USA > Massachusetts > Middlesex County > Waltham > Town annual reports of Wayland Massachusetts 1960-1962 > Part 12
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$1,799.20
Miscellaneous Services and Supplies
1,412.74
Sanitation Service
71.28
Janitor
3,610.00
Water
324.50
Repairs
239.12
$7,456.84
Town Building - Cochituate
Maintenance :
Electricity
$710.79
Janitor's Supplies
20.53
Fuel
953.55
Repairs
75.00
Janitor
1,124.01
Miscellaneous
81.40
Water
33.75
$2,999.03
To Revenue
$0.97
Paint Trim
$804.00
To Revenue
$505.00
Treasurer
Salary
$5,500.00
Expense :
Dues
$12.00
Equipment
25.45
Supplies
243.26
To Revenue
$19.29
$1,134.42
$280.71
163
$1,076.29
Tax Title Sales Expense To Revenue $423.71
Collector
Salary
$6,000.00
Expense
147.00
To Revenue $54.00
Assessors
Salaries :
Chairman
$1,025.00
To Revenue $475.00
2nd Man
825.00
To Revenue
$75.00
3rd Man
641.63
To Revenue
$58.37
$2,491.63
Expense
Transportation
$170.00
Dues aand Miscellaneous
280.87
Transcripts
112.70
To Revenue $236.43
Maps
Work on Atlas
$1,000.00
To 1961
$2,500.00
Finance Committee
Dues
$25.00
Clerical
25.00
$50.00
Personnel Board Expense
$15.00
To Revenue
$35.00
Town Counsel
Retainer
$4,000.00
Disbursements and Claims
7,641.05
$11,641.05
Settlements :
Art. 8 and 10 Town Meeting 10/2/57 1 $400.00
Art. 43, 44, 45 Town Meeting 3/5/58)
Registrars
Salaries
$200.00
Listing
693.24
To Revenue $406.76
164
$563.57
Transportation
62.20 To Revenue
$137.80
$955.44
Town Clerk
Salary
$2,500.00
Expense :
Printing
$100.38
Expense
37.64
$138.02
To Revenue $861.98
Elections
Officers Salaries
$3,553.75
Expense
449.85
To Revenue
$50.15
Planning Board
Clerical Expense
$300.00
Expense
296.25
To Revenue
$458.75
Engineering, including Existing
Town
Roads
3,035.00
Street Numbering System
100.00
Professional Services To Revenue
$1,731.90
Master Map
150.00
To Revenue $350.00
Master Plan Report
297.92
To 1961
$902.08
$4,447.27
TOTAL GENERAL GOVERNMENT
$122,257.61
PROTECTION
Police Department
Salaries:
Communications
$17,278.54
To Revenue $805.56
Chief
6,143.76
Patrolmen
29,882.24
To Revenue
$1,724.34
268.10
$4,003.60
165
Policewomen To Revenue $196.26
3,009.75
Other Police
4,114.76
$60,429.05
To Revenue $885.24
Expense
Telephone
$148.76
Meals, Matrons, Supplies, Training
School
1,799.33
Office Supplies
484.56
Care of Animals
40.00
$2,472.65
To Revenue
$52.35
Uniforms Expense
$1,373.90
To Revenue
$76.10
Police Car Purchase - 2
$2,977.63
To Revenue
$22.37
Police Cars Operating Expense :
Repairs, Supplies
$1,804.01
Rent
60.00
$1,864.01
Signs and Traffic Lines
$1,479.69
To Revenue
$20.31
Special Services
$475.00
Fire Department
Salaries :
Chief
$6,143.76
Regular Men
27,533.15
To Revenue $345.80
Call Men, Hourly
7,159.67
To Revenue
$240.33
Call Men, Night Duty
9,816.00
To Revenue $1,104.00
Expense :
General
$1,397.07
Radio and Maintenance
39.18
Truck Maintenance
537.37
To Revenue $26.38
New Equipment :
Hose
To Revenue $52.10
Miscellaneous
1,890.09
To Revenue $9.91
Alarm System Maintenance
$995.11
To Revenue $4.89
166
$50,652.58
$1,973.62
$947.90
Alarm System Expense
$998.84 To Revenue $1.16
Uniforms Expense
$762.71
To Revenue $62.29
Purchase - Ladder Truck
$28,981.00
To Revenue $1,019.00
INSPECTIONS
Building and Wiring Inspector
Salary
$4,960.36
To Revenue
$319.98
Expense
700.00
$5,660.36
Plumbing Inspector
Salary
$1,000.00
Expense
570.00
$1,570.00
Tree Warden
Salary
$600.00
Tree Trimming - Private Contract
1,975.76
To Revenue
$24.24
Planting Trees
500.00
$3,075.76
Moth Department
Salary, Superintendent
$400.00
Public Work
3,086.67
$3,486.67
Dutch Elm Disease
Contract
$7,470.88
Equipment Hire
223.40
Supplies
6.12
Labor
228.48
$7,928.88
Sealer of Weights and Measures
Salary
$125.00
Expense
40.00
$165.00
TOTAL PROTECTION
$180,160.45
167
HEALTH
Board
Salaries :
Chairman
$50.00
Clerk
50.00
3rd Member
50.00
$150.00
Appropriation :
Nurses' Supplies
$301.54
Medicine and Medical Attendance
613.23
Parmenter Health Center anad Misc.
919.44
Agent Salary
914.70
Outside Care
570.80
Office Supplies
259.45
Animal Disposal
166.00
Sanitary Engineer
2,724.00
Telephone
231.75
To Revenue $299.09
$355.00
To Revenue
$645.00
Medical Inspection of Schools
$2,340.52
Dog Clinic
To Revenue
$67.20
Collection of Garbage ... ...
$17,666.68
Inspector of Animals
Salary
$150.00
Expense
50.00
$200.00
Nurses
Salaries :
Nurse #2
$10,585.54
To Revenue $186.32
Nursing Assistants
3,286.11
$13,871.65
To Revenue
$312.33
Transportation
$545.76
To Revenue
$654.24
School Dental Clinic
$2,608.00
To Revenue
$92.00
Mosquito Control
$8,000.00
TOTAL HEALTH
$52,571.32
168
$6,700.91
Property Removal Expense
$132.80
HIGHWAY
Management
Superintendent Salary
$6,375.61
2nd Man Salary
4,980.94
Clerk
900.00
$12,256.55
Maintenance
Labor
$19,201.46
Miscellaneous
1,342.37
Stone, Cement, etc.
14,396.00
Gas, Oil, Repairs
10,310.14
Office Expense
510.64
Fuel
608.82
Lighting
193.79
Small tools, supplies
1,431.22
Water
15.75
Signs
30.00
$48,040.19
To Revenue
$0.52
Engineering, Misc.
$1,000.00
Roadside Cleanup
$1,499.74
To Revenue
$.26
Construction Existing Town Roads, Moore ....
To 1961 $1,795.14
Construction, School Street
Labor
$4,077.37
Labor and Equipment Hire
3,165.90
Materials
7,541.46
$14,784.73
To 1961
$215.27
Garage Repairs
$1,779.18
To Revenue
$1.82
Snow Removal
Labor
$10,444.93
Truck Expense
7,493.86
Truck and Equipment Hire
4,037.68
Salt, Sand
5,180.73
$27,157.20
Care of Dumps
$3,730.54
To Revenue $52.21
..........
$4,623.03
169
Hurricane
$3,133.66
Drainage, Misc.
$299.64
To Revenue
$.36
Drainage, Old Connecticut Path $7,433.96 To Revenue $66.04
Drainage, Commonwealth Road East $1,228.16
To Revenue $20.35
Drainage, Goodman Lane
$33.26
To 1961 $1,966.74
Drainage, Commonwealth Road and Main St. To Revenue
$1.57
Road Machinery Account
$1,997.19
To Revenue $2.81
New Equipment $26,619.76
Chapter 90
Maintenance 1960
$4,498.88
To Revenue
$1.12
Construction 1960
Material
$8,482.96
Labor
4,687.33
Miscellaneous
4,467.45
$17,637.74
To 1961 $2,362.26
Construction 1959
Material
1,335.80
Labor
4,709.65
Equipment Hire
7,471.50
To Revenue $.44
Station Lot Improvement
$60.00
To Revenue
$240.00
Sidewalk Construction
Labor
$927.63
Cold Patch
181.47
Equipment Hire
175.00
To Revenue $3,515.90
Street Lighting
$10,462.26
To Revenue $537.74
170
$13,516.95
$1,284.10
$498.43
Betterments
Wallace Road
$3,686.93
To 1961 $270.84
Winter Street
621.67
To 1961 $621.67
Maiden Lane #2 To 1961 $15,784.87
980.13
South and Center Streets
6,673.34
To 1961
$5,626.66
$11,962.07
TOTAL HIGHWAY
$215,537.22
WELFARE
Welfare Board
Salaries :
Chairman
$100.00
2nd Man
100.00
3rd Member
100.00
Agent
$4,590.00
Social Worker
2,603.17
To Revenue
$29.33
Clerk
1,883.52
To Revenue
$6.48
$9,376.69
Appropriations
Temporary Aid
Groceries and Provisions
$1,660.96
L. P. Gas and Oil
157.64
Medicine and Medical Attention
1,462.68
Legal Fees
4.00
Cash Grants
5,587.90
Other Cities and Towns
436.40
Rent
455.00
Clothes
26.13
To Revenue $2,209.29
Aid to Dependent Children
Cash Grants
$9,493.60
Medical
512.85
To Revenue
$1.10
$10,006.45
Disability Assistance
Cash Grants
$526.05
Medical
565.53
$1,091.58
To Revenue $5,908.42
171
$9,790.71
$300.00
Old Age Assistance Cash Grants Medical Other Cities and Towns
$21,243.94 22,182.14
1,805.97
$45,232.05
To Revenue $.05
New Car
To O. A. A. Adm. $946.86
Federal Grants
Aid to Dependent Children
Cash Grants
$4,430.40
Medical
276.90
$4,707.30
Disability Assistance
Administration $691.16
Old Age Assistance
Cash Grants
$19,132.23
Medical
21,550.82
Outside Care
819.11
$41,502.16
Administration
$121.54
Veterans' Administration
Benefits
Groceries
$690.32
Cash Allowances
6,278.28
Medical, Board and Care
4,410.23
$11,378.83
Agent
Salary
$300.00
Expense
166.95
$466.95
TOTAL WELFARE
$135,418.56
SCHOOLS
Administration
Superintendent Salary
$13,333.36
To Revenue $1.64
Other Expense :
Salaries :
Business Manager $7.866.56
Clerks and Secretary 10,788.67
$1,053.14
172
2,576.00 Attendance Officer
237.00
$21,468.23
Travel, Monthly Allowance
Superintendent
$531.47
Business Manager
300.00
831.47
Dues
396.97
Supplies
411.42
Flowers
20.00
Printing, Stationery and Postage
1,409.61
Telephone
564.18
Machine Services
49.55
Hotels, Receptions, etc.
249.89
School Lunch Meals, Visitors
190.44
Advertisements
32.70
Contract Labor - Census, etc.
701.18
Miscellaneous Services
1,474.36
To Revenue $316.93
Teachers' Salaries
Regulars
$699,346.56
Substitutes
10,854.50
Specials
42,027.60
To Revenue
$190.00
Textbooks and Supplies
Books
$20,066.25
Supplies
47,882.80
$67,949.05
Expense of Principal's Department
Postage and Supplies
$5,975.63
Subscriptions and Miscellaneous
1,537.92
Clerical
22,798.39
Travel
211.12
To Revenue ... $151.94
Custodian Salaries
$56,087.28
To Revenue
$1,884.72
Fuel
$14,300.00
To Revenue
$100.00
Miscellaneous of Operations
Supplies - Other
Electricity
$10,681.55 21,855.83
173
Subscription and Books
129.07
$27,929.07
$752,228.66
$30,523.06
Lunch Room Director
Telephone Water Gas
4,003.25 1,375.75 944.93
$38,861.31
To Revenue
$219.69
Maintenance and Outlay
Maintenance
$21,567.12 12,312.55
To Revenue
$1,173.33
Transportation
$63,348.05
Health and Physical Education
Transportation
$1,331.10
Equipment and Other 6,129.10
$7,460.20
To Revenue $1,179.80
School Libraries
$10,124.97
To Revenue
$10.03
Tuition, Mentally Handicapped
$519.30
To Revenue $280.70
Special Class
$1,792.35
To Revenue $66.65
Vocational Tuition
$5,580.74
To Revenue
$419.26
Happy Hollow Roof Repairs
$525.00
To Revenue
$6,475.00
Community Use of School Buildings
$7,711.30
To Revenue $88.70
Construction, New High School
Advertising and Miscellaneous
$3,400.01
Equipment
241,019.57
Architect Fees
25,593.05
Contract, General
587,896.86
Consultant Fee
1,000.00
Water
100.00
Insurance
2,377.88
$861,387.37
To 1961 $341,695.39
Remodel Center School
$17,378.73
To Revenue $121.27
174
Outlay
$33,879.67
To Revenue
$101.95
Ford Foundation
Clerical
Teachers
$3,474.27 26,525.73
$30,000.00
Public Law #874
$8,644.86
To 1961
$8,283.53
Public Law #864
$8,233.10
School Lunch
$89,560.82
To 1961
$1,013.65
School Athletic
$3,670.48
To 1961
$2,308.53
TOTAL SCHOOLS
$2,151,028.73
LIBRARIES
Salaries :
Librarian
$5,539.18
To Revenue $.10
Children's Librarian
3,642.42
To Revenue $564.17
5,587.87
$14,769.47
To Revenue $412.13
Appropriation
Janitor
$780.00
Miscellaneous
1,800.71
Telephone
365.41
Office Supplies
536.08
Fuel
617.74
Binding
414.81
Water
18.00
Messenger Service
48.00
Light
531.07
Subscription Renewals
14.00
To Revenue $20.36
Alterations and Repairs
$761.38
Rewiring Main Library
$40.00
To 1961
$6,760.00
Equipment, Furniture
$4,771.39
To Revenue
$1,048.61
Book Purchase Account
$5,242.94
To Revenue
$1.26
TOTAL LIBRARIES $30,711.00
175
$5,125.82
Assistants and Substitutes
RECREATION
Park
Salaries :
Superintendent
$4,641.33
Labor
10,142.03
Labor, Part-time
117.75
To Revenue $2,894.49
Rent and Miscellaneous
Rent
$600.00
Miscellaneous
1,214.74
Fertilizer, Lime, etc.
$1,093.95
Resurfacing High School Field
300.00
Contract Maintenance, Cochituate Town Bldg. To Revenue
$.80
Contract Maintenance, Wayland Town Bldg.
2,967.50
To Revenue
$32.50
Mower
1,477.97
To Revenue
$22.03
Sweeper
691.95
To Revenue $8.05
Repairs, General
503.23
To Revenue
$2.02
Toro Mower
437.67
To Revenue
$62.33
Light and Telephone
359.97
To Revenue
$.03
Beach
Labor
996.23
To Revenue $3.77
Lifeguards and Matrons
5,799.12
Police
1,172.90
To Revenue $27.10
Notices
21.45
To Revenue
78.55
Registrations
553.80
To Revenue
$46.20
Supplies, etc.
991.07
To Revenue
$8.93
$9,534.57
Wayco
Expenses
$1,159.25
To Revenue
$190.75
Lighting
200.00
$1,359.25
TOTAL RECREATION
$36,151.61
176
$14,901.11
$1,814.74
709.70
UNCLASSIFIED
Town Reports $2,719.96
To Revenue $5.04
Memorial Day
To Revenue $44.39
Rent, Legion Post
600.00
Rent, Veterans Foreign Wars Quarters
600.00
Notice of Meetings 1,049.20
Surety Bonds
680.25
To Revenue $119.75
Town Clocks
650.00
Insurance, General
21,392.75
To Revenue $8,997.25
Insurance, 32B
15,899.86
To Revenue $102.28
Purchase Land, Vicinity Stonebridge
8,883.35
Purchase Condemned Property Art. 42-3/5/58
7,407.95
Purchase Lot, Maiden Lane Art. 36-3/6/57
1,000.00
Purchase Condemned Property Art. 16
1,900.00
To 1961 $5,100.00
TOTAL UNCLASSIFIED
$63,538.93
WATER DEPARTMENT
Salaries :
Commissioners
Chairman
$50.00
Clerk
150.00
3rd Member
50.00
$250.00
Superintendent
6,295.06
2nd Man
4,980.92
To Revenue
$2.02
3rd Man
3,198.44
To Revenue
$53.66
Labor
12,996.94
To Revenue
$3.06
$27,721.36
177
755.61
Maintenance
Wells and Controls
$1,295.37
Pipe and Fittings
11,754.88
Tools and Equipment
613.14
Gas and Oil
794.22
Radio Repairs
127.10
Machine Upkeep
1,169.95
Maint. Stations, Power, etc.
10,351.64
Miscellaneous
1,587.13
Office Expense
1,688.70
Other Material, Gravel, etc.
193.11
Meter Repair
3,824.96
Building Repairs
120.68
Transportation, Meter Readers
129.68
Hydrant Upkeep
45.15
Grounds Upkeep
$34,271.34
To Water Available Surplus $798.66
New Trucks 4.50
To Water Available Surplus $1,995.50
Compressor
3,498.95
To Water Available Surplus $501.05
Relocation, Water Main, Moore Road
1,819.96
To Water Available Surplus $180.04
Standpipe, Paint and Repair
3,993.79
To 1961 $12,006.21
Watermain Extension, Commonwealth Road, Rice Road
9,497.94
To Water Available Surplus $2,022.06
Watermain Extension, Aqueduct Road To Water Available Surplus $255.86
$2,244.14
Test Wells
562.10
Standpipe Construction
5,636.37
TOTAL WATER
$89,250.45
CEMETERY DEPARTMENT
Salaries :
Clerk
$150.00
Superintendent
4,564.28
To Revenue $13.32
Labor, Permanent Men
8,000.00
Labor, Temporary Men
1,000.00
$13,714.28
178
To 1961 $25,131.83
575.63
Maintenance
Material, Supplies Truck Expense Clerical
41.83
400.00
To Revenue $166.84
Service
Lowering Device and Greens
$520.00
Supplies and Water
136.45
$656.45
Resurface Roads, North Cemetery
Contract
2,375.00
Existing Lot Maintenance, North Cemetery ..
498.22
To Revenue
$1.78
Resurface Roads, Lakeview Cemetery Contract
960.00
Existing Lot Maintenance, Lakeview Cemetery To Revenue
$.81
New Lot Improvement, Lakeview
200.75
To Revenue
$299.25
Maps
300.00
TOTAL CEMETERY
$21,037.05
MATURING DEBT AND INTEREST
Interest, Miscellaneous
$21.25
School Bonds and Notes, Interest
1948-$ 400,000
$4,050.00
1948- 150,000
1,147.50
1949 -
140,000
831.25
1952
210,000
2,000.00
1952
10,000
60.00
1954
600,000
9,570.00
1956
150,000
2,875.00
1956
600,000
12,375.00
1956
62,000
1,734.00
1956
638,000
18,496.00
1959-
1,175,000
40,075.00
1960 - 1,100,000
19,800.00
$113,013.75
Water Bonds and Notes, Interest
1948 -$
37,000
$140.00
1948
90,000
540.00
1950
19,000
7.50
179
$1,391.33
$1,833.16
499.19
1953
18,000
45.00
1951
10,000
35.00
1953
20,000
140.00
1953
18,000
135.00
1955
-
15,000
156.75
1958
150,000
4,620.00
$5,819.25
Fire Station, Interest
$640.00
Anticipation of Revenue, Interest
1,103.11
To Revenue
$896.89
Maturing Debt
School Bonds and Notes, Principal
1948-$ 400,000
$20,000.00
1948
150,000
9,000.00
1949
140,000
5,000.00
1952
210,000
10,000.00
1952
10,000
1,000.00
1954
600,000
30,000.00
1956
150,000
10,000.00
1956
600,000
30,000.00
1956
62,000
3,000.00
1956
638,000
32,000.00
1959
- 1,175,000
58,915.42
$208,915.42
Water Bonds and Notes, Principal
1948 -$
37,000
$2,000.00
1948 - 90,000
6,000.00
1950
19,000
1,000.00
1951
10,000
1,000.00
1953
20,000
2,000.00
1953
18,000
2,000.00
1955
15,000
1,500.00
1958
150,000
10,000.00
$25,500.00
Fire Station Bonds and Notes, Principal
1952-$60,000
4,000.00
TOTAL DEBT AND INTEREST
$359,012.78
AGENCY, TRUST AND INVESTMENT
Agency
Recordings, Zoning Variances
$70.50
Planning Board, Hearing Fees 143.37
Highway, Insurance
101.00
Telephone, Patrolmen
122.00
Watermain Extension Agreements
860.00
Zoning Board, Hearing Fees
424.65
Guarantee Deposit
4,275.00
Water, Deposit Account
165.00
180
Hydrant, Insurance
144.50
Insurance, 32B Deposit
91.10
$6,397.12
Trust Funds Income
Bequests and Investments
$2,350.00
Charity
276.08
Parmenter Perpetual Care, Cemetery
4.00
Library Funds
2,270.35
Cemetery Perpetual Care
178.76
$5,079.19
County
T. B. Hospital
$3,967.68
Dog Licenses
2,815.25
Retirement
14,232.19
Taxes
25,738.31
$46,753.43
State Taxes
Parks and Reservations
$3,773.64
Loans
Premium and Accrued Interest on Loans .. $3,315.19
Anticipation - Taxes
199,992.00
$203,307.19
TOTAL AGENCY, TRUST AND INVESTMENT
$265,310.57
Refunds
1959 Excise
$2,111.04
1960 Excise
4,119.30
1959 Real
.30
Street, Committed Interest
10.56
1960 Street Betterment
14.00
1960 Real
7,731.94
1960 Poll
10 00
1960 Personal Property
280.80
Excess and Deficiency (Clerk Fees)
190.54
Estimated Receipts (Bldg. Permit)
5.00
Water Meter Accounts Receivable
32.50
Water Misc. Accounts Receivable
200.83
TOTAL REFUNDS
$14,706.81
TOTAL EXPENDITURES
$3,736,693.09
181
RECAPITULATION - 1960 RECEIPTS
GENERAL REVENUE
Taxes
$1,789,871.94
In Lieu of Taxes
3,185.42
Assessments
196,240.08
Est. of Deceased Persons
619.32
Farm Animal Excise
83.46
Tax Title Redemptions
1,096.53
Fines and Fees
11,036.40
Licenses and Permits
14,410.75
Clerical State Taxes
39.56
$2,016,583.46
GRANTS AND GIFTS
Federal
$62,633.30
State
162,720.89
County
2,096.18
General
30,104.75
$257,555.12
REVOLVING ACCOUNTS
$90,826.56
DEPARTMENTAL
8,179.31
REIMBURSEMENTS
Welfare, State, etc.
$11,021.68
Disability Assistance, State
1,909.28
Aid to Dependent Children, State
5,192.71
Old Age Assistance
42,238.38
Veterans' Benefits
2,459.73
Chapter 90
Maintenance
4,499.41
Construction
10,137.72
Paraplegic Veterans
1,794.00
Eastern States
8.10
Highway, State Plowing
528.02
Schools
162,250.64
32B Insurance Dividend
348.78
$242,388.45
WATER DEPARTMENT
126,231.64
FINANCIAL
Temporary Loan Antic. Revenue
198,888.89
Borrowing, New High School
1,100,000.00
INTEREST
24,392.24
TRUST FUNDS
3,520.85
AGENCY, TRUST AND INVESTMENT
23,243.43
REFUNDS
8,881.22
TOTAL RECEIPTS
$4,100,691.17
182
RECAPITULATION - 1960 EXPENDITURES
DEPARTMENTS
General Government
$122,257.61
Protection
180,160.45
Health
52,571.32
Highway
215,537.22
Welfare
135,418.56
Schools
2,151,028.73
Library
30,711.00
Recreation
36,151.61
Unclassified
63,538.93
Water
89,250.45
Cemetery
21,037.05
$3,097,662.93
FINANCIAL
Maturing Debt and Interest
$359,012.78
County Taxes
46,753.43
State Taxes
3,773.64
Temporary Loans and Interest
203,307.19
$612,847.04
AGENCY
General
$6,397.12
Trust Funds
5,079.19
$11,476.31
REFUNDS
$14,706.81
TOTAL EXPENDITURES
$3,736,693.09
183
RESERVE ACCOUNT -1960
Selectmen's Expense
$1,040.26
Selectmen - Property Removal
751.96
Town Counsel, Fees and Disbursements 1,641.05
Election Officers - Salaries
1,353.75
Police Cars - Operating Expense
164.01
Plumbing Inspector - Expense
120.00
Medical Inspection Schools
340.52
Health - Collection of Garbage
1,666.68
Highway - Care of Dumps
282.75
Highway - New Equipment
2,719.76
Veterans' Benefits
2,325.83
Veterans' Agent - Expense
66.95
Park - Lifeguards and Matrons
1,399.12
Notice of Meetings
349.20
Preliminary Town Betterments
137.50
Cemetery Service
56.45
Cemetery - North, Resurface Roads
450.00
$14,865.79
184
ESTIMATED RECEIPTS -1960
GENERAL REVENUE
Interest on Taxes
$709.08
Tax Fees
1,574.05
Cert. on Municipal Liens
1,040.00
Int. Tax Title
38.47
Release Deed
15.00
Interest on Re-invested Funds
22,489.72
Discharge Cert. Betterments
10.00
$25,876.32
IN LIEU OF TAXES
3,185.42
ASSESSMENTS :
Motor Vehicle Excise
$185,211.39
Betterments
5,928.76
Farm Animal Excise
83.46
Est. of Deceased Persons
619.32
$191,842.93
GRANTS:
Corporation Tax
$29,986.84
Meal Tax
2,352.04
Income Tax
25,567.05
$57,905.93
LICENSES, FEES AND PERMITS :
Alcoholic Beverages
$9,806.25
Common Victualers
50.00
Dance Licenses
4.00
Class I Car Dealer
20.00
Class II Car Dealer
30.00
Class III Car Dealer
10.00
Oil Burner Permits
66.00
L. P. Gas Permits
13.00
Plumbing Permits
1,709.00
Building Permits
3,480.00
Wiring Permits
748.00
Rubbish Permits
150.00
Septic Tank Permits
310.00
Blasting Permits
8.00
Auctioneer License
4.00
Motor Boat Permits
3.00
Sunday Entertainment License
110.00
Sale - Firearms Permit
40.00
Junk License
10.00
Gas-Tank Storage
9.60
Gun Permits
106.00
Restaurant Permits
32.00
Alcohol Permits
14.00
Milk Licenses
18.00
Sealer Fees
44.00
State Peddler's License
14.00
Taxi License
5.00
$16,813.85
185
DEPARTMENTAL
Library Fines
$2,240.41
Court Fines
178.30
State Tax Clerical
80.44
General Office
313.51
Town Clerk Fees
1,739.00
Cemetery Service
390.00
Cemetery Burials and Foundations
3,875.50
Cemetery Annual Care
1,210.00
Dental Fees
444.50
Nursing Fees
509.25
Dividend - Ins. 32B
348.78
Advertising Tax Title
6.07
Park - Beach Registrations
4,195.37
2nd Hand Office Machinery
40.00
Sale 1941 Cadillac
20.00
Rent - Historical Society
1.00
Highway - Snow Plowing
528.02
$16,120.15
REIMBURSEMENTS
Old Age Assistance - State
$37,681.53
Paraplegic Veterans
1,794.00
Disability Assistance
468.48
Old Age Assistance
Other Cities and
Towns
4,611.65
Welfare - Other Cities and Towns
8,135.67
State - Temporary Aid
2,403.55
Aid to Dependent Children
5,192.71
Welfare - Reimb. Individuals
280.00
Veterans' Benefits
2,459.73
State, Sick and Poor
202.46
Old Age Assistance Recovery
665.27
$63,895.05
SCHOOLS
School Building Assistance
$124,639.77
Vocational Tuition
3,581.24
Telephone Fees
72.29
Gard
51.80
Rent School Buildings
170.00
School, Tuition and Transportation Spec.
2,990.63
Transportation
31,039.00
Income Tax Chapter 70
104,814.96
Shop
112.00
$267,471.69
TOTAL ESTIMATED RECEIPTS
$643,111.34
186
187
EXCESS AND DEFICIENCY
Cr. to E. and D. in error 1959
$ .80
Balance 1/1/60
$327,700.73
State and County Chap. 90 Maint.
3,000.00
Schools Refunds Paid 1959
300.46
15,000.00
Health Refund Paid 1959
4.00
State and County Chap. 90 Constr. Tax Titles taken ...
291.10
Building Permit re 1959
1.00
Audit Adjustment, Land Sold
800.00
Clerk Fees re 1959
2.50
Town Clerk re Audit Adj.
190.54
Old Age Assistance Recovery
2,160.03
Wheelock Forfeiture
257.00
Close-out 1959
3,674.76
Chap. 90 Constr. Reimb. 1959-1960
11,999.67
Chap. 90 Maint. Reimb. 1959-1960
4,499.41
Tax Title Redemption
944.43
Tax Title Refund
60.60
Audit Adj. Veterans' Benefits
814.50
Parks and Reservations Adj.
39.97
Over Approp. Chap. 90 1959
2,000.00
Civil Defense Reimbursement, (An- tenna )
400.02
From Revenue 1960
161,589.57
$516,448.65
$516,448.65
WATER AVAILABLE SURPLUS December 31, 1960
Apr. 13 - Art. 8, Town Meeting ....
$146,634.42
Jan. 1, Balance
$168,665.74
Close-outs, 1959
8,771.72
Fines
44.45
Accounts Receivable
125,953.96
Hydrant Rental
9,000.00
$312,435.77
$312,435.87
Balance 12/31/60
497,166.21
Balance 12/31/60
165,801.35
WATER METERS ACCOUNTS RECEIVABLE
Balance 1/1/60
$11,913.26
Cash collected 1960
$101,955.27
Commitments
104,854.00
Abatements
169.50
Refunds
32.50
Balance 12/31/60
14,674.99
$116,799.76
$116,799.76
WATER - MISCELLANEOUS ACCOUNTS RECEIVABLE
Balance 1/1/60
$1,073.37
Cash collected 1960
$24,221.92
Commitments
24,401.16
Abatements
131.08
Refund
200.83
Balance 12/31/60
1,322.36
$25,675.36
$25,675.36
188
TOWN OF WAYLAND BALANCE SHEET - AFTER CLOSING December 31, 1960
Assets
Liabilities
Cash
Reserve for
Petty
Cash
General $1,258,853.69
Petty Cash Advance 240.00
Revenue Res. Until Collected :
Motor Vehicle Excise ..
$24,545.09
Special Assessment 141.08
Tax Title
2,631.76
Tax Title Possessions
4,690.65
Departmental
8,207.39
Chapter 90
16,500.37
Water
15,997.35
$27,220.26
Motor Vehicle Excise :
Levy of 1960
24,545.09
Betterment Assessments :
1960 Street
$102.80
1960 Street Com. Int. ..
38.28
Federal Grants Aid:
Disability Assistance
$3,386.15
Disability Assistance Adm.
320.80
Old Age Assistance ..
5,753.56
Old Age Assistance Adm.
4,548.48
Tax Title Possessions
4,690.65
Aid to Dependent Children Aid to Dependent Children
14,090.00
Poll
$90.00
Personal
1,809.60
Real
25,320.66
$72,713.69
Overlay : 1960
2,279.60
Overlay Surplus
58,066.68
Water Available Surplus ...
165,801.35
$141.08
Tax Titles
2,631.76
Advance
$240.00
$1,259,093.69
Accounts Receivable :
Taxes:
Levy of 1960
189
190
Departmental
Highway Snow Plow
$15.72
State Temporary Aid
3,314.72
Burial - Indigent Persons
150.00
State - Sick, Poor
320.62
A. D. C.
1,667.73
Requir. Guar.
8,105.00
Planning Board Sub. Fees 154.17
Hydrant Ins. Rec. 5.50
Zoning Board Fees
125.02
School Pub. Law #874 8,283.53
School Lunch
1,013.65
School Athletic
2,308.53
Proceeds, Sale Town Land
7,800.00
Highway Dep. Account. .... 165.10
$30,955.50
Trust Funds Income :
Charity
$640.34
Library
1,981.73
Cemetery - Per. Care
1,585.56
County
5,000.00
Parmenter Per. Care 529.45
$4,737.08
Water:
Meters
$14,674.99
Sale Cemetery Lots and
Graves
9,907.00
Dog Licenses
8.25
Road Machinery Fund ..
3,378.81
Tailings
153.14
State Taxes, Parks and
Reservations
481.87
Prem. on Loans
118.19
County, Taxes and Assess-
Excess & Deficiency
497,166.21
ments
1,676.31
Appropriation Balances
490,018.49
Adm. 1,226.19
$29,325.18
Agency - Revolving :
Old Age Assistance Rec.
$1,554.20
D. A. Recovery 1,440.80
O. A. A., Other Cities and
Towns
1,486.48
Welfare - Other Cities
and Towns
197.12
Cemetery - Annual Care
1,055.00
$8,207.39
Chapter 90
Maintenance - 1960 :
State
$0.37
County
1,500.00
$1,500.37
Construction - 1960 :
State
$10,000.00
Misc. Accounts Receivable 1,322.36
$15,997.35
1961 Revenue
3,683.35
$15,000.00
...
NET FUNDED AND FIXED DEBT
Inside Debt Limit
Outside Debt Limit
$227,000.00 4,128,584.58
Inside : Fire Loan 1952
$28,000.00
School :
$150,000 -1948
42,000.00
140,000 - 1949
45,000.00
10,000 - 1952
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