USA > Massachusetts > Norfolk County > Medfield > Town annual reports of Medfield 1960-1966 > Part 31
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5,000.00
Highways-Pound Street
50,000.00
$1,895.054.00 -
Debt by Year of Maturity
1963
$162,054.00
1964
150,000.00
1965
149,000.00
1966
145,000.00
1967
141,000.00
1968
116,000.00
1969
116,000.00
1970
116,000.00
1971
100,000.00
1972
100,000.00
1973
100,000.00
,
156
1974
100,000.00
1975
100,000.00
1976
75,000.00
1977
75,000.00
1978
75,000.00
1979
75,000.00
Total
$1,895,054.00
1
TOWN OF MEDFIELD
Balance Sheet - December 31, 1962 Assets
Cash in Bank and Office
$243,580.98
Accounts Receivable:
Taxes, Levy of 1954
$81.90
1956
347.90
1958
162.26
1959
132.25
1960
891.55
1961
6,870.89
1962
23,958.43
32,445.18
Motor Vehicle Excise Taxes:
1955
1,481.61
1956
1,268.40
1957
2,233.06
1958
1,859.08
1959
2,189.64
1960
3,463.18
1961
3,464.00
1962
35,064.34
51,023.31
Water and Sewer Betterments
1,839.90
Tax Titles
5,667.30
157
Overlay Deficits: Levy of 1955 1956 1957
355.62 491.09 298.73
1,145.44
Departmental: Accounts Receivable
Machinery Operating Account
686.14
Medical Aid
1,851.04
Ambulance
1,675.00
Old Age Assistance
229.69
Aid to Dependent Children
931.43
Veterans Aid
639.49
Disability Assistance
293.22
Cemetery Annual Care
5,041.00
Cemetery Sale of Lots
.190.00
O.A.A .- State
384.74
Group Insurance Agency Account
101.58
12,023.33;
Water
Rates
10,355.60
Services
3,134.83
Extensions
1,266.79
14,757.22:
State and County Aid to Highways Receivable
15,792.65,
Underestimated:
State: Mosquito Control
52.00
Total Assets:
$378,327.31
Liabilities
Temporary Loans:
In Anticipation of Reimbursements:
Chapter 90 and Chapter 81-Highways
45,375.00
Agency:
Federal Withheld Taxes
44,902.42
Clara S. Littledale Library Book Fund
100.00
Granville F. Dailey Library Trust Fund Income
4,006.13
State Withheld Taxes
2,704.75
Cemetery Perpetual Care Funds
50.00
Cemetery Trust Fund Income
286.96
County Retirement Funds
5.28
Federal Grants:
158
Medical Aid Disability Assistance Old Age Assistance Aid to Dependent Children
4,671.54
942.65
3,652.72
2,443.47
11,710.38
Appropriation Balances:
Master Plan
7,000.00
Swimming Pool
175.50
Junior-Senior High School
22,436.76
Civil Defense
141.42
Sewer Extension
406.00
Fire Station
88.95
Fire Station Alarm, Radio and Air Tanks
2,407.54
Town Hall Renovations
50.00
Chapter 90 Highways
9,322.42
Pound Street
1,832.19
Front End Loader
1,739.18
School Athletic Association
2,144.15
Teachers Retirement-Military Service
321.82
School Plans
1,904.44
Development and Industrial Comm.
219.00
Water Standpipe
269.00
Water New Well
1,050.40
Land Damages
392.55
Adams Street School-Remodeling
10,000.00
High and Granite Streets-Water
35,176.69
97,078.01
Receipts Reserved for Transfer:
Cemetery Sale of Lots
533.84
School Public Law 874
2,863.94
Sale Town owned land
3,000.00
School Cafeteria
1,735.94
Road Machinery
482.50
Cemetery Tool Tomb
1.00
8,617.22
Reserve Fund-Overlay Surplus
5,919.76
Overlays Reserved for Abatements:
1954
81.90
1958
225.75
1959
134.25
1960
818.47
1961
2,393.34
1962
12,480.61
16,134.32
159
Revenue Reserved until Collected:
Departmental
11,235.61
Tax Titles
5,667.30
Motor Vehicle Excises
51,023.31
Water Revenue
14,757.22
Water and Sewer Betterments
1,839.90
84,523.34
Overestimated:
State Parks
249.31
County Tax
1,034.07
1,283.38
Dog Licenses
4.75
Surplus Revenue
55,625.61
Total Liabilities:
$378,327.31
ESTIMATED RECEIPTS FOR 1962
For Assessors' Use
Gas Permits
$84.50
Swimming Permits
2,824.81
Rent-Town Hall
200.00
School-Dental Clinic
137.00
Court Fines
158.00
School-Sale of Materials, etc.
1,030.21
Mass. Hospital Service-Refund
385.13
Sealers Fees
52.20
Highway and Park-Refunds
238.53
Wire Permits
1,049.00
Building Permits
1,364.20
Plumbing Permits
996.00
Library Fines and Book Sales
862.34
O.A.A. and Other Refunds
677.56
Liquor and Other Licenses
3,227.00
Tax Interest
1,388.92
Certificates-Liens
402.00
Cemetery-Grave Openings
631.00
$15,708.40
Massachusetts:
Medical Aid
Income Tax
$10,285.19 74,440.23
160
Corporation Tax O.A.A.
20,022.27
6,588.12
D.A. and A.D.C.
3,699.04
Highways-Snow
343.00
Veterans Services
586.35
Vocational Education
1,983.42
O.A. Meals Tax
1,708.96
Schools-Building Programs
52,458.75
Reimbursement Tax Loss
6,967.38
School Aid
1,353.00
Transportation Pupils
9,519.45
Library Aid
1,505.25
Insurance Refund
18.36
Cancelled Checks
244.03
Accrued Interest
119.10
County Dog Tax
736.60
$208,286.90
Excess Abatements to be raised in 1963:
1955 Overlay Deficit
355.62
1956 Overlay Deficit
491.09
1957 Overlay Deficit
298.73
TRUST ACCOUNTS
Principal
Balance December 31, 1962
$166,497.64
In Custody of Town Treasurer:
Library Trust Funds
9,000.00
Granville F. Dailey Trust Funds-Library
87,213.75
Cemetery Perpetual Care Funds
47,699.85
Clara S. Littledale Library Trust Funds
1,460.69
Stabilization Fund
17,048.13
162,422.42
In Custody of Selectmen: Moses Ellis Post No. 117 GAR
4,075.22
$166,497.64
161
Trust Accounts - Income and Disbursements
Library Trust Funds:
Interest on Savings Accounts:
Home Savings Bank
80.00
Dedham Institution for Savings
90.00
Massachusetts Savings Bank
80.00
Provident Institution for Savings
110.00
360.00
Transfer to Library Account-Book Purchases
360.00
Cemetery Perpetual Care Funds: Interest on Savings Accounts:
.
Massachusetts Savings Bank
292.00
Dedham Institution for Savings
1,104.27
Home Savings Bank
63.00
Medfield Cooperative Bank
868.15
Needham Cooperative Bank
59.85
2,387.27
Transfer to Cemetery Maintenance:
2,100.31
Balance December 31, 1962
286.96
Clara S. Littledale Funds:
Interest on Savings Accounts:
Medfield Cooperative Bank
61.75
Needham Cooperative Bank
10.69
72.44
Transfer to Library Account
72.44
Granville F. Dailey Library Trust-Income Accounts:
4,354.61
Balance January 1, 1962:
C. I. T. Corporation
138.75
Dedham Institution for Savings
400.00
U. S. Treasury Department
587.60
Appalachian Power Co.
185.00
General Electric Company
140.00
General Motors Corporation
130.00
Niagara Mohawk Power
72.50
Southwestern Gas and Electric
185.00
Seaboard Airline R. R.
60.00
Southern California-Edison
312.50
Pittsburgh and Lake Erie R. R.
127.50
Great Northern R. R.
127.50
International Banks
45.00
162
American Tel. & Tel. Co.
175.00
Missouri Pacific R. R.
135.00
Atchison, Topeka & Sante Fe R. R.
200.00
Chicago, Rock Island & Pacific R.R.
87.44
Reading Railroad Equipment Trust
127.50
New England Tel. & Tel. Co.
69.36
Ohio Power Co.
138.75
Southern Bell Telephone
131.28
Armco Steel Corp.
87.00
3,662.68
8,017.29
Less:
Commissions Total Income
441.39
Transfer to Library Maintenance
3,454.62
Accrued Interest
115.15
4,011.16
Balance December 31, 1962
4,006.13
The foregoing report is an account of the financial transactions and standing of the Town of Medfield for the year ending December 31, 1962.
LESLIE J. HOWLETT,
Town Accountant
163
TAX COLLECTOR'S REPORT - 1962 POLL TAX
1961
Levy of
Balance $26.00
1962 Collected $26.00 3,108.00
1962 Balance
Total Balance
1961
$.00
1962
72.00
$72.00
PERSONAL PROPERTY TAX
1954
5.85
5.85
.00
1955
305.76
305.76
.00
1956
401.10
393.18
7.92
1957
489.63
489.63
.00
1958
220.90
174.74
46.16
1959
571.65
571.65
.00
1960
771.82
598.57
173.25
1961
980.89
754.95
225.94
1962
19,609.78
978.02
1,431.29
REAL ESTATE TAX
1955
292.11
292.11
.00
1956
778.51
438.53
339.98
1957
144.60
144.60
.00
1958
869.15
753.05
116.10
1959
3,215.07
3,080.82
134.25
1960
8,152.19
7,433.89
718.30
1961
24,260.46
17,615.51
6,644.95
1962
692,878.79
22,908.41
30,861.99
MOTOR VEHICLE EXCISE TAX
1955
1,892.02
410.41
1,481.61
1956
1,406.42
138.02
1,268.40
1957
2,457.84
224.78
2,233.06
1958
2,087.09
228.01
1,859.08
1959
2,328.86
139.22
2,189.64
1960
8,424.28
4,957.03
3,467.25
1961
14,822.46
11,358.46
3,464.00
1962
86,700.27
35,064.34
51,027.38
Total Interest Collected on Delinquent Taxes Total Lien Certificate Fees Collected
402.00
Percentage of 1962 Taxes Collected
93.4%
Respectfully submitted,
1,387.72
CHARLES H. RAYNER, JR. Collector of Taxe'
164
CEMETERY TRUST FUNDS
Accepted in 1962 Needham Cooperative Bank
Name of Fund
Original Fund
Angelakis Lot
$ 50.00
William L. Callow Lot
250.00
Giovanni Celli Lot
100.00
Hilda Copithorne Lot
50.00
Jane L. Germaine Lot
100.00
John A. Holmquist Lot
50.00
Joseph Lessard Lot
50.00
Elmer E. Matola Lot
200.00
Ruth Morrison Lot
100.00
John D. and Gertrude Reilly Lot
100.00
Joseph A. Roberts, III Lot
100.00
Jerome Shiels Lot
250.00
Frank P. Smith Lot
100.00
Thomas G. Watson Lot
100.00
ASSESSORS' REPORT
Town Appropriations
$1,102,854.11
Total Appropriations voted to be taken from Available Funds:
In 1961
$ 15,432.07 30,208.09
45,640.16
1,148,494.27
463.99
Overlay deficits Snow Emergency and Gravelled Roads
8,579.42
State Tax and Assessments:
State Parks and Reservations
2,814.49
State Audit of Municipal Accounts
309.43
Mosquito Control
2,942.20
6,066.12
In 1962
165
County Tax and Assessments: County Tax County Tax-Underestimate Tuberculosis Hospital
12,498.73 172.09
3,479.51
16,150.33
Overlay of current year
19,387.00
GROSS AMOUNT TO BE RAISED
$1,199,141.13
Estimated Receipts and Available Funds:
Income Tax
74,101.23
Corporation Taxes
17,139.25
Reimbursement on account of publicly owned land
6,967.38
Old Age Tax (Meals) Chapter 64B S10
1,617.90
Motor Vehicle and Trailer Excise
113,284.83
Licenses
7,639.50
Fines
262.50
Special Assessments
1,327.67
General Government
3,460.40
Highways
81.49
Charities (other than federal grants)
13,684.51
Old Age Assistance (other than federal grants)
10,611.01
Veterans Services
1,511.43
School
7,679.91
Public Service Enterprises
49,256.65
Cemeteries (other than trust funds and sale of lots)
1,590.00
Interest
1,842.09
State Assistance for School Construction
52,458.75
Farm Animal Excise
30.88
Total Estimated Receipts
$364,547.38
Overestimates:
State Recreation Areas
214.50
Amounts voted to be taken from available funds:
June 12, 1961
175.00
June 12, 1961
300.00
June 12, 1961
379.50
June 12, 1961
150.00
December 11, 1961
350.00
December 11, 1961
595.00
December 11, 1961
305.00
December 11, 1961
1,500.00
166
.
December 11, 1961
6,578.00
December 11, 1961
900.00
December 11, 1961
560.00
December 11, 1961
300.00
December 11, 1961
250.00
December 11, 1961
211.50
December 11, 1961
1,264.11
December 11, 1961
1,613.96
March 12, 1962
660.00
March 12, 1962
780.00
March 12, 1962
4,968.09
March 12, 1962
5,500.00
March 12, 1962
4,300.00
March 12, 1962
14,000.00
March 12, 1962
50,000.00
Total Estimated Receipts and Available Funds
460,402.04
NET AMOUNT TO BE RAISED BY TAXATION ON POLLS AND PROPERTY
$ 738,739.09
Number of Polls at $2.00 each-1590 3,180.00
Total Valuation:
Personal Property
$ 722,379.00
20,587.80
Real Estate
25,086,712.00
714,971.29
TOTAL TAXES LEVIED ON POLLS AND PROPERTY
$ 738,739.09
Number of Persons Assessed:
On Personal Estate Only
48
On Real Estate Only
1410
On Both Personal and Real Estate
26
Total Number of Persons Assessed
1484
Number of Polls Assessed
1590
Value of Assessed Personal Estate:
Stock in Trade
72,350.00
Machinery
3,000.00
Live Stock
6,690.00
All Other
640,339.00
722,379.00
Value of Assessed Real Estate:
Land exclusive of buildings
4,814,164.00
167
Buildings exclusive of land
20,272,548.00
25,086,712.00
Total Valuation of Assessed Estate
$25,809,091.00
Tax Rate per $1,000-$28.50
Taxes for State, County and Town Purposes, including Overlay On Personal Estate On Real Estate On Polls
20,587.80
714,971.29
3,180.00
Total Taxes Assessed
738,739.09
Number of Livestock Assessed:
Horses
51
Cows
3
Steers
7
Swine
7
Sheep
20
Fowl
5930
Number of Acres of Land Assessed
8062
Number of Dwelling Houses Assessed
1349
CARLTON W. KINGSBURY, Chairman HARRY E. CONWAY JOSEPH S. KENNEDY
Board of Assessors of Medfield
168
TOWN WARRANT TOWN OF MEDFIELD
COMMONWEALTH OF MASSACHUSETTS
Norfolk, ss.
To either of the Constables of the Town of Medfield, in said County, greeting:
In the name of the Commonwealth you are directed to notify and warn the inhabitants of the Town of Medfield, qualified to vote in elections and in town affairs, to meet at the Memorial School in said Medfield on Monday the 4th day of March A.D. 1963 at 12:00 Noon then and there to act on the following articles:
Article 1. To choose all Town Officers required to be elected annually by ballot, viz:
One Moderator, One Town Clerk, One Trustee of the Public Library, all for one year.
One Cemetery Commissioner for two years.
One Selectman, One Treasurer, One Assessor, Two Trustees of the Public Library, Two Members of the School Committee, One Member of the Board of Health, One Cemetery Commis- sioner, One Member of the Water and Sewerage Board, One Member of the Board of Public Welfare, One Member of the Park Commission, all for three years.
One Member of the Planning Board for five years.
The Polls to be opened at 12:00 Noon and shall be closed at 8:00 o'clock, P.M.
Article 2. To see if the Town will vote to accept the reports of the several Town Officers for the past year.
Article 3. To see if the Town will vote to raise and appropriate and/or transfer such sums of money as may be necessary to defray the following departmental and other expenses of the Town for the ensuing year, and to fix the salary and compensation of all elected officers of the Town as provided for in Section 108, Chapter 41 of the General Laws.
GENERAL GOVERNMENT
Item
No.
Expended Expended 1961 1962
Requested 1963
1. Moderator
$ $ $
169
Selectmen
2. Salary-Chairman
375.00
375.00
375.00
3. Salary-Clerk
350.00
350.00
350.00
4. Salary-Third Member
350.00
350.00
350.00
5. Payroll
8,300.00
6. Other Expenses
7,589.00
7,870.00
1,000.00
Total
8,664.00
8,945.00
10,375.00
Town Counsel
7. Salary
2,000.00
2,000.00
3,000.00
8. Expenses
355.00
104.00
500.00
Total
2,355.00
2,104.00
3,500.00
9. Salary
1,500.00
2,600.00
10. Payroll
650.00
11. Other Expenses
1,425.00
1,150.00
Total
2,566.00
2,925.00
4,400.00
Tax Collector
12. Salary
2,200.00
2,560.00
3,300.00
13. Payroll
1,475.00
14. Other Expenses
3,228.00
2,838.00
1,989.00
Total
5,428.00
5,398.00
6,764.00
Town Clerk
15. Salary
1,200.00
1,200.00
1,200.00
16. Expenses
324.00
324.00
300.00
Total
1,524.00
1,524.00
1,500.00
Assessors
17 Salary-Chairman
375.00
375.00
375.00
18 Salary-Clerk
350.00
350.00
350.00
19 Salary-Third Member
350.00
350.00
350.00
20. Payroll
3,300.00
21 Other Expenses
3,593.00
4,118.00
900.00
Total
4,668.00
5,193.00
5,275.00
Planning Board
22. Salary-Chairman
23. Salaries-4 Members
24. Other Expenses
768.00
830.00
1,175.00
Total
768.00
830.00
1,175.00
Treasurer
170
Park Commission
25. Salary-Chairman
26. Salary-Clerk
27. Salaries-3 Members
28. Expenses
2,342.00
29. Payroll-Swimming Pool
5,500.00
30. Expenses-Swimming Pool
5,809.00
1,393.00
Total
1,416.00
5,809.00
9,235.00
Election and Registration
31. Payroll
32. Other Expenses
1,445.00
3,030.00
1,325.00
Total
1,445.00
3,030.00
1,600.00
Town Hall
33. Salaries
4,450.00
34. Heat and Light
3,000.00
35. Other Expenses
300.00
Total
7,486.00
7,480.00
7,750.00
36. Town Meetings
447.00
474.00
1,000.00
37. Finance Committee
253.00
277.00
350.00
Highway Department
38. Payroll-General Highway
42,784.00
34,600.00
39. Materials and Supplies and Machinery
18,300.00
40 Chapter 81-Repair and Maintenance
6,750.00
6,900.00
41. Chapter 90-Maintenance
500.00
42. Removing Brush
2,014.00
2,000.00
43. Sidewalks
1,068.00
1,000.00
44. Snow and Ice
39,654.00
35,000.00
Total
87,222.00
92,270.00
98,300.00
Police Department
45. Salary-Chief
6,516.00
46. Salary-Sergeant
5,554.00
47. Salaries-6 Officers full time
30,617.00
48. Payroll-Part Time
2,457.00
49. Payroll-Vacation & Holidays
3,510.00
50 Payroll-Sick Leave
1,500.00
51. Cruiser Expenses
2,750.00
52. Telephone, Radio and Teletype
1,270.00
53. Uniforms
475.00
171
275.00
54. State Police School
55. Other Expenses
56. Contingent Salary- Officer on leave
3,746.00
57. One additional Patrolman
3,292.00
Total
49,708.00
51,816.00
63,427.00
Fire Department
58. Salaries-Officers
1,125.00
59. Payroll
8,395.00
60. Supplies
1,380.00
61. Other Expenses
14,069.00
3,993.00
Total
15,803.00
14,069.00
14,893.00
Tree and Moth Department
62. Tree Warden (per hour)
2.20
2.30
2.75
63. Mosquito Control
1,500.00
64 Care of Trees
3,500.00
65 Dutch Elm
4,000.00
66. Moths
1,000.00
67. Planting Trees
600.00
68. Destroying Ivy
200.00
Total
10,999.00
10,585.00
10,800.00
Inspectors
69. Building
1,301.00
1,287.00
1,325.00
70. Plumbing
757.00
750.00
775.00
71. Gas
272.00
350.00
450.00
72. Wiring
662.00
650.00
675.00
73. Sealer Weights and Measures
162.00
164.00
175.00
Total
3,154.00
3,201.00
3,400.00
Other
74. Dog Officer
250.00
250.00
250.00
75. Civilian Defense
727.00
112.00
500.00
76. Board of Appeals
649.00
633.00
650.00
77. Street Lights
9,390.00
10,059.00
11,000.00
Total
11,016.00
11,054.00
12,400.00
Board of Health
78. Salaries-3 Board Members
"79. Department Expenses
1,233.00
1,349.00
3,000.00
Total
1,233.00
1,349.00
3,000.00
172
690.00
1,050.00
80. Public Health Nurse
81. Garbage Disposal
4,000.00
6,000.00
10,000.00
82. Mental Health
200.00
200.00
735.00
Ambulance
83. Salaries and Payroll
84. Other Expenses
1,380.00
1,459.00
240.00
Total
1,380.00
1,459.00
1,260.00
Public Dump
85. Payroll
1,900.00
86. Other Expenses
2,195.00
2,121.00
646.00
Total
2,195.00
2,121.00
2,546.00
Sewer
87. Payroll
2,110.00
88. Other Expenses
5,366.00
2,531.00
1,130.00
Total
5,366.00
2,531.00
3,240.00
Public Welfare
89. Salary-Chairman
312.50
90. Salary Clerk
187.50
91. Salary-Third Member
125.00
92. General Relief
3,000.00
93. Old Age Assistance
9,000.00
94. Disability Assistance
1,000.00
95. Aid to Dependent Children
6,500.00
96. Medical Assistance to Aged
12,000.00
97. Administrative Expenses
3,400.00
Total
45,282.00
38,228.00
35,525.00
98. Benefits
1,766.00
2,909.00
3,200.00
99. Memorial Day
605.00
650.00
650.00
Total
2,371.00
3,559.00
3,850.00
SCHOOLS
General School Budget
Salaries-Teachers and
Principals
440,000.00
Expenses-Teacher and Principals
13,400.00
Textbooks
14,460.00
1,200.00
1,200.00
1,200.00
1,020.00
Veterans
173
Buildings-Custodians
32,750.00
Buildings-Fuel
16,200.00
Buildings-Other Expenses
27,000.00
Transportation
21,300.00
Superintendent's Account
18,120.00
Other Department Expenses
30,750.00
100. Sub Total
378,425.00
484,344.00
613,980.00
101. Vocational Education
4,090.00
3,131.00
2,600.00
102. School Traffic
1,294.00
1,500.00
1,500.00
103. Military Retirement
322.00
235.00
104. School Planning and Building Committee
1,000.00
1,000.00
105. Dental Clinic
1,000.00
983.00
1,000.00
Net Total
384,809.00
491,280.00
620,315.00
Library
106. Salaries-6 Trustees
Payroll
7,600.00
Other Expenses
10,860.00
11,524.00
5,012.00
Sub Total
10,860.00
11,524.00
12,612.00
Less Receipts
107. Dog Tax Transfer
685.00
660.00
736.00
108. Library Fines Transfer Other Receipts
734.00
780.00
791.00
5,042.00
5,684.00
5,085.00
Total Receipts
6,461.00
7,124.00
6,612.00
109. Net Department Expense
4,399.00
4,400.00
6,000.00
Water Department
110. Salaries-3 Board Members
111. Superintendent's Sal. (per hour)
2.20
2.30
2.75
112. Pumping Costs inc. Payroll
8,966.00
113. Distribution Oper. Payroll
13,861.00
114. Distribution Oper. Expenses
6,420.00
115. New Services
11,875.00
Total
31,575.00
35,792.00
41,122.00
Cemetery
116. Salaries-3 Commissioners
117. Superintendent's Sal. (per hour) Payroll Other Expenses
1.80
1.80
2.10
6,100.00
8,354.00
9,151.00
3,432.00
Total
8,354.00
9,151.00
9,532.00
174
118. Less Receipts
Sale of Lots Other Receipts
1,674.00
2,100.00
240.00 2,100.00
119. Net Departmental Expense
6,680.00
6,951.00
7,192.00
Conservation Commission
120. Department Expenses
600.00
121. Conservation Fund
3,000.00
Total
3,600.00
Town Debt
122.
Notes
133,000.00
131,000.00
162,054.00
123. Certification of Notes
6.00
38.00
50.00
124. Interest
69,398.00
66,031.00
76,995.00
Total
202,404.00
197,069.00
239,099.00
Insurance
125.
Vehicles
2,256.00
2,709.00
2,759.00
126. Workman's Compensation
4,556.00
5,365.00
9,411.00
127. Fire
5,116.00
3,838.00
5,657.00
128. Boiler
2,183.00
129. Group
8,754.00
9,602.00
10,000.00
Total
22,865.00
21,514.00
27,827.00
Unclassified
130.
Town Report
1,684.00
1,638.00
2,200.00
131. Town Clock
151.00
385.00
150.00
132. County Retirement
8,828.00
9,261.00
11,925.00
133. Stabilization Fund
5,000.00
5,000.00
20,000.00
134. Reserve Fund
4,949.00
4,677.00
10,000.00
Total
20,612.00
20,961.00
44,275.00
Grand Total Article 3
1,061,598.00 1,306,930.00
Article 4. 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, 1963, and to issue a note or notes therefor 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 5. To see if the Town will authorize the Collector to use all means in the collection of taxes as the Treasurer might if elected to that office.
175
Article 6. To see if the Town will vote to transfer a sum of money in Road Machinery Fund to Highway Operation Account to defray the expense and the operation and maintenance of highway machinery.
Article 7. To see if the Town will vote to raise and appropriate the sum of $7,200.00 for the reconstruction and resurfacing of Main Street (Route 109); said money to be used with funds allotted by the County and State, or do or act anything in relation thereto.
Article 8. To see if the Town will vote to appropriate the sum of $7,839.06 from funds received, or to be received, in accordance with the provisions of Chapter 782 of the Acts of 1962 for the purpose of improv- ing and widening Main Street (Route 109).
Article 9. To see if the Town will vote to raise and appropriate a sum of money and appropriate it to the Street Improvement Account; said funds to be expended for the reconstruction of a section of Forest Street and a section of Granite Street, or do or act anything in relation thereto.
Article 10. To see if the Town will vote to raise and appropriate and/or transfer from available funds the sum of $1,987.00 for the pur- pose of replacing a culvert under Main Street between Hartford and Nebo Streets, or do or act anything in relation thereto.
Article 11. To see if the Town will vote to transfer the unex- pended balance of $247.80 voted under Article 9 of the Annual Town Meeting of 1962 (Curve Street Guard Fence), and raise and appropriate the sum of $1,752.20 for the purpose of installing 485 feet of Guard Fence on the westerly side of the overhead railroad crossing on Curve Street, or do or act anything in relation thereto.
Article 12. To see if the Town will vote to raise and appropriate and/or transfer from available funds and/or borrow a sum of money for the purpose of installing permanent bounds on various public ways, or do or act anything in relation thereto.
Article 13. To see if the Town will vote to raise and appropriate and/or transfer from available funds and/or borrow a sum of money and appropriate it to a Street Resurfacing Account; said funds to be expended for the resurfacing of Nebo Street, or do or act anything in relation thereto.
Article 14. To see if the Town will vote to raise and appropriate and/or transfer from available funds and/or borrow the sum of $2,600.00 for the purchase of a self-unloading Sand Spreader for the use of the Highway Department, or do or act anything in relation thereto.
Article 15. To see if the Town will vote to transfer an unex- pended balance of $1,739.18 voted under Article 12 of the Annual Town
176
Meeting of 1962 (Front End Loader) and raise and appropriate and/or transfer from available funds and/or borrow the further sum of $2,485.82, a total of $4,225.00 for the purchase of a Backhoe Attachment for the Fordson Major Tractor, or do or act anything in relation thereto.
Article 16. To see if the Town will vote to raise and appropriate and/or transfer from available funds the sum of $2,224.00 for the pur- pose of paying land damages arising from the relocation of Harding Street, or do or act anything in relation thereto.
Article 17. To see if the Town will vote to instruct the Selectmen to petition the Boston Edison Company to install street lights on the following named streets, or do or act anything in relation thereto:
6 lights-Forest Street
6 lights-Kenney Road
3 lights-Pine Grove Road
1 light -Kingsbury Drive and Bartlett Avenue
1 light -Pine Grove Road and Bartlett Avenue (Petitions)
Article 18. To see if the Town will vote to accept as public ways the following named streets, or parts thereof, viz:
Marlyn Road, Bow Street, Hearthstone Drive, Hillcrest Road, Juniper Lane, Alder Road, Scott Road, Maplewood Road, Cedar Lane and Forest Lane,
as laid out by the Board of Selectmen on February 5, 1963 and shown on plans referred to in the several Orders of Layout and on file with the Town Clerk's Office and to authorize the Board of Selectmen to acquire by eminent domain or otherwise such rights, titles and ease- ments, including drainage easements, as may be necessary to accom- plish such purpose, or do or act anything in relation thereto. (Board of Selectmen)
Article 19. To see if the Town will vote to raise and appropriate and/or transfer from available funds and/or borrow the sum of $4,866.00 to increase the fallout protection factor of the basement area of the Medfield Fire Station to four or better and increase the number of spaces available for shelter purposes, or do or act anything in rela- tion thereto. (Selectmen)
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