USA > Massachusetts > Norfolk County > Medfield > Town annual reports of Medfield 1930-1939 > Part 42
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1.76
8.30
$4,710.06
105
COSTS ON TAXES
Costs collections
September 12, 1933 to
November 10, 1936 :
Taxes 1931,
$22.45
Taxes 1932,
7.84
$30.29
Payments to treasurer 1934, $30.29
RECONCILIATION OF COLLECTOR'S CASH
Cash balances
November 10, 1936,
per tables :
Taxes :
Levy of 1932, $ 1.71
Levy of 1934, 2.70
Levy of 1935, 7.15
Levy of 1936,
707.18
Old age assistance
taxes 1931, 1.00
Motor vehicle
excise taxes :
Levy of 1931, 15.60
Levy of 1932, 10.68
Levy of 1933, .08
Levy of 1935,
22.71
Levy of 1936, 348.35
Moth assessments 1936, .90
106
Interest on Taxes :
Levy of 1932, 1.10
Levy of 1935, .10
Interest on motor
vehicle excise taxes :
Levy of 1931, 1.20
Levy of 1932, 2.65
Levy of 1935, 1.49
Levy of 1936, 1.76
$1,126.36
Excess cash
November 10, 1936,
264.17
$1,390.53
Overpayments
to treasurer,
to be adjusted :
Taxes 1933, $1.32
Motor vehicle
excise taxes 1934,
3.56
Cash on hand
$4.88
November 10, 1936, verified, 1,385.65
$1,390.53
TAX TITLES
On hand September 12, 1933, per previous audit, $935.25
Tax titles taken by town : September 12 to December 31, 1933 :
Taxes 1930,
$195.84
107
Taxes 1931, 699.68
Interest and costs 1930, 54.22
Interest and costs 1931, 106.36
1934:
Taxes 1931,
127.51
Interest and costs, 40.02
1,223.63
Added to tax titles : September 12 to
December 31, 1933 :
Taxes 1931,
$254.36
Taxes 1932,
831.00
Moth assessments 1931, .30
Water liens,
75.19
Additional interest,
110.89
1934 :
Taxes 1932,
75.17
Taxes 1933,
1,075.28
Additional interest, 32.00
1935 :
Taxes 1932,
99.94
Taxes 1933,
108.00
Taxes 1934,
590.30
Taxes 1935,
574.73
Moth assessments
1934, .30
Additional interest, 73.27
3,900.73
$6,059.61
Tax titles redeemed :
1934,
$1,290.58
1935,
677.84
$1,968.42
108
On hand December 31, 1935,
4,091.19
$6,059.61
On hand
January 1, 1936,
$4,091.19
Interest and costs
not previously charged, adjusted, 2.55
$4,093.74
Tax titles redeemed January 1 to November 10, 1936, $15.00
Excess transfers to tax titles :
Taxes 1932,
$3.28
Taxes 1933, 8.00
11.28
On hand
November 10, 1936,
per list,
4,067.46
$4,093.74
SELECTMEN'S LICENSES
Licenses issued :
October 14 to
December 31, 1933.
Revolver, $3.00
Golf range,
6.00
Public dump,
10.00
Liquor,
271.00
$290.00
109
1934 :
Auto dealer,
$5.00
Sunday,
21.00
Common victualler,
21.00
Innholder,
10.00
Hackney,
6.00
Revolver,
8.00
Golf range,
19.00
Gasoline,
4.00
Liquor,
1,082.00
Miscellaneous,
6.00
1,182.00
1935 :
Sunday,
$13.00
Common victualler,
15.00
Innholder,
5.00
Hackney,
6.00
Revolver,
11.00
Public dump,
10.00
Gasoline,
2.00
Liquor,
1,478.00
Miscellaneous,
2.00
1,542.00
,$3,014.00
Payments
to treasurer : October 14 to to December 31, 1933,
$290.00
1934,
1,182.00
1935,
1,542.00
,$3,014.00
Licenses issued January 1 to November 10, 1936: Sunday, $11.00
Common victualler,
12.00
110
Innholder,
10.00
Hackney,
6.00
Revolver,
7.00
Gasoline,
2.00
Liquor,
1,650.00
Miscellaneous,
5.00
$1,703.00
Payments to treasurer
January 1 to
November 10, 1936,
$1,703.00
111
1
TOWN CLERK
Town Licenses and Receipts
Licenses issued :
October 5 to December 31, 1933 :
Pool,
1 @
$2.00,
$2.00
1934:
Gasoline renewals,
11
@
50,
$5.50
Auctioneer,
2 @
2.00
4.00
Junk,
1
@
10.00
10.00
Pool,
1 @
2.00
2.00
Oleomargarine,
1
@
.50
.50
Miscellaneous receipts,
2.00
1935 :
Gasoline renewals,
10
@ $
.50
$5.00
Junk,
1 @
10.00
10.00
Pool,
1 @
2.00
2.00
Oleomargarine
5
@
.50
2.50
Miscellaneous receipts,
1.00
20.50
$46.50
112
24.00
----
Payments to treasurer, October 5 to December 31, 1933, 1934, 1935
$2.00
18.50
14.50
Cash balance December 31, 1935,
11.50
$46.50
Cash balance January 1, 1936,
$11.50
Licenses issued January 1 to
November 10, 1936:
Gasoline renewals,
9
@
.50
$4.50
1
@
10.00
10.00
Pool,
1
@
2.00
2.00
Oleomargarine,
3 @
.50
1.50
18.00
$29.50
Payments to treasurer January 1 to November 10, 1936, Cash balance November 10, 1936,
$14.50
15.00
$29.50
$35.00
113
Junk,
TOWN CLERK
Dog Licenses
Cash balance October 5, 1933, per previous audit. Licenses issued :
$1.80
October 5 to December 31, 1933 : Male
1 @ $2.00
2.00
1934
Male,
141
@
2.00
$282.00
Female,
44
@
5.00
220.00
Spayed female,
33
@
2.00
66.00
Breeder,
2
75.00
643.00
1935
Male,
136
@
$2.00
$272.00
Female,
39 @
5.00
195.00
Spayed female,
38 @
2.00
76.00
Breeder,
3
100.00
643.00
114
Overpayment to treasurer, refunded,
1.80
$1,291.60
Payment to treasurer : October 5 to December 31, 1933, 1934 1935,
$3.60 599.00
601.60
$1,204.20
Fees retained, 1934 and 1935,
437
a
.20
87.40
115
$1,291.60
Licenses issued January 1 to November 10, 1936 :
Male,
143
@
$2.00
$286.00
Female,
48
@
5.00
240.00
Spayed female,
43
@
2.00
86.00
Breeder,
3
100.00
$712.00
Payments to treasurer January 1 to November 10, 1936
$636.20
Fees retained January 1 to November 10, 1936,
Cash balance November 10, 1936,
237 @ .20
47.40 28.40
$712.00
116
TOWN CLERK
Hunting and Fishing Licenses
Licenses issued 1935 :
Resident citizens' fishing,
42 @
$2.00
$84.00
Resident citizens' hunting,
31
@
2.00
62.00
Resident citizens' sporting,
28
@
3.25
91.00
Resident citizens' minor and female fishing,
7 @
1.25
8.75
Resident citizens' trapping,
8 @
5.25
42.00
Resident citizens' minor trapping,
1 @
2.2,5
Resident citizens' sporting,
5
- free
Duplicate,
1
.50
$290.50
Payments to Division of Fisheries- and Game, 1935, Fees retained, 1935, 117 @ .25
$261.25
29.25
$290.50
117
Licenses issued January 1 to November 10, 1936 :
Resident citizens' fishing,
37 @
$2.00
$74.00
Resident citizens' hunting,
40 @
2.00
80.00
Resident citizens' sporting
26
@
3.25
84.50
Resident citizens' minor and female fishing,
11 @
1.25
13.75
Resident citizens' trapping,
3 @
5.25
15.75
Resident citizens' minor trapping,
1 @
2.25
2.25
Resident citizens' sporting,
4
free
Duplicate,
2 @
.50
1.00
$271.25
Overpayment to Division of Fisheries and Game, refunded,
6.50
$277.75
Payments to Division of Fisheries and Game, January 1 to November 10, 1936,
$232.75
Fees retained January 1 to November 10, 1936,
118 @ .25
29.50
Cash balance November 10, 1936,
15.50
$277.75
-
-
118
TOWN HALL RENTALS
Charges :
September 12 to
December 31, 1933,
$12.00
1934,
38.00
1935,
12.00
$62.00
Payments to treasurer :
September 12 to
December 31, 1933,
$12.00
1934,
26.00
1935,
24.00
$62.00
Charges January 1 to November 10, 1936,
$36.00
Payments to treasurer January 1 to November 10, 1936,
$36.00
MOTH DEPARTMENT
Charges 1934, $6.44
Payments to treasurer 1934, $6.44
119
SEALER OF WEIGHTS AND MEASURES
Alden H. Wheeler, Sealer
Cash balance
September 12, 1933,
per previous audit, $10.80
Fees :
September 12 to
December 31, 1933,
$33.56
1934,
45.55
1935,
47.40
126.51
Town of Dover :
September 12 to
December 31, 1933,
$5.00
1934,
5.00
1935,
5.00
15.00
$152.31
Payments to treasurer : September 12 to December 31, 1933,
$49.36
1934,
50.55
1935,
33.93
$133.84
Cash balance
December 31, 1935 and December 10, 1936, 18.47
(paid to treasurer December 14, 1936)
$152.31
James F. Clark, Sealer
Fees January 1 to
December 10, 1936, $35.83
120
Town of Dover,
5.00
$40.83
Payments to treasurer January 1 to December 10, 1936, $35.83
Outstanding December 10, 1936, per list, 5.00
$40.83
HEALTH DEPARTMENT - LICENSES
Licenses issued :
1934 :
Alcohol, 8 @ $1.00, $8.00
Beauty
parlor, 2 @ 1.00, 2.00 $10.00
1935 :
Beauty
parlor, 2 @ $1.00, 2.00
$12.00
Payments to treasurer :
1934,
$10.00
1935,
2.00
$12.00
Licenses issued
January 1 to
December 16, 1936 :
Alcohol, 8 @ $1.00, $8.00
Beauty
parlor, 2 @ 1.00, 2.00
$10.00
121
Payments to treasurer January 1 to December 16, 1936,
$10.00
PUBLIC WELFARE - ACCOUNTS RECEIVABLE
Temporary Aid
Outstanding
September 12, 1933,
per previous audit, $929.99
Charges :
September 12 to
December 31, 1933,
$3,053.89
1934, 1,550.23
1935, 2,115.61
6,719.73
$7,649.72
Payments to treasurer : September 12 to
December 31, 1933,
$1,962.73
1934, 1,080.21
1935, 2,318.48
$5,361.42
Disallowances by State,
221.53
Outstanding
December 31, 1935,
2,066.77
$7,649.72
Outstanding
January 1, 1936, $2,066.77
Charges January 1 to
November 10, 1936,
1,121.99
122
Old age assistance reported as public welfare, 14.00
$3,202.76
Payments to treasurer January 1 to November 10, 1936, $221.22
Disallowances by State,
January 1 to November 10, 1936, 118.81
Outstanding
November 10, 1936, per list,
2,862.73
$3,202.76
BUREAU OF OLD AGE ASSISTANCE
Accounts Receivable
Outstanding September 12, 1933,
per previous audit,
$1,501.17
Charges :
1934,
$1,440.38
1935, 1,703.58
3,143.96
$4,645.13
Payments to treasurer : September 12 to
December 31, 1933
$1,378.34
1934,
1,334.46
1935, 1,616.59
Disallowances by State,
$4,329.39 315.74
$4,645.13
123
Charges January 1 to November 10, 1936, Payments to treasurer January 1 to November 10, 1936, $126.60
$2,880.73
Old age assistance reported as public welfare, 14.00
Outstanding
November 10, 1936, per list, 2,740.13
$2,880.73
MOTHERS' AID - ACCOUNTS RECEIVABLE
Charges January 1 to November 10, 1936, $36.00
Outstanding November 10, 1936, per list, $36.00
SCHOOL DEPARTMENT - ACCOUNTS RECEIVABLE
Tuition
Outstanding September 12, 1933, per previous audit,
$22.40
Charges : 1934.
$505.49
1935,
434.07
939.56
$961.96
124
Payments to treasurer : September 12 to December 31, 1933, 1934, 1935,
$22.40
505.49
434.07
$961.96
Charges January 1 to November 10, 1936,
$582.18
Payments to treasurer January 1 to
November 10, 1936,
$325.66
Outstanding
November 10, 1936, per list,
256.52
$582.18
SCHOOL DEPARTMENT
Miscellaneous Receipts
Cash balance
October 5, 1933,
per previous audit,
$8.00
Receipts :
October 5 to
December 31, 1933,
$1.80
1934,
3.35
1935,
1.80
6.95
$14.95
Payments to treasurer : October 15 to December 31, 1933, $9.80
-
125
1934,
1935,
3.35 1.80
$14.95
Receipts January 1 to December 15, 1936, Cash balance December 15, 1936,
$7.15
$7.15
LIBRARY DEPARTMENT
Cash balance
October 13, 1933,
per previous audit, $23.39
Receipts :
October 13 to
December 31, 1933,
$15.89
1934,
82.26
1935. 94.65
192.80
$216.19
Payments to treasurer :
October 13 to
December 31, 1933,
$36.85
1934, 82.40
1935, 90.89
$210.14
Cash balance
December 31, 1935, 6.05
$216.19
Cash balance
January 1, 1936,
$6.05
126
Receipts January 1 to December 12, 1936, 95.77
$101.82
Payments to treasurer January 1 to December 12, 1936, $76.50
Expenditures January 1 to December 12, 1936, to be reimbursed, 9.36
Cash on hand
December 12, 1936, verified, 12.05
Due from librarian
December 12, 1936,
3.91
$101.82
127
WATER DEPARTMENT - ACCOUNTS RECEIVABLE
Outstanding September 11, 1933, per previous audit :
Rates,
Services, repairs, etc.,
$1,770.84 109.87 627.89
$2,508.60
Commitments :
September 12 to December 31, 1933 :
Rates,
$1,697.20 42.97
Services, repairs, etc.,
$1,740.17
1934 :
Rates, Services, repairs, etc.,
$6,834.32 276.90
7,111.22
1935 :
Rates,
$6,843.93
Material,
128
Services, repairs, etc.,
161.73
7,005.66
15,857.05
Overpayments to treasurer : 1934, 1935,
1
$ .80 10
.90
Payments to treasurer :
$18,366.55
September 12 to December 31, 1933,
$2,801.23
1934,
6,496.02
129
1935,
6,893.13
$16,190.38
Abatements :
September 12 to December 31, 1933 :
Rates,
$7.72
1934 :
Rates,
77.62
1935 :
Rates,
22.05
Services, repairs, etc.,
5.78
113.17
Recorded as liens on real estate : 1935 :
Rates, Services, repairs, etc.,
$3.14 8.70
11.84
Outstanding December 31, 1935 :
Rates,
$1,345.93 178.34
Services, repairs, etc.,
526.89
Material,
2,051.16
130
$18,366.55
Outstanding January 1, 1936, Commitments :
$2,051.16
January 1, to November 10, 1936 : Rates, Services, repairs, etc., Sale of pump,
$5,673.98 118.36 50.00
5,842.34
Excess abatements : Rates,
7.69
$7,901.19
Payments to treasurer
January 1 to November 10, 1936, Abatements
$4,941.13
January 1 to November 10, 1936 : Rates, 14.39
Recorded as lien on real estate,
131
January 1 to November 10, 1936 - Rates, Outstanding November 10, 1936, per lists : Rates,
33.15
Services, repairs, etc., Material,
$2,170.81 221.17 520.54
2,912.52
$7,901.19
CEMETERY DEPARTMENT - ACCOUNTS RECEIVABLE
Annual Care
Outstanding
September 12, 1933,
per previous audit,
$1,437.00
Charges :
September 12 to
December 31, 1933,
$549.50
1934,
531.50
1935,
522.50
1,603.50
$3,040.50
Payments to treasurer : September 12 to
December 31, 1933,
$269.50
1934,
390.00
1935,
323.50
$983.00
Adjustment of outstanding list
per previous audit, 4.50
Outstanding December 31, 1935, 2,053.00
$3,040.50
Outstanding January 1, 1936,
$2,053.00
132
1
Payments to treasurer January 1 to November 10, 1936, $143.00
Outstanding November 10, 1936, per list,
1,910.00
$2,053.00
WATER LIENS
Outstanding
September 12, 1933,
per previous audit,
$496.80
Commitments 1935 :
Rates 1933, $3.14
Services 1934, 8.70
Interest and costs 1933, 2.00
Interest and costs 1934, 2.00
15.84
$512.64
Payments to treasurer : September 12 to
December 31, 1933,
$13.90
1934, 320.35
1935, 44.93
379.18
Added to tax titles
September 12 to
December 31, 1933,
75.19
Outstanding
December 31, 1935,
58.27
$512.64
133
Outstanding January 1, 1936, : $58.27
Commitment January 1 to November 10, 1936 :
Rates 1935, $ .61
Rates 1936, 32.54
Interest and costs 1936, 2.00
35.15
$93.42
Outstanding November 10, 1936, per list, $93.42
APPORTIONED SEWER ASSESSMENTS NOT DUE
Outstanding
September 12, 1933, per previous audit,
$215.20
Added to taxes 1934, $43.04
Added to taxes 1935, 43.04
$86.08
Outstanding
December 31, 1935, 129.12
$215.20
Outstanding January 1, 1936, Added to taxes, 1936, $43.04
$129.12
Outstanding November 10, 1936, per list, 86.08
$129.12
134
SCHOOL TRUST FUNDS In Custody of Treasurer
Savings Deposits
Securities Par Value
Total
On hand September 12, 1933, per previous audit, On hand at end of year 1933, On hand at end of year 1934,
$2,658.87
$1,000.00
$3,658.87
$2,658.87
$1,000.00
$3,658.87
On hand at end of year 1935,
$2,658.87
$1,000.00
$3,658.87
On hand November 10, 1936,
$2,658.87
$1,000.00
$3,658.87
Receipts
Payments
September 12 to December 31, 1933
Income,
$110.33
Transferred to town,
$110.33
1934
Income,
$108.89
Transferred to town,
$108.89
1935
Income,
$124.7.4
Transferred to town,
$124.74
Income,
January 1 to November 10, 1936 $79.74
Transferred to town,
$79.74
$2,658.87
$1,000.00
$3,658.87
135
-
LIBRARY TRUST FUNDS In Custody of Treasurer
On hand September 12, 1933, per previous audit, On hand at end of year 1933,
$9,000.00
$9,000.00
On hand at end of year 1934,
$9,000.00
$9,000.00
$9,040.00
$9,040.00
$9,090.84
$9,090.84
Receipts
Payments
September 12 to December 31, 1933
$241.83
1,000.00
Deposited in savings bank, Transferred to town,
241.83
$1,241.83
$1,241.83
1934
Income, $245.00
Transferred to town, $245.00
136
On hand at end of ycar 1935, On hand November 10, 1936,
Savings Deposits
Total $8,000.00
$8,000.00
$1,000.00
Income, Stillman J. Spear Fund,
LIBRARY TRUST FUNDS - (Concluded)
1935
Income,
$270.00
Deposited in savings bank, Transferred to town,
$40.00
230.00
$270.00
$270.00
January 1 to November 10, 1936
Income,
$185.84
Deposited in savings bank,
$50.84
Transferred to town,
135.00
$185.84
$185.84
137
CEMETERY PERPETUAL CARE FUNDS In Custody of Treasurer
1
On hand September 11, 1933, per previous audit,
$75.00
$19,413.16
$19,488.16
$75.00
$19,913.16
$19,988.16
$75.00
$20,119.03
$20,194.03
$75.00
$20,366.46
$20,441.46
On hand November 10, 1936,
$75.00
$21,310.80
$21,385.80
Receipts
Payments
September 12 to December 31, 1933
Income, Bequests,
$681.49
Deposited in savings bank,
$500.00
500.00
Transferred to town,
681.49
$1,181.49
$1,181.49
138
On hand at end of year 1933, On hand at end of year 1934, On hand at end of year 1935,
Cash in General Treasury
Savings Deposits
Total
CEMETERY PERPETUAL CARE FUNDS, (Concluded)
1934
Income, Bequests,
$624.78 200.00
Deposited in savings bank, Transferred to town,
$205.87
618.91
$824.78
$824.78
139
Withdrawn from savings bank,
$ 52.57
Deposited in savings bank, Transferred to town,
$300.00
Income, Bequests,
578.03
630.60
300.00
$930.60
$930.60
January 1 to November 10, 1936
Income,
$483.72
Deposited in savings bank, Transferred to town,
$944.34
Bequests,
500.00
39.38
$983.72
$983.72
1935
TOWN OF MEDFIELD Balance Sheet - November 10, 1936
1
GENERAL ACCOUNTS
Assets
Liabilities and Reserves
Cash :
In Bank and Office,
$49,025.15
In Anticipation of Revenue,
$63,000.00
Accounts Receivable :
State Tax
4,100.00
Taxes :
Levy of 1932,
$50.06
Levy of 1933,
190.92
County Tax, (Overestimate),
20.84
Levy of 1934,
4,463.13
Sale of Town Farm Fund,
2,245.53
Levy of 1935,
13,608.70
School Trust Funds Income
119.63
Library Trust Funds Income,
200.34
Cemetery Perpetual Care Fund,
75.00
Old Age Assistance Taxes :
Levy of 1931,
$35.00
Cemetery Sale of Lots Fund,
355.00
Levy of 1932,
58.00
Levy of 1933,
126.00
219.00
Reserve Fund - Overlay Surplus, Overlays Reserved for Abatements : Levy of 1932, $48.35
3,956.53
Motor Vehicle Excise Taxes : Levy of 1931, $66.84
59,136.38
Cemetery Perpetual Care Fund Income,
55.04
Town Clerk - Dog Licenses, 175.20
Unexpended Appropriation Balances, 22,799.75
Levy of 1936,
40,823.57
Temporary Loans :
Auditing Municipal Accounts Tax, 35.89
State Parks and Reservations Tax, 63.40
140
141
Apportioned Sewers
1932-
$59.10
1933-
59.10
1934-
43.04
1935-
43.04
1936-
43.04
247.32
Committed
Sewer Interest-
1932,
$20.01
1933,
16.45
1934,
12.91
Levy of 1933,
192.34
Levy of 1934,
72.56
Levy of 1934,
773.34
Levy of 1935,
919.68
Levy of 1935,
1,210.65
Levy of 1936,
1,690.26
2,417.45
4,293.62
Revenue Reserved
Until Collected :
Moth 1931,
$ .60
Moth 1932,
.50
Special Assessment, 330.87
Moth 1933, .60
Tax Title,
4,067.46
Moth 1934,
1.80
Departmental,
7,805.38
Moth 1935, 4.20
Moth 1936,
8.40
$16.10
Revenue 1936,
1,999.40
Surplus Revenue,
20,730.82
Special Assessments :
.
Motor Vehicle Excise Tax,
$4,293.62
Water,
3,005.04
19,502.37
Levy of 1936, 1,184.52
Levy of 1932, 220.14
Levy of 1933, 332.39
1935,
10.33
1936,
7.75
67.45
Tax Titles,
Departmental :
Public Welfare,
$2,862.73
Old Age Assistance,
2,740.13
Mothers' Aid,
36.00
School,
256.52
Cemetery,
1,910.00
7,805.38
State Aid to Highways,
2,133.50
Water :
Rates,
$2,169.91
Services, repairs, etc.,
221.17
Material - New System, 520.54
Recorded Liens on Real Estate
93.42
3,005.04
Estimated Receipts (Assessors' Estimate less collections),
11,109.90
Overdrawn Accounts : Library,
$16.86
Cemetery,
709.03
725.89
$141,852.19
$141,852.19
330.87 4,067.46
142
DEFERRED REVENUE ACCOUNTS
Apportioned Sewer Assessments Not Due, $86.08
Apportioned Sewer Assessment Revenue Due In : 1937, 1938,
$43.04
43.04
$86.08
$86.08
DEBT ACCOUNTS
Net Funded or Fixed Debt,
- $190,900.00
Town House Loan 1924,
$6,000.00
School Loan 1927,
25,000.00
Water Loan 1930,
7,000.00
Water Loan 1931,
148,000.00
Final Judgment Loan,
4,900.00
$190,900.00
$190,900.00
TRUST ACCOUNTS
Trust Funds, Cash and Securities,
$34,060.51
School Trust Funds,
$3,658.87
Library Trust Funds,
9,090.84
Cemetery Perpetual Care Funds,
21,310.80
$34,060.51
$34,060.51
143
TOWN DEBT
Notes due 1937
Water Mains
$1,000
Town House
2,000
School House
5,000
Water System
10,000
Final Judgment-Daddario
4,900
Notes due 1938
Water Mains
1,000
Town House
2,000
School House
5,000
Water System
10,000
Notes due 1939
·Water Mains
1,000
Town House
2,000
School House
5,000
Water System
10,000
Notes due 1940
Water Mains
1,000
School House
5,000
Water System
10,000
Notes due 1941
Water Mains
1,000
School House
5,000
Water System
10,000
Notes due 1942
Water Mains
1,000
Water System
10,000
144
Notes due 1943 Water Mains Water System
1,000 10,000
Notes due 1944 Water System
10,000
Notes due 1945
Water System
10,000
Notes due 1946
Water System
10,000
Notes due 1947
Water System
10,000
Notes due 1948
Water System
10,000
Notes due 1949
Water System
10,000
Notes due 1950
Water System
10,000
Notes due 1951
Water System
8,000
Net Funded Debt
$190,900
BESSIE L. HAMANT,
Town Treasurer
Correct :
F. M. BIBBY, 1
Town Accountant
145
MONEY BORROWED BY THE TREASURER, JANUARY 1, 1936 TO DECEMBER 31, 1936
Date
Purpose
Amount
Rate of Interest
Date of Maturity
Borrowed from
Jan. 24, 1936
Anticipation of taxes
$9,000
62%
Dec. 15, 1936
The National Shawmut Bank
Mar. 12, 1936
Anticipation
of taxes
$9,000
.62%
Dec. 30, 1936
The Merchants National Bank
Mar. 23, 1936
Anticipation
10,000
.59%
Mar. 23, 1937
The Merchant's National Bank
Mar. 23, 1936
Anticipation of taxes
10,000
.59%
Mar. 23, 1937
The Merchant's National Bank
Mar. 23, 1936
Anticipation of taxes
10,000
.59%
Mar. 23, 1937
The Merchants National Bank
June 11, 1936
Anticipation
of taxes
15,000
.46%
Jan. 15, 1937
The Merchants National Bank
July 15, 1936
Final Judgment
Note-Daddario 4,900
58%
July 15, 1937
The Merchants National Bank
BESSIE L. HAMANT,
Correct :
Town Treasurer.
F. M. BIBBY,
Town Accountant.
146
of taxes
CEMETERY TRUST FUNDS
Name of Fund
Original Fund
Interest for 1936
Total
Ex- pended
Balance to Credit of Fund
Dedham Institution for Savings
James Hewins
$200.00
$6.05
$206.05
$6.05
$200.00
Caleb Ellis
100.00
3.02
103.02
3.02
100.00
Sabin Smith
100.00
3.02
103.02
3.02
100.00
William S. Tilden
200.00
6.05
206.05
6.05
200.00
Moses Ellis
200.00
6.05
206.05
6.05
200.00
Joseph Breck
100.00
3.02
103.02
3.02
100.00
Mary F. Ellis
100.00
3.02
103.02
3.02
100.00
Mary T. Derby
100.00
3.02
103.02
3.02
100.00
George M. Smith
100.00
3.02
103.02
3.02
100.00
George F. Miller
50.00
1.50
51.50
1.50
50.00
Langley Lot
200.00
6.05
206.05
6.05
200.00
Grant-Newell
100.00
3.02
103.02
3.02
100.00
James Griffin
50.00
1.50
51.50
1.50
50.00
Walter Janes
50.00
1.50
51.50
1.50
50.00
Jeremiah Hale
100.00
3.02
103.02
3.02
100.00
Martha M. Mason
100.00
3.02
103.02
3.02
100.00
George H. Shumway
200.00
6.05
206.05
6.05
200.00
Edward Alward
100.00
3.02
103.02
3.02
100.00
Isaac White
100.00
3.02
103.02
3.02
100.00
J. V. Morang
100.00
3.02
103.02
3.02
100.00
G. D. Hamant
100.00
3.02
103.02
3.02
100.00
Lucius Houghton
100.00
3.02
103.02
3.02
100.00
Alex Ogilvie
100.00
3.02
103.02
3.02
100.00
Bishop-Hartshorn
450.00
13.59
463.59
13.59
450.00
Pattee-Turner
100.00
3.02
103.02
3.02
100.00
Henry Parker
100.00
3.02
103.02
3.02
100.00
William Ryan
300.00
9.06
309.06
9.06
300.00
Wesley Balch
100.00
3.02
103.02
3.02
100.00
A. B. Parker
100.00
3.02
103.02
3.02
100.00
Dr. Saunders
50.00
1.50
51.50
1.50
50.00
William Guild
100.00
3.02
103.02
3.02
100.00
Seth Chenery
100.00
3.02
103.02
3.02
100.00
Moses Johnson
100.00
3.02
103.02
3.02
100.00
Samuel Johnson
100.00
3.02
103.02
3.02
100.00
George Chick
100.00
3.02
103.02
3.02
100.00
Mrs. Selwyn Clark
100.00
3.02
103.02
3.02
100.00
Mrs. Cora Simpson
100.00
3.02
103.02
3.02
100.00
147
CEMETERY TRUST FUNDS - (Continued)
Name of Fund
Original Fund
Interest for 1936
Total
Ex- pended
Balance to Credit of Fund
Dedham Institution for Savings
Perry Lot
100.00
3.02
103.02
3.02
100.00
Saarm-Kennedy Lot
100.00
3.02
103.02
3.02
100.00
Braman-Briggs Lot
100.00
3.02
103.02
3.02
100.00
Nathaniel Fairbanks
100.00
3.02
103.02
3.02
100.00
Walter S. Wiswell
100.00
3.02
103.02
3.02
100.00
Samuel Ellis
100.00
3.02
103.02
3.02
100.00
George Ellis
100.00
3.02
103.02
3.02
100.00
Hutson-Smith
100.00
3.02
103.02
3.02
100.00
Wales-Plimpton
100.00
3.02
103.02
3.02
100.00
Mary A. Hotville
100.00
3.02
103.02
3.02
100.00
John G. Hutson
150.00
4.53
154.53
4.53
150.00
Giles-Lord Lot
100.00
3.02
103.02
3.02
100.00
Margaret T. Bearse
100.00
3.02
103.02
3.02
100.00
William Conrick
100.00
3.02
103.02
3.02
100.00
Bennett-Wilson
200.00
6.05
206.05
6.05
200.00
Tyler-Thayer
300.00
9.06
309.06
9.06
300.00
Sprague Lot
100.00
3.02
103.02
3.02
100.00
Thomas F. Barney
200.00
6.05
206.05
6.05
200.00
Charles Wight
100.00
3.02
103.02
3.02
100.00
Amos W. Shumway
150.00
4.53
154.53
4.53
150.00
Nathan Fisher
100.00
3.02
103.02
3.02
100.00
Edward Blackington
100.00
3.02
103.02
3.02
100.00
Samuel Guild
100.00
3.02
103.02
3.02
100 00
Thomas Rourke
100.00
3.02
103.02
3.02
100.00
John Hinkley
100.00
3.02
103.02
3.02
100.00
Joseph Bullard
200.00
6.05
206.05
6.05
200.00
Frank W. Morse
200.00
6.05
206.05
6.05
200.00
William Anderson
50.00
1.50
51.50
1.50
50.00
John H. Sweeney
100.00
3.02
103.02
3.02
100.00
George H. Ellis
800.00
24.18
824.18
24.18
800.00
Clarence M. Cutler
100.00
3.02
103.02
3.02
100.00
H. L. Park
100.00
3.02
103.02
3.02
100.00
Charles B. Smith
100.00
3.02
103.02
3.02
100.00
Horatio Jordan
100.00
3.02
103.02
3.02
100.00
Frank Laverty
100.00
3.02
103.02
3.02
100.00
Fred A. Smith
100.00
3.02
103.02
3.02
100.00
George R. Chase
100.00
3.02
103.02
3.02
100.00
148
CEMETERY TRUST FUNDS - (Continued)
Name of Fund
Original Fund
Interest for 1936
Total
Ex- pended
Balance to Credit of Fund
Dedham Institution for Savings
Percy B. Read
100.00
3.02
103.02
3.02
100.00
Arthur Hobbs
100.00
3.02
103.02
3.02
100.00
James Carpenter
100.00
3.02
103.02
3.02
100.00
George Clark
100.00
3.02
103.02
3.02
100.00
James Wilkins
100.00
3.02
103.02
3.02
100.00
Sophia Grant
100.00
3.02
103.02
3.02
100.00
Lonergan & Clark Lot
100.00
3.02
103.02
3.02
100.00
George Steere
100.00
3.02
103.02
3.02
100.00
Conrad Weiker
100.00
3.02
103.02
3.02
100.00
Josephine M. Spear
200.00
6.05
206.05
6.05
200.00
Eliakim Morse
100.00
3.02
103.02
3.02
100.00
Nellie V. Mugridge
100.00
3.02
103.02
3.02
100.00
Wood Lot
100.00
3.02
103.02
3.02
100.00
Margaret J. Ord
100.00
3.02
103.02
3.02
100.00
Ruggles-Adams
300.00
9.06
309.06
9.06
300.00
Eric Loeffler
100.00
1.75
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