Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1951, Part 26

Author: Plymouth (Mass.)
Publication date: 1951
Publisher: Plymouth [Mass.] : Avery & Doten
Number of Pages: 720


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1951 > Part 26


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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Total, Taxes $1,653,326.18


$1,653,326.18


2. LICENSES AND PERMITS


Licenses 11. Liquor


$17,303.00


12. All Other Permits


4,667.22


13. Marriage


318.00


14. All Other


5.00


Total, Licenses and Permits $22,293.22 22,293.22


3. FINES AND FORFEITS


15. Court


$695.45


16. Departmental Penalties


17. Contract Violations


Total, Fines and Forfeits $695.45 695.45


Total forward


$1,676,314.85


-118-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Expenses


Revenue for


Outlays Total $1,676,314.85


4. GRANTS AND GIFTS


Grants from Federal Government


18. For Expenses-Disability Assistance $5,724.73


a. Old Age Assistance 186,688.76


b. Aid to Dependent Children 48,325.63


c. Vocational Education 500.00


d. Nursery Schools and School Lunches 11,431.76


19. For Outlays (designate purpose) Grants from Other Civil Divisions


20. a. From State, support of schools 41,107.39


b. Vocational Education (Agri- cultural and Industrial)


c. High School Tuition 1,459.62


d. High School Transportation 16,565.04


e. Union Superintendency


f. Adult English-speaking Classes 610.00


g. Sight-saving Classes h. Pensions to Retired Teachers i. Construction School Buildings


21. From State, Armories


22. From State, Highways, Ch. 81 Grants


23. From State, Other Purposes a. Inspector of Animals b. Protection Against Forest Fires


24. Meals Tax, for Old Age Assistance 19,675.02


25. Marine Fisheries


26. From County, Dog Licenses 2,102.47 Gifts from Individuals


27. For Expenses


28. For Outlays (designate purpose)


Total, Grants and Gifts $334,190.42 334,190.42


5. ALL OTHER GENERAL REVENUE


29.


Total, All Other General Revenue


Total forward $2,010,505.27


-


-119-


RECEIPTS


Sources of Receipts Total forward


Revenue for


Revenue for Expenses Outlays Total $2,010,505.27


COMMERCIAL REVENUE


6. SPECIAL ASSESSMENTS


30. Street Sprinkling


31. Moth Extermination


32. Sewers $1,180.00


33. Sidewalks and Curbing


34. Other Purposes


Total, Special Assessments $1,180.00 1,180.00


7. PRIVILEGES


35. Public Service Corporations,


use of Public Property


$27.00


36. Minor a. Motor Vehicle Excise Tax 82,689.78


b. Other


c. Parking 14,458.37


Total, Privileges


97,175.15


$97,175.15


Total forward


$2,108,860.42


-120-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Expenses


Offsets to Outlays Total $2,108,860.42


8. DEPARTMENTAL


8a. General Government Legislative 37. Aldermen and Council; Moderator


Executive 38. Mayor, Commission; Selectmen Financial 39. Auditor, Accountant, and Auditing


40. Treasurer


41. Collector $1,020.05


42. Assessors


43. License Commissioners


44. Other Finance Offices and Accounts Other General Departments 45. Law


General Government forward $1,020.05


Total forward $2,108,860.42


-121-


PAYMENTS


Objects of Payments


Expenses Outlays Total


1. DEPARTMENTAL


la. General Government


Legislative


1. Aldermen and Council; Moderator


a. Salaries and Wages $370.00


b. Other Expenses 1,572.87


Executive


2. Mayor; Commission; Selectmen; Manager


a. Salaries and Wages 7,571.13


b. Other Expenses 1,988.56


Financial


3. Auditor, Accountant and Auditing


a. Salaries and Wages 5,820.00


b. Other Expenses; incl. State Audit 1,658.01


4. Treasurer


a. Salaries and Wages


4,571.25


b. Other Expenses


1,048.53


5. Collector


a. Salaries and Wages 5,975.00


b. Other Expenses 1,998.38


6. Assessors


a. Salaries and Wages 15,261.75


b. Other Expenses 11,047.82


7. License Commissioners a. Salaries and Wages b. Other Expenses


8. Other Finance Offices and Accounts


a. Sinking Fund Commissioners


b. Miscellaneous 474.48


Other General Departments


9. Law


a. Salaries and Wages


2,400.00


b. Other Expenses


178.20


General Government forward $61,935.98


-122-


RECEIPTS


Sources of Receipts


Revenue for Expenses


Offsets to Outlays


Total $2,108,860.42


Total forward


General Government forward


$1,020.05


46. City or Town Clerk


1,420.00


47. City Messenger


48. Public Works


49. Engineering


50. Superintendent of Buildings


51. Election and Registration


52. Purchasing Agent or Supply Dept.


53. Other General Departments Planning Board Zoning Board


Municipal Buildings 54. City or Town Hall 1,360.00


Total, General Government


$3,800.05


3,800.05


Total forward


$2,112,660.47


i


-


--


1


-123-


PAYMENTS


Objects of Payments


Expenses


Outlays


Total


General Government forward


$61,935.98


10. City or Town Clerk


a. Salaries and Wages


4,571.25


b. Other Expenses 225.05


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 2,516.25


b. Other Expenses 339.49


14. Superintendent of Buildings a. Salaries and Wages b. Other Expenses


15. Election and Registration a. Salaries and Wages 4,285.25


b. Other Expenses 2,138.73


16. Purchasing Agent or Supply Dept.


a. Salaries and Wages


b. Other Expenses


17. Other General Departments


Planning Board 288.00


Civil Service Registration Zoning Board Workmen's Compensation Agent


Municipal Buildings


18. City or Town Hall a. Salaries and Wages


11,414.04


b. Other Expenses 9,227.39 $49,066.69


Total, General Government


$96,941.43 $49,066.69


146,008.12


Total forward $146,008.12


-124-


RECEIPTS


Sources of Receipts


Revenue for Expenses


Offsets to Outlays Total $2,112,660.47


Total forward


8b. Protection of Persons and Property Police Department


55. Services of Officers


56. Sale of Materials


57. Miscellaneous-Fire Loss


$216.84


a. Bicycle Registration 19.70


b. Parking Meter Damages 52.00


c. All Other 155.50


Fire Department


58. Sale of Materials


59. Miscellaneous 56.78


Militia


60. Armories


61. Rifle Ranges Inspection


62. Building and Storage Spaces


63. Wires


64. Sealing of Weights and Measures 567.15


Forestry


65. Insect Pest Extermination


66. Planting and Trimming Trees


67. Forest Fires


Other Protection of Persons and Property


68. Bounties 15.00


69.


a. Dog Officer


751.50


b. Electrical Dept.


Total, Protection of Persons and Property $1,834.47 1,834.47


Total forward


$2,114,494.94


-


1


1


-125-


PAYMENTS


Objects of Payments Total forward


Expenses Outlays Total $146,008.12


1b. Protection of Persons and Property


Police Department


19. Salaries and Wages


$76,390.24


20. Equipment


7,503.56


$1.00


21. Fuel and Light


1,096.47


22. Maintenance of Buildings and Grounds 411.56


23. New Buildings


24. Other Expenses 1,277.31


Fire Department


25. Salaries and Wages


89,975.44


26. Equipment


13,352.79


27. Hydrant Service


28. Fuel and Light


2,034.35


29. Maintenance of Buildings and Grounds


920.85


30. New Buildings


31. Other Expenses 1,357.86


Militia


32. Armories


33. Rifle Ranges


Inspection


34. Buildings and Storage Spaces 6,527.60


35. Wires


36. Sealing of Weights and Measures 1,140.24


Forestry


37. Insect Pest Extermination 10,005.19


38. Planting and Trimming Trees 9,037.97


39. Forest Fires 7,256.35


Other Protection of Persons and Property


40. Bounties


15.00


41. Fish and Clam Wardens 300.00


42. Miscellaneous


a. Dog Officer


2,501.25


b. Electrical Dept.


c. Jetties, etc.


$13,000.00


d. All Other


865.10


Total, Protection of Persons and Property


$231,969.13 $13,001.00 244,970.13


Total forward


$390,978.25


-126-


RECEIPTS


Revenue for Expenses


Offsets to Outlays


Total $2,114,494.94


Sources of Receipts


Total forward


8c. Health and Sanitation


Health


70. Quarantine and Contagious Hospitals $169.50


71. Tuberculosis, including subsidies


from State


3,145.00


72. Miscellaneous


a. Public Health Nursing


73. Inspection


Dental Clinics


185.47


Slaughtering Fees


Sanitation


74. Sewers and Sewage Disposal


75. Sewer Construction


76. Refuse and Garbage Disposal 800.00


77. Street Cleaning


Other Health and Sanitation


78. Sanitaries and Convenience Stations 335.12


79.


Total, Health and Sanitation


$4,635.09


4,635.09


Total forward $2,119,130.03


6. 3


-127-


PAYMENTS


Objects of Payments


Total forward


$390,978.25


1c. Health and Sanitation


Health


43. General Administration $3,849.26


44. Quarantine and Contagious Hospitals 3,710.00


45. Tuberculosis 5,316.22


a. Maintenance Ass't County Hospital 34,895.97


46. Vital Statistics


153.00


47. Other Expenses


5,728.99


a. Public Health Nursing b. Smoke Inspection Ass't


48. Inspection


a. School Children 12,898.08


b. Animals


c. Meat and Provisions 7


1


Combined


1,000.00


d. Milk and Vinegar 396.00


e. Shell-fish Chlorination


Sanitation


49. Sewer Maintenance and Operation 7,330.00


50. Metropolitan Sewer Maint.


51. Sewer Construction $4,657.74


52. Refuse, Garbage, Collection and Disposal 24,764.77


53. Street Cleaning 2,574.00


Other Health and Sanitation


54. Sanitaries and Convenience Stations 3,828.92


55. Care of Brooks and Streams


56. Eradication of Nuisances


a. Mosquito Control b. Poison Ivy


750.00


Total, Health and Sanitation


$107,195.21 $4,657.74


111,852.95


$502,831.20


Total forward


Expenses Outlays Total


-128-


RECEIPTS


Sources of Receipts


Revenue for Expenses


Offsets to Outlays


Total $2,119,130.03


Total forward 8d. Highways


80. General $138.65


a. State and County Chapter 90 Maintenance


81. Construction


a. State and County Chapter 90 Construction $31,764.97


82. Sidewalks and Curbing


83. Snow and Ice Removal


84. Sprinkling


a. Water b. Other


85. Lighting


86. Miscellaneous Truck and Machinery Rental Sale of Highway Land and Buildings


Total, Highways 8e. Charities


$138.65 $31,764.97 31,903.62


87. Infirmary or Town Farm a. Sale of Produce and Stock


b. Board and Miscellaneous $1,995.87


88. Reimbursement for Relief


a. From Individuals 593.94


b. From Cities and Towns 6,117.23


c. From the State 17,764.10


89. Reim. for Aid to Dependent Children


a. From Individuals


b. From Cities and Towns


c. From the State 39,458.22


90. Reim. for Old Age Assistance


a. From Individuals


b. From Cities and Towns 5,533.90


c. From the State 221,793.28


91. Municipal General Hospitals


92. Miscellaneous-D. A .- State 7,120.04


Total, Charities $300,376.58 300,376.58


Total forward


$2,451,410.23


1


1


..


-129-


PAYMENTS


Objects of Payments Total forward


Expenses Outlays Total $502,831.20


1d. Highways


57. General Administration


$8,385.77


58. General Highway Expenditures


50,726.69


$6,894.23


64,591.85


60. Sidewalks and Curbing


7,943.00


4,038.21


61. Snow and Ice Removal


18,772.76


62. Sprinkling


a. Water


b. Other 1,500.00


63. Lighting


23,097.08


64. Other Expenses


a. Signs, Guide Boards, Street Numbering 3,400.00


b. Traffic Guides and Beacons 317.35


c. All Other 4,829.78


d. Parking Meters 113.37


Total, Highways


$119,085.80 $75,524.29 194,610.09


le. Charities


65. General Administration


$26,981.45


66. Infirmary or Town Farm


12,871.09


$450.00


67. Outside Relief by City or Town


81,470.43


68. Relief Reimbursed to Cities and Towns 1,105.09


69. Aid to Dependent Children a. Relief by City or Town b. Reimbursed to Cities and Towns


129,725.04


70. Old Age Assistance


a. Relief by City or Town 489,413.49


b. Reimbursed to Cities and Towns 2,296.10


71. Municipal General Hospitals


72. Other Expenses a. Disability Assistance 21,007.98


Total, Charities


$764,870.67


$450.00 765,320.67


Total forward


$1,462,761.96


59. Construction


-130-


RECEIPTS


Sources of Receipts Total forward


Revenue for Expenses


Offsets to Outlays Total $2,451,410.23


8f. Veterans' Services


93. Reimbursement for Relief


a. From Individuals


b. From Cities and Towns c. From the State


$108.18


12,093.09


94. Veterans' Burials


215.16


95. War Allowances


Total, Veterans' Services $12,416.43 12,416.43


8g. Schools


96. Tuition, Transportation State Wards $4,342.09


97. Tuition, Youth Service Board


98. Other Tuition 24,164.80


99. Sale of Text Books and Supplies 846.47


100. Miscellaneous


a. Rental School Halls 65.00


b. Sale of School Buildings


c. School Lunches 39,933.45


d. Products of Trade Schools


e. Insurance account of Fire Losses f. School Athletics 3,695.04


g. All Other 36.61


Total, Schools $73,083.46 73,083.46


8h. Libraries 101. Fines, Rentals, and Sales 102. Miscellaneous Total, Libraries


Total forward


$2,536,910.12


. .


.


1


-131-


PAYMENTS


Objects of Payments Total forward


Expenses


Outlays


Total


$1,462,761.96


1f. Veterans' Services


73. Salaries, Veterans' Services $4,181.00


74. Office Expenses, Travel, etc. 266.15


75. Veterans' Service District


76. Veterans' Burials 130.33


77. Veterans' Benefits


29,845.41


a. War Allowances


Total, Veterans' Services


$34,422.89


34,422.89


1g. Schools


78. General Expenses


a. Administrative Salaries $7,474.94


b. Other General Salaries 10,440.00


c. Other General Expenses 1,973.19


79. Teachers' Salaries


389,038.56


80. Text Books and Supplies


22,361.25


81. Tuition 4,055.58


82. Support of Truants


83. Janitors' Services


28,363.51


84. Fuel and Light


20,079.46


85. Maintenance, Buildings and Grounds 27,988.40


86. New Buildings


$231,746.36


87. Furniture and Furnishings


3,184.50


10,092.17


88. Rent


245.00


89. Other Expenses


500.00


a. School Lunches


49,835.71


b. School Athletics


6,122.92


90. Transportation of Pupils


30,600.05


Total, Schools


$602,263.07 $241,838.53 844,101.60


1h. Libraries


91. Salaries and Wages


$18,185.10


92. Books, Periodicals


4,789.23


93. Binding


94. Fuel and Light


1,655.85


95. Buildings


285.41


96. Other Expenses


550.88


Total, Libraries


$25,466.47 25,466.47


Total forward


$2,366,752.92


-132-


RECEIPTS


Sources of Receipts Total forward


Revenue for Expenses


Offsets to Outlays


Total $2,536,910.12


8i. Recreation


103. Parks and Gardens $3,500.00


104. Golf Courses


105. Playgrounds and Gymnasia


106. Bathhouses and Beaches 5,504.35


107. Celebrations and Entertainments a. Community Buildings for Recreation


Total, Recreation


$9,004.35


9,004.35


Total forward


$2,545,914.47


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1


.


-133-


PAYMENTS


Objects of Payments Total forward


Expenses


Outlays


Total


$2,366,752.92


li. Recreation


97. General Administration


a. Salaries and Wages $4,270.00


b. Other Expenses 1,441.23 $1,999.61


98. Parks and Gardens


a. Salaries and Wages 7,184.32


b. Improvements and Additions


c. Other Expenses 1,551.10


d. Metropolitan Park Maint.


e. State Parks and Reservations 2,915.69


99. Golf Courses


a. Salaries and Wages


b. Improvements and Additions


c. Other Expenses


100. Playgrounds and Gymnasia


a. Salaries and Wages 5,463.98


b. Improvements and Additions 3,521.00


c. Other Expenses 1,567.14


101. Bathhouses and Beaches


a. Salaries and Wages 7,272.23


b. Improvements and Additions 4,131.96


c. Other Expenses 1,914.44


102. Celebrations and Entertainments


a. Fourth of July 908.71


b. Labor Day


c. Band Concerts


d. Other Holidays 1,251.82


e. Entertainment of Distin- guished Persons 97.05


f. Community Buildings for Recreation g. Lecture Courses h. i.


Total, Recreation


$35,837.71 $9,652.57 45,490.28


Total forward


$2,412,243.20


-


-134-


RECEIPTS


Revenue for Expenses


Offsets to Outlays Total $2,545,914.47


Sources of Receipts Total forward


8j. Pensions


108 Total, Pensions 8k. Unclassified


109. Receipts not Previously Recorded


a. Sale of Real Estate b. Rent of Property not used for Municipal Purposes


c. Veterans' Housing $1,218.00


d. Damage Settlement 50.00


Total, Unclassified $1,268.00


1,268.00


Total forward


$2,547,182.47


-135-


PAYMENTS


Objects of Payments


Total forward


1j. Pensions


Expenses


Outlays


Total


$2,412,243.20


103. Retirement made from :-


a. Police Department $4,753.06


b. Fire Department 1,605.18


c. Sealer W. and M. Dept. 1,145.00


d. Highway Department 4,750.86


e. School Department


2,233.13


f. Park Department


1,050.40


104. Appropriation Paid to Retirement Fund 25,864.36


Total, Pensions


$41,401.99


41,401.99


1k. Unclassified


105. Damages to Persons and Property


$60.44


106. Memorial Day


599.80


107. Care of Veterans' Graves


56.00


108. City and Town Clocks


108.02


109. Searching Parties


110. Payments not Previously Recorded


a. Printing City or Town Reports 2,138.70


b. Veterans' Memorials


c. Insurance of Town Property 6,164.74


d. Workmen's Comp. and Liab. Insurance 8,223.30


e. Municipal Advertising


5,170.37


f. All Other 643.78


Total, Unclassified $23,165.15


23,165.15


Total forward $2,476,810.34


-136-


RECEIPTS


Sources of Receipts Total forward


Revenue for Expenses


Offsets to


Outlays Total $2,547,182.47


9. PUBLIC SERVICE ENTERPRISES


110. Electric a. Sale of Light and Power b. Miscellaneous


111. Gas


a. Sale of Gas


b. Sale of By-products (Coke, tar, etc.) c. Miscellaneous


112. Water


a. Sale of Water $67,643.91


b. Miscellaneous 471.00 $13,890.00


113. All Other


a. Markets


b. Public Scales


c. Docks and Wharves 1,455.00


d. Ferries


e. Herring and Alewife Fisheries 610.00


f. Municipal Airports 1,977.02


g. Street Railways and Trans- portation Areas h. Traffic Tunnels


i. Miscellaneous


Total, Public Service Enterprises $72,156.93 $13,890.00 86,046.93


10. CEMETERIES


114. Sale of Lots and Graves $1,022.75


115. Care of Lots and Graves 3,580.09


116. Care of Endowed Lots (Interest on Funds) 3,937.75


117. Miscellaneous


Total, Cemeteries


$8,540.59


8,540.59


11. ADMINISTRATION OF TRUST FUNDS


118.


119.


120.


Total, Administration of Trust Funds


Total forward


$2,641,769.99


-137-


PAYMENTS


Objects of Payments Total forward


Expenses


Outlays


Total


$2,476,810.34


2. PUBLIC SERVICE ENTERPRISES


111. Electric a. Maintenance and Operation


b. Construction


112. Gas


a. Maintenance and Operation


b. Construction


113. Water


a. Maintenance and Operation $62,407.77


b. Metropolitan Water Maint.


c. Construction $61,813.73


114. All Other


a. Markets


b. Public Scales


c. Docks and Wharves 78.42 105,000.00


d. Ferries


e. Herring and Alewife Fisheries 216.95


f. Municipal Airports 7,053.14


g. Street Railways and Trans- portation Areas


h. Traffic Tunnels


i. Miscellaneous 850.00


Total, Public Service Enterprises $70,606.28 $166,813.73


237,420.01


3.


CEMETERIES


115. Maintenance $28,654.19


116. Improvements and Additions $3,999.16


Total, Cemeteries


$28,654.19


$3,999.16


32,653.35


4. ADMINISTRATION OF TRUST FUNDS


117. Retirement Board


$772.00


118.


119


Total, Administration of Trust Funds $772.00


772.00


Total forward $2,747,655.70


-138-


RECEIPTS


Sources of Receipts


Total forward


Revenue for Expenses


Indebtedness


Total


$2,641,769.99


12. INTEREST


121. On Deposits


122. On Deferred Taxes $3,091.13


123. On Deferred Assessments


124. On Sinking Funds


125. On Investment Funds


126. On Public Trust Funds


a. Charity 104.07


b. School 8.25


c. Library


50.30


d. Cemetery (General Care) e. All Other


45.25


127. Miscellaneous


131.70


Total, Interest $3,430.70 3,430.70


13. MUNICIPAL INDEBTEDNESS


128. Anticipation Revenue Loans


$150,000.00 .


129. Other Temporary Loans a. Anticipation Serial Debt


b. Anticipation Reimbursement for Highways, from State and County


c. Anticipation Federal Grant for Outlay 130. Loans, General Purposes 135,000.00


131. Loans, Public Service Enterprises


132. Loans, Cemeteries


133. Loans, Tax Titles


134. Tax Title Loans Renewed


135. Premiums $126.90


136. Unpaid Warrants or Orders,


Current Year


Total, Municipal Indebtedness


$126.90 $285,000.00


285,126.90


Total forward $2,930,327.59


. .


-139-


PAYMENTS


Objects of Payments Total forward


Expenses


Indebtedness


Total


$2,747,655.70


5. INTEREST


120. Anticipation Revenue Loans $595.83


121. Other Temporary Loans


122. Loans, Tax Titles


123. Loans, General Purposes 10,865.00


124. Loans, Public Service Enterprises 2,550.00


125. Loans, Cemeteries


126. Metropolitan Requirements a. Sewer b. Park c. Water


127. State or County Ass't for Interest 128. All Other Interest


Total, Interest $14,010.83 14,010.83


6. MUNICIPAL INDEBTEDNESS


129. Anticipation Revenue Loans $150,000.00


130. Other Temporary Loans


131. Bonds and Notes from Sinking Funds


a. General b. Public Service Enterprises


c. Cemeteries


132. Bonds and Notes from Revenue


a. General $35,000.00


b. Public Service Enterprises 30,000.00


c. Cemeteries


d. Tax Title Redemptions paid State 133. Tax Title Loans Renewed


134. Metropolitan Debt Requirements a. Sewer b. Park c. Water


135. State or County Assess- ment for Debt 136. Warrants or Orders, Previous Years


Total, Municipal Indebtedness


$65,000.00 $150,000.00 215,000.00


Total forward


$2,976,666.53


-


-140-


RECEIPTS


Sources of Receipts Total forward


Non-Revenue and Temporary Accounts Total $2,930,327.59


14. SINKING FUNDS


From Commissioners for Loans for


137. General Purposes


138. Public Service Enterprises


139. Cemeteries


Total, Sinking Funds


15. AGENCY, TRUST AND INVESTMENT


Agency


140. Taxes Collected for Other Civil Divisions


a. County Tax b. District Taxes Collected


141. Beverage Licenses for the State


142. Dog Licenses for the County $2,903.20


143. All Other Agency


Trust


144. Perpetual Care Funds 6,982.51


145. Pension and Retirement Funds


146. Other Public Trust Funds


147. Income for Accumulating Funds


148. Private Trust Funds and Accounts


a. Federal Withholding Taxes 112,890.50


b. Mass. Hospital Service


c. Retirement Fund Deductions


d. Federal Advances for Plans, etc.


e. Tailings


f. O. A. A. Recoveries 5,740.85


g. Guarantee Deposit 200.00


Investment


149. Sinking Fund Securities


150. Investment Fund Securities 103,300.19


Total, Agency, Trust and Investment


$232,017.25 232,017.25


Total forward


$3,162,344.84


.-....


-141-


PAYMENTS


Objects of Payments Total forward


From From Non-Revenue Revenue and Temp. Accounts Total $2,976,666.53


7. SINKING FUNDS


To Commissioners for Debt


137. From Taxes, Earnings, etc.


138. From Special Assessments


139. From Sale of Real Estate, etc.


Total, Sinking Funds


8. AGENCY, TRUST AND INVESTMENT


Agency


140. Taxes Collected for Other Civil Divisions


a. County Tax $87,514.13


b. District Taxes Collected


141. Beverage Licenses for the State


142. Dog Licenses for the County 2,935.60


143. All Other Agency


Trust


144. Perpetual Care Funds 6,982.51


145. Pension and Retirement Funds


146. Other Public Trust Funds


147. Income for Accumulating Funds 5,980.62


148. Private Trust Funds and Accounts


a. Federal Withholding Tax 112,890.50


b. Mass. Hospital Service


c. Retirement Fund Deductions


d. Federal Advances for Plans, etc.


e. Tailings 2.00


Investment


149. Sinking Fund Securities


150. Investment Fund Securities


Total, Agency, Trust, and Investment


$216,305.36 216,305.36


Total forward


$3,192,971.89


-142-


RECEIPTS


Sources of Receipts


Total forward


Temporary Accounts and Cash Balances Total $3,162,344.84


16. REFUNDS


151. Taxes, Current Year a. Taxes, Previous Years


152. Motor Vehicle Excise Taxes


153. Licenses


154. Special Assessments


155. General Departments


$5,499.16


156. Public Service Enterprises


66.50


157. Cemeteries


6.60


158. Accrued Interest


82.88


159. All Other


53.36


Total, Refunds $5,708.50 5,708.50


17. TRANSFERS


160. Departmental Service Transfers


a. from


b. from


c. from


d. from


e.


from


f.


from


g. from


161. Transfers from Trust Funds


a.


b.


C.


Total, Transfers


18. BALANCES


162. General


$810,739.50


163. Sinking Fund


164. Investment Fund


165. Perpetual Care Fund


166. Pension and Retirement Fund


167. Other Public Trust Fund


168. Private Trust Funds and Accounts


Total Cash, Beginning of Year


$810,739.50 810,739.50


Grand Total Receipts and Cash on Hand


$3,978,792.84


. .. . . . . . . . . . ..


-


-143-


PAYMENTS


Objects of Payments


Total forward


Expenses Outlays Total $3,192,971.89


9. REFUNDS


151. Taxes, Current Year


$2,444.40


a. Taxes, Previous Years


66.52


152. Motor Vehicle Excise Taxes


2,260.19


153. Licenses


154. Special Assessments


155. General Departments


5,499.16


156. Public Service Enterprises


82.00


157. Cemeteries


6.60


158. Accrued Interest


159. All Other


Total, Refunds


$10,358.87 10,358.87


10. TRANSFERS


160. Departmental Service Transfers


a. to


b. to


c.


to


d. to


e.


to


f.


to


g. to


161. Transfers from Trust Funds


a.


b.


C.


Total, Transfers


11. BALANCES $775,462.08


162. General


163. Sinking Fund


164. Investment Fund


165. Perpetual Care Fund


166. Pension and Retirement Fund


167. Other Public Trust Fund


168. Private Trust Funds and Accounts


Total Cash, End of Year $775,462.08 775,462.08


Grand Total Payments and Cash on Hand


$3,978,792.84


-144-


SCHEDULE B


Being a detailed statement of each appropriation, showing the addition to and payments from


WIRE INSPECTOR COMMITTEE


Balance from 1950 $50.00


No Payments


Balance to E. & D.


$50.00


REPRESENTATIVE TOWN MEETING COMMITTEE


Balance from 1951


$75.48 100.00


Appropriation


$175.48


Payments:


Expenses of Committee


30.00


Balance to E. & D.


$45.48


Balance to Revenue


100.00


$145.48


MANOMET FIRE STATION COMMITTEE


Balance from 1951


$100.00


Payments:


Expenses of Committee


16.05


Balance Remaining $83.95


COMMITTEE ON OFF-STREET PARKING


Balance from 1951


$460.38


Payments:


Survey and Plans 410.00


Balance to E. & D. $50.38


COMMITTEE TO STUDY PLYMOUTH HARBOR AND WATERFRONT FACILITIES


Appropriation


No Payments


$500.00


Balance Remaining $500.00


.. .


-145-


PUBLISHING AND PRINTING BY-LAWS


Appropriation Payments:


$2,000.00


Building and Plumbing By-Laws


$75.00


Zoning By-Laws and Map


569.50


Total Payments


644.50


Balance Remaining


$1,355.50


PERSONNEL BOARD EXPENSES


Appropriation


$100.00


Payments :


$50.00


Stationery Supplies, Postage


45.07


Total Payments


95.07


Balance to Revenue


$4.93


SELECTMEN'S DEPARTMENT


Appropriation


$7,187.00


Transfer from Reserve


384.24


$7,571.24


Payments:


Chairman


$800.00


Other Selectmen


1,600.00


Clerk


3,427.00


Clerical Assistance


1,744.13


Total Salaries


7,571.13


Balance to Revenue


$ .11


Appropriation


$2,045.00


Payments:


Stationery Supplies, Postage


$389.27


Advertising


1,014.75


Travel and Lunches


289.04


Expenses to Mass. Selectmen's Ass'n Meeting


150.00


Perambulation of Bounds


50.73


Dues


70.00


All Other


24.77


Total Payments


1,988.56


Balance to Revenue


$56.44


Salary of Secretary


-146-


ACCOUNTING DEPARTMENT




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