USA > Massachusetts > Norfolk County > Medfield > Town annual reports of Medfield 1940-1949 > Part 29
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The boys have shown that even if they do not take up a trade in any line in which they are getting instructions that they have the coordination of hand and mind that will be useful to them later in life.
Respectfully submitted,
CHARLES F. FRIEBERG.
73
MEDFIELD SCHOOL CENSUS
October 1, 1943
Registration
(5-6)
(7-13)
(14-15)
Total
Boys
32
113
44
189
Girls
36
110
28
174
Total
68
223
72
363
Distribution
In public schools
41
214
65
320
In private schools
2
7
6
15
In vocational schools
1
1
Not in school
25
2
27
Total
68
223
72
363
1
74
Attendance Record, 1942 - 43 (Compared with preceding years)
Grade
To. Mem.
% Att.
Avg. Mem.
1941-42
1940-41 1935-36
1930-31 Ave. Mem. Ave. Mem. Ave. Mem. Ave. Mem.
1 Anna D. MacIvor
35
89.00
28.60
34.9
36.2
48.7
38.5
2 Charlotte Fargo
34
90.71
30.46
33.1
31.2
38.2
35.1
3 Evelyn Calabrese
36
91.72
34.06
34.4
35.1
48.2
36.3
4
Elizabeth S. Buck
31
90.33
29.35
34.1
32.0
36.9
41.5
5
Madelyn L. Grant
35
89.05
33.86
33.4
23.9
40.3
32.4
6 Dorothy J. Brown
33
90.57
30.24
25.7
44.3
37.5
31.9
Total-Elementary
204
90.25
186.57
195.6
202.7
249.8
215.7
7
Maude Washburn
29
90.90
26.02
41.9
34.7
35.8
41.2
8
Elsie E. W. Davis
40
92.75
37.52
35.2
39.0
30.2
28.3
9 Gail E. Cosgrove
31
87.53
29.06
39.1
33.5
28.2
22.6
10
M. Isabella Nelson
39
89.71
35.36
33.0
36.5
71.2
22.4
11
Virginia Hosmer
32
88.59
28.33
34.2
22.2
21.3
12 Elaine Pederzini.
29
90.97
28.26
23.8
23.7
22.9
Total-High School
200
90.08
184.55
207.2
189.6
165.4
158.7
Total-Both Schools
404
90.16
371.12
402.8
392.3
415.2
374.4
75
GRADUATING EXERCISES of the CLASS OF NINETEEN HUNDRED FORTY-THREE Friday, June Four
PROGRAM
Processional, "Land of Hope and Glory" Elgar
School Chorus
Invocation Rev. J. Arthur Budding
PROLOGUE This Nation Under God
Pilgrims and Puritans. "Old Hundred" MAIN THEME A Singing Nation Grows Up
The Revolution "Yankee Doodle"
The War of 1812
"Our Flag Is There"
Westward Ho! "The Santa Fe Trail" "Dogie Song"
Our Indian Heritage "Pale Moon"
The Civil War
"The Battle Hymn of the Republic" "Dixie" "Tenting Tonight"
Our Negro Heritage "Shortenin' Bread" "Heaven"
Stephen Foster
"Beautiful Dreamer"
"Camptown Races"
The Spanish-American War. . "A Hot Time in the Old Town" "Blue Bell"
Peace Time America "Roses of Picardy" "The End of a Perfect Day"
World War One.
"Over There" "A Long, Long Trail" "Pack Up Your Troubles" "Anchors Aweigh"
World War Two "The Marines' Hymn" "Marching Along Together" "The Caissons Go Rolling Along" "The Army Air Corps Song"
76
-
PRESENTATION OF AWARDS
The D. A. R. Good Citizenship Award
The S. A. R. History Medal Alton H. Hartford, Principal
The Hannah-Adams Club Scholarship Mrs. Marjorie Park, Club President The Parent-Teacher Association Scholarship Mr. Joseph S. Kennedy, Scholarship Committee
PRESENTATION OF DIPLOMAS Mr. Harold F. Stevens, School Committee
POSTLOGUE A New Birth of Freedom
"Our Heritage" Gibb
School Chorus
Class Pledge of Loyalty
The National Anthem
Key
School and Audience Class Colors, Blue and White Class Motto, "Non scholae; sed vitae!" (Not for school, but for life)
HONOR PUPILS
Barbara Allan, Rebecca Allen, Beverley Bryant, Anne Chick, Faith Greenman, Phyllis Hamilton, Allan Kingsbury, Pauline Mc- Kinnon, Frances Nowell, John Ross, James Shiels, Marian
Smith, John Yeo, Nancy Young.
.
Josephine Bravo, Joseph Cahill, Gwendolyn Callow, Gwendolyn Carr, Hazel Clark, Virginia Farris, Anita Kelly, Robert Knight, Katherine Mafusie, James Mahoney, Jr., Rita Nowell, Gloria Pulasky, Ralph Sproul, Barbara Tapley, Marilyn Yorston.
77
ASSESSOR'S REPORT
Town Appropriations
$146,744.50
Total appropriations voted from available funds:
In 1943 In 1942
4,970.94
2,518.63
$154.234.07
State Tax and Assessments:
State Tax
$2,400.00
State Parks and Reservations
107.78
State Audit and Municipal Accounts
1,021.45
Boston Edison Company-Refund
246.10
3,775.33
County Tax and Assessments :
County Tax
$2,951.27
Tuberculosis Hospital
1,109.63
4,060.90
Overlay of current year
2,974.12
Gross amount to be raised
$165,044.42
Estimated Receipts:
Income Tax .
$9,481.44
Corporations Taxes
4,179.25
Reimbursement State owned land
1,829.54
Motor Vehicle and Excise Trailer
7,064.30
Licenses
1,258.50
Fines
175.21
General Government
219.57
Health and Sanitation
874.28
Highways
66.00
Charities (other than federal grants for aid to dependent children)
682.42
Old Age Assistance (other than federal grants)
8,962.48
Old Age Tax (Meals)
371.82
Soldiers' Benefits
10.00
Schools
1,307.64
Public Service Enterprises (Water Dept.)
8,418.34
Cemeteries (other than trust funds and sale of lots) 321.00
Interest: On Taxes and Assessments
675.05
Total Estimated Receipts 45,896.84
78
Amounts voted to be taken from available funds :
September 17,' 1942
618.63
December 30, 1943
1,900.00
February 3, 1943
200.94
February 8, 1943
3,000.00
March 1, 1943
1,770.00
April 14, 1943
8,861.84
Total available funds 16,351.41
Total estimated receipts and available funds
62,248.25
Net amount to be raised by taxation on polls and property
$102,796.17
Number of polls, 750 @ $2.00
1,500.00
Total valuation:
Personal property
$206,077.00
7,336.34
Real Estate
2,639,321.00
93,959.83
$102,796.17
Tax Rate
$35.60
Number of persons assessed on personal property
82
Number of persons assessed on real estate
622
Number of persons assessed on both personal and real
64
Total number of persons assessed 768
Value of stock in trade
$13,050.00
Value of machinery
2,700.00
Value of live stock
23,397.00
All other tangible personal property
166,930.00
Total value of assessed personal estate
$206,077.00
Value of real estate, buildings
$2,127,343.00
Value of real estate, land
511,978.00
Total value of assessed real estate
$2,639,321.00
Total value of assessed estate
$2,845,398.00
Number of horses assessed
50
Number of cows assessed
102
Number of yearlings, bulls, heifers, etc.
29
Number of swine assessed
301
Number of sheep assessed
5
Number of fowl assessed
5,331
79
All other Number of acres of land assessed Number of dwelling houses assessed
1
8,062
541
CARLTON W. KINGSBURY, Chairman, HARRY E. CONWAY,
Assessors of Medfield
TOWN DEBT
Notes due 1944
Water System
New High School
$10,000.00. 5,000.0( 5,000.00
Notes due 1945
Water system
10,000.00
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1946
Water System
10,000.00
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1947
Water System
10,000.00
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1948
Water System
10,000.00
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1949
Water System
10,000.00
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1950
Water System
10,000.00
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1951
Water System
8,000.00
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1952
New High School
5,000.00
New High School, Acts of 1941
5,000.00
80
--
- -
New High School, Acts of 1941
Notes due 1953
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1954
.
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1955
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1956
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1957
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1958
New High School
5,000.00
New High School, Acts of 1941
5,000.00
Notes due 1959
New High School
1,000.00
New High School, Acts of 1941
5,000.00
Notes due 1960
New High School, Acts of 1941
5,000.00
BESSIE L. HAMANT,
Town Treasurer.
Correct:
LESLIE J. HOWLETT
Town Accountant.
81
TOWN WARRANT
COMMONWEALTH OF MASSACHUSETTS
NORFOLK, SS:
To either of the Constables of the Town of Medfield, in sai County, greeting:
In the name of the Commonwealth you are directed to notif and warn the inhabitants of the Town of Medfield, qualified t! vote in elections and in town affairs, to meet at the Town Hal in said Medfield on Monday the 6th day of March A.D. 1944 a 6:00 A.M. then and there to act on the following articles:
Article 1. To choose all Town Officers required to be elected annually by ballot, to wit:
One Moderator, One Town. Clerk, One Treasurer, One Col lector of Taxes, Three Constables, One Tree Warden, all for on year.
One Assessor, One Member of the Water and Sewerage Board all for two years.
One Selectman, One Assessor, One Member of the Schoo Committee, Two Trustees of the Public Library, One Member 01 the Board of Health, One Cemetery Commissioner, One Member of the Board of Public Welfare, One Member of the Water and Sewerage Board, all for three years.
One Member of the Planning Board for five years.
The Polls to be opened at 6:00 A.M. and may be closed at 2:00 P.M.
Article 2. To choose Fence Viewers, Field Drivers and Pound Keeper.
Article 3. To see if the Town will vote to accept the reports of the several Town Officers for the past year.
Article 4. To see if the Town will vote to raise and appro- priate such sums of money as may be necessary to defray the expenses for the ensuing year.
£
Expended 1943 Recommended 1944
Executive
$2,411.94
$2,750.00
Treasurer
750.00
750.00
Collector
1,568.23
1,600.00
Assessors
743.91
800.00
Town Clerk
499.70
500.00
Election and Registration
290.18
550.00
------
82
Town Hall
3,171.78
3,265.00
Defense
616.79
500.00
Fire
3,484.54
3,000.00
Police
4,065.58
4,144.68
Sealer
106.55
150.00
Moth
751.79
800.00
Care of Trees
145.75
400.00
Cutting Brush
998.90
1,000.00
Spraying Elms
399.45
400.00
Health and Sanitation
2,174.75
1,600.00
District Nurse
450.00
450.00
County Hospital
1,109.63
1,055.99
Public Dump
135.43
175.00
Sewer
879.90
1,000.00
Highways
13,124.38
9,000.00
Bridges
99.12
450.00
Guard Rails
278.43
300.00
Sidewalks
299.29
300.00
Snow
4,507.59
3,500.00
Street Lighting
4,930.67
5,032.00
Public Welfare
2,070.44
1,000.00
Old Age Assistance
21,922.03
17,000.00
Old Age Administration
250.00
Soldiers Benefits
330.40
1,500.00
Public Welfare-Salaries
500.00
500.00
Schools and Dog Tax
40,825.29
42,385.00
Library
2,680.44
Park and Planning Board
384.24
500.00
Memorial Day
227.33
300.00
Contingent
786.35
750.00
Fire Insurance
904.56
925.00
Liability Insurance
697.45
700.00
Reserve Fund
1,785.95
2,500.00
Water
6,676.33
7,200.00
Notes
21,000.00
20,000.00
Interest
5,762.75
5,137.49
Article 5. To see if the town will vote to authorize the Treasurer with the approval of the Selectmen to borrow money from time to time in anticipation of the revenue of the financial year beginning January 1, 1944, and to issue a note or notes thefefor, payable within one year, and to renew any note or notes as may be given for a period of less than one year in accordance with Chapter 44, Section 17, General Laws.
Article 6. To determine in what manner the taxes shall be collected for the ensuing year, also determine what percentage shall be allowed the Collector for the ensuing year.
Article 7. To see what compensation the town will allow the Members of the Fire Department for the ensuing year.
83
Article 8. To see if the town will authorize the Collector to use all means in the collection of taxes as the Treasurer migh if elected to that office.
Article 9. To see if the town will authorize the Water an Sewerage Board to appoint one of its members as Water Regis trar.
Article 10. To see what compensation the town will allow the Water Registrar for the ensuing year.
Article 11. To see if the town will vote to appoint a com mittee of five (5) and authorize it to make arrangements an spend money appropriated under Article 4 for the observance o Memorial Day.
Article 12. To see if the town will vote to raise and appro priate a sum of money for the improvement of Chapter 90 Roads said money to be used in conjunction with any money allotted by the State or County, or both, for this purpose, or take any action in relation thereto.
Article 13. To see if the town will vote to transfer a sum of money from the Road Machinery Fund to the Highway Machinery Operating Account to defray expenses for the operation and main- tenance of Highway Machinery.
Article 14. To see if the town will vote to authorize the Assessors to use a sum of money not to exceed $15,000.00 from free cash in the Treasury for the reduction of the 1944 Tax Rate
Article 15. To see if the town will vote to accept the follow- ing named sums as Perpetual Trust Funds for the care of lots in the Vine Lake Cemetery, the interest thereof or as may be. necessary to be used for said care, viz:
Clifford L. Codding Lot $100.00
Samuel E. Mitchell Lot 100.00
Article 16. To see if the town will vote to raise and appro- priate, or transfer from available funds in the treasury, a sum of money for the purchase of war bonds or other bonds that are legal investments for savings banks, in order to establish a post- war rehabilitation fund, in accordance with the provisions of Chapter 5, Acts of 1943.
Article 17. To see if the town will vote to raise and appro- priate the sum of $3,000.00 for the maintenance of Vine Lake Cemetery; also to transfer the sum of $275.00 from the Sale of Cemetery Lots Funds for the purpose of developing the new part of the cemetery.
84
..
Article 18. To see if the town will vote to transfer certain sums of money, balances of school funds, namely:
-
Stoker conversion $120.90
Ralph Wheelock Special 80.70
School Equipment Fund 79.53
to the School Committee for funds for General School purposes, or do or act anything in relation thereto. (School Committee).
Article 19. To see if the town will vote to authorize the School Committee to establish and maintain State-aided voca- tional education in accordance with the provisions of Chapter 74, General Laws, and Acts amendatory thereto, or dependent there- on, and further raise and appropriate the amount of $25.00 therefor.
Article 20. To see if the town will vote to authorize the Selectmen to sell and convey to Mrs. DeForest Danielson in be- half of the town the parcel of land containing 875 square feet, more or less, known as the Town Pound and located on High Street, or do or act anything in relation thereto. (Petition).
Article 21. To see if the town will vote to authorize the Board of Selectmen to instruct the Boston Edison Company to install three (3) electric lights on Dale Street and raise and appropriate a sum of money therefor, or do or act anything in relation thereto.
Article 22. To see if the town will vote to authorize a com- mittee consisting of the Board of Selectmen, the Chairman of the Board of Assessors and the Town Treasurer to sell and convey in behalf of the town the property belonging to said town and consisting of the following land and buildings:
Land and buildings on lot #815 consisting of .49 acres bounded as follows: Northerly by lot #816 owned by Vina D. & Gordon Grant, easterly by lot #247 and #248 owned by Balfoure G. Caine, southerly by Cottage Street and westerly by Adams Street.
Article 23. To see if the town will vote to raise and appro- priate the sum of $15.00 to defray the cost of land damages awarded by the County Commissioners in the taking of land for the relocation of Granite Street. The damages awarded to be paid as follows:
David Peterson
$1.00
Elizabeth Koch
1.00
Htirs of Lucy Allen
1.00
William JJ. McCracken et ux 1.00
85
Wilma B. Kingsbury
1.00
David Peterson
1.00
Charles A. Garabedian
1.00
Olive M. Clark
1.00
Elizabeth Koch
1.00
Elizabeth Koch
1.00
Abraham Horowitz
1.00
Charles A. Garabedian
1.00
William J. McCracken et ux
1.00
Joseph A. Pepin
1.00
Margaret JJ. Ord
1.00
$15.00
Article 24. To see if the town will vote to raise and appro- priate a sum of money to purchase two additional Honor Rolls to supplement the present one or do or act anything in relation thereto.
And you are directed to serve this warrant by posting an attested copy thereof, in the usual place for posting warrants in said Medfield, seven days at least before the time of holding said meeting.
Hereof fail not and make due return of this warrant with your doings thereon, unto the Town Clerk at the time and place of meeting aforesaid.
Given under our hands this 18th day of February A.D. Nine- teen hundred and forty-four.
FRANK G. HALEY, CHARLES W. HAIGH, Selectmen of Medfield.
FRED C. CHICK,
Constable of Medfield.
86
In Memoriam
-
Robert h. Fraser, Sr. Selectman
Died April 12, 1943
1
- ----------- -- ---
:
1
REPORT OF THE TOWN ACCOUNTANT For the Year Ending December 31, 1943 Receipts
alance Cash on Hand January 1, 1943
$61,343.12
axes :
Current Year
$79,513.99
Previous Years
16,249.10
Corporation from State
5,619.25
Income from State
10,572.50
Motor Vehicle Excise
4,106.61
116,061.45
icenses and Permits :
Liquor
$1,211.00
Other
46.80
1,257.80
ourt Fines
225.00
rants from Federal Government:
Old Age Assistance
$9,371.50
Aid to Dependent Children
89.69
9,461.19
Trants from State:
Old Age Assistance
$10,454.65
School Tuition
449.67
School Superintendency
483.33
Schools
2,870.19
State Guard
306.00
Tuberculosis Subsidy
1,059.28
World War II Allowance
215.00
15,838.12
Assessment: Moth Extermination interest Income from Trust Funds:
25.90
Granville F. Dailey Library Fund
$1,628.50
Cemetery Perpetual Care Fund
385.45
2,013.95
Highways:
State and County
$11,912.54
Snow
38.50
11,951.04
Departmental:
Collector
Clerk
$417.45 709.20
89
Town Hall
438.45
Fire
4.00
Rentals, High School Auditorium
45.00
Library Fines
174.24
Water
8,831.77
Cemeteries
329.10
Revenue Loans
Loans in Anticipation of Reimbursement by State Dog Licenses
6,125.( 580.2 2,713.81
Withholding and Victory Taxes
Trusts :
Cemetery Perpetual Care
$450.00
Granville F. Dailey Library Fund
12,296.96
Other
976.21
13,723.1
State Reimbursement Tax Loss
1,829.5
Old Age Assistance Refunds
456.8
Soldiers' Aid
128.5
Total Receipts
$284,683.5
TRUST FUNDS
Custody of Town Treasurer
$102,817.31
Library Trust Funds
$9,000.00
Granville F. Dailey Trust
68,942.33
Cemetery Perpetual Care
24,875.00
102,817.33
Trust Fund Interest Accounts
Balance from 1942
$53.44
Balance
$53.44
Library Trust Fund Interest Account Balance from 1942
$518.67
Receipts:
Home Savings Bank
$30.00
Massachusetts Savings Bank
30.00
Dedham Institution for Savings
40.00
Provident Institution for Savings
60.00
160.00
Balance
$678.67
1
1_
90
10,949 .: 30,000.(
Cemetery Trust Fund Interest Account .
Balance from 1942
$123.01
Receipts :
Home Savings Bank
$23.62
Dedham Institution for Savings
307.02
Massachusetts Savings Bank
54.81
385.45
$508.46
Transfer to Cemetery
413.50
Balance
$94.96
Granville F. Dailey Library Income Account
Balance from 1942
$4,689.77
Interest and Dividends
1,468.50
Gain, Sale Securities, Etc.
2,096.96
$8,255.23
Transfer to Library
2,680.44
Balance
$5,574.79
SUMMARY OF DEPARTMENTAL INCOME AND EXPENSES
Executive Department
Appropriation
$2,531.00
Payments:
Salaries :
Frank G. Haley, Selectman
$200.00
Charles W. Haigh, Selectman
150.00
Robert H. Fraser, Selectman
25.00
$375.00
Marie Burke, Clerk
1,456.00
Frank D. McCarthy, Moderator
25.00
Francis M. Bibby, Accountant
458.26
Leslie J. Howlett, Temporary Accountant
41.66
Supplies and Expense
56.02
Total Balance to Revenue
$2,411.94
119.06
$2,531.00
91
1 - ------- 1
$750.00
Payments:
Bessie L. Hamant, Salary Supplies and Expenses
$500.00 250.00
1
750.00 -
Collector Appropriation
$1,800.00
Payments:
Amos C. Kingsbury, Collector
$1,199.69
Bond
184.00
Supplies and Expense
184.54
1,568.23
Balance to Revenue
231.77
$1,800.00
Assessors
Appropriation
$800.00
Payments:
Salaries:
Carleton Kingsbury
$300.00
Robert H. Fraser
25.02
H. E. Conway
100.00
Transcripts
90.90
Listing
32.00
Supplies and Expense
195.99
743.91
Balance to Revenue
56.09
$800.00
Town Clerk
Appropriation
$500.00
Payments :
Salary, C. W. Kierstead
$400.00
Supplies and Expenses
92.20
Bond
7.50
499.70
Balance to Revenue
.30
$500.00
92
Treasurer Appropriation
$425.02
Election and Registration
Appropriation
$325.00
Payments:
Salaries
$70.00
Election Officers
90.00
Supplies and Expenses
130.18
290.18
Balance to Revenue
34.82
$325.00
Town Hall
Appropriation
$3,265.00
Payments:
Janitor
$1,146.32
Telephone
105.84
Water
36.87
Coal
710.14
Light
440.15
Repairs
408.16
Supplies
324.30
3,171.78
Balance to Revenue
93.22
$3,265.00
Police
Appropriation
$4,007.00
Transfer from Reserve Account
86.58
$4,093.58
Payments :
Payroll
$3,462.31
Telephone
96.18
Auto Expense
341.98
Supplies and Expenses
165.11
4,065.58
Balance to Revenue
28.00
$4,093.58
93
Defense Appropriation
$500.00
Payments : Telephone Supplies and Expenses
$19.76 288.83
308.59
Balance
191.41
$500.00
State Guard Appropriation Transfer from Reserve Account
$300.00
8.20
$308.20
Payments:
Supplies and Expenses
$308.20
Fire Department
Appropriation
$3,000.00
Transfer from Reserve Account
484.54
$3,484.54
Payments:
Payroll
$2,456.00
Telephone
29.58
Gas, Oil and Maintenance
543.58
Supplies
455.38
3,484.54
Sealer
Appropriation
$150.00
Payments:
Payroll
$100.00
Insurance and Supplies
6.55
106.55
Balance to Revenue
43.45
$150.00
94
Moth Department
ppropriation
$800.00
ayments :
Payroll Gas and Oil
$516.52
100.15
Supplies
135.12
alance to Revenue
48.21
$800.00
Care of Trees
ppropriation
$200.00
ayments :
Payroll
$145.75
145.75
alance to Revenue
54.25
$200.00
Cutting Brush
ppropriation
$1,000.00
ayments:
Payroll
882.69
Gas and Oil
21.20
Supplies and Expenses
95.01
998.90
alance to Revenue
1.10
$1,000.00
Spraying Elms
.ppropriation
$400.00
ayments :
Payroll
$279.88
Gas and Oil
17.63
Supplies
101.94
399.45
alance to Revenue
.55
$400.00
95
751.79
District Nurse Appropriation
$450
Payments: Transfer from Health District Nurse
$112.50
300.00
412
Balance
$37
Health and Sanitation
Appropriation
$1,600.
Transfer from Reserve Account
462.
Transfer from District Nurse
112.
$2,174.
Payments :
Salaries
$265.50
Norfolk County Hospital
1,365.00
City of Boston
128.00
C. W. Kierstead
243.75
Supplies and Expenses
172.50
2,174.
County Hospital
Appropriation
$1,109.
Payments:
Norfolk County Hospital
1,109.
Care Public Dump
Appropriation
$100.
Transfer from Reserve Account
80.
$180.1
Payments :
Payroll
135.4
Balance to Revenue
44.
$180.(
Sewer
$1,000.(
Appropriation
1.5
Transfer from Water Department
$1,001.5
96
Payments:
Payroll Transfer to Water Department Balance to Revenue
874.92
4.98
121.69
$1,001.59
Highways-General Appropriation
$8,000.00
Payments:
Payroll
$2,516.60 201.11
Materials and Supplies
2,717.71
Transfer to Highways-Chapter 81
5,281.67
Balance to Revenue
.62
$8,000.00
Highways-Chapter 81
Transfer from Highways-General State Grant
5,125.00
$10,406.67
Payments :
Payroll
2,821.26
Materials and Expenses
10,373.47
Transfer to Highways-Chapter 90
$10,406.67
Highways-Chapter 90
$500.00
Appropriation State Grant
1,000.00
Transfer from Highways-Chapter 81
..
$1,533.20
Payments :
Payroll
1,027.83
Material and Supplies
1,533.20
Guard Rails Appropriation
$300.00
97
$5,281.67
$7,552.21
33.20
33.20
$505.37
Payments: Payroll Supplies
Balance to Revenue
$141.77 145.66
287.43 12.57
$300.00
Bridges Appropriation
$100.00
Payments:
Payroll Supplies and Expenses
55.78
99.12
Balance to Revenue
.88
$100.00
Sidewalks Appropriation
$300.00
Payments:
Payroll
$177.98 121.31
Supplies and Materials
299.29
Balance to Revenue
.71
$300.00
Snow Appropriation · Transfer from Reserve Account
$4,500.00 307.59
$4,807.59
Payments:
Payroll Supplies
$3,600.77 906.82
4,507.59
Balance to Revenue
300.00
$4,807.59
Street Lights Appropriation $5,032.00
98
$43.34
Payments: Boston Edison Co. Balance to Revenue
4,930.67 101.33
$5,032.00
Road Machinery Operation
Transfers from Machinery Revenue Account Balance 1942
$3,000.00
705.40
$3,705.40
Payments: Operation and Upkeep Balance
$3,495.30
210.10
Welding Machine Purchase
Transfer from Machinery Fund
$250.00
Welding Machine Cost
250.00
Public Welfare Salaries Appropriation
$500.00
Salaries Paid:
George H. Sauer
$250.00
Herbert Burr
150.00
Richard E. Huebener
100.00
500.00
Public Welfare
Appropriation
$4,000.00
Payments
2,070.44
Balance to Revenue
1,929.56
$4,000.00
Old Age Assistance
Appropriation
$15,000.00
Federal Government Grant
9,068.77
$24,068.77
Payments for Old Age Assistance
21,922.03
Balance to Revenue
2,146.74
$24,068.77
99
Old Age Assistance Administration Appropriation
$250.00
Balance to Revenue
250.00
Old Age Assistance Refunds
Refunds Received
$310.54
Transfers to Revenue
310.54
Old Age Assistance Administration-Federal Grant Balance 1942
$487.06
Received from Federal Government
302.73
$789.79
Payments:
Salaries
$103.50
Supplies and Expenses
334.36
437.86
Balance
$351.93
Aid to Dependent Children-Federal Grant- Administration
Balance 1942
$10.82
Received from Federal Government
1.19
Balance
$12.01
Aid to Dependent Children-Federal Grant Aid
Received from Federal Government
$88.50
Balance
88.50
Aid to Dependent Children
Appropriation
$600.00
Payments
45.00
Balance to Revenue
555.00
$600.00
Soldiers' Benefits Appropriation $2,000.00
100
Payments Balance to Revenue
330.40 1,669.60 $2,000.00
$2,000.00
School Department
Appropriation Transfer-Dog Tax Transfer from Reserve Fund
$40,220.00
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