-61-


Repairs


11.39


Total Payments


349.79


Balance to Revenue


$25.21


HARBOR MASTER


Appropriation $1.695.85


Payments:


Salary of Harbor Master


1,666.30


Balance to Revenue


$29.55


DISTRICT NURSES


Balance from 1945


$266.66


Appropriation


2,730.00


Payments:


Services of Nurses


2,374.10


Balance Remaining


$622.56


PUBLIC WELFARE DEPARTMENT


Appropriation


$10,761.02


Payments:


General Administration-


Chairman


$50.00


Secretary


423.50


Supervisor


2,846.87


Clerical Assistance


3,017.99


$6,338.36


Infirmary-


Superintendent


$946.79


Matron


195.36


Cook


1,118.00


Other Wages


630.37


2,890.52


Total Salaries


9,228.88


$1.532.14


Balance to Revenue


$2,996.66


-62-


Appropriation, March 23 Income from Murdock Fund


$46,250.00 7.34 13,000.00


$59,257.34


Payments:


General Administration-


Stationery, Printing, Postage


$164.41


Mileage


279.78


Conference Expenses and Travel


158.58


Care of Machines


13.00


Tax on Lana


6.40


$622.17


Infirmary-


Groceries, Provisions


$4,192.09


Dry Goods, Clothing


83.12


Remodeling Annex:


Carpentry


641.95


Painting


217.40


Plumbing


184.37


Linoleum Laid


159.56


Other Repairs


147.98


Fuel and Light


1,009.32


Furniture


195.60


Equipment and Supplies


219.93


Ice


100.50


Medical Attendance


181.14


Telephone


52.75


Tobacco


44.68


Barbering


55.20


Dental Plate


25.00


All Other


16.19


7,526.78


Outside Relief by Town-


Cash


$23,794.68


Rent


3,184.03


Groceries, Provisions


10,711.30


Fuel


1,600.05


Dry Goods, Clothing


405.76


Medical Attendance


1,981.53


Burials


300.00


State Infirmary


397.50


Other State Institutions


277.50


Jordan Hospital


722.99


Other Institutions


712.00


Appropriation, Oct. 14


-63-


Glasses, Dental Plates, etc.


304.50


Transportation


202.75


All Other


117.37


Relief Given by Other Cities and Towns-


Cities


$1,062.47


Towns


1,895.42


2,957.89


Total Payments 55,818.80


Balance Remaining


$3,438.54


INCOME FROM JULIA P. ROBINSON FUND


Expended by the Board of Public Welfare for


Inmates of Infirmary


$6.03


OLD AGE ASSISTANCE


Appropriation


Payments:


Supervisor


$1,369.94


Social Worker


986.31


Clerical Assistance


1,345.19


Total Salaries


3,701.44


Balance to Revenue


$1,972.87


Appropriation, March 23


$165,266.00


Appropriation, Oct. 14


10,000.00


$175,266.00


Payments:


Administration-


Mileage


$300.00


Travel and Conference Expenses


231.09


Stationery, Printing, Postage


369.80


Two New Typewriters


196.20


Telephone


129.50


Care of Machines


35.65


Office Equipment


23.83


$1,286.07


Aid-


Cash


$167,140.57


$5,674.31


44,711.96


-64-


Medical Attendance


272.87


Hospitals


188.00


Burials


980.00


Nursing


207.01


All Other


26.62


Reimbursements to Other Cities and Towns-


Cities


$360.52


Towns


234.36


594.88


Total Payments 170,696.02


Balance Remaining


$4,569.98


OLD AGE ASSISTANCE FROM FEDERAL GRANTS


Balance from 1945


$121.68


Federal Grants for Administration


3,077.40


Payments:


Salaries-


Supervisor


$1,146.81


Social Worker


834.54


Clerical Assistance


1,213.38


Total Salaries 3,194.73


Balance Remaining


$4.35


Balance from 1945


$4.91


Federal Grants for Aid


91,299.76


Federal Portion of Recovery


503.56


$91,808.23


Payments:


Aid-


Cash


$89,207.36


Medical Attendance


392.87


Hospitals


253.00


Nursing


106.19


Burials


335.00


$90,294.42


Reimbursements to Other Cities and Towns -- Cities


$123.42


$3,199.08


168,815.07


-65-


Towns


70.98


194.40


Total Payments


90,488.82


Balance Remaining


$1,319.41


AID TO DEPENDENT CHILDREN


Appropriation


$38,320.00


Payments:


Cash


$38,020.22


Indirect Payments


299.78


Total Payments


$38,320.00


AID TO DEPENDENT CHILDREN (FROM FEDERAL GRANTS)


Balance from 1945


$9.55


Federal Grants for Administration


830.76


$840.31


Payments:


Salaries-


Supervisor


$273.05


Social Worker


198.70


Clerical Assistance


288.90


Total Salaries 760.65


Balance Remaining


$79.66


Balance from 1945


$2,222.90


Federal Grants for Aid


8,670.60


$10,893.50


Payments:


Cash


$8,218.94


Indirect Payments


29.50


Total Payments


8,248.44


Balance Remaining


$2,645.06


-- 66-


WIDOWS' ACCOUNT


Balance from 1945


$73.00


Income from Bank Stock and Bonds


332.50


Payments: To Widows 15.00


Balance Remaining $390.50


SOLDIERS' BENEFITS


Appropriation $761.15


Payments:


Salary of Soldiers' Relief Agent


$761.15


Appropriation


$15,000.00


Payments:


Authorized by State Aid Commissioner-


State Aid


$290.00


Military Aid


540.00


World War II Allowance


162.50


$992.50


Soldiers' Relief


Cash


$8,686.03


Fuel


24.97


Groceries


6.93


Rent


26.00


Hospitals


118.00


Medical Attendance


561.01


Burial


32.50


Clothing


33.43


Transportation


21.45


Reimbursements to Other Cities and Towns- Cities $93.00


Towns


114.00


207.00


Administration-


Portagraph Supplies


$164.18


2 4-drawer Cabinets with Safe Fronts


342.75


Stationery, Postage


46.81


Mileage


2.04


555.78


Total Payments 11,265.60


Balance to Revenue


$3,734.40


9,510.32


$405.50


-67 ---


VETERANS' SERVICES


$6,000.00


Appropriation


Payments:


Salaries-


Director (Apr .- Oct.)


$1.015.00


Clerk (Apr .- Dec.)


780.00


Extra Clerk to Cover Vacation


60.00


$1,855.00


Other Expenses-


Stationery, Printing, Postage


$88.58


New Typewriter


104.78


Other Equipment


41.85


Telephone


37.98


273.19


Total Payments 2,128.19


Balance to Revenue


$3,871.81


Transfer from Reserve for 1947 Salaries (Jan .- Mar.)


$650.00


No Payments


Balance Remaining


$650.00


SCHOOL DEPARTMENT


Appropriation


$256.471.00


Payments:


General Administration-


Superintendent


$5,519.99


Clerks


2,816.78


Attendance Officer


859.95


School Census


161.43


$9,358.15


Teachers' Salaries-


Day


$209,773.35 -


Evening


637.50


210,410.85


Janitors' Services-


Dey


18,577.67


Evening


49.50


Special


45.00


18,672.17


Maintenance of Buildings and Grounds-


Supervisor 3,230.00


-68-


Medical Inspection-


Physicians


$2,341.32


Nurse and Assistant


3,557.40


Dental Nurse


2,081.10


Pension of School Physician Retired-


920.83


Total Salaries


250,571.82


Balance to Revenue


$5,899.18


Appropriation


$54,700.00


Income from Murdock Fund


7.33


$54,707.33


Payments:


General Administration-


Stationery, Printing, Postage


$371.11


Telephone


159.14


Travel Expenses


64.30


Automobile Allowance


400.00


Burglary Insurance


7.50


$1,002.05


Text Books and Supplies-


Text and Reference Books


$4,868.26


Paper, Blank Books, etc.


5,480.68


Manual Training Supplies


1,331.60


Domestic Science Supplies


908.80


Athletic Supplies


676.23


Visual Supplies


404.90


Typewriters


450.20


Tuition-


1,399.56


Transportation-


Pupils


$17,449.12


Teachers


251.51


Fuel and Light-


Fuel


$7,126.79


Gas and Electricity


2,880.94


10,007.73


Maintenance of Buildings and Grounds-


Heater Repairs, Hedge School


$516.12


Boiler Section


246.92


Playground Repairs


170.00


Painting Outside High School


1,185.00


Other Repairs & Improvements


2,927.42


... --- -


14,120.67


17,700.63


7,979.82


-69-


Building Material


389.49


Janitor's Supplies


1,451.95


Telephones


548.44


Ashes, etc. Removed


213.00


Flags


75.14


Clearing Away Ice House


at Hedge School


202.61


77,926.09


Furniture and Furnishings-


Desks and Chairs


$89.85


Comptometer


340.00


Record Player


40.00


Cabinets


56.38


Window Shades


107.75


School Lunch:


Trays


68.60


Silverware


57.84


Utensils


172.55


Rent-


175.00


Diplomas, Graduation-


261.37


Medical Inspection-


Nurse's Car Expense


$379.19


Medical Supplies


181.80


Dental Clinic:


Rent


405.00


Supplies


207.53


1,173.52


Total Payments


54,699.59


Balance to Revenue


$7.74


Appropriation for Military Retirement Fund


$3,200.00


Payments:


Mass. Teachers' Retirement Board


2,975.20


Balance to Revenue


$224.80


PLANS FOR REMODELING HEATING SYSTEM AT HEDGE SCHOOL


Federal Grant $550.00


Payments:


Engineer's Services $550.00


932.97


-70-


HEATING EQUIPMENT AT MT. PLEASANT SCHOOL


Balance from 1945


$1,396.40


Payments: Additional Radiation


768.17


Balance to Excess and Deficiency $628.23


VOCATIONAL SCHOOL PLANS


Balance from 1945


$1,000.00


Federal Grants 4,024.00


$5,024.00


Payments:


Services of Architects


$500.00


Balance Remaining $4,524.00


VOCATIONAL EDUCATION TRUST FUNDS, U. S. GRANTS


George-Deen Funds for Teaching Pottery Making Balance from 1945 $248.00


Grants from State


918.00


Payments:


Salary of Pottery Instructor


918.00


Balance Remaining $248.00


George-Deen Funds for Teaching Handicraft Classes


Balance from 1945 168.00


Grant from State


180.00


$348.00


Payments:


Services of Handicraft Instructor


300.00


Balance Remaining . $48.00


SCHOOL LUNCH


Appropriation $3,225.00


Payments:


Salaries-


Cornish School


$2,858.25


Hedge School (4 mos.)


240.00


Total Salaries 3,098.25


Balance to Revenue $126.75


$1,166.00


-71- €


Appropriation


$4,650.00 500.00


Transfer from Reserve, Dec. 11


$5,150.00


Payments:


Provisions


$4,420.56


Gas Range


209.25


Refrigerator


198.18


Utensils and Supplies


61.33


Gas


167.39


Ice


23.58


Total Payments 5,080.29


Balance. to Reserve $69.71


PLYMOUTH PUBLIC LIBRARY


Appropriation, Including 1945 Dog Tax


$11,000.00


Income from Gates Fund


40.20


Payments:


Salaries-


Librarian


$2,570.00


Assistants


4,506.77




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