Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1957, Part 10

Author: Plymouth (Mass.)
Publication date: 1957
Publisher: Plymouth [Mass.] : Avery & Doten
Number of Pages: 370


USA > Massachusetts > Plymouth County > Plymouth > Town annual report of the officers of the town of Plymouth, Massachusetts for the year ending 1957 > Part 10


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1,049.74


Collector


750.00


Clerks


5,961.75


Foreman


4,409.16


Assistant Foreman


3,778.73


Pumping Station Engineers


7,862.00


Total Salaries


29,130.38


Balance to Revenue


$187.37


WATER DEPARTMENT MAINTENANCE


Appropriation


$52,925.00


Payments:


Administration -


Office Supplies


$1,018.84


Telephone


449.71


Water Analysis


480.00


All Other


196.32


$2,144.87


General Maintenance -


Labor


$23,306.92


Mains


2,158.14


Services


2,024.64


Meters


2,924.20


Hydrants


1,203.69


Auto and Truck Expense


989.77


Gasoline and Oil


1,450.75


Other Equipment


558.38


Howland Street Shop


951.09


Reservoir, Storage Tanks


2,895.62


Road Patching


370.94


Lout Pond Station -


Diesel Oil


$1,753.84


Chlorination


292.01


Lubricating Oil, Waste, etc.


201.35


Engine and Pump Repairs


676.30


Tools and Equipment


17.24


Heat and Light


562.27


Building Maintenance and Repairs


215.09


38,834.14


-176-


Dwelling, Heat and Repairs Telephone


756.38


186.40


All Other


17.88


Deep Water Bridge Station -


Electric Power


$1,371.76


Fuel


57.12


1,428.88


Wanno's Pond Station -


Engine and Pump Repairs


$129.65


Fuel and Power


1,530.09


All Other


198.35


Automatic Station Lout Pond - Electric Power


2,040.77


Total Payments 50,985.51


Balance to Revenue


$1,939.49


WATER DEPARTMENT TRUCK REPLACEMENTS


$3,250.00


Appropriations Payments:


1957 Dodge Pick-Up, less Dodge trade-in $1,426.80


1957 Dodge Pick-Up, less International trade-in 1,246.00 Extras 463.75


Lettering, Insurance, Registration


26.75


Total Payments 3,163.30


$86.70


WATER DEPARTMENT EMERGENCIES


Appropriation


$2,500.00


No Payments


Balance to Revenue


$2,500.00


NEW WELL HOUSE AND EQUIPMENT


Balance from 1956


$3,977.98


Payments:


Trees Planted


$522.00


Tachometer


80.64


Supplies


14.86


Total Payments


617.50


4,678.76


1,858.09


Balance to Revenue


-177-


Transfer to Water Construction, Obery St., etc. Balance to E. & D.


$3,006.50


353.98


$3,360.48


WATER CONSTRUCTION - REGULAR


Balance from 1956


$2,019.19


Appropriation


8,000.00


$10,019.19


Payments:


Labor


$1,662.90


Mains


2,148.51


Services


1,658.82


Hydrants


463.43


Meters


174.20


Total Payments 6,107.86


Balance Remaining


$3,911.33


WATER CONSTRUCTION - MANOMET HEIGHTS


Balance from 1956 Payments:


$1,263.92


Services


2,055.31


Mains


42.00


Total Payments 3,361.23


Balance Remaining


$2,430.26


WATER CONSTRUCTION - SHORE ACRES


Balance from 1956


$1,968.35


No Payments


Balance Remaining $1,968.35


WATER CONSTRUCTION - STANDISH AVENUE Balance from 1956 $2,492.88


No Payments


Transfer to Water Construction, Obery St., etc. $2,492.88


WATER CONSTRUCTION - CAPE COD AVE., ETC. Balance from 1956 No Payments


$511.92


Transfer to Water Construction, Obery St., etc.


$511.92


$5,791.49


Labor


-178-


WATER CONSTRUCTION - OBERY ST., ETC. AND STORAGE TANKS


Balance from 1956


$204,074.38


Transfer from Water Const., Standish Avenue 2,492.88 Transfer from Water Const., Cape Cod Ave., etc. 511.92 Transfer from New Well House and Equipment 3,006.50


$210,085.68


Payments:


Engineering Services


$4,429.73


Contract


64,458.52


Contract for Tanks


92,640.00


Equipment


523.55


Labor


247.70


Mains


55.76


Wiring


81.58


Photographs


16.00


Total Payments


162,452.84


Balance Remaining


$47,632.84


WATER CONSTRUCTION - MURRAY STREET


Appropriation Payments:


$11,600.00


Labor


$2,274.35


Mains


5,410.16


Services


512.35


Hydrants


676.25


Advertising for Bids


1.31


Total Payments


8,874.42


Balance Remaining


$2,725.58


WATER CONSTRUCTION - FREMONT AND UNION STREETS


Appropriation


$12,500.00


Payments:


Labor


$2,358.50


Mains


5,392.80


Services


760.65


Hydrants


500.77


Advertising for Bids


1.31


Total Payments


9,014.03


Balance Remaining


$3,485.97


-179-


WATER CONSTRUCTION - MASSASOIT AND SAGAMORE STREETS


Appropriation


$6,440.00


Payments:


Labor


$1,970.10


Mains


2,609.57


Services


117.00


Hydrant


175.71


Road Patching


117.46


Advertising for Bids


1.31


Total Payments


4,991.15


Balance Remaining


$1,448.85


WATER CONSTRUCTION - SOUTH STREET


Appropriation


$5,000.00


Payments:


$2,171.95


Hydrant


166.92


Advertising for Bids


1.31


Total Payments


2,340.18


Balance Remaining


$2,659.82


WATER CONSTRUCTION - SAMOSET STREET


Appropriation


$1,000.00


No Payments


Balance Remaining


$1,000.00


WATER CONSTRUCTION - WHITE HORSE ROAD AND TAYLOR AVENUE


Appropriation


$700.00


No Payments


Balance Remaining


$700.00


WATER CONSTRUCTION - HAMILTON STREET


Appropriation


$9,760.00


Payments:


Labor


$202.70


Mains


3,175.18


Hydrant


166.93


All Other


28.34


Total Payments


3,573.15


Balance Remaining


$6,186.85


Mains


-180-


WATER CONSTRUCTION - DWIGHT AVENUE AND BUNKER HILL ROAD


Appropriation


Cash from Developer


Payments:


Labor


$1,306.15


Mains


4,415.58


Services


314.59


Hydrants


345.41


Advertising for Bids


1.31


Total Payments


6,383.04


Balance Remaining


$1,986.96


WATER CONSTRUCTION - JACOB'S LADDER ROAD


Appropriation


$3,500.00


Cash from Developer


2,100.00


Payments:


Labor


$375.60


Mains


2,604.76


Hydrant


175.95


Advertising for Bids


1.31


Total Payments


3,157.62


Balance Remaining


$2,442.38


WATER CONSTRUCTION - WINDING WAY


Appropriation


$4,790.00


Cash from Developer


3,810.00


$8,600.00


Payments:


Labor


$1,154.80


Mains


4,487.69


Hydrants


514.88


Advertising for Bids


1.33


Total Payments


6,158.70


Balance Remaining


$2,441.30


$4,890.00 3,480.00


$8,370.00


$5,600.00


-181-


HARBOR MASTER


Appropriation $3,713.00


Payments:


Salary of Harbor Master Appropriation Transfer from Reserve


$3,713.00


$613.00


40.00


653.00


Payments:


Floats and Moorings


$443.58


Mileage


150.00


Total Payments 593.58


Balance to Revenue


$59.42


TOWN WHARF MAINTENANCE


Appropriation $3,275.00


Payments:


Boat Damage Repairs


$450.00


Other Repairs


2,605.80


Water Rates


71.03


Total Payments


3,126.83


Balance to Revenue


$148.17


PURCHASE OF FLOAT, MOORINGS, ETC.


Appropriation $1,000.00


Payments:


Payment in Full for Float, Moorings, etc.


$1,000.00


BULKHEAD AT TOWN WHARF


Balance from 1956


$25,000.00


No Payments


Balance Remaining


$25,000.00


PLYMOUTH AIRPORT


Balance from 1956


$4,542.96


6,000.00


Appropriation Cash Receipts


5,511.59


$16,054.55


-182-


Payments:


Salaries - Field Personnel


$5,013.71


Labor


960.38


Fuel


307.57


Light


141.52


Telephone


322.90


Aviation Gasoline and Oil


3,694.79


Supplies and Repairs


1,351.41


Equipment


318.61


All Other


10.50


Total Payments


12,121.39


Balance Remaining


$3,933.16


AIRPORT CONSTRUCTION


Appropriation


$30,818.00


Payments:


Engineering Services


$6,025.00


Advertising for Bids


30.00


Total Payments


6,055.00


Balance Remaining


$24,763.00


PURCHASE OF LAND FOR PUBLIC AIRPORT


Appropriation


$3,000.00


No Payments


Balance Remaining


$3,000.00


TOWN FOREST


Appropriation


$950.00


Payments:


Plowing


$50.00


Bulldozing


334.00


Shovels


28.35


Total Payments 412.35


Balance to Revenue


$537.65


-183-


CEMETERY DEPARTMENT - SALARIES


Appropriation


$13,259.00


Payments:


Superintendent


$4,143.00


Clerk


2,366.00


Foremen


6,550.00


Police


184.62


Total Salaries


13,243.62


Balance to Revenue


$15.38


OAK GROVE AND VINE HILLS CEMETERIES


Appropriation


$15,480.00 3,547.98


$19,027.98


Payments:


Administration


Telephone


$387.60


Office Supplies


163.37


$550.97


Labor


Truck Expenses -


Maintenance and Repairs


$160.75


Gasoline and Oil


185.26


Insurance


43.60


Garage Rent


60.00


449.61


Tools and Equipment -


New


$275.21


Maintenance and Repairs


331.65


606.86


Other Expenses -


Auto Allowance


$360.00


Repairing Stones


154.00


Trees and Tree Maintenance


300.00


Road Maintenance


545.15


Tool House Maintenance


94.94


Flowers, Lot Materials


729.49


Other Supplies and Repairs


783.04


2,966.62


Total Payments 18,972.46


Balance to Revenue


$55.52


Income from Trust Funds


14,398.40


-184-


FILL FOR ADDITION TO OAK GROVE AND VINE HILLS CEMETERIES


$2,000.00


Appropriation Payments:


Filling and Grading


$1,834.00


Lot Materials


156.55


Total Payments


1,990.55


Balance to Revenue


$9.45


BURIAL HILL


Appropriation


$3,075.00


Income from Trust Funds


228.50


$3,303.50


Payments:


Labor


$1,153.20


Flags


21.67


Trees, Tree Work


250.35


Repairing Stones


1,597.00


Mowing


159.00


Supplies and Repairs


81.60


Total Payments


3,262.82


Balance to Revenue


$40.68


OUTLYING CEMETERIES


Appropriation


$3,650.00


Income from Trust Funds


652.00


Payments:


Chiltonville --


Labor


$116.00


All Other


1,493.36


Manomet --


Labor


$1,326.25


All Other


433.55


1,759.80


Cedarville -


All Other


292.44


South Pond -


$428.35


All Other


51.21


479.56


-


$4,302.00


$1,609.36


Labor


-185-


Other Cemeteries - All Other 124.40


Total Payments


4,265.56


Balance to Revenue


$36.44


GRADING LOTS AT MANOMET CEMETERY


Appropriation


$1,000.00


Payments:


Grading


$975.00


Watering


12.80


Total Payments


987.80


Balance to Revenue


$12.20


TOWN DEBT AND INTEREST


Appropriation


$145,000.00


Accrued Interest on Highway Notes


28.75


$145,028.75


Payments:


Town Debt -


School Loans


$45,000.00


Water Loans


60,000.00


Remodeling Loan


15,000.00


$120,000.00


Interest


School Loans


$8,738.75


Water Loans


8,215.00


Remodeling Loan


877.50


Highway Loan


1,015.00


Loans in Anticipation of Taxes


3,891.56


22,737.81


Total Payments


142,737.81


Balance to Revenue


$2,290.94


-186-


SCHEDULE C


ESTIMATED RECEIPTS


Estimates in Making Tax Warrant


Amounts Actually Received


1. Income Tax


$116,039.23


$151,500.83


2. Corporation Taxes


130,606.43


152,264.17


3. Reimbursement on Account of Pub- licly Owned Land


5,204.88


5,765.31


4. Old Age Meals Tax


10,683.16


12,372.69


5. Motor Vehicle and Trailer Excise


115,157.30


174,708.75


6. Licenses


23,170.64


23,848.95


7. Fines


553.70


1,245.05


8. Special Assessments


1,780.00


1,090.00


9. General Government


3,400.47


4,486.46


10. Protection of Persons and Property


1,338.77


1,230.18


11. Health and Sanitation


3,940.57


2,426.47


12. Highways


207.40


70.00


13. Charities (Other than Federal Grants)


93,915.38


94,766.81


14. Old Age Assistance (Other than Federal Grants)


208,984.92


221,270.44


15. Veterans' Services


14,109.90


24,793.98


16. Schools


4,569.17


3,593.79


17. Libraries


2,361.33


2,361.33


18. Recreation


13,051.54


15,425.90


19. Public Service Enterprises


86,699.70


107,446.53


20. Cemeteries


4,403.86


4,333.62


21. Interest


3,780.23


4,843.31


23. Grants and Gifts


2,234.01


1,756.10


Housing


1,440.00


1,494.98


25. Farm Animal Excise


148.76


103.01


Total amount estimated


$857,600.42


Total amount received


$1,023.494.52


Excess to Revenue Account


$165,894.10


22. State Assistance for School Construction


9,819.07


10,295.86


24. Unclassified, including Veterans'


-187-


SCHEDULE D


REVENUE ACCOUNT 1957


CHARGES:


Appropriations


$2,986,612.52


State and County Assessments (net)


157,072.60


Overlay of 1957


51,571.02


Overlay Deficit of 1956


3,774.46


$3,199.030.60


Less:


Excess and Deficiency


$154,300.00


Reserve Overlay


10,000.00


Cash for Water Construction


9,390.00


Cash for Waterfront Protection


1,500.00


Cash for Stephens Field Floodlights


2,000.00


Parking Meter Receipts


12,575.00


Highway Bond Issue, Chapter 718, Acts of 1956


65,382.30


Estimated Receipts


857,600.42


1,112,747.72


Amount to be assessed


$2,086,282.88 **


Excess Revenue (To Excess and Deficiency)


249,164.94


$2,335,447.82


CREDITS:


1957 Poll Tax


$8,954.00


1957 Personal Tax


186,082.84


1957 Real Estate Tax


1,891,246.04


$2,086,282.88 **


Additional Warrants, Polls


32.00


Personal


129.94


Real Estate


2,441.12


2,088,885.94


Excess of Estimated Receipts


$165,894.10


Unexpended 1957 Appropriation Bal-


ances (as shown in Schedule B)


80,667.78


246,561.88


$2,335,447.82


-188-


SCHEDULE E


EXCESS AND DEFICIENCY ACCOUNT


Balance, January 1, 1957


$450,025.23


Less:


Appropriations


$154,300.00


Acquiring Tax Titles


15,743.82


170,043.82


$279,981.41


Add:


Old Age Assistance Recoveries


$5,879.37


Aid to Highways Revenue


40,013.85


Tax Title Revenue


3,840.92


Previous Year's Refunds


16.13


Previous Years' Tax Warrants


244.24


Disclaimers


432.94


Unexpended Appropriation Bal- ances (as shown in Schedule B)


10,297.50


Excess Revenue


249,164.94


309,889.89


Balance, December 31, 1957


$589,871.30


SCHEDULE F BALANCE SHEET - December 31, 1957 REVENUE ACCOUNTS


Assets


Liabilities


Cash


$667,081.02


Liquor License Fees for 1958, Collected in 1957 $12,100.00 Employees' Payroll Deductions: Group Insurance - Chapter 32B 139.02


Taxes:


Levy of 1955:


Agency:


Real Estate


100.00


County - Sale of Dogs


$6.00


Levy of 1956:


Tax Title Receipts Reserved


823.79


Poll


$2.00


829.79


Personal


1,919.40


Tailings


122.71


Real Estate


10,706.70


Conscience Money


175.00


12,628.10


O. A. A. Recoveries


9,375.74


Levy of 1957:


Federal Grants:


Poll


$62.00


O. A. A. - Adm. $546.01


Personal


11,374.99


O. A. A. - Aid


373.07


Real Estate


143,238.48


A. D. C. - Aid


2,101.17


154,675.47


D. A. - Aid


63.53


Motor Vehicle and Trailer Excise:


Levy of 1956


$1,845.87


Levy of 1957


17,372.96


Revolving Funds:


School Band


$857.61


School Athletic


827.48


45.75


Elementary School Lunch


787.84


-189-


Farm Animal Excise: Levy of 1957


19,218.83


George-Barden Fund for Pottery Classes 250.00


3,333.78


Accounts Receivable:


Tax Titles Tax Possessions Departmental:


23,228.47 1,936.26


Jr .- Sr. High School Cafeteria 1,121.31


Plymouth Airport


3,933.16


7,527.40


Tax Collector


$600.48


Memorial Building


30.00


$217,106.19


: Police


99.00


Water Construction 33,387.65


250,493.84


Highway


75.00


General Relief


10,856.59


Aid to Dependent Children 14,564.77


Veterans' Benefits -


Cities & Towns


159.00


School


68.85


Town Wharf


1,685.00


Plymouth Airport


316.32


Reserve Fund - Overlay Surplus


18,097.06


Cemetery - Lots and Graves 508.00


Cemetery - Other


766.42


Overlays Reserved for Abatements: Levy of 1955


$100.00


Levy of 1957


2,806.87


2,906.87


Revenue Reserved Until Collected: Motor Vehicle Excise $19,218.83


Farm Animal Excise


45.75


Tax Title and Possession


25,164.73


Departmental


30,344.93


57,873.91


Water


57,873.91


-190-


30,344.93


Water:


Liens Added to Taxes 1956 $105.76 Liens Added to Taxes 1957 3,357.76 Water Rates 1956 6,300.06


Water Rates 1957 48,024.33


Labor and Material 1956 24.00


Labor and Material 1957 62.00


Unexpended Appropriation Balances: General


Health


615.50


Overestimates 1957: Plymouth County Hospital Maintenance 1,611.16


Sale of Cemetery Lots Fund 3,482.14


Receipts Reserved for Appropriation: Parking Meter Fees - Parking Lot $5,298.87


Parking Meter Fees -Other 19,468.92


24,767.79


Aid to Highways: State - 1957 Maint. $2,000.00


County - 1957 Maint. 2,000.00


Excess and Deficiency


4,000.00


Underestimates 1957: State Parks and Reservations $271.59 Ply. Cty. Mosquito Control 10,224.76 Plymouth County Tax 20,761.10


31,257.45


Overlay Deficits: Levy of 1956


662.60


Overdrawn Appropriations: Forest Fire Emergency 58,428.96


$1,061,481.75


$1,061,481.75


NON-REVENUE ACCOUNTS


Cash


$64,499.12


Appropriation Balances: Highway Construction and Recon- struction $15,560.34 New Manomet Elementary School 1,305.94


Obery St., etc. Water Construction 47,632.84 $64,499.12


$64,499.12


Aid to Highways 4,000.00


136,648.15 589,871.30


-191-


MUNICIPAL INDEBTEDNESS


Inside Debt Limit:


Town Office Building Remodeling 1.3% $60,000.00


New Elementary School 13/4% 195,000.00


New Elementary School 1.7% 200,000.00


352,000.00


Addition to Elementary School 1.4% 95,000.00


Highway Construction 2.9% 70,000.00


$620,000.00


Outside Debt Limit:


Water Construction 11/2%


$30,000.00


Water Construction 2% 72,000.00


New Well House & Equipment 11/2%


20,000.00


Water Construction 2.2%


230,000.00


352,000.00


-192-


$972,000.00


$972,000.00


CONTRIBUTORY RETIREMENT FUNDS


Cash and Securities $339,003.04 Retirement System Funds


$339,003.04


(See Report of Retirement Board for details)


Cash and Securities


TRUST AND INVESTMENT FUNDS $408,722.87 Trust and Investment Funds $408,722.87


(See Schedule I. for details)


Net Funded or Fixed Debt: Inside Debt Limit: General Outside Debt Limit: Water


$620,000.00


SCHEDULE G Summary of Funded Indebtedness, January 1, 1958 and Amounts Due for Principal and Interest in 1958


Loans


Outstanding Jan. 1, 1957


Added During 1957


Paid During 1957 $15,00.00


Outstanding Jan. 1, 1958


Principal Due in 1958


Interest Due in 1958


Water Loan


$45,000.00


$30,000.00


$15,000.00


$450.00


New Elementary School (Cold Spring)


210,000.00


..


15,000.00


195,000.00


15,000.00


3,281.25


New Elementary School (Manomet)


215,000.00


15,000.00


200,000.00


15,000.00


3,400.00


Remodeling Old High School


(Town Office Building)


75,000.00


15,000.00


60,000.00


15,000.00


682.50


Water Loan


87,000.00


15,000.00


72,000.00


15,000.00


1,290.00


Water Loan


30,000.00


10,000.00


20,000.00


10,000.00


300.00


Addition to School (Cold Spring)


110,000.00


15,000.00


95,000.00


15,000.00


1,330.00


Water Loan


250,000.00


20,000.00


230,000.00


20,000.00


5,060.00


Hwy. Construction Loan


$70,000.00


70,000.00


14,000.00


1,827.00


$1,022,000.00


$70,000.00


$120,000.00


$972,000.00


$134,000.00


$17,620.75


-193-


SCHEDULE H


Itemized Statement of the Funded Indebtedness, January 1, 1958


WATER LOAN


One and one-half per cent bonds, dated July 1, 1949, payable $15,000 annually 1950 to 1959. Maturity Date 1959 $30,000.00


NEW ELEMENTARY SCHOOL - COLD SPRING


One and three-quarters per cent bonds, dated June 1, 1950, payable $20,000 annually 1951 to 1953, $19,000 in 1954 and $15,000 an- nually 1955 to 1970.


Maturity Date 1970 $195,000.00


NEW ELEMENTARY SCHOOL - MANOMET


One and seven-tenths per cent bonds, dated Dec. 1, 1951, payable $15,000 annually 1952 to 1969, $10,000 annually 1970 to 1971. Maturity Date 1971 $200,000.00


WATER LOAN


Two per cent bonds, dated June 1, 1953, pay- able $15,000 annually 1954 to 1958, $12,000 annually 1959 to 1962 and $9,000 in 1963 and $500 note payable in 1954. Maturity Date 1963 $72,000.00


WATER LOAN


One and one-half per cent notes, dated July 7, 1954, payable $10,000 annually 1955 to 1959. Maturity Date 1959 $20,000.00


ADDITION TO SCHOOL - COLD SPRING


One and four-tenths per cent bonds, dated October 1, 1954, payable $15,000 annually 1955 to 1962, $10,000 annually 1963 and 1964. Maturity Date 1964 $95,000.00


-194-


REMODELING OLD HIGH SCHOOL


One and three-tenths per cent bonds, dated June 1, 1952, payable $15,000 annually 1953 to 1959 and $10,000 annually 1960 to 1962. Maturity Date 1962 $60,000.00


WATER LOAN


Two and two-tenths per cent bonds, dated July 1, 1956, payable $20,000 annually 1957 to 1961 and $15,000 annually 1962 to 1971. Maturity Date 1971 $230,000.00


HIGHWAY CONSTRUCTION LOAN


Two and nine-tenths per cent notes, dated June 5, 1957, payable $14,000 annually 1958 to 1962. Maturity Date 1962 $70,000.00


-195-


-196-


SCHEDULE I


TRUST FUNDS


CEMETERY PERPETUAL CARE FUNDS


These funds are listed in the order of deposit date, a fund always appearing in the same position relative to others.


An alphabetical index is on file with the Town Clerk.


Deposited in Plymouth Five Cents Savings Bank:


Russell Tomlinson


$219.79


Ephraim B. Holmes


$540.65


Betsey C. Bagnell


393.94


Lydia E. Jackson


214.63


Rebecca D. Ryder


457.54


Jacob Jackson 104.50


Lydia W. Chandler


211.12


Charlotte R. Bearse


219.64


Curtis Howard


516.81


Washburn portion lot


155.36


Sarah F. Bagnell


155.47


Helena B. Rich


102.01


A. A. Whiting


725.24


Winslow B. Rickard


102.76


James Reed


438.37


John Eddy


103.59


Barnes lot


273.76


Helen Covington


221.00


William H. Nelson


677.76


Freeman E. Wells


159.21


Charles Holmes


202.42


Eliza Burt


154.86


Louisa S. Jackson


222.09


David L. Harlow


102.22


Judith S. Jackson


433.45


Benjamin Swift


102.53


John Donley


102.68


Ellis Benson


103.25


David Drew


326.64


James Deacon


115.57


Mary J. Brown


50.95


Spooner-Cornish


50.33


Mary V. Lewis


219.12


Ellis & Freeman


109.18


Priscilla L. Hedge


213.49


Ansel F. Fish


216.11


Frederick Webber


76.95


Taylor and Foss


102.57


Nancie C. Wood


1,154.19


Mary A. Minter


131.28


Fannie Goodwin Bates


1,106.62


William R. Drew


648.02


Joshua Atwood


102.77


Adelaide Reed


104.22


Ichabod Shaw


448.13


Elizabeth M. Ward


239.17


Edwin Morey


544.15


Edward W. Bradford


212.92


Waldron & Dunham


219.69


Harvey lot


102.67


Timothy T. Eaton


155.70


Ephraim Churchill


28.34


Heman Cobb


206.32


Franklin B. Holmes


105.42


Thomas Sampson


217.55


Linus B. Thomas


155.16


Plymouth Five Cents Savings Bank-Page 1


-197-


Ephraim S. Morton


$104.46


Ellis-Ryder


$122.36


Merriam lot


215.84


Brewster-Bartlett


537.11


B. O. Strong


129.66


Barnabas Hedge


155.43


John C. Cave


102.02


George M. Collins


129.21


Winslow B. Standish


102.58


Alexander McLean


102.96


Calvin S. Damon


543.84


Charles E. Dow


102.51'


Finney and Churchill


102.08


Shaw and Thomas


207.71


Edward B. Hayden


128.75


Atwood and Pratt


203.98


H. N. P. Hubbard


218.23


Prentiss lot


215.14


Anderson lots


152.62


Rufus H. Pope


76.71


Sylvanus Churchill


51.15


Alanson Thomas


156.31


Nancy L. Pratt


51.26


Albert Whiting


139.84


Burgess P. Terry


129.43


Gamaliel Thomas


211.33


William and P. H. Williams


102.49


Nancy B. Stevens


101.81


Increase Robinson


473.12


Johnson-Hart


102.76


August H. Lucas


154.38


Adeline D. Bartlett


50.97


Benjamin Pierce


90.22


Edward N. H. Vaughn


324.91


Alfred P. Arnold


103.06


Thomas W. Finney


103.34


Nathaniel H. Morton


102.29


Charles H. Howland


104.77


Charles H. Holmes


203.65


Davidson lots


232.57


Daniel Hinchcliffe


101.32


James Ellis


103.47


Samuel Nelson


103.46


Allen and Franklin


Nathaniel Russell


431.96


M. Holmes 430.14


Sumner Leonard


216.80


Marietta Bumpus


128.99


Frederick Dittmar


102.87


Frederick O. Bradford


153.16


Emeline Landy


103.11


Mercy C. Robbins


355.84


John F. Hoyt


129.31


D. Edson Raymond 102.70


Pope lot


154.47


Martin J. Hunting


218.29


Nehemiah Savery


107.90


Watson and Rufus Ellis


103.50


Thomas A. Holsgrove


155.79


Herbert Robbins


103.52


John C. Ross


206.74


William J. Waterson


326.50


Archibald McLean


50.92


Belinda B. Clements


103.06


George L. Lyon


156.71


George D. Bartlett


518.86


Phineas Pierce lot and


Orrin W. and Lydia A.


Paty tomb


204.02


Bennett 103.22


Charles E. Barnes


102.64


John F. Hall


207.05


Burgess lot, So. Pond


155.86


Charles P. Morse


103.25


Ezra Harlow


156.08


Stephen and Almira B. Pember 101.87


Mercy J. Howland


129.43


Isaac M. Jackson


1,088.31


Barnabus Churchill


207.54


Mary McDonald


102.87


Erastus B. Torrance


102.65


Mary J. Corey


525.00


Winslow W. Avery


218.31


Albert Bramhall


102.80


Edward Morton


103.28


Coomer Weston


210.75


Plymouth Five Cents Savings Bank-Page 2


-198-


Daniel O. Churchill


$102.29


Catherine Wilhelmy


$102.83


Bradford Barnes


154.79


Emily F. Bartlett


157.60


Zacheus Bartlett


101.28


William Bradford 281.37


Burgess and Churchill


50.98


Chas. Hathaway- Elijah Atwood 212.79


Hilda Svennsson 103.29


Kate Zahn


222.73


Hiram B. Sears


437.74


Lothrop C. King


211.01


Joseph Taylor


76.81


Alpheus O. Grant


323.45


Franklin B. Cobb


103.91


Jennette B. Smyth


103.13


Andrew J. and Sarah


Clark Finney 105.70


E. Bradford


102.72


Ichabod Morton


101.88


John S. Butler


105.09


Cobb and Burgess


103.31


Chas. H. and Eunice B. Howland


101.76


Laura A. and Edna


Larkin 184.21


Sylvanus W. King


204.28


Levi P. Morton


102.37


George H. Malloy


104.92


Robert Siebenschu 102.97


Whitmore-Churchill- Whitmore


206.67


Perkins-Sibley lot


99.95


John Bachelder


556.08


Priscilla Perkins


128.86


Richard McLean lots


204.24


Betsey F. Dunham 104.80


Ziba R. Ellis


311.30


George H. Dunham


102.70


Charles L. Jones


212.47


Burgess-Bennett


209.16


Clark Ellis


211.53


George and Elizabeth


Chas. E. and Clarence


Nichols 217.52


E. Taylor


101.80


Harry Kramer


102.56


Joshua L. Edes


103.22


Nellie H. Weeks


102.67


Raymond-Doten


218.66


John Peck


102.67


Hayden-Bradford


128.53


Chas. C. Barnes and


Abbie B. Ward


162.08


Samuel G. Broadbent


102.95


Adam and Frances Nicol 134.36


Mary J. Ware


103.49


Charles C. Drew


540.54


William L. Finney 242.03


Thomas Hedge


302.35


Elmer H. Bartlett


436.78


Scovel-Doten


271.66


Nathaniel Bartlett


138.55


Walter S. Irwin


167.12


Charles E. Ryder 115.49


Peter Holmes lot


280.52


Mary A. Austin et al 76.94


Frank Sheppard


105.84


Elizabeth A. Kimball et al 40.70


Maria A. Rickard


422.73


David O. Harvey


448.75


Emily H. Cook


156.86


John D. and Thomas


William and Violet


Churchill 531.93


Crozier


101.41


Antone Rose


102.54


Frederick Mahler


102.10


John Bodell


212.72


Isaac B. King


252.94


Lauchlin C. McLean


102.49


Alexander M. Harrison


103.96


William H. Miller


102.49


Thom. C. Atwood and Laura McHenry 103.58


Jacob Jr. and Elizabeth Mahler 260.58


Plymouth Five Cents Savings Bank-Page 3


-199-


Adelbert C. Finney


$101.42


John Finney $101.48


Ezro J. Huntley


102.51


Arthur L. Holmes Est. 100.70


Jessie Shaw


160.00


Corban Barnes Sr. 103.50


Seth L. Holmes


129.10 Benjamin W. Gooding 214.74


Capt. W. W. Baker


103.33


George A. Collins


157.67


George E. Saunders


440.83


Ella R. & Joseph Barnes 158.79


James H. Robbins 102.43


Herbert W. Bartlett


319.17


Eben and Mary A. Morton


102.41


Helen R., Edward L. & William L. Burgess 212.45


Thomas M. Paty


155.71


Squire Sutcliffe


102.91


Ellis & Freeman


107.39


Alma C. Wadsworth grave


in W. D. Carleton lot 65.28


Lizzie D., George W. & Alba Wood 314.98


Hannah Ellis Burgess 51.40


Frederick H. Bradley


102.40


Harvey & Lois Briggs 102.50


Albert T. Hatfield


103.59


Matilda Hinchcliffe


154.21


Mrs. W. D. Burgess (Patience Burgess) 102.42


Nathaniel Shaw


117.27


Mark J. Bumpus


131.76


Sarah A. Maude & Seth


Booth


102.26


Charles E. & Elizabeth


Hemmerly lot (Burial Hill) 108.70


Joseph M. Kingan


211.28


George E. Mabbett


3,159.47


Allen lot


210.66


Charles F. Haire


273.04


Timothy E. Gay


106.79


Charles W. Huff


238.14


John Battles


111.71


William H. Clark


279.01


Sarah F. Schroeder


221.94


Addie A. Reed


95.69


Winslow W. Churchill


101.72


Lucretia Davis


50.70


Sarah F. Schroeder


105.90


Levi Thurston


50.64


Isaac William & Annie B.


Crozier 155.69


Robert H. Weston


158.24


George H. & Mary L.


Jackson 221.88


Esther S. Bartlett 102.73


Winslow-Whitman


316.38


Horace M. Saunders


544.03


Henry Weston


108.90


Verity Hawkyard


102.21


Simon R. Burgess


51.39


Nathaniel E. & George




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