USA > Massachusetts > Plymouth County > Rockland > Town annual report of the officers of the town of Rockland Massachusetts for the year ending 1936 > Part 27
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Respectfully submitted, HERMAN B. DINE, Assistant Director of Accounts HBD:0
RECONCILIATION OF TREASURER'S CASH
Balance May 18, 1933 Receipts
$ 48 171 42
May 18 to Decem- ber 31, 1933 $506 478 29
1934 728 917 49
1935 778 201 24
1936 783 435 30
2 797 032 32
$2 845 203 74
Payments : May 18 to December 31, 1933, $521 669 43
91
TOWN OF ROCKLAND
1934
715 325 09
1935
777 567 90
1936
738 588 36
2 753 150 78
Balance December 31, 1936,
92 052 96
$2 845 203 74
Balance January 1, 1937,
$ 92 052 96
Receipts January 1 to
November 6, 1937
698 366 03
Overdeposit in 1934, to be adjusted
23 11 1
Excess cash November 6, 1937,
57
$790 442 67
Payments January 1 to November 6, 1937,
$662 459 37
Balance November 6, 1937:
Cash in office verified $1 502 11
Rockland Trust
Company 82 456 02
Merchants National Bank, Boston:
General $41 472 41
P.W.A. Docket No. 1143,
Union St. Con-
struction 45 00
P.W.A. Docket No. 1343
Water
Tank
2 338 07
43 855 48
National Shawmut Bank,
Boston
169 69
127 983 30
$790 442 67
Rockland Trust Company
Balance November 6, 1937,
per statement $84 469 30
92
SIXTY-FIFTH ANNUAL REPORT
Deposit in transit November 6, 1937, verified 4 356 18
$ 88 825 48
Balance November 6, 1937, per check register $82 456 02
Outstanding checks November 6, 1937, per list, 6 369 46
$ 88 825 48
Merchants National Bank of Boston General Account
Balance November 6, 1937, per statement $41 837 18 Balance November 6, 1937,
per check book, $41 472 41
Outstanding checks November 6, 1937, per list, 364 77
$41 837 18
Merchants National Bank of Boston P. W. A. Docket No. 1143, Union Street Construction
Balance November 6, 1937, per statement, $45 00
Balance November 6, 1937, per check book, $45 00
Merchants National Bank of Boston P. W. A. Docket No. 1343, Water Tank Construction
Balance November 6, 1937, per statement, $2 338 07
Balance November 6, 1937, per check book, $2 338 07
The National Shawmut Bank
Balance November 6, 1937, per statement, $169 69
Balance November 6, 1937, per check book, $169 69
93
TOWN OF ROCKLAND
RECONCILIATION OF COLLECTOR'S CASH
Balances November 6, 1937, per tables :
Taxes 1931
10
Taxes 1934,
7 88
Taxes 1935
118 00
Taxes 1936
389 57
Taxes 1937
338 05
Motor vehicle excise
taxes 1934
1 88
Motor vehicle excise
taxes 1935,
31 90
Motor vehicle excise taxes 1936
92 76
Motor vehicle excise taxes 1937
205 48
Interest and costs on taxes 189 79
Water liens added to
taxes 1937 2 75
1 378 16
Excess cash November 6, 1937,
179 67
$1 557 83
Overpayment to treasurer, per table : Taxes 1933,
40 00
Cash on hand November 6, 1937, verified,
1 517 83
$1 557 83
TAXES - 1929
Outstanding May 18, 1933, $17 50
Payments to treasurer May 18 to
December 31, 1933,
$17 50
TAXES - 1930
Outstanding May 18, 1933, $71 28
94
SIXTY-FIFTH ANNUAL REPORT
Payments to treasurer May 18 to December 31, 1933, $71 28
TAXES - 1931
Outstanding May 18, 1933,
$52 717 97
Payments to treasurer:
May 18, to December 31, 1933, $45 277 58 1
1934
726 34
1935,
103 13
$46 107 05
Abatements :
May 18 to December
31, 1933,
$1 409 48
1934,
588 09 6 51
1935,
2 004 08
Tax titles taken May 18 to December 31, 1933, 2 666 17
Added to tax titles May 18 to December 31, 1933, 1 927 52
Outstanding December 31, 1936
13 15
$52 717 97
Outstanding January 1, 1937, $13 15
Outstanding November 6, 1937, per list $13 05
Cash balance November 6, 1937, 1
10
$13 15
TAXES - 1932
Outstanding May 18, 1933, Payments to treasurer: May 18 to December 31, 1933, $34 791 24
$95 238 41
1
95
TOWN OF ROCKLAND
1934,
1935,
1936,
51 093 58 703 40 4 29 $86 592 51
Abatements :
May 18 to December
31, 1933,
$1 285 57
1934,
1 711 98
1935,
520 72
3 518 27
Tax titles taken 1934,
2 416 80
Added to tax titles May 18 to
December 31, 1933,
2 689 20
Outstanding December 31, 1936
21 63
$95 238 41
Outstanding January 1, 1938,
$21 63
Unlocated different November 6,
1937, adjusted 4 29
$25 92
Outstanding November 6, 1937, per list,
$25 92
TAXES - 1933
Commitment per warrant
$278 350 05
Additional commitment
506 65
Abatements and payments refunded 1934, 17 00
Overpayment to collector refunded 1933, 49 71
Collection not committed 1935,
86 02
Tax title disclaimed 1935, 7 65
$279 017 08
Payments to treasurer :
1933, $149 703 95
1934,
60 876 80
1935,
53 415 95
1936,
1 859 03
$265 855 73
96
SIXTY-FIFTH ANNUAL REPORT
Abatements :
1933, $4 579 76
1934, 1 972 27
1935,
1 922 67
1936, 667 26
9 141 96
Tax titles taken 1935,
845 91
Added to tax titles 1934,
3 103 52
Outstanding December 31, 1936,
69 96
$279 017 08
Outstanding January 1, 1937,
$69 96
Interest on taxes 1933 reported as 4 taxes 1933, 1 87
Overpayment to collector, adjusted,
09
Unlocated difference November 6, 1937, adjusted, 63
Overpayment to treasurer, to be refunded, 40 00
$112 55
Payments to treasurer January 1 to November 6, 1937 $25 60
Abatements January 1 to November 6, 1937, 7 60
Outstanding November 6, 1937, per list, 79 35
$112 55
TAXES - 1934
Commitment per warrant, $310 739 75
Additional commitment, 95 34
Abatement and payment refunded 1935, 7 56
Tax title disclaimed 1935, 8 51
$310 851 16
Payments to treasurer :
1934, $164 507 38
1935, 71 373 84
1936, 54 401 24
$290 282 46
97
TOWN OF ROCKLAND
Abatements :
1934,
5 934 03
1935,
1 628 80
1936,
2 649 82
10 212 65
Tax titles taken 1936,
3 289 68
Added to tax titles 1935,
4 094 62
Outstanding December 31, 1936, 2 971 75
$310 851 16
Outstanding January 1, 1937, $2 971 75
Overpayments to collector: Adjusted,
07
To be refunded, 22 85
22 92
$2 994 67
Payments to treasurer January 1 to November 6, 1937, $2 136 91
Abatements January 1 to
November 6, 1937, 770 04
Unlocated difference November 6, 1937, adjusted, 2 00
Outstanding November 6, 1937, per list 77 84
Cash balance November 6, 1937, 7 88 $2 994 67
TAXES - 1935
Commitment per warrant
$312 221 61
Additional commitment, 22 00
$312 243 61
Payments to treasurer:
1935,
$174 301 89
1936,
61 667 06
$235 968 95
Abatements :
1935,
$7 422 96
98
SIXTY-FIFTH ANNUAL REPORT
1936,
1 034 26
8 457 22
Added to tax titles 1936, 6 707 05
Outstanding December 31, 1936, 61 110 39
$312 243 61
Outstanding January 1, 1937 $61 110 39
Interest on taxes 1935 reported as
taxes 1935, 87 57
$61 197 96
Payments to treasurer January 1 to November 6, 1937, $51 588 19
Abatements January 1 to November 6, 1937, 2 377 42
Tax titles taken January 1 to November 6, 1937, 1 721 82
Outstanding November 6, 1937, per list, 5 392 53
Cash balance November 6, 1937,
118 00
$61 197 96
TAXES - 1936
Commitment per warrant $326 370 60
Additional commitment, 91 79
Collections not committed, 4 00
Abatements and payments refunded, 218 35
$326 684 74
Payments to treasurer,
$188 170 60
Abatements :
Polls and property, $7 684 63
Machinery,
6 874 78
14 559 41
Outstanding December 31, 1936, 123 954 73 $326 684 74
Outstanding January 1, 1937, $123 954 73
99
TOWN OF ROCKLAND
Abatements and payments refunded
January 1 to November 6, 1937, 4 96
Overpayment to collector, to be refunded, 90
Unlocated difference November 6, 1937, 1 00
$123 961 59
Payments to treasurer January 1 to
November 6, 1937,
$49 469 96
Abatements January 1 to November 6, 1937, 538.02
Added to tax titles January 1 to November 6, 1937, 7 986 56
Oustanding November 6, 1937, per list, 65 577 48
Cash balance November 6, 1937,
389 57
$123 961 59
TAXES - 1937
Commitment January 1 to November
6, 1937, per warrant
$303 218 84
Collections not committed 12 00
Abatements and payments refunded January 1, to November 6, 1937, 2 00
$303 232 84
Payments to treasurer January 1 to November 6, 1937, $171 073 83
Abatements January 1, to November 6, 1937, 5 182 53
Outstanding November 6, 1937, per list, 126 638 43
Cash balance November 6, 1937,
338 05
$303 232 84
OLD AGE ASSISTANCE TAXES - 1931
Outstanding May 18, 1933,
$252 00
100
SIXTY-FIFTH ANNUAL REPORT
Payments and refunds by State 13 00
Abatements and refunds by State, 20 00
Duplicate refund by State, 1 00
$286 00
Payments to treasurer :
May 18 to December 31, 1933,
$121 00
1934,
26 00
1935,
5 00
-
Refunds by State, May 18, to
December 31, 1933, 63 00
Abatements, 1934,
71 00
$286 00
OLD AGE ASSISTANCE TAXES - 1932
Outstanding May 18, 1933,
$958 00
Payments and refunds by State, 28 00
Abatements and payments adjusted, 2 00
$988 00
Payments to treasurer:
May 18 to December 31, 1933, $472 00
1934,
333 00
1935,
16 00
1936,
1 00
$822 00
Abatements 1935,
166 00
$988 00
OLD AGE ASSISTANCE TAXES - 1933
Commitment per warrant, $2 500 00
Additional commitment, 20 00
$2 520 00
-
$152 00
101
TOWN OF ROCKLAND
Payments to treasurer:
May 18 to December 31, 1933, $1 231 00
1934, 579 00
1935,
233 00
1936,
163 00
Abatements 1936,
$2 206 00 310 00
Outstanding December 31, 1936 4 00
$2 520 00
Outstanding January 1, 1937,
$4 00
Unlocated difference November 6, 1937, adjusted 1 00
$5 00
Payments to treasurer January 1 to November 6, 1937, $1 00
Oustanding November 6, 1937, per list, 4 00
$5 00
MOTOR VEHICLE EXCISE TAXES - 1930
Outstanding May 18, 1933, $ .20
Payments to treasurer May 18 to December 31, 1933, $ .20
-
MOTOR VEHICLE EXCISE TAXES - 1931
Outstanding May 18, 1933,
$1 110 82
Payments to treasurer: May 18, to December 31, 1933, $420 20
1934,
168 74
1935,
70 68
$659 62
Abatements : May 18, to December 31, 1933, $265 84
102
SIXTY-FIFTH ANNUAL REPORT
1934, 1935,
139 04 2 00
406 88
Motor vehicle excise taxes 1931 reported as motor vehicle excise taxes 1932 in 1934, 42 66
Unlocated difference December 31, 1935, adjusted 1 66
$1 110 82
MOTOR VEHICLE EXCISE TAXES - 1932
Outstanding May 18, 1933, $3 324 23
Abatements and payments refunded,
May 18 to December 31, 1933, 2 00
Motor vehicle excise taxes 1931 reported as motor vehicle excise taxes 1932, in 1934, 42 66
$3 368 89
Payments to treasurer :
May 18, to December 31, 1933, $1 355 95
1934,
1 086 19
1935,
255 34
1936,
4 49
$2 701 97
Abatements :
May 18, to December 31, 1933, $ 42 34
1934, 334 25
1935, 289 54
666 13
Outstanding December 31, 1936,
79
$3 368 89
Outstanding January 1, 1937, $.79
103
TOWN OF ROCKLAND
Unlocated difference November 6, 1937, adjusted, 2 50
$3 29
Outstanding November 6, 1937, per list,
$3 29
MOTOR VEHICLE EXCISE TAXES - 1933
Outstanding May 18, 1933, $4 171 94
Additional committments May 18 to December 31, 1933, 3 701 39
Abatements and payment refund, 1934, 3 78
$7 877 11
Payments to treasurer: May 18 to December 31, 1933,
$3 715 53
1934,
1 991 34
1935,
613 06
1936,
610 30
$6 930 23
Abatements :
May 18 to December
31, 1933,
$291 49
1934,
100 74
1935,
26 69
1936,
515 03
933 95
Outstanding December 31, 1936,
12 93
$7 877 11
Outstanding January 1, 1937,
$12 93
Unlocated difference November
6, 1937, adjusted, 3 89
$16 82
Abatements January 1 to November 6, 1937, $7 30
Oustanding November 6, 1937, per list,
9 52
$16 82
104
SIXTY-FIFTH ANNUAL REPORT
MOTOR VEHICLE EXCISE TAXES - 1934
Commitment per warrants, $10 039 56
Abatements and payments refunded :
1934,
$13 35
1935,
16 19
29 54 $10 069 10
Payments to treasurer :
1934,
$5 688 68
1935,
1 814 27
1936,
908 98
$8 411 93
Abatements :
1934,
$374 51
1935,
118 18
1936,
12 95
505 64
Outstanding December 31, 1936,
1 151 53
$10 069 10
Outstanding January 1, 1937, $ 1 151 53
Payments to treasurer January 1 to November 6, 1937, $627 62
Abatements January 1 to November 6, 1937 , 451 76
Unlocated difference November 6, 1937, adjusted 37
Outstanding November 6, 1937, per list, 69 90
Cash balance November 6, 1937, 1 88
$ 1 151 53
MOTOR VEHICLE EXCISE TAXES - 1935
Commitment per warrants, $10 765 87
Abatements and payments refunded 1936, 17 26
$10 783 13
---------
. . .
105
TOWN OF ROCKLAND
Payments to treasurer:
1935,
$6 171 74 2 212 56
1936,
$8 384 30
Abatements :
1935,
$451 20
1936,
90 93
542 13
Outstanding December 31, 1936,
1 856 70
$10 783 13
Oustanding January 1, 1937, $ 1 856 70
Payments to treasurer January 1 to
November 6, 1937, $ 972 11
Abatement January 1 to November 6, 1937, 196 66
Unlocated difference November 6, 1937, 61
Oustanding November 6. 1937 per list, 655 42 Cash balance November 6, 1937 31 90 $ 1 856 70
MOTOR VEHICLE EXCISE TAXES - 1936
Commitment per warrants,
$12 513 36
Abatement and payment refunded, 34
$12 513 70
Payments to treasurer,
$5 896 06
Abatements, 556 41
Outstanding December 31, 1936, 6 061 23
$12 513 70
Outstanding January 1, 1937, $6 061 23 Abatements and payments January 1 to November 6, 1937:
Refunded, $1 08
106
SIXTY-FIFTH ANNUAL REPORT
To be refunded 34
1 42
$ 6 062 65
Payments to treasurer January 1 to November 6, 1937, $4 104 99
Abatements January 1 to November 6, 1937 174 26
Outstanding November 6, 1937, per list, 1 690 64
Cash balance November 6, 1937,
92 76
$ 6 062 65
MOTOR VEHICLE EXCISE TAXES - 1937
Commitment January 1 to November 6, 1937, per warrants $13 545 76
Abatements and payments January 1 to November 6, 1937: Refunded, $16 25
To be refunded
13 10
29 35
$13 575 11
Payments to treasurer January 1 to November 6, 1937, $7 899 77
Abatements January 1 to
November 6, 1937, 689 92
Outstanding November 6, 1937,
per list,
4 779 94
Cash balance November 6, 1937,
205 48
$13 575 11
INTEREST AND COSTS ON TAXES
Cash balance May 18, 1933, $ 121 65
Interest and costs collections : May 18 to December 31, 1933, Taxes 1931, $5 279 95
107
TOWN OF ROCKLAND
Taxes 1932,
1 749 57
Taxes 1933,
130 03
Motor vehicle excise
taxes 1931,
52 69
Motor vehicle excise taxes 1932,
91 07
Motor vehicle excise
taxes 1933,
19 82
7 323 13
1934:
Taxes 1931,
$ 223 48
Taxes 1932,
5 307 26
Taxes 1933,
2 343 16
Taxes 1934,
. 119 80
Motor vehicle excise
taxes 1931,
20 98
Motor vehicle excise
taxes 1932, 135 14
Motor vehicle excise
taxes 1933, 76 79
Motor vehicle excise
taxes 1934,
12 56
8 239 17
1935:
Taxes 1931,
$ 25 04
Taxes 1932, 469 14
Taxes 1933,
5 797 79
Taxes 1934,
2 516 19
Taxes 1935,
91 60
Motor vehicle excise
taxes 1931,
12 23
Motor vehicle excise
taxes 1932, 31 15
Motor vehicle excise taxes 1933, 67 78
Motor vehicle excise
taxes 1934, 64 81
108
SIXTY-FIFTH ANNUAL REPORT
Motor vehicle excise taxes 1935, 14 45
9 090 18
1936:
Taxes 1932,
1 50
Taxes 1933,
388 55
Taxes 1934,
5 609 67
Taxes 1935,
1 770 42
Taxes 1936,
84 90
Motor vehicle excise taxes 1932, 30
Motor vehicle excise
taxes 1933,
90 96
Motor vehicle excise taxes 1934, 101 35
Motor vehicle excise taxes 1935, 80 75
Motor vehicle excise
taxes 1936, 26 77
8 155 17
$32 929 30
Payments to treasurer : May 18 to December 31, 1933, $7 322 13
1934, 8 244 71
1935, 9 090 18
1936, 8 155 17
32 812 19
Cash balance December 31, 1936,
117 11
$32 929 30
Cash balance January 1, 1937, 117 11 Interest and costs collections January 1
to November 6, 1937,
Taxes 1933, 43 29
Taxes 1934, 496 08
Taxes 1935, 4 611 90
Taxes 1936, 1 509 95
109
TOWN OF ROCKLAND
Taxes 1937,
4 11
Motor vehicle excise
taxes 1934, 85 52
Motor vehicle excise taxes 1935, 128 47
Motor vehicle excise
taxes 1936,
127 19
Motor vehicle excise
taxes 1937, 19 33
7 025 84
$ 7 142 95
Payments to treasurer January 1 to
November 6, 1937 $6 863 72
Interest on taxes 1933
reported as taxes 1933, 1 87
Interest on taxes 1935
reported as taxes 1935,
87 57
Cash balance November 6, 1937:
Taxes 1930,
$116 68 40
Taxes 1931,
21 00
Taxes 1935,
26 99
Taxes 1936,
9 69
Taxes 1937,
92
Motor vehicle excise
taxes 1930,
03
Motor vehicle excise
taxes 1934,
25
Motor vehicle excise taxes 1935,
3 99
Motor vehicle excise
taxes 1936,
8 56
Motor vehicle excise
taxes 1937, 1 28
189 79
$ 7 142 95
Taxes 1934,
110
SIXTY-FIFTH ANNUAL REPORT
TAX TITLES
Balance May 18, 1933, Tax titles taken:
$6 416 87
May 18, to December 31, 1933: Taxes 1931, $2 666 17
Interest and costs, 502 19
$3 168 36
1934:
Taxes 1932,
$2 416 80
Interest and costs,
556 02
2 972 82
1935:
Taxes 1933,
845 91
Interest and costs,
286 66
1 132 57
1936:
Taxes 1934,
3 289 68
Interest and costs
517 72
3 807 40
11 081 15
Added to tax titles:
May 18 to December 31, 1933:
Taxes 1931, $1 927 52
Taxes 1932,
2 689 20
4 616 72
1934:
Taxes 1933,
3 103 52
Interest,
33 38
3 136 90
1935:
Taxes 1934,
4 094 62
Interest
31 05
4 125 67
1936:
Taxes 1935,
6 707 05
Interest,
75 26
6 782 31
18 661 60
$36 159 62
Tax titles redeemed:
May 18 to December 31, 1933 $2 805 23
1934, 4 810 81
1935,
5 495 03
1936,
6 321 71
$19 432 78
111
TOWN OF ROCKLAND
Tax titles disclaimed: 1935:
Taxes 1933,
$7 65
Taxes 1934,
8 51
Interest and costs,
7 98
24 14
Balance December 31, 1936,
16 702 70
$36 159 62
Balance January 1, 1937,
$16 702 70
Tax titles taken January 1 to November 6, 1937:
Taxes 1935,
$1 721 82
Interest and costs,
305 61
2 027 43
Added to tax titles January 1 to
November 6, 1937:
Taxes 1936,
$7 986 56
Interest,
98 84
8 085 40
$26 815 53
Tax titles redeemed January 1 to November 6, 1937, $10 331 56
Tax title released in 1927 not previously reported
14 11
Balance November 6, 1937, per list,
16 469 86 $26 815 53
TOWN CLERK
DOG LICENSES
Licenses issued January 1 to November 6, 1937:
Males, 170 @ $2.00
$340 00
Spayed females, 72 @ $2.00
144 00
Females, 23 @ $5.00
115 00
Kennel, 1 @ $25.00
25 00
$624 00
Payments to treasurer January 1 to November 6, 1937, $567 20
Fees retained January 1 to
November 6, 1937, 53 20
112
SIXTY-FIFTH ANNUAL REPORT
Cash on hand November 6, 1937, verified, 3 60
$624 00
SPORTING AND TRAPPING LICENSES
Licenses issued January 1 to November 6, 1937,
$548 00
Payments to Division of Fisheries and Game, January 1 to November 6, 1937, $465 50
Fees retained January 1
to November 6, 1937, 62 25
Cash on hand November 6, 1937, verified, 20 25
$548 00
LICENSES AND PERMITS
Licenses and permits issued :
June 30 to December 1, 1933,
$770 00
1934,
4 553 50
1935,
5 170 58
1936,
4 980 00
$15 474 08
Payments to treasurer:
June 30 to December 31, 1933,
$ 770 00
1934,
4 553 50
1935,
5 170 58
1936,
4 980 00
$15 474 08
Licenses and permits issued January 1 to November 6, 1937 $ 5 424 00
Payments to treasurer January 1 to November 6, 1937 $ 5 424 00
113
TOWN OF ROCKLAND
SEALER OF WEIGHTS AND MEASURES
Charges :
July 3 to December 31, 1933,
$ 77 70
1934,
128 68
1935,
122 43
1936,
108 55
$437 36
Overpayments to treasurer :
July 3 to December 31, 1933,
$9 19
1935,
14
1936,
80
10 13
$447 49
Payments to treasurer :
July 3 to December 31, 1933,
$ 86 89
1934,
128 68
1935,
122 57
1936,
109 35
$447 49
Charges 1937,
$118 51
Overpayments to treasurer July 3, 1933
to December 31, 1937, 10 36
$128 87
Payments to treasurer: January 1 to November
6, 1937,
$50 31
November 7 to December
31, 1937,
68 43
$118 74
Overpayments to treasurer July 3, 1933 to
December 31, 1937,
10 13
$128 87
114
SIXTY-FIFTH ANNUAL REPORT
HEALTH DEPARTMENT Accounts Receivable
Outstanding May 18, 1933, $196 80
Charges :
May 18 to December
31, 1933 $1 996 42
1934
1 343 06
1935
1 300 16
1936
G
1 612 70
6 252 34
$6 449 14
Payments to treasurer: May 18 to December 31, 1933,
$ 522 93
1934
1 316 50
1935
1 293 07
1936
1 021 86
$4 154 36
Abatements : May 18 to December 31, 1933
114 30
Outstanding December 31, 1936
2 180 48
$6 449 14
Outstanding January 1,1937 $2 180 48
Payments to treasurer January 1 to November 6, 1937 Outstanding November 6, 1937, per list
$1 488 72
691 76
$2 180 48
Licenses
Licenses issued : July 13 to December 31, 1933 $17 50
115
TOWN OF ROCKLAND
1934
40 00
1935
33 50
1936
29 00
$120 00
Payments to treasurer: July 13 to December 31, 1933
$ 4 50
1934
51 00
1935
35 50
1936
27 00
$118 00
Cash balance December
31, 1936
2 00
$120 00
Cash balance January 1, 1937
$2 00
Licenses issued
44 00
$46 00
Payments to treasurer
$39 00
Cash balance December 31, 1937
7 00
$46 00
HIGHWAY DEPARTMENT Accounts Receivable
Outstanding May 18, 1933
$88 61
Charges :
May 18 to December 31, 1933
$67 50
1935
16 50
1936
119 95
203 95
$292 56
Payments to treasurer: May 18 to December 31, 1933 $67 50
116
SIXTY-FIFTH ANNUAL REPORT
1935
16 50
1936
119 95
$203 95
Abatements :
May 18 to December 31, 1933
52 86
Outstanding December 31, 1936
and November 6, 1937, per list 35 75
$292 56
PUBLIC WELFARE DEPARTMENT Infirmary - Accounts Receivable
Outstanding May 18, 1933
$1,444 39
Charges :
May 18 to December 31, 1933 $1 436 54
1934
1 387 10
1935
1 139 40
1936
1 664 00
5 627 04
$7 071 43
Payments to treasurer:
1934
$1 444 39
1935
1 436 54
1936
2 526 50
$5 407 43
Outstanding December ยท 31, 1936
1 664 00
$7 071 43
Outstanding January 1, 1937 $1,664 00
Charges January 1 to November 6, 1937 832 00
$2 496 00
Payments to treasurer January 1 to November 6,1937 $1 664 00
117
TOWN OF ROCKLAND
Outstanding November 6, 1937, per list 832 00 $2 496 00
PUBLIC WELFARE DEPARTMENT
Aid to Dependent Children - Accounts Receivable
Outstanding May 18, 1933 $21 02
Charges :
May 18 to December 31, 1933
$2 709 29
1934
2 946 50
1935
2 922 14
1936
4 461 87
13 039 80
$13 060 82
Payments to treasurer:
1934
$2 730 31
1935
2 946 50
1936
3 052 72
$8 729 53
Outstanding December 31, 1936 4 331 29
$13 060 82
Outstanding January 1, 1937
$4 331 29
Charges January 1 to November 6, 1937
1 922 09
$6 253 38
Payments to treasurer January 1 to November 6, 1937 $2 845 92
Disallowances January 1 to November 6, 1937 172 00
Outstanding November 6, 1937, per list 3 235 46
6 253 38
118
SIXTY-FIFTH ANNUAL REPORT
Temporary Aid - Accounts Receivable
Outstanding May 18, 1933
$4 929 55
Charges :
May 18 to December
31, 1933 $17 447 79
1934
10 576 41
1935
14 027 29
1936
13 270 59
$55 322 08
$60 251 63
Payments to treasurer: May 18 to December 31, 1933
$9 880 34
1934 14 634 27
1935
13 601 33
1936 5 081 80
$43 197 74
Abatements :
May 18 to December 31, 1933
$264 35
1935
37 00
301 35
Outstanding December 31, 1936
16 752 54
$60 251 63
Outstanding January 1, 1937 $16 752 54
Charges January 1 to November 6, 1937
11 340 62
$28 093 16
Payments to treasurer January 1 to November 6, 1937 $15 935 57
Abatements January 1 to November 6, 1937 9 14
Outstanding November 6, 1937, per list 12 148 45
$28 093 16
119
TOWN OF ROCKLAND
BUREAU OF OLD AGE ASSISTANCE
Accounts Receivable
Outstanding May 18, 1933
$4 386 07
Charges
May 18 to December
31, 1933
$1 000 00
1934
6 414 89
1935
8 801 88
1936
13 338 21
29 554 98
$33 941 05
Payments to treasurer : May 18 to December 31, 1933
$4 338 84
1934
6 774 22
1935
8 513 20
1936
11 781 23
$31 407 49
Abatements :
May 18 to December 31, 1933
$108 75
1934
116 00
1935 64 50
289 25
Outstanding December 31, 1936 2 244 31
$33 941 05
Outstanding January 1, 1937
$2 244 31
Charges January 1 to November 6, 1937
17 148 51
$19 392 82
Payments to treasurer January 1 to November 6, 1937 $14 654 22
120
SIXTY-FIFTH ANNUAL REPORT
Outstanding November 6, 1937, per list
4 738 60
$19 392 82
STATE AID Accounts Receivable
Charges :
May 18 to December
31, 1933
$1 047 00
1934
920 00
1935
676 00
1936
650 00
$3 293 00
Payments to treasurer:
1934
$1 047 00
1935
920 00
1936
676 00
$2 643 00
Outstanding December 31, 1936 650 00
$3 293 00
Outstanding January 1, 1937
$650 00
Charges January 1 to November 6, 1937
556 00
$1 206 00
Outstanding November 6, 1937 $1 206 00
MILITARY AID Accounts Receivable
Charges : May 18 to December 31, 1933 1934
$20 00 10 00
$30 00
121
TOWN OF ROCKLAND
Payments to treasurer:
1934
1935
$20 00 10 00
$30 00
Charges January 1 to November 6, 1937
$5 00
Outstanding November 6, 1937
$5 00
SCHOOL DEPARTMENT Accounts Receivable
Outstanding May 18, 1933 $7 50
Charges :
May 18 to December
31, 1933
$1 437 11
1934
1 048 42
1935
1 196 80
1936
1 618 02
5 300 35
$5 307 85
Payments to treasurer: May 18 to December 31, 1933
$1 437 11
1934
1 048 42
1935
1 196 80
1936
1 618 02
$5 300 35
Abatements : May 18 to December 31, 1933 7 50
$5 307 85
Charges January 1 to November 6, 1937 Payments to treasurer January 1 to November 6, 1937 $1 909 01
$1 909 33
122
SIXTY-FIFTH ANNUAL REPORT
Abatements January 1 to November 6, 1937 32 $1 909 33
TOWN OFFICIALS' TELEPHONES
Outstanding May 18, 1933
$133 65
Abatements May 18 to December 31, 1933 $133 65
LIBRARY DEPARTMENT
Cash on hand July 13, 1933 $31 28
Receipts :
July 13 to December 31, 1933
$116 67
1934
309 43
1935
295 25
1936
307 25
1 028 60
$1 059 88
Payments to treasurer: July 13 to December 31, 1933
$142 00
1934
307 00
1935
298 00
1936
303 00
$1 050 00
Cash balance December 31, 1936
9 88
$1 059 88
Cash balance January 1, 1937 9 88
Receipts 1937 318 89
$328 77
Payments to treasurer: January 1 to November 6, 1937 $250 50
123
TOWN OF ROCKLAND
November 7 to December 31, 1937
60 50
$311 00
Cash on hand December
31, 1937, verified
17 77
$328 77
WATER DEPARTMENT
Rates
Outstanding January 1, 1936
$19 448 68
Charges 23 904 98
Overpayments adjusted 33 69
$43 387 35
Payments to treasurer $25 804 26
Abatements 96 86
Outstanding December 31, 1936 17 486 23
$43 387 35
Outstanding January 1, 1937 17 486 23
Charges January 1 to November
6, 1937 17 937 71
Overpayments :
Adjusted $20 90
To be refunded 78
21 68
$35 445 62
Payments to treasurer January 1 to November 6, 1937 $20 622 25
Abatements January 1 to November 6, 1937 1 392 90
Transferred to water liens January 1 to November 6, 1937 1 564 11
Added to tax bills 1937 January 1 to November 6, 1937 289 92
Outstanding November 6, 1937, per list 11 219 76
124
SIXTY-FIFTH ANNUAL REPORT
Cash on hand November 6, 1937, verified 356 68
$35 445 62
Miscellaneous Charges
Outstanding January 1, 1936
$1 435 01
Charges
2 259 13
$3 694 14
Payments to treasurer 2 342 72
Abatements 25 57
Outstanding December 31, 1936 1 325 85
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