USA > Massachusetts > Norfolk County > Medfield > Town annual reports of Medfield 1940-1949 > Part 37
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The Seniors are doing some metal work and show ability to work to exact dimensions. They have made bolts on the machine lathe and will have taper turning and, if time permits, some tool making.
104
Each succeeding year has been better than the previous one and all indications are that this will be the best year so far. With discipline, ability, and responsibility much improved the boys are ready to go out into the world as better men.
Respectfully submitted
CHARLES F. FREIBERG.
MEDFIELD SCHOOL CENSUS October 1, 1944
1
Registration
(5-6)
(7-13)
(14-15)
Total
Boys
38
114
40
192
Girls
34
115
28
174
Total
72
229
68
369
Distribution
In Public Schools
65
218
64
347
In Private Schools
2
11
3
16
In Vocational Schools
1
1
Not in School
5
5
Total
72
229
68
369
105
ATTENDANCE RECORDS 1943-44 (Compared with preceding years)
Grade
To. Mem.
% Att.
Avg. Mem.
1942-43 Avg.Mem.
1941-42 Avg.Mem.
1935-36 1930-31 Avg.Mem. Avg.Mem. Avg.Mem. 1940-41
K Myrtle Holder
38
1 Anna MacIvor
39
86.75
36.02
28.60
34.9
36.2
48.7
38.5
2 Esther Eastman
38
88.96
32.38
30.46
33.1
31.2
38.2
35.1
3 Evelyn Calabrese
35
88.50
31.60
34.06
34.4
35.1
48.2
36.3
4 Marion Enos
34
91.98
31.82
29.35
34.1
32.0
36.9
41.5
5 Anna Mezzanotte
36
· 91.14
33.02
33.86
33.4
23.9
40.3
32.4
6 Dorothy Brown
34
91.56
33.01
30.24
25.7
44.3
37.5
31.9
Total Elementary
254
89.82
197.85
186.57
195.6
202.7
249.8
215.7
7 Maude Washburn
28
92.71
27.21
26.02
41.9
34.7
35.8
41.2
8 Madelyn Grant
27
85.96
26.15
37.52
35.2
39.0
30.2
28.3
9 Isabella Nelson
36
94.38
33.38
29.06
39.1
33.5
28.2
22.6
10 Elizabeth Walker
28
90.33
26.83
35.36
33.0
36.5
71.2
22.4
11
Jean Gardner
33
88.76
31.59
28.33
34.2
22.2
21.3
12 Elaine Pederzini
27
91.81
23.35
28.26
23.8
23.7
22.9
Total High School
179
90.66
168.51
184.55
207.2
189.6
165.4
158.7
Total Both Schools
433
90.24
366.36
371.12
402.8
392.3
415.2
374.4
106
GRADUATING EXERCISES of the CLASS OF NINETEEN HUNDRED FORTY-FOUR Wednesday, June Seven
PROGRAM
Processional-"Send Out Thy Light" Gounod
School Chorus
Invocation
Rev. Robert Ryer
"The Lord's Prayer" Malotte
Senior Girls
Welcome by the Class President Edna Farris
America Glenna Woodbine
"This Is Worth Fighting For," Chorus
Our Flag
Dorothy Holmquist
"You're a Grand Old Flag" Chorus
Cohan
Our Boys in the Service. Therese Kreger
"Sing Me a Song of the Islands," "On the Road to Mandalay,"
"Neapolitan Nights,"
"Sundown,"
Chorus
The Future We Face" George Ross
"American Patrol" Meacham
Chorus
Our Future
John Beaton
Presentation of Awards Alton H. Hartford, Principal
Presentation of Scholarships,
Mrs. Mildred Ross, President of Hannah-Adams Club. Mr. Joseph S. Kennedy, Chairman of Parent-Teacher Association Scholarship Committee.
Presentation of Diplomas and Certificates, Mr. Rodman C. Nowers, Chairman of School Committee.
107
Class Song :. Senior Class
Tribute to Our Boys and Girls in the Service. . Claire Sproul "The National Anthem" Key School and Audience Recessional-"Ancient Days" Jeffrey Chorus
Class Colors: Orchid and White.
Class Motto: On the youth of today rests the democracy of tomorrow.
CLASS ROLL
HONOR STUDENTS
Maurice Bouin, Norma Dewar, Joy Dyer, Edna Farris, Dorothy Holmquist, Lorraine Knight, Eunice Koch, Therese Kreger, Charles Ross, George Ross, Claire Sproul, Glenna Woodbine. John Beaton, Martha Bramman, Marie des Granges, Frances Marcoux, Helen Marshall, Robert McCarthy, Jean Penniman, Alberta Rawding, Marquita Rokes, Francis Ryan.
IN SERVICE
Robert Ballou, Bradley Bryant, Francis Chick, Silvio Dalo, Henry Iafolla, Arthur Park.
108
TOWN DEBT
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
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
109
Notes due 1956 New High School New High School, Acts of 1941
5,000.00 5,000.00
Notes due 1957
New High School New High School, Acts of 1941
5,000.00
5,000.00
Notes due 1958
New High School New High School, Acts of 1941
5,000.00
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
ORION WIGHT,
Town Treasurer.
Correct:
LESLIE J. HOWLETT,
Town Accountant.
110
In Memoriam
Bessie L. Damant Treasurer
Died, April 29, 1944
THE COMMONWEALTH OF MASSACHUSETTS Department of Corporations and Taxation Division of Accounts
State House, Boston October 4, 1944
To the Board of Selectmen, Mr. Frank G. Haley, Chairman, Medfield, Massachusetts.
Gentlemen:
I submit herewith my report of an audit of the books and accounts of the town of Medfield for the period from June 9, 1942, to June 29, 1944, made in accordance with the provisions of Chap- ter 44, General Laws. This is in the form of a report made to me by Mr. Herman B. Dine, Assistant Director of Accounts.
Very truly yours,
THEODORE N. WADDELL,
Director of Accounts.
Mr. Theodore N. Waddell, Director of Accounts, Department of Corporations and Taxation,
State House, Boston.
Sir:
In accordance wth your instructions, I have made an audit of the books and accounts of the town of Medfield for the period from June 9, 1942, the date of the previous audit, to June 29, 1944, and report thereon as follows:
The financial transactions, as recorded on the books of the several departments receiving or disbursing money for the town or committing bills for collection, were examined, checked, and verified by comparison with the reports and records of the town accountant.
The town accountant's ledger was analyzed, the recorded re- ceipts being checked with the treasurer's books and the pay- ments being compared with the warrants authorizing the treasurer to disburse town funds.
The appropriation accounts were checked with the town clerk's records of town meeting proceedings and the recorded transfers from the reserve fund were verified by comparison with the records of the finance committee.
113
A balance sheet, which is appended to this report, was pre- pared showing the financial condition of the town on June 29, 1944.
In checking the paid vouchers and pay-rolls on file it was noted that compensation has been paid to elected officials of the town for services performed by them, this compensation being in addition to the salaries received for their elective positions. At- tention in this connection is called to Section 4A, Chapter 41, General Laws, which reads as follows:
"Except as otherwise expressly provided, a town board may, if authorized by vote of the town, appoint any member thereof to another town office or position for the term provided by law, if any, otherwise for a term not exceeding one year. The salary for any such ap- pointee shall be fixed by vote of the town, notwithstanding the provisions of section one hundred and eight. In this section, the word "town" shall not include city."
It is recommended that the salaries of all elected officials be
fixed annually by vote of the town in accordance with the pro- visions of Section 108, Chapter 41, General Laws.
It was also noted that the dog license refund from the county was credited directly to the library appropriation account without the authority of a town meeting vote. It is recommended that the town annually vote the disposition of this fund in accordance with the provisions of Section 172, Chapter 140, General Laws.
The books and accounts of the town treasurer were examined and checked. The receipts were checked with the records of the several departments collecting money for the town and with other sources from which money was paid into the town treasury, while the payments were compared with the selectmen's warrants auth- orizing the treasurer to disburse town funds. The cash balance on June 29, 1944, was proved by verification of the cash in the office and by reconciliation of the bank balance with a statement furnished by the bank of deposit.
Payments made for maturing debt and interest were com- pared with the cancelled securities on file and also with the amounts falling due.
The savings bank books and securities representing the in- vestment of the trust funds in custody of the town treasurer were examined and listed. The income was proved, the transfers to the town were compared with the treasurer's cash book, and the dis- bursements were verified.
The securities and savings bank book representing the invest- ment of the Moses Ellis Post No. 117 G. A. R. Fund in the cus- tody of the selectmen were examined, listed, and the income was proved.
114
The tax titles taken by the town on account of unpaid taxes were examined and the amounts added to the tax title account were compared with the collector's records. The tax titles re- deemed were checked with receipts as recorded on the treasurer's cash book, and the tax titles on hand were listed and compared with the records at the Registry of Deeds.
The books and accounts of the tax collector were examined and checked. The taxes and assessments outstanding according to the previous examination and all subsequent commitments were audited and proved to the assessors' warrants issued for their collection. The reported payments to the treaslrer were verified, the recorded abatements were checked with the assessors' records, the taxes transferred to the tax title account were proved, and the outstanding accounts were listed and reconciled.
In checking the collector's accounts it was noted that interest is not promptly collected on overdue accounts as required by Section 57, Chapter 59, General Laws.
It is recommended that the collector make weekly payments to the treasurer of all collections, as required by Section 2, Chap- ter 60, General Laws, and that action be promptly taken by the collector to bring about a complete settlement of all prior years' taxes, which date back to 1936.
The commitments of departmental and water accounts re- ceivable were examined and checked. The receipts, as recorded, were compared with the treasurer's cash book, the abatements were compared with the records of the departments authorized to grant such credits, and the outstanding accounts were listed and proved.
Verification of the outstanding tax and water accounts was obtained by mailing notices to a number of persons whose names appeared on the books as owing money to the town, the replies received thereto indicating that the accounts, as listed, are correct.
The selectmen's records of licenses and permits issued were examined and checked and the payments to the town treasurer were verified.
The financial accounts of the town clerk were examined and checked. The reported receipts from dog, sporting, and other licenses issued were examined, the payments to the State and town being verified, and the cash balance being proved by actual count of the cash on hand.
The surety bonds furnished by the several officials required to file such surety were examined and found to be in proper form.
The records of receipts of the health, school, and library departments, of the sealer of weights and measures, as well as of all other departments collecting money or committing bills for
115
collection, were checked with the treasurer's and the accountant's books.
There are appended to this report, in addition to the balance sheet, tables showing a reconciliation of the treasurer's and the tax collector's cash, summaries of the tax, assessment, tax title, tax possession, departmental, and water accounts, as well as tables showing the transactions and condition of the trust funds.
For the cooperation extended by all town officials during the progress of the audit, I wish, on behalf of my assistants and for myself, to express appreciation.
Respectfully submitted, HERMAN B. DINE,
Assistant Director of Accounts.
RECONCILIATION OF TREASURER'S CASH
Balance June 9, 1942,
$32,342.00
Receipts :
June 9 to December 31, 1942, $174,281.50
1943
223,340.38
397,621.88
$429,963.88
Payments: June 9 to December 31, 1942, $145,280.38
1943, 204,275.90
Balance December 31, 1943,
$349,556.28 80,407.60
$429,963.88
Balance January 1, 1944,
$80,407.60 54,301.11
Receipts January 1 to June 29, 1944, .
-
$134.708.71
Payments January 1 to June 29, 1944,
$97,822.92
Balance June 29, 1944: Norfolk County Trust Company, Dedham, per check register, $36,790.99
Cash in office, verified,
94.80
36,885.79
$134,708.71
Norfolk County Trust Company, Dedham
Balance June 29, 1944, per statement, $44,102.14 Deposit in transit June 29, 1944, verified, 1,425.64
116
Stop payment order put on check and new
check issued, both checks paid and charged on bank statement, 16.00
$45,543.78
Balance June 29, 1944, per check register,
$36,790.99
Outstanding June 29, 1944:
Checks, per list, $8,735.29
Coupon, Water loan No. 303 due January 1, 1944, 17.50
8,752.79
$45,543.78
Cash balances June 29, 1944, per schedules:
Taxes 1937,
$.42
Taxes 1939,
31.25
Taxes 1941,
1.80
Taxes 1942,
349.68
Taxes 1943,
62.00
Motor vehicle excise taxes 1936,
16.98
Motor vehicle excise taxes 1937,
.08
Motor vehicle excise taxes 1939,
5.87
Motor vehicle excise taxes 1942,
25.87
Motor vehicle excise taxes 1943, 102.86
Interest and costs on taxes,
10.70
Excess cash June 29, 1944,
$607.51 74.99
$682.50
Cash in office June 29, 1944, verified,
$676.50
Collector's overpayments to treasurer,
to be refunded-
Taxes 1942,
6.00
$682.50
TAXES-1934
Outstanding June 9, 1942,
$6.00
Payments to treasurer 1943,
$6.00
TAXES-1935
Outstanding June 9, 1942,
$54.77
Payments to treasurer 1943,
$24.30
Abatemnts 1943
30.47
$54.77
117
TAXES-1936
Outstanding June 9, 1942,
Payments to treasurer 1943,
Abatements 1943,
$38.30 30.00
$68.30
TAXES-1937
Outstanding June 9, 1942,
$200.20
Refunds June 9 to December 31, 1942,
16.19
$216.39
Payments to treasurer:
June 9 to December 31, 1942, 1943,
2.00
$8.00
Abatements 1943,
125.97
Outstanding December 31, 1943,
82.42
$216.39
Outstanding January 1, 1944,
$82.42
Outstanding June 29, 1944, per list,
$82.00
Cash balance June 29, 1944,
.42
$82.42
TAXES-1938
Outstanding June 9, 1942,
$273.88
· Payments to treasurer:
June 9 to December 31, 1942, 1943,
$18.19
2.00
$20.19
Abatements 1943,
138.69
Outstanding December 31, 1943, and
115.00
$273.98
TAXES-1939
Outstanding June 9, 1942,
$1,030.96
Payments to treasurer June 9 to December 31, 1942,
$463.30
Abatements:
June 9 to December 31, 1942, 1943,
$144.38
175.94
320.32
Outstanding December 31, 1943,
247.34
.
$1,030.96
118
June 29, 1944, per list,
$68.30
$6.00
Outstanding January 1, 1944, Payment and abatement adjusted, Abatements reported in excess,
$247.34 .14 66.94
$314.42
Payments to treasurer January 1
to June 29, 1944,
$50.30
Abatements January 1 to June 29, 1944,
42.84
Outstanding June 29, 1944, per list,
190.03
Cash balance June 29, 1944,
31.25
$314.42
TAXES-1940
Outstanding June 9, 1942,
$4,707.53
Refunds June 9 to December 31, 1942,
7.60
$4,715.13
Payments to treasurer:
June 9 to December 31, 1942, $3,418.10
1943,
344.08
$3,762.18
Abatements:
June 9 to December 31, 1942,
$231.48
1943,
136.54
368.02
Outstanding December 31, 1943,
584.93
$4,715.13
Outstanding January 1, 1944,
$584.93
Overpayment adjusted,
.02
Abatement reported in excess,
4.32
Interest reported as taxes 1940,
.70
$589.97
Payments to treasurer January 1 to June 29, 1944,
$239.38
Abatements January 1 to June 29, 1944,
55.80
Outstanding June 29, 1944, per list,
294.79
$589.97
TAXES-1941
Outstanding June 9, 1942,
$12,196.18 65.65
Refunds June 9 to December 31, 1942,
$12,261.83
Payments to treasurer:
June 9 to December 31, 1942 $3,385.71 1943, 6,000.50
$9,386.21
119
Abatements:
June 9 to December 31, 1942, $375.60 1943, 174.39
Outstanding December 31, 1943,
549.99 2,325.63
$12,261.33
Outstanding January 1, 1944,
$2,325.63
Refund taxes 1941 reported as taxes 1942,
21.48
Overpayments adjusted,
1.57
Interest reported as taxes, 1941,
1.60
Overpayment, to be refunded
2.00
$2,352.28
Payments to treasurer January 1 to June 29, 1944,
$1,484.28
Abatements January 1 to June 29, 1944,
267.37
Abatement not prevously reported,
21.48
Tax title taken not previously reported,
175.55
Outstanding June 29, 1944, per list,
401.80
Cash balance June 29, 1944,
1.80
$2,352.28
Taxes-1942 1
Outstanding June 9, 1942,
$1,290.00
Commitment per warrant,
104,539.80
Additional commitment,
135.42
Refunds June 9 to December 31, 1942,
95.48
$106,060.70
Payments to treasurer:
June 9 to December 31, 1942, $84,815.02 1943, 9,564.78
$94,379.80
Abatements:
June 9 to December 31, 1942 1943,
$1,798.34
250.00
2,048.34
Added to tax titles June 9 to December 31, 1942,
409.17
Outstanding December 31, 1943,
9,223.39
$106,060.70
Outstanding January 1, 1944,
$9,223.39
Commitment list in excess of warrant,
.01
Collections not committed,
12.00
Overpayments adjusted,
.14
Interest reported as taxes 1942,
28.29
Duplicate abatement adjusted,
46.44
120
To be refunded:
Overpayments, Payments and abatements, Collector's overpayments to treasurer,
20.01 173.90
6.00
$9,510.18
Payments to treasurer January 1 to June 29, 1944,
$3,255.51
Abatements January 1 to June 29, 1944,
547.69
Tax titles taken not previously reported,
173.90
Refund taxes 1941 reported as taxes 1942,
21.48
Outstanding June 29, 1944, per list,
5,161.92
Cash balance June 29, 1944,
349.68
.
$9,510.18
Taxes-1943
Commitment per warrant, Refunds,
$102,796.17 364.80
$103,160.97
Payments to treasurer,
$79,513.99
Abatements,
1,313.63
Outstanding December 31, 1943,
22,333.35
$103,160.97
Outstanding January 1, 1944,
$22,333.35
Collections not committed,
2.00
Abatements reported in excess,
.01
Overpayments:
Adjusted,
$ .74
To be refunded,
12.68
13.42
$22,348.78
Payments to treasurer January 1 to June 29, 1944,
$11,956.22
Abatements January 1 to June 29, 1944,
548.51
Added to tax titles January 1
to June 29, 1944:
Recorded,
$353.84
Not previously recorded,
167.32
521.16
Warrant in excess of commitment list,
.01
Outstanding June 29, 1944, per list,
9,260.88
Cash balance June 29, 1944,
62.00
$22,348.78
121
Old Age Assistance Taxes-1931
Outstanding June 9, 1942, and January 1, 1944,
$16.00
Payments to treasurer January 1 to June 29, 1944, $6.00 10.00
Abatements January 1 to June 29, 1944,
$16.00
Old Age Assistance Taxes-1932
Outstanding June 9, 1942, and January 1, 1944,
$14.00
Payments to treasurer January 1 to June 29, 1944, $1.00
Abatements January 1 to June 29, 1944,
13.00
$14.00
Old Age Assistance Taxes-1933
Outstanding June 9, 1942, and January 1, 1944,
$32.00
Payments to treasurer January 1 to June 29, 1944, $6.00
Abatements January 1 to June 29, 1944,
26.00
$32.00
Motor Vehicle Excise Taxes-1933
Outstanding June 9, 1942,
$18.13
Payments to treasurer 1943,
$16.13
Outstanding December 31, 1943,
2.00
$18.13
Outstanding January 1, 1944,
$2.00
Abatements in excess,
1.63
$3.63
Abatements January 1 to June 29, 1944,
$3.63
Motor Vehicle Excise Taxes-1934
Outstanding June 9, 1942,
$4.64
Payments to treasurer 1943,
$2.64
Outstanding December 31, 1943,
2.00
$4.64
Outstanding January 1, 1944,
$2.00
Abatement January 1 to June 29, 1944,
$2.00
122
Motor Vehicle Excise Taxes-1935
Outstanding June 9, 1942,
$67.18
Payments to treasurer: June 9 to December 31, 1942, 1943,
$17.48 16.94
Outstanding December 31, 1943,
$34.42 32.76
$67.18
Outstanding January 1, 1944,
$32.76
Abatements January 1 to June 29, 1944,
$32.76
Motor Vehicle Excise Taxes-1936
$358.54
Payments to treasurer:
June 9 to December 31, 1942, 1943,
19.36
Outstanding December 31, 1943,
$358.54
Outstanding January 1, 1944,
$302.43
Abatements January 1 to June 29, 1944,
$119.93
Outstanding June 29, 1944, per list,
165.52
Cash balance June 29, 1944,
16.98
$302.43
Motor Vehicle Excise Taxes-1937
Outstanding June 9, 1942,
$638.97
Refunds June 9 to December 31, 1942,
1.00
$639.97
Payments to treasurer:
June 9 to December 31, 1942,
$11.73
1943,
43.24
$54.97
Outstanding December 31, 1943,
585.00
. $639.97
Outstanding January 1, 1944,
$585.00
Payments to treasurer January 1 to June 29, 1944,
$35.14
Abatements January 1 to June 29, 1944,
175.30
Outstanding January 1 to June 29, 1944, 374.48
Cash balance June 29, 1944,
.08
$585.00
Outstanding June 9, 1942,
$36.75
$56.11 302.43
123
Motor Vehicle Excise Taxes-1938
Outstanding June 9, 1942,
$185.05
Payments to treasurer 1943,
$42.82
Outstanding December 31, 1943,
142.23
$185.05
Outstanding January 1, 1944,
$142.23
Abatements January 1 to June 29, 1944,
$124.41
Outstanding June 29, 1944, per list,
17.82
$142.23
Motor Vehicle Excise Taxes-1939
Outstanding June 9, 1942,
$188.01
Refunds June 9 to December 31, 1942,
14.24
$202.25
Payments to treasurer:
June 9 to December 31, 1942, 1943,
$10.61
20.98
$31.59
Outstanding December 31, 1943,
170.66
$202.25
Outstanding January 1, 1944,
$170.66
Abatements January 1 to June 29, 1944,
$61.08
Outstanding June 29, 1944, per list,
103.71
Cash balance June 29, 1944,
5.87
$170.66
Motor Vehicle Excise Taxes-1940
Outstanding June 9, 1942,
$282.17
Refunds June 9 to December 31, 1942,
4.95
$287.12
Payments to treasurer:
June 9 to December 31, 1942,
$1.21
1943,
17.15
$18.36
Outstanding December 31, 1943,
268.76
$287.12
Outstanding January 1, 1944,
$268.76
Abatements January 1 to June 29, 1944,
$125.76
Outstanding June 29, 1944, per list,
143.00
$268.76
124
Motor Vehicle Excise Taxes-1941 Outstanding June 9, 1942, $541.47
Refunds June 9 to December 31, 1942,
6.91 $548.38
Payments to treasurer:
June 9 to December 31, 1942,
$18.82 109.04
1943,
$127.86 420.52
Outstanding December 31, 1943,
$548.38
Outstanding January 1, 1944,
$420.52
Payments to treasurer January 1 to June 29, 1944,
$17.66
Abatements January 1 to June 29, 1944, 118.78
Outstanding June 29, 1944, per list, 284.08
$420.52
Motor Vehicle Excise Taxes-1942
Outstanding June 9, 1942,
$2,370.06
Commitments June 9 to December 31, 1942, Refunds:
307.03
June 9 to December 31, 1942, $72.25
1943,
33.38
$105.63
$2,782.72
Payments to treasurer:
June 9 to December 31, 1942,
$1,840.42
1943,
463.43
$2,303.85
Abatements :
June 9 to December 31, 1942,
$66.38
1943,
53.97
Outstanding December 31, 1943,
$120.35 358.52
$2,782.72
Outstanding January 1, 1944,
$358.52
Commitment not previously reported,
454.60
Abatements reported in excess,
20.59
Overpayment adjusted,
.37
Payment and abatement, to be refunded,
20.98
$855.06
125
Payments to treasurer January 1 to June 29, 1944, $8.26
Abatements January 1 to June 29, 1944: Recorded,
46.39
Not previously recorded,
225.39
Recorded as commitment,
225.39
Outstanding June 29, 1944, per list,
323.76
Cash balance June 29, 1944,
25.87
$855.06
Motor Vehicle Excise Taxes-1943
Commitment per warrant,
$4,078.65
Payments to treasurer,
$3,354.88
Outstanding December 31, 1943,
723.77
$4,078.65
Outstanding January 1, 1944,
$723.77
Commitment not previously reported,
96.86
Interest reported as motor vehicle excise taxes 1943,
1.16
Payment and abatement, to be refunded,
14.53
$836.32
Payments to treasurer January 1 to June 29, 1944,
$337.63
Abatements not previously reported,
158.79
Outstanding June 29, 1944, per list,
237.04
Cash balance June 29, 1944,
102.86
$836.32
Moth Assessments-1934
Outstanding June 9, 1942,
$ .90
Payments to treasurer 1943,
$ .90
Moth Assessments-1935
Outstanding June 9, 1942,
$ .90
Papments to treasurer 1943,
$ .90
Moth Assessments-1946
Outstanding June 9, 1942,
$ .30
Payments to treasurer 1943,
$.30
. Moth Assessments-1937
Outstanding June 9, 1942,
$ .30
Payments to treasurer 1943,
$ .30
126
Sewer Assessments Added To Taxes 1932-1938
Outstanding June 9, 1942:
Levy of 1932,
$28.69
Levy of 1933,
28.69
Levy of 1934,
28.69
Levy of 1935,
28.69
Levy of 1936,
28.69
Levy of 1937,
28.69
Levy of 1938,
28.69
$200.83
Outstanding December 31, 1943, and June 29, 1944, per lists :
Levy of 1932,
$28.69
Levy of 1933,
28.69
Levy of 1934,
28.69
Levy of 1935,
28.69
Levy of 1936,
28.69
Levy of 1937,
28.69
Levy of 1938,
28.69
$200.83
Committed Interest 1932-1938
Outstanding June 9, 1942:
Levy of 1932,
$12.05
Levy of 1933,
10.32
Levy of 1934,
8.57
Levy of 1935,
6.88
Levy of 1936,
5.10
Levy of 1937,
3.44
Levy of 1938,
1.72
$48.08
Outstanding December 31, 1943, and June 29, 1944, per lists :
Levy of 1932,
$12.05
Levy of 1933,
10.32
Levy of 1934,
8.57
Levy of 1935,
6.88
Levy of 1936,
5.10
Levy of 1937,
3.44
Levy of 1938,
1.72
$48.08
Interest and Costs On Taxes
Cash balance June 9, 1942,
$32.70
Collections June 9, 1942, to June 29, 1944:
Taxes :
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