USA > Massachusetts > Middlesex County > Waltham > Town annual reports of Wayland Massachusetts 1960-1962 > Part 26
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0.00
To '62
$650.00
$50,965.75
Garage Repairs and Maintenance $2,151.30
165
Snow Removal
Labor
$17,122.69
Truck Hire
8,532.32
Parts and Fuel
13,448.93
Salt, Sand, etc.
9,894.27
$48,998.21
Care of Dumps
Attendant
$2,548.00
Labor - Highway
731.51
Gasoline
16.25
Dozer Hire
417.00
Equipment Repair
111.49
$3,824.25
Drainage
Miscellaneous
$216.84
To Excess and Deficiency .... $83.16
464.82
To Excess and Deficiency .... $35.18
419.50
Goodman Lane
125.50
To '62
$1,841.24
Woodridge Road To '62 $2,000.00
0.00
Harrison Street and Pemberton Road
1,228.50
Parkland Drive
5,452.03
To '62 $547.97
498.70
To Excess and Deficiency ....
$1.30
Claypit
418.36
To Excess and Deficiency .... $81.64
Loker - Off School Street
35.00
To '62 $4,965.00
Davelin Road
457.63
To Excess and Deficiency .... $42.37
$9,316.88
Road Machinery Account
To Excess and Deficiency
..
..
$167.83
Toll Road Drainage
0.00
To '62
$8,000.00
New Equipment
$28,008.00
To '62 $3,850.00
Chapter 90
1960 Construction
Labor
$225.74
Material
2,136.52
$2,362.26
166
$1,832.17
East Plain and School Streets
Old Connecticut Path
Training Field and Moore Roads To '62 $1,927.34
1961 Maintenance
Labor
$366.36
Material
4,133.22
To Excess and Deficiency .... $.42
1961 Construction
Labor
$4,102.63
Material
4,503.88
Equipment Hire
901.89
$9,508.40
To '62 $12,383.00
Sherman Bridge Repair
$1,381.06
Station Lot Parking
$60.00
To Excess and Deficiency .... $240.00
Betterments
Wallace Road
$351.30
Winter Street
601.12
To Excess and Deficiency .. $3.77
788.57
Maiden Lane #2
14,161.60
To Excess and Deficiency .... $1,623.27
South and Centre Streets
3,804.87
To Excess and Deficiency .... $1,821.79
Maguire Road To '62
$4,395.75
Charles Street
2,174.89
To '62 $2,544.27
Grace Road
3,307.89
To '62 $3,744.11
Gage Road
2,276.45
To '62 $2,067.75
2,730.12
To '62
$1,114.08
$35,682.46
Acceptances
Sears Road
$0.00
To Excess and Deficiency .... $100.00
Loker Street
0.00
$0.00
To '62
$100.00
Sidewalk Construction
Labor
$40.45
Engineering and Contract
8,445.05
$8,485.50
Street Lighting
$12,782.13
:167
$4,499.58
$16,370.24
Maiden Lane #1
5,485.65
Pleasant Street
New High School Entrance
$2,637.00
TOTAL HIGHWAY
$245,856.92
WELFARE
Welfare Board
Salaries :
Chairman
$100.00
2nd Man
100.00
3rd Member
100.00
Agent
4,950.00
Social Worker
1,120.80
To Excess and Deficiency ....
$2,989.20
Clerk
2,490.68
To O. A. A. Federal Admin. $854.32
Appropriations
Temporary Aid :
Medicine and Medical Attendance
$758.11
Groceries and Provisions
316.90
Gas, Oil, Coal, Fuel
69.80
Other Cities aand Towns
3,206.37
Cash Grants
5,187.10
Miscellaneous Services
82.81
$9,621.09
To Excess and Deficiency .. $1,828.57
Aid to Dependent Children
Cash Grants
$8,443.43
Medical
538.92
$8,982.35
Disability Assistance
Medical
$454.66
To Excess and Deficiency .... $3,545.34
Old Age Assistance
Cash Grants
$25,484.10
Medical Asst. to the Aged
20,581.54
Medical
4,315.44
Other Cities and Towns
56.86
To Excess and Deficiency .... $38.96
Federal Grants
Aid to Dependent Children
Cash
$7,031.90
Medical
437.45
$7,469.35
168
$300.00
To Excess and Deficiency .... $300.00
$8,861.48
$50,437.94
Disability Assistance Administration
$310.77
Old Age Assistance
Medical
$7,022.80
Cash Grants
10,766.65
Other Cities and Towns
352.22
$18,141.67
Medical Assistance to Aged
Cash
$585.00
Medical
17,505.52
$18,090.52
Old Age Assistance Admin.
Administration
$966.15
Veterans' Administration
Benefits
Medical - Board and Care
$877.72
Food
384.10
Cash Allowances
8,408.87
To Excess and Deficiency .... $3,354.59
Agent
Salary
$350.00
Expense
245.03
$595.03
To Excess and Deficiency ....
$54.97
TOTAL WELFARE
$133,601.70
SCHOOLS
Administration
Superintendent Salary
$14,233.36
To Excess and Deficiency .... $1.64
Other Expense:
Salaries :
Business Manager
$8,600.00
Supt.'s Secretary
5,094.28
Clerks - Supt.'s Office
6,415.09
Lunch-Director (Part-time)
2,872.00
Attendance Officer
600.00
Travel :
Superintendent, Monthly
$500.00
Business Manager, Monthly
400.00
Out-of-State
107.78
Miscellaneous :
$23,581.37
$1,007.78
$9,670.69
169
Periodicals, Service Agree-
ments, etc.
$3,565.92
Postage, Stationery, Supplies
1,500.08
Telephone
847.58
$5,913.58
$30,502.73
Teachers' Salaries
Regulars
$875,409.62
Substitutes
7,464.00
Specials
48,032.38
$930,906.00
Textbooks and Supplies
Textbooks
$19,716.02
Supplies
57,731.41
$77,447.43
Expense of Principal's Department
Clerical
$26,155.33
Postage and Supplies
3,455.50
Miscellaneous Subscriptions, etc.
3,496.40
To Excess and Deficiency ....
$5.77
Custodian Salaries
$73,991.34
To Excess and Deficiency .... $1,008.66
$20,885.88
To Excess and Deficiency .... $14.12
Miscellaneous of Operations
Supplies - Other
$11,113.31
Water
2,103.00
Electricity
29,682.24
Gas
1,717.56
Telephone
4,878.13
$49,494.24
To Excess and Deficiency ....
76¢
Maintenance and Outlay
Maintenance
$30,168.12
Outlay
9,838.11
To Excess and Deficiency ....
$26.77
Transportation
$66,526.98
To Excess and Deficiency .... $591.02
Health and Physical Education
Equipment and Others $6,166.04
Transportation
1,235.50
$7,401.54
To Excess and Deficiency ....
$165.46
170
$33,107.23
Fuel
$40,006.23
Libraries
$16,791.80 To Excess and Deficiency .... 70¢
Tuition - Mentally Handicapped $135.00 To Excess and Deficiency .... $665.00
Special Class $1,929.12 To Excess and Deficiency .... $190.88
Vocational
Tuition
$6,000.56
Transportation
1,138.21
To Excess and Deficiency .... $2,861.23
Community Use of Building
$10,087.56
To Excess and Deficiency .... $52.44
Construction
New High School:
Equipment
$100,845.97
Contractor
183,334.40
Site
7,032.09
Miscellaneous
1,620.36
Drainage
760.00
Engineering
160.00
Architect's Fees
4,856.46
$298,609.28
To 1962
$46,537.09
Claypit Hill School Addition
13,085.09
$311,694.37
To 1962 $271,914.91
School Athletic
$7,663.21
To '62 $1,834.23
School Lunch
$107,377.40
To '62
$987.13
Public Law #874
$20,575.12
To '62
$2,407.41
Public Law #864
$1,150.94
Ford Foundation
$50,888.00
Adult Education
$144.00
TOTAL SCHOOLS
$1,880,078.25
171
$7,138.77
LIBRARIES
Salaries :
Librarian
$5,723.21
Children's Librarian
3,756.69
To Excess and Deficiency .... $593.99
Assistants and Substitutes
5,784.56
$15,264.46
To Excess and Deficiency ....
$215.44
Appropriation
Telephone
$327.14
Electricity
669.67
Subscription Renewals
469.38
Miscellaneous, Repairs, Service, etc.
1,888.52
Binding
386.60
Messenger Service
24.00
Water
22.25
Fuel
438.54
Office Supplies
482.58
Janitor
817.50
$5,526.18
To Excess and Deficiency .... $2.35
Rewiring Main Library
Contract
$5,922.44
Engineering
837.56
$6,760.00
Book Purchase Account
$4,880.45
To Excess and Deficiency .... $119.55
TOTAL LIBRARIES
$32,431.09
RECREATION
Park
Salaries :
Superintendent
$4,795.42
Labor
10,032.91
$14,828.33
Rent and Miscellaneous
Rent
$710.00
Miscellaneous
1,197.47
$1,907.47
High School Grounds, Maintenance
Labor
$1,194.34
Engineering
45.00
Outside Contracts
816.40
$2,055.74
To Excess and Deficiency ... $3,944.26
172
Fertilizer, Lime, etc.
To Excess and Deficiency .... $2,002.94
Contract Maintenance
Wayland Town Building
Contract
$2,390.00
Clean-up
90.00
Spraying and Tree Trimming
78.50
Advertising
20.63
Fertilizer
292.03
To Excess and Deficiency $144.84
Cochituate Town Building
Spraying and Trimming ......
127.50
To Excess and Deficiency
$597.50
Repairs
$621.44
Miscellaneous Equipment
$1,194.13
Electricity and Telephone
$348.36
To Excess and Deficiency ... $11.64
Renew Millbrook Dam
Contract
$2,230.00
Engineering
310.00
$2,540.00
Beach
Labor
$999.20
To Excess and Deficiency .... 80¢
Beach Police
1,200.00
Lifeguards and Matrons
5,794.57
Notices and Registrations To Excess and Deficiency ... $243.90
556.10
Miscellaneous Expense 959.74
To Excess and Deficiency .... $40.26
Repairs to Beach House
$580.03
To Excess and Deficiency ....
$19.97
Beach Supplies
343.65
To Excess and Deficiency .... $59.51
Wayco
Expenses
$1,349.80
To Excess and Deficiency .... 20¢
199.39
To Excess and Deficiency .... 61¢
TOTAL RECREATION
$39,973.67
173
$10,433.29
Lighting
$1,549.19
$1,497.06
$2,871.16
$2,998.66
To Excess and Deficiency .... $1,305.87
UNCLASSIFIED
Town Reports
$3,100.72 To Excess and Deficiency .... $168.66
Memorial Day
$760.07
To Excess and Deficiency .... $39.93
Rent - Legion Post $600.00
Rent - Veterans Foreign Wars Quarters $600.00
Notice of Meetings
$1,515.90
Surety Bonds
$647.75
To Excess and Deficiency $152.25
Town Clocks:
Re-do Clock Face, Wayland
$270.64
Services and Rent 200.00
$470.64
Insurance, General
$28,810.09
To Excess and Deficiency .... $1,289.91
Insurance, 32-B
$17,554.20
Preliminary Town Betterments
$1,445.00
Lot #79 Dudley Road
$75.00
Lots - Cedar Crest Road
$900.00
Woodward Land
$2,400.00
Purchase Condemned Property Art. 16-3/9/60
$500.00
Purchase Land, Cemetery Purposes
$1,700.00
To '62 $1,150.00
TOTAL UNCLASSIFIED
$61,079.37
WATER DEPARTMENT
Salaries :
Commissioners :
Chairman
$75.00
Clerk
75.00
3rd Member
75.00
Superintendent
$6,616.56
To W. A. S.
$161.51
2nd Man
$5,146.31
3rd Man
4,401.47
Labor
13,013.92
To W. A. S. $1,986.08
$29,403.26
174
$225.00
Maintenance
Pumping Station
$12,697.92
Grounds
943.62
Office Expense
2,375.70
Meters
3,850.32
Hydrants
562.60
Other Materials
273.25
Machine Upkeep
1,526.88
Gas and Oil
818.62
Tools and Equipment
1,093.03
Wells and Controls
764.48
Meter Readers' Transportation
140.56
Miscellaneous
2,269.26
Radio Repairs
303.75
Pipe and Fittings
9,289.84
Building Upkeep and Repairs
64.59
To W. A. S. $25.58
New Trucks
$3,416.69
To W. A. S.
$83.31
Betterment, Maiden Lane
$305.88
To '62 $194.12
Extensions - Deposit Account
$786.57
To '62
$16,145.36
Extensions - Refund Account
$5,683.33
To '62 $4,316.67
Extensions - Commonwealth Road
$454.40
Extensions - Lundy Lane
$1,605.26
To '62 $394.74
Extensions - Grace Road
$1,036.01
To '62
$463.99
Standpipe, Paint and Repair
$945.00
To W. A. S. $11,061.20
TOTAL WATER
$80,610.82
CEMETERY DEPARTMENT
Salaries
Clerk
$150.00
Superintendent
4,746.31
Labor - Permanent Men
8,000.00
Labor - Temporary Men
1,600.00
$14,496.31
175
$36,974.42
Maintenance
Material - Supplies
$1,620.55
Truck Maintenance
312.57
Equipment Repair
29.50
$1,962.62
To Excess and Deficiency .... $37.38
Service
Lowering Device and Greens
$280.00
Supplies and Water
115.60
Engineering
120.00
To Excess and Deficiency .... $284.40
New Truck
$1,400.50
To Excess and Deficiency .... $349.50
North Cemetery
Existing Lot Maintenance
$482.75
To Excess and Deficiency .... $17.25
Lakeview Cemetery
Resurface Roads
$1,496.25
To Excess and Deficiency .... $903.75
Existing Lot Maintenance
455.85
To Excess and Deficiency .. $44.15
500.00
$2,452.10
Tool House
To Excess and Deficiency ....
$13.16
Cemetery Maps
$885.00
To Excess and Deficiency .... $15.00
TOTAL CEMETERY
$24,181.72
MATURING DEBT AND INTEREST
Interest, Miscellaneous
$21.25
School Bonds and Notes, Interest
1948-$ 400,000
$3,600.00
1948 -
150,000
945.00
1949
140,000
743.75
1952
210,000
1,840.00
1952
10,000
40.00
1954
600,000
8,910.00
1956
150,000
2,625.00
1956
600,000
11,625.00
1956
62,000
1,632.00
1956
638,000
17,408.00
1959 -
1,175,000
37,975.00
1960 -
1,100,000
38,610.00
$125,953.75
176
$515.60
New Lot Development
$1,986.84
Water Bonds and Notes, Interest
1948 -$
37,000
$100.00
1948 -
90,000
405.00
1951 -
10,000
17.50
1953
20,000
100.00
1953
18,000
90.00
1955
15,000
128.25
1958
150,000
4,290.00
$5,130.75
Fire Station, Interest
$560.00
Anticipation of Revenue, Interest
$805.00
Maturing Debt
School Bonds and Notes, Principal
1948-$ 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
60,000.00
1960 -
1,100,000
54,881.81
$264,881.81
Water Bonds and Notes, Principal
1948 -
$ 37,000
$2,000.00
1948 -
90,000
6,000.00
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
$24,500.00
Fire Station Bonds and Notes, Principal
1952 -$ 60,000
$4,000.00
TOTAL DEBT AND INTEREST
$425,852.56
AGENCY, TRUST AND INVESTMENT
Agency
Planning Board, Hearing Fees Zoning Board, Hearing Fees
264.00
Highway - Insurance
23.30
Recording - Zoning Variances
207.00
Fire Hydrant Agency
150.00
Tailings
.05
$89.94
177
J. Barisano & Sons
1,500.00
School Burglary Account
819.06
Oswald Garvey
1,840.46
Disability Assistance - Recovery
1,080.00
Insurance 32-B Deposit
346.22
Guarantee Deposit
720.00
$7,040.03
Trust Funds Income
Bequests and Investments
$4,134.57
Charity Funds Income
321.29
Parmenter Perpetual Care
4.00
Library Funds Income
1,078.11
Cemetery Perpetual Care Income
587.65
$6,125.62
County
Tax
$26,293.48
Dog Licenses
2,980.25
T. B. Hospital
6,054.85
Retirement
18,961.04
$54,289.62
State
Parks and Reservations
$4,729.90
Audit Municipal Accounts
4,527.08
$9,256.98
Loans
Premium on Loans
$118.19
Anticipation - Taxes
200,000.00
1961 Poll
12.00
1961 Personal
215.00
1961 Real
7,225.16
1960 Excise
3,642.84
1961 Excise
4,110.06
1961 Street Betterment
26.00
1961 Street Betterment Committed Interest
16.44
Water Meter Accounts Receivable
7.00
Estimated Receipts (Bldg. Permit)
40.00
Tax Fees
1.05
Poll Demand
.35
TOTAL REFUNDS
$15,620.70
TOTAL EXPENDITURES
$3,575,977.13
178
RECAPITULATION - 1961 RECEIPTS
GENERAL REVENUE
Taxes
$2,132,530.71
In Lieu of Taxes
5,478.94
Assessments
265,088.05
Farm Animal Excise
80.77
Tax Title Redemptions
127.48
Fines and Fees
10,385.91
Licenses and Permits
17,693.50
$2,431,385.36
GRANTS AND GIFTS
Federal
$70,868.76
State
195,873.01
County
2,028.53
General
50,153.47
$318,923.77
REVOLVING ACCOUNTS
$114,536.44
DEPARTMENTAL
$10,153.43
REIMBURSEMENTS
Welfare, State, etc.
$5,319.65
Disability Assistance, State
449.67
Aid to Dependent Children, State
5,401.07
Old Age Assistance
27,011.33
M. A. A.
13,144.02
Veterans' Benefits
6,637.98
Chapter 90
Maintenance
1,499.63
Construction
15,000.00
Eastern States
10.30
Highway, State Plowing
923.60
Park
9.00
Schools
162,225.87
$237,632.12
WATER DEPARTMENT
$121,083.27
FINANCIAL
Temporary Loan Antic. Revenue
$199,195.00
INTEREST
$8,188.39
TRUST FUNDS
$3,744.70
AGENCY, TRUST AND INVESTMENT
$17,864.94
REFUNDS
$11,116.48
TOTAL RECEIPTS
$3,473,823.90
179
RECAPITULATION - 1961 EXPENDITURES
DEPARTMENTS
General Government
$130,420.07
Protection
164,565.71
Health
64,874.11
Highway
245,856.92
Welfare
133,601.70
Schools
1,880,078.25
Library
32,431.09
Recreation
39,973.67
Unclassified
61,079.37
Water
80,610.82
Cemetery
24,181.72
$2,857,673.43
FINANCIAL
Maturing Debt and Interest
$425,852.56
County Taxes
54,289.62
State Taxes
9,256.98
Temporary Loans and Interest
200,118.19
$689,517.35
AGENCY
General
$7,040.03
Trust Funds
6,125.62
$13,165.65
REFUNDS
$15,620.70
TOTAL EXPENDITURES
$3,575,977.13
180
RESERVE FUND
Selectmen's Expense
$1,846.05
Selectmen's Property Removal 473.38
Town Office Salaries
230.10
Town Building Telephones 144.04
Departmental Gasoline
256.45
Election Officers - Salaries
148.00
Election - Expense 104.61
Planning Board Street Numbering System
10.00
Police - Other Salaries 895.48
Police Cars - Operating Expense 191.08
Fire - Call Men Hourly
191.86
Fire Expense - General
157.34
Plumbing Inspector, Expense
30.75
Highway, Garage Repair and Maintenance
86.29
Highway, Snow Removal
3,483.85
Highway, Care of Dumps 324.25
Highway, Betterment, Wallace Road
80.46
Highway, Betterment, Maiden Lane #1
515.42
Highway, High School Entrance
2,637.00
Park, Rent and Miscellaneous
107.47
Park, Repairs 121.44
Unclassified, Notice of Meetings
815.90
Unclassified, Insurance 32-B
546.36
Unclassified, Preliminary Town Betterments
444.80
Interest - Antic. Revenue
805.00
$14,647.38
Closed out to Excess and Deficiency
352.62
TOTAL APPROPRIATED
$15,000.00
181
ESTIMATED RECEIPTS -1961
GENERAL REVENUE
Interest on Taxes
$761.81
Cert. of Municipal Liens
1,020.00
Tax Fees
1,801.65
Sale of LaFrance Pumper
625.00
Interest on Re-invested Funds
6,051.66
Mass. Tax - Clerical
76.19
Adv. Tax Title
25.21
Int. on Tax Title
68.08
Tax Title Release Deed
2.00
Ctf. Dissolving Betterments
16.00
Redemption Certificates
2.00
Int. on Invested Water Funds
314.00
Rent - Historical Society
1.00
Plan Deposit Forfeit
20.00
One-half Cost of Checks
153.47
Planning Board, Hearing Fees
164.23
Zoning Board, Hearing Fees
150.00
$11,252.30
IN LIEU OF TAXES
5,478.94
ASSESSMENTS:
Motor Vehicle Excise
$250,412.38
Betterments
7,873.17
Farm Animal Excise
80.77
$258,366.32
GRANTS:
Corporation Tax
$34,223.16
Income Tax
17,836.00
State Aid to Libraries
2,193.24
Meal Tax
3,014.64
$57,267.04
LICENSES, PERMITS AND FEES:
Licenses :
Alcoholic Beverages
$11,400.00
Common Victualers
80.00
Dance
8.00
Sunday Entertainment
190.00
Class I Car
20.00
Class II Car
30.00
Class III Car
5.00
Taxi
15.00
Fire-arms, Sale of
40.00
Restaurant
26.00
Milk
40.00
State Peddler
14.00
Auctioneer
4.00
Ice Cream
5.00
Massage
2.00
Permits :
Building
$2,820.00
Wiring
627.00
$11,879.00
182
Oil Burner
104.50
Gas
460.50
Blasting
25.00
Plumbing
1,375.50
Gun
138.00
Septic Tank
190.00
Rubbish
60.00
$5,800.50
Fees :
Town Clerk
$1,866.60
Sealer Fees
51.00
$1,917.60
DEPARTMENTAL
General Office
$295.05
Selectmen - Rent
325.00
Court Fines
169.40
Health - Polio
572.50
Health - Nursing
955.95
Health - Dental
580.00
Highway Disc.
10.30
Library Fines
2,247.91
Park - Beach
2,842.00
Park - Use of Grounds
9.00
Cemetery -
Annual Care
1,230.00
Cemetery - Burials
3,525.00
Cemetery - Service
620.00
Cemetery - Foundations
247.00
$14,552.71
REIMBURSEMENTS
Disability Assistance
$449.67
Old Age Assistance
14,176.62
Medical Aid to Aged
10,980.05
Old Age Assistance - Other Cities and
4,046.00
Veterans' Benefits
6,637.98
Old Age Assistance Admin.
2,379.30
Aid to Dependent Children
5,401.07
Old Age Assistance Recovery
2,359.84
Welfare - Other Cities and Towns
1,520.48
State Temporary Aid
4,105.10
$52,056.11
SCHOOLS
Shop
$529.93
Gard
109.40
Telephone Fees
94.41
Building Assistance
126,119.25
Library Fines
422.69
Use of Buildings
30.00
Income Tax Chapter 70
126,146.71
Income Tax Chapters 69 and 71
12,459.26
Vocational Tuition and Transportation
4,626.67
Transportation
31,194.50
$301,732.82
TOTAL ESTIMATED RECEIPTS
$720,303.34
183
$19,597.10
Highway - Plowing
923.60
Towns
EXCESS AND DEFICIENCY December 31, 1961
Cr. to E. and D. in error '60
$ 35.81
Balance 1/1/61
$497,166.21
State and County Chap. 90 Maint.
3,000.00
Clerical State Withholding '60 25.65
State and County Chap. 90 Constr.
16,950.00
Moderator - Salary '60 10.00
Tax Titles Taken
113.10
School Over-Payment '60 41.75
Art. 1 Spec. Town Mtg. 6/21/61
5,200.00
Collector's Bond Refund '60
120.17
Art. 5 Spec. Town Mtg. 6/21/61
200.00
County - Chap. 90 Maint.
1,499.63
Art. 7 Spec. Town Mtg. 6/21/61 ....
285,000.00
Highway, Over-Payment '60
153.63
Art. 1 Spec. Town Mtg. 12/20/61 ..
100,000.00
Close-out, Art. 4
40.00
Art. 2 Spec. Town Mtg. 12/20/61 .. 14,653.36
Chap. 90 Constr. '60
15,000.00
Health Re '60
9.59
Disability Assistance Recovery
360.80
Old Age Assistance Recovery
1,189.92
Tax Title Redemption
125.48
Medical Aid Aged Rec.
1.00
Chap. 90 Maint. '61
.42
Chap. 90 Constr. '59
.44
From Revenue 1961
187,010.51
$702,755.20
$702,755.20
WATER AVAILABLE SURPLUS December 31, 1961
Art. 8- Town Meeting
$151,305.20
Balance 1/1/61
$165,801.35
Adj. - Cr. to W. A. S. in error
454.40
Close-outs, 1960
5,791.87
Art. 1 - Spec. Town Meeting - Watermain Grace Road 1,500.00
Hydrant Rental
10,000.00
Accounts Receivable
121,029.72
Balance 12/31/61
149,409.89
Fines
46.55
$302,669.49
$302,669.49
Balance 12/31/61
277,602.93
184
WATER METERS ACCOUNTS RECEIVABLE
Balance 1/1/61
Collections 1961
Commitments
$14,674.99 106,126.25
Abatements
$100,659.01 118.50
Refund
7.00
Balance 12/31/61
20,040.73
Adj.
10.00
$120,818.24
$120,818.24
WATER MISCELLANEOUS ACCOUNTS RECEIVABLE
Balance 1/1/61
$1,322.36
Collections 1961
$20,377.71
Commitments
19,910.17
Adjustments
10.00
Abatement
42.96
Balance 12/31/61
801.86
$21,232.53
$21,232.53
.185
TOWN OF WAYLAND BALANCE SHEET - AFTER CLOSING December 31, 1961
Assets
Liabilities
Cash
Reserve for Petty Cash
General
$1,156,700.46
Petty Cash Advance 240.00
$1,156,940.46
Accounts Receivable :
Taxes :
Levy of 1960 :
Personal
$78.00
Real
123.41
Levy of 1961:
Poll
$178.00
Personal
1,952.20
Overlay :
1960
$212.60
1961
6,570.85
Motor Vehicle Excise:
Levy of 1960
$2,244.94
Overlay Surplus
Levy of 1961
27,989.55
Betterment Assessments :
1960 Street
$9.00
Disability Assistance $3,469.15
1960 Street Com. Int. .. .36
Disability Assistance Adm. 26.98
1961 Street
125.00
Old Age Assistance
13,664.24
1961 Street Com. Int. 21.84
Old Age Assistance Adm.
2,904.48
Unapportioned
23,548.93
Medical Assistance Aged
940.47
$23,705.13
Medical Assistance Aged
Advance $240.00
Revenue Res. Until Collected :
Motor Vehicle Excise
$30,234.49
Special Assessment ..
23,705.13
Tax Title ..
3,018.11
Tax Title Possessions ..
5,194.99
Departmental
12,798.27
Chapter 90
19,950.00
Water 20,842.59
$115,743.58
Real
32,032.74
$34,364.35
$6,783.45 59,041.68
Water Available Surplus ..
149,409.89
$30,234.49
Federal Grants Aid:
186
187
Tax Titles
3,018.11
Adm.
845.53 14,245.65
Tax Title Posessions
5,194.99
Aid to Dependent Children Aid to Dependent Children Adm. 3,403.23
Departmental
Highway Snow Plow $15.72
State Temporary Aid
5,551.87
Burial - Indigent Persons
150.00
State - Sick, Poor
320.62
A. D. C.
$2,137.45
Highway Dep. Acct.
232.90
Towns
2,206.93
Welfare - O. C. & T.
197.12
Veterans' Benefits
1,327.56
Cemetery - Annual Care
891.00
$12,798.27
Chapter 90:
Maintenance 1961 :
State
$1,500.00
County
1,500.00
Construction #20076 -1961:
State
11,300.00
County
5,650.00
$19,950.00
Trust Funds Income :
Charity
$665.43
Library
2,413.86
Cemetery Per. Care
923.01
Parmenter Per. Care ..
688.70
$4,691.00
Sale Cemetery
Lots and
Graves 9,172.00
$39,499.73
Agency - Revolving :
Old Age Assistance Rec.
$2,666.80
M. A. A. Recovery
14.00
Requir. Guar.
8,677.60
O. A. A., Other Cities and
Hydrant Agency
5.50
Ins. Dep.
51.15
Watermain Ext. Agr.
705.00
Zoning Board Fees
12.02
School Pub. Law #874
2,407.41
School - Adult Educ.
936.00
School Lunch
987.13
School Athletic
1,834.23
School Burglary
205.00
Proceeds, Sale Town Land
7,800.00
Zoning Variances 20.50
School - M.I.T. Grant ....
1,500.00
$28,055.24
Water:
Meters
$20,040.73
Misc. Accounts Receivable
801.86
$20,842.59
188
Dog Licenses - Fees
22.25
Road Machinery Fund 4,087.41
Tailings 153.09
Stabilization Fund
100,000.00
Reserves - Payroll: Blue Cross - Blue Shield ....
9.68
Excess and Deficiency
277,602.93
Appropriation Balances ..
510,124.35
Parks and Reservations ..
715.26
County Taxes and
Assessments
1,696.85
NET FUNDED AND FIXED DEBT
Inside Debt Limit
$198,000.00
Outside Debt Limit 3,863,000.00
$4,061,000.00
Inside :
Fire Loan 1952
$24,000.00
School:
$150,000 -1948 ..
33,000.00
140,000 - 1949
40,000.00
10,000 - 1952
1,000.00
150,000 - 1956
100,000.00
Outside : School:
$400,000 - 1948 140,000.00
210,000 - 1952 110,000.00
189
Deferred Revenue : Appor. Street Betterments Not Due
20,813.00
Trust Funds
97,753.04
Trust Funds :
Charity
$9,651.67
Library
34,950.00
Per. Care - Cemetery
42,332.66
Parmenter
5,000.00
Greaves
5,818.71
..
$97,753.04
$5,486,614.43
600,000 - 1954
390,000.00
600,000 - 1956
450,000.00
62,000 - 1956 45,000.00
638,000 - 1957 480,000.00
1,175,000 - 1959
1,055,000.00
1,100,000 - 1960
1,045,000.00
Water:
$37,000 - 1948
4,000.00
90,000 - 1948
12,000.00
20,000 - 1953
4,000.00
18,000 -
1953
2,000.00
15,000 - 1955
6,000.00
150,000 - 1959
120,000.00
$4,061,000.00
Appor. Street Betterments : Due in Various Years
$20,813.00
$5,486,614.43
NORMAN E. TAYLOR, Executive Secretary.
REPORT OF THE SCHOOL COMMITTEE
In 1961, two major problems continued to be the source of consider- able concern to the school administration and to the School Committee. Neither of these problems is new, but some comment on both of them seems appropriate at this time.
The first is our ability to attract and retain teachers whose experience and skills are adequate to handle the relatively heavy demands made on them in our school system. In Wayland, as in many other American communities whose residents are demanding more and more quality from their educational systems, program and curriculum are in a constant state of flux. The same old courses are not taught in the same old way year after year. These changes require many long hours of preparation and study on the part of the teacher who must not only keep up with the changes, but who is expected to further improve and develop courses in his particular field and to relate them in a tangible way to other areas of study.
In order to obtain and keep teachers they want, other communities have evolved such devices as complicated merit pay systems, making offers at levels above established salary schedules, and awarding double increments. All of these devices have serious drawbacks and usually create more problems than they solve. Thanks to the Fund for the Advancement of Education of the Ford Foundation, Wayland, three years ago, was able to implement the so-called status concept in the organization of its staff. This provides for 15% to 20% of the staff to act as subject leaders or department heads. Teachers who participate in this program are paid enough more above the regular pay schedule to be employed twelve months rather than ten, as in the case of non-status teachers. The extra time is devoted to curriculum planning and develop- ment. In a sense this program amounts to a merit plan, but it avoids the pitfall of paying some teachers more money without making addi- tional demands on them. In other words, the Wayland teacher who is willing and able to provide leadership and make creative contributions to the program is rewarded, but in turn his skills are employed to a fuller extent and the school system derives worthwhile benefits for the extra expense.
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