USA > Massachusetts > Middlesex County > Waltham > Town annual reports of Wayland Massachusetts 1960-1962 > Part 29
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Adjustment Fund
1,000.00
1,000.00
2,500.00
30
Expense
50. 00
25.00
50. 00
31
TOWN COUNSEL
Retainer
2,000.00
2,000.00
2,500. 00
32
Disbursements and
Claims
9,500. 00
7,487. 27
9,000.00
33
Engineering and Plans
500. 00
34
17
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
REGISTRARS
Salaries:
Registration.
200. 00
200. 00
200. 00
35
Listing
1,300. 00
835.13
1,000.00
36
Transportation
200. 00
40. 90
150. 00
37
TOWN CLERK
Salary
2,500. 00
2, 500. 00
2,500. 00
38
Expense
1,200. 00
641.01
600. 00
39
ELECTIONS
Officers: Salaries .
1,362. 00
From "Reserve". .
148. 00
1,510. 00
4,200. 00
40
Expense .
300. 00
From "Reserve".
104. 61
404. 61
150. 00
41
PLANNING BOARD
Clerk
400. 00
400. 00
400. 00
42
Clerical Expense
Expense .
500. 00
55.00
500. 00
43
Engineering (Inc. Exist-
ing Town Roads) . .
5,000.00
2,697. 42
8,000. 00
44
Street Numbering System 100. 00 From "Reserve".
10. 00
110. 00
100. 00
45
Professional Services
1,000.00
1,000.00
46
Master Map -- Maint- enance
300. 00
500. 00
47
Master Plan Report
From "1960".
902. 08
Drainage Maps
From "1960'!
800. 00
650. 00
150. 00
48
Town Street Maps . .
100. 00
49
REDEVELOPMENT AUTH-
ORITY
From "1960".
2,000.00
2,000. 00
CONSERVATION COM-
MISSION
500.00 50
18
1961 Appro- priated
1961
Expended
Recom- mended 1962
Item No.
PROTECTION
POLICE DEPARTMENT Salaries:
Chief
$6,531. 59
$6,531. 59
$6,858. 17
1
Patrolmen(11 in ' 61)
(12 in '62) 52,318. 02
50, 283. 30
58, 484. 67
2
Policewomen (3). .
3,316. 50
3,068. 40
3,316. 50
3
Other Police.
4,000. 00
4,895. 48
5,000.00
4
From "Reserve".
895. 48
Expense .
2,500. 00
2,353. 01
3,000.00
5
Uniforms-Expense. .
990. 00
839. 56
1,290.00
6
Police Cars-Purchase (2 in '61) (2 in '62).
3,500.00
3,181.90
3,500.00
7
Police Cars-Operating
Expense.
2,000.00
From "Reserve".
191.08
2,191.08
2,200. 00
8
Signs and Traffic Lines 1, 500. 00 From "Special
Meeting".
790. 26
2,290. 26
2,500. 00
9
Special Services
475. 00
475. 00
512. 50
10
FIRE DEPARTMENT
Salaries:
Chief
6,531. 59
6,531.59
6,858. 17
11
Regular Men
('61 -- 6 men) . .
( 62 -- 7 men) . . 31, 228. 13
30,939. 13
35, 790. 49
12
Call Men -- Hourly.
7,000. 00
From "Reserve"
191. 86
7,191. 86
7,500. 00
13
Call Men -- Night Duty14, 600. 00
14,592. 00
14,600. 00
14
Expense -- General. .
2,000.00
From "Reserve".
157. 34
2,157. 34
2,000. 00
15
New Equipment
Hose
1,000.00
965. 30
1,000.00
16
Miscellaneous
1,800. 00
1,790. 06
2,300. 00
17
Alarm System
Maintenance
1,000.00
990. 03
1,000.00
18
Extensions
Rice Rd-Sherman
Bridge-Ox Bow.
1,000.00
967. 19
Pine Brook -- Old
Conn. -- Forest Hill-
Davlin -- Cole
1,200.00
19
Interstation Cable -- partial
1,500. 00
20
19
1961 Appro- priated
1961
Recom- mended 1962
Item
No.
Uniforms
Expense 675. 00
671.66
750. 00
21
Purchase-Major Equip-
ment .
5,000.00
From "1960" 1,019.00
6,000.00
22
BUILDING AND WIRE INSPECTION
Salary
5,628. 48
5,628.48
5,628.48
23
Expense
800. 00
798. 40
700. 00
24
-- substitutes
200. 00
25
PLUMBING INSPECTION
Plumbing Inspector (1961)
Plumbing and Gas Inspector (1962)
Salary
1,000.00
1,000.00
1,500.00
26
Expense
500. 00
From "Reserve !!
30. 75
530. 75
600. 00
27
ZONING BOARD OF APPEALS
350. 00
128.00
350. 00
28
TREE WARDEN
Salary . .
200. 00
200. 00
200. 00
29
Tree Trimming -- Pri-
vate Contract
2,000.00
1,993.66
2,000. 00
30
Planting Trees
500. 00
499. 96
500. 00
31
MOTH DEPARTMENT
Salary -- Supt .
400. 00
400. 00
400. 00
32
Public Work -- Expense 3, 000. 00
2, 239. 84
3,000.00
33
Dutch Elm Disease. .
8,000.00
7,991.99
8,000.00
34
SEALER OF WEIGHTS and MEASURES
Salary .
125. 00
104. 17
125. 00
35
Expense
40. 00
33. 33
40.00
36
HEALTH
BOARD OF HEALTH
Salaries:
Chairman.
$50. 00
$50. 00
$50. 00
1
Clerk
50. 00
50. 00
50. 00
2
3rd Member
50.00
50. 00
50. 00
3
Agent .
2,142. 00
4
Sanitary Engineer.
3,120. 00
5
20
Expended
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
Health Appropriation Property Removal
8,000.00
7,182. 58
4,500. 00
6
Expense .
1,000.00
150. 00
500.00
7
Medical Inspection of
Schools .
3,000. 00
2,575. 58
3,000.00
8
Dog Clinic.
150. 00
149. 49
150. 00
9
Collection of Garbage
18, 500. 00
From "Special Meeting"2, 200. 00
From "Special Meeting" 1, 565. 34
22, 265. 34
24,000. 00
10
INSPECTION OF ANIMALS
Salary
150. 00
150. 00
150. 00
11
Expense
50. 00
50. 00
50. 00
12
PUBLIC HEALTH NURSES
Salaries:
Senior Public Health Nurse
(1 in '62) .
4,124. 88
13
Nurses #II (3 in '61) --
(2 in '62) 15,039. 84
15,039. 84
11,729.17
14
Nursing Assistants. 4,950. 75
4, 771. 78
4,950. 75
15
Transportation -- Agent
and Nurses
1,200.00
660. 40
1,000.00
16
SCHOOL DENTAL CLINIC 3, 230. 00
2,880. 55
3, 230. 00
17
MENTAL HEALTH CLINIC 1, 300. 00
1,300.00
1,400.00
18
MOSQUITO CONTROL.
7,500. 00
7,500. 00
7,500. 00
19
HIGHWAY
HIGHWAY DEPARTMENT
Salaries:
Superintendent
$6,778. 07
$6, 721. 67
$7,116. 97
1
2nd Man -- '61 . .
5,146. 31 5,146. 31
1,286.52
2
Heavy Equipment Operator
Foreman(9 mos. - '62)
3,861.00
3
Clerk .
900. 00
862. 58
300. 00
4
Maintenance
51,000. 00
50,958. 62
51,000.00
5
Engineering -- Miscel-
laneous .
1,000.00
1,000.00
2,500. 00
6
School Street.
1,850. 00
1,850.00
21
2nd Man-3 mos. '62
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
Roadside -- Brush Spraying
and Clean Up . 2,500. 00
2,003.00
2,000.00
7
Reconstruction-Existing
Town Roads
Moore Road . From 1960 . 1,795. 14
10. 00
Pelham Island Road From 1960 15,000. 00
105. 00
School Street 15,000. 00
From 1960
215. 27
5,663. 41
15,000. 00
8
Chap. 718-Loker Street
From 1960. 4,883. 94
Sudbury Road-4 Arch Bridge From 1960 650. 00
Garage -- Repairs and
Maintenance. 1,700. 00
From "Special Meeting" 300. 00
From "Reserve". 86. 29
2,086. 29
2,500. 00
9
Snow Removal.
29,000. 00
From 1961 Revenue- additional 2, 995. 79
From"Special Meeting"3, 000. 00
From"Special Meeting"6, 000. 00
From "Reserve". . 3,483. 85
From"Tax Levy 1962" 4, 500. 00
48,979. 64
20,000.00
10
Care of Dumps .
3,500. 00
From "Reserve". .
324. 25
3,824. 25
4,000.00
11
Dump Improvements.
1,700. 00
12
Drainage -- Miscellaneous 300. 00
216. 84
300. 00
13
-Old Conn. Path
500. 00
464. 82
- Training Field Rd. From 1960.
2, 346. 84
419. 50
3,000. 00
14
- Goodman Lane
From 1960.
1,966. 74
125. 50
1,300.00
15
- Woodridge Road From 1960
2,000. 00
2,000.00
16
-Harrison St. and Pemberton Rd. From 1960.
1,600.00
1,228.50
200. 00
17
-Parkland Drive From 1960
3,000. 00
3,000.00
5,452. 03
3,000.00
18
- East Plain and School St . .
500. 00
498. 70
- Claypit Hill Rd.
500.00
418. 36
22
1961 Appro- priated
1961
Expended
Recom- mended 1962
Item No.
- Loker St. -- off
School 5,000.00
35.00
- Davelin Road. .
500. 00
457. 63
- Lakeview to Dudley
3,700. 00
19
Road Machinery Account 2, 000. 00
1,832. 17
3,000.00
20
Toll Road Drainage From 1960 8,000.00
New Equipment 18, 500. 00
From"Special Meeting 13, 358. 00
28,008.00
Trucks-4-1/2 ton
dump (2)
17,500. 00
21
Snow blade
1,000.00
22
Miscellaneous
500. 00
23
Heavy Equipment-Spec. Acc't.
15,000. 00 24
Chapter 90 -- Maintenance
1961 1,500.00
From"County and
State"
3,000. 00
4,499. 58
Chapter 90-Maintenance
1,500. 00 25 1962 .
Chapter 90-Construction .
'59 -- From 1960 . 44
Chapter 90-Construction '60 -- From 1960
2, 362. 26
2, 362. 26
Chapter 90-Construction
161 - - 5,650.00
From "County and
State"
16,950. 00
10,217. 00
Chapter 90-Construction 1962
Art. 9
Sherman Bridge Repair 700. 00
From" Special Meeting! 681. 06
1,381.06
Station Parking Lots 300. 00
60. 00
300. 00 26
Street Betterments-Construc.
Wallace Road
From 1960 . . .
270. 84
From" Reserve"
80. 46
351. 30
Winter Street
From 1960.
604. 89
601. 12
Maiden Lane #1
From 1960. .
273. 15
From" Reserve"
515. 42
788. 57
Maiden Lane #2
From 1960. .
15, 784. 87
14,161.60
23
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
South and Center Sts.
From 1960.
5,626.66
3,804. 87
Maguire Road.
9,881.40
5,485.65
Charles Street
4,719. 16
2, 174. 89
Grace Road.
7,052.00
3,307. 89
Gage Road .
4,344. 20
2, 276. 45
Pleasant St. Ext ..
3,844. 20
2,730. 12
Bent Avenue
5,000.00 27
Acceptance of Sears Road
100. 00
Land Taking
Loker Street .
100. 00
Sidewalk Construction
5,000.00
From 1960 .
3,515.90
8,485. 50
5,000.00
28
High School Entrance
From "Reserve".
2,637.00
2,637.00
Street Lighting .
11,000.00
From "Reserve".
1,782.13
12, 782. 13
13,000. 00
29
WELFARE
WELFARE BOARD Salaries:
Chairman .
$100. 00
$100. 00
$100. 00
1
2nd Member
100. 00
100. 00
100. 00
2
3rd Member
100. 00
100.00
100.00
3
Agent .
5,250.00
4,950. 00
5,820. 00
4
Social Worker
4,110. 00
1,120. 80
Clerk
From O. A. A. - Fed.
Adm.
3,345.00
2,490. 68
2,940.00
5
GENERAL RELIEF
Appropriation
12,000. 00
10, 171.43
12,000. 00
6
AID TO DEPENDENT CHILDREN
Appropriation
9,000.00
8,979. 35
10,000.00
7
Federal Grants
From Bal. 1/1/61 .
14,090. 00
Income in 1961
7,625.00
7,469. 35
Federal Grants - Adm.
From Bal. 1/1/61 .
1,226.19
Income in 1961
2,177. 04
24
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
DISABILITY ASSISTANCE
Appropriation
4,000. 00
454. 66
2,500. 00
8
Federal Grants
From"Bal. 1/ 1/61"
3,386. 15
Income in 1961
83. 00
Federal Grants- Adm.
From"Bal. 1/1/61"
320. 80
Income in 1961 . 109. 95
403. 77
OLD AGE ASSISTANCE
(including M. A. A. in '61)
Appropriation
50,000.00
49,961. 04
25,000.00
9
Federal Grants
From"Bal. 1/1/61"
5,753. 56
Income in 1961
27,669. 50
19,758. 82
Federal Grants- Adm.
From"Bal. 1/ 1/61" 4,548. 48
Income in 1961 . .
2,667. 15
4,311. 15
MEDICAL ASSISTANCE FOR AGED
35,000. 00
10
Appropriation . Federal Grants
From"Bal. 1/1/61"
Income in 1961
21,719. 39°
20, 778. 92
Federal Grants- Adm. From"Bal. 1/1/61"
Income in 1961 .
845. 53
VETERANS' BENEFITS
Appropriation
12,000. 00
8,645. 41
12,000. 00
11
Agent- -
Salary
350. 00
350. 00
350. 00
12
Expense
300. 00
245. 03
300. 00
13
SCHOOLS
ADMINISTRATION
Salaries
$37, 249. 00
$37, 247. 36
$39,404. 00
1
Operating Expenses .
6,300. 00
6,288. 73
7,640. 00
2
INSTRUCTION
Salaries
957,069. 00
957,069. 00 1,106, 705. 00
3
Textbooks
21,985.00
21,121. 21
24,250.00 4
25
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
Libraries and Audio
Visual
26,775. 00
26, 774. 30
25,425. 00
5
Teaching Supplies
38,905. 00
38,905. 00
38, 856. 00
6
Other Expenses
14,130. 00
14,124. 23
17,635. 00
7
ATTENDANCE
600. 00
600. 00
600. 00
8
PUPIL TRANSPORTA- TION
65,750. 00
65,158. 98
68,750. 00
9
OPERATION OF PLANT
Salaries
75,000. 00
73,991. 34
80, 532. 00
10
Heat for Buildings . .
20,900. 00
20,885. 88
21,700. 00
11
Utilities (Except heat)
40,695. 00
40,694. 24
41,970. 00
12
Supplies .
8,800.00
8,800. 00
10,100. 00
13
MAINTENANCE OF PLANT
AND NEW EQUIPMENT 40, 021. 00
39,994. 23
58,741.00
14
Item categories have been revised by the School Department from those used in prior years for improved accounting methods. Amounts in "1961 Appropriated" and "1961 Expended" columns are the amounts appropriated and expended for accounts corres- ponding with the new categories, as computed by the School Department. Appropriations and expenditures according to the 1961 item categories appear in the Town Accountant's Report in the Town Report.
ATHLETICS. 7,567.00
7,401. 54
5,500.00
15
COMMUNITY SERVICES
Recreation and Civic 10,140. 00
10,087. 56
12,080. 00
16
Adult Education
500. 00
17
TUITION (Other Schools) 10, 800. 00
7,273. 77
8,500.00
18
SPECIAL CLASS.
2,120. 00
1,929.12
1,125.00
19
OUT OF STATE TRAVEL
600. 00
600. 00
1,200. 00
20
SCHOOL LUNCH ACCOUNT
From Bal. 1/1/61 1,013.65
Income in 1961 107,350. 88
107, 377. 40
26
1961 Appro- priated
1961
Expended
Recom- mended 1962
Item No.
SCHOOL ATHLETIC ACCOUNT
From Bal. 1/1/61 .. 2,308. 53
Income in 1961 . 7,188. 91 7,663. 21
FORD FOUNDATION
Income in 1961
50,888. 00 50,888. 00
PUBLIC LAW #874
From Bal. 1/1/61 8, 283. 53
Income in 1961 14,699. 00 20, 575. 12
PUBLIC LAW #864
From Bal. 1/1/61
Income in 1961 .
1,150. 94
1,150.94
ADULT EDUCATION ACCOUNT
Income in 1961 1,080.00
144. 00
INSURANCE REIMBURSEMENT
Income in 1961 1,024. 06
819. 06
M. I. T. REIMBURSEMENT
Income in 1961 . 1,500. 00
CONSTRUCTION SITES
High School-Construction
From "1960" . . . 341, 695. 39
295,158. 30
Claypit Hill-Construction From "Special
Meeting". 285, 000. 00
13,085. 09
LIBRARIES
LIBRARIES
Salaries:
Librarian $5,723. 21
$5, 723. 21
$5,723. 21
1
Librarian --
Children's
4,350. 68
3, 756. 69
4,650. 16
2
Librarian-Assts. and
Substitutes 6,000. 00
5,784. 56
9,000.00
3
Appropriation .
500. 00
800.00
4
From "Gift-J. C. Paige & Co. ". 3,000. 00
Art. 10
From "Dogs" . 2,028. 53
5,526. 18
27
1961 Appro- priated
1961
Expended
Recom- mended 1962
Item No.
Alterations and Rep- airs -- Rewiring Main Library
From 1960 . 6,760. 00
6,760. 00
Book Purchase Acct.
5,000. 00
4,880. 45
5,200. 00
5
Library Funds-Income From 1960.
1,981.73
Income in 1961
1,510. 24
1,078. 11
RECREATION
PARK DEPARTMENT Salaries:
Superintendent
$4, 795. 42
$4,795. 42
$4, 795. 42
1
Labor
12,500. 00
10, 032. 91
12, 500. 00
2
Rent, Misc. Repairs,
Light, Tel. .
2,660. 00
From "Reserve"
228. 91
2,877. 27
3,300. 00
3
Expense
Fertilizer, Lime, etc. 3, 500. 00
1,497. 06
3,500.00
4
Schools-Maintenance 6, 000. 00
2, 055.74
7,500. 00
5
Town Building- Wayland
contract maintenance 3, 016. 00
2,871.16
3,500.00
6
Town Building-Cochituate
contract maintenance 725. 00
127.50
500. 00
7
Equipment
Miscellaneous
2,500. 00
1,194. 13
1,500. 00
8
Truck
2,600.00
9
Mower
1,500.00
10
Cutter bar mower and
blower.
310. 00
11
Aerofier
995.00
12
Gang Mower
1,060.00
13
Lake Cochituate Beach
Beach Labor
1,000.00
999. 20
600. 00
14
Lifeguards and Matrons .
4,800. 00
From "Special
Meeting"
994. 57
5,794. 57
Lifeguards (5)
6,000.00
15
Matrons (2)
1,200.00
16
Beach Police (2) .
1,200.00
1,200.00
1,200.00
17
Notices and Regis- tration
800. 00
556. 10
800. 00
18
28
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
Miscellaneous Exp.
1,000.00
959. 74
1,500. 00
19
Repairs to Beach
House
600. 00
580. 03
Supplies .
400. 00
340. 49
Equipment -- New boat
300. 00
20
Beach Expansion .
3,000.00
21
Beach Retaining Wall
5,000.00
22
Mill Pond Lighting
250. 00
23
Playground Development
300. 00
24
North Wayland School Site Cochituate Jr. High Site
300. 00
25
Little League
Expense
1,350.00
1,349.80
1,350. 00
26
Lighting
200. 00
199. 39
300. 00
27
UNCLASSIFIED
RESERVE FUND . $15,000. 00
$14,647. 38
$20,000. 00
1
TOWN REPORTS
3,269. 38
3,100. 72
2,900. 00
2
MEMORIAL DAY
800. 00
760. 07
800. 00
3
LEGION POST QUARTERS
600. 00
600. 00
600. 00
4
VETERANS OF FOREIGN WARS QUARTERS. .
600. 00
600. 00
600. 00
5
NOTICE OF MEETINGS
700. 00
From "Reserve" . .
815. 90
1,515.90
1,500.00
6
SURETY BONDS
800. 00
647. 75
800.00
7
TOWN CLOCKS
650. 00
470. 64
300. 00
8
INSURANCE-GENERAL
30,100.00
28,810. 09
32,100. 00
9
INSURANCE -- 32 B
17,000. 00
From "Reserve"
546. 36
17, 546. 36
18,500. 00
10
PRELIMINARY TOWN
BETTERMENTS
1,000.00
29
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
From 1960. . . 20
From "Reserve". . 444. 80
1,445. 00
1,000.00
11
PURCHASE OF LAND FOR DUMP (State Road West) From 1960 . 200. 00
PURCHASE OF LAND --
LOT 79 Dudley Road
75. 00
75. 00
PURCHASE-CEDAR CREST ROAD
From 1960 . 6,564. 00
900. 00
PURCHASE- WOODWARD
LAND
2,400. 00
2,400.00
PURCHASE OF CONDEM- NED PROPERTY . From 1960. . 5,100.00
500. 00
PURCHASE -- LAND --
OLD CONN. PATH
200. 00
PURCHASE -- LAND -- LAKEVIEW CEMETERY
2,850. 00
1,700.00
PUBLIC SERVICE ENTERPRISES
WATER DEPARTMENT
Salaries:
Commissioners:
Chairman
$75. 00
$75. 00
$75. 00
1
Clerk
75. 00
75.00
75. 00
2
3rd Member
75. 00
75.00
75.00
3
Superintendent
6,778. 07
6,616. 56
Art. 8
2nd Man
5,146. 31
5,146. 31
Art. 8
3rd Man
4,401. 47
4,401.47
Art. 8
Labor
15,000.00 .
13,013. 92
Art. 8
Town Offices (2).
.
Art. 8
Maintenance
37,000.00
36,974. 42
Art 8
30
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
Equipment
Trucks -- 1961 3,500. 00
3,416.69
-- 1962
Back Hoe
Hydrant Rental . 10, 000. 00
10,000. 00
10,000. 00 4
New Well and Pump From 1960.
368. 00
Betterment Maiden Lane
From 1960 . 500. 00
305. 88
Water Main-Relocation
Moore Road From 1960 . . 04
Water Main Extensions Existing Town Roads Refund Account . 5,000. 00
From 1960. 5,000.00
5,683. 33
Art. 8
Deposit Account . 5,000. 00
From 1960 . . 11, 931. 93
786. 57
Art. 8
Old Conn. Path (State Rd. East
to Rice Rd. ) . . 25, 000. 00 Lundy Lane (Rich Valley Rd.
to Sylvan Way) 2,000.00
1,605. 26
Grace Road . 1,500.00
1,036.01
Draper Road
Art. 8
Garage and Storage Bldg 5,000.00
Art. 8
Test Wells 500. 00
Art. 8
Standpipe-Paint and
Repair --
From 1960 . . . 12, 006. 21
945. 00
Standpipe-Construc- tion --
From 1960 . . . 25, 131. 83
CEMETERY DEPARTMENT
CEMETERY DEPARTMENT
Salaries:
Clerk .
$150. 00
$150. 00 $150. 00 1
Superintendent
4,746. 31
4,746. 31
5,003.62 2
31
Art. 8 Art. 8
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No
Labor-Permanent
Men
8,000.00
8,000.00
8,600. 00
3
Labor-Temporary
Men
600. 00
From" Perpetual
Care Funds In- come' .
1,000.00
1,600.00
3,500.00
4
Maintenance
Appropriation 2,000.00
1,962. 62
2,200. 00
5
Service
800. 00
515. 60
600. 00
6
1,400. 50
Equipment-New truck 1, 750. 00 - Mower- sweeper --
1,150.00
7
North Cemetery
Exist. Lot Maint .. .
500. 00
482. 75
500. 00
8
Lakeview Cemetery
Resurface Roads . 2,400. 00
1,496. 25
Exist. Lot Maint ..
500. 00
455. 85
500.00
9
Water Pipe
300. 00
New Lot Develop- ment
500. 00
500. 00
1,000.00
10
New Tool House .
2,000. 00
1,986. 84
Cemetery Maps
500. 00
From "1960"
400. 00
885.00
Purchase Revell Lots From "1960" . . .
200. 00
Resetting Monuments
500. 00 11
Perpetual Care Funds Income
From 1960
1,585. 56
Income in 1961
1,671.59
1,334. 14
Transfer to Labor- Temporary Men.
1,000.00
Parmenter Funds Income
From 1960.
529. 45
Income in 1961
163. 25
4. 00
32
MATURING DEBT AND INTEREST
1961 Appro- priated
1961 Expended
Recom- mended 1962
Item No.
INTEREST Miscellaneous
$21. 25
$21. 25
$21. 25
1
Anticipation of Revenue
From "Reserve" .
805.00
805. 00
2,000.00
2
Schools -- Temporary Notes -- -- School Bonds
$400, 000 -- 1948 -- 2-1/4 --- 20 yrs.
3,600. 00
3,600. 00
3,150. 00
3
150, 000 -- 1948 -- 2-1/4 --- 20 yrs.
945.00
945.00
742. 50
4
140, 000 -- 1949 -- 1-3/4 --- 20 yrs.
743. 75
743. 75
656. 25
5
210, 000 -- 1952 -- 1. 6 --- 20 yrs. .
1,840. 00
1,840. 00
1,680.00
6
10, 000 -- 1952 -- 2. 0 --- 10 yrs. .
40. 00
40. 00
20. 00
7
600, 000 -- 1954 -- 2. 2 --- 20 yrs ..
8,910. 00
8,910. 00
8,250. 00
8
150, 000 -- 1956 -- 2 -1/2 --- 15 yrs.
2,625.00
2,625. 00
2,375. 00
9
600, 000 -- 1956 -- 2-1/2 --- 20 yrs.
11,625. 00
11,625. 00
10,875. 00
10
62, 000 -- 1956 -- 3. 4 --- 20 yrs. .
1,632. 00
1,632. 00
1,530. 00
11
638, 000 -- 1956 -- 3. 4 --- 20 yrs. .
17,408. 00
17,408. 00
16,320. 00
12
1, 175, 000 -- 1959 -- 3. 5 --- 20 yrs. .
37,975. 00
37,975.00
35,875.00
13
1, 100, 000 -- 1960 -- 3. 6 --- 20 yrs. .
38,610. 00
38,610. 00
36,630. 00
14
Water -- Water Coupon Notes, Bonds or Notes
37, 000 -- 1948 -- 2. 0 --- 15 yrs. .
100. 00
100. 00
Art.
8
90, 000 -- 1948 -- 2-1/4 --- 15 yrs.
405. 00
405. 00
Art.
8
10, 000 -- 1951 -- 1-3/4 --- 10 yrs
17. 50
17. 50
20, 000 -- 1953 -- 2. 0 --- 10 yrs.
100. 00
100. 00
Art. 8
18, 000 -- 1953 -- 2-1/4 --- 9 yrs.
90. 00
90.00
Art. 8
15, 000 -- 1955 -- 1. 9 --- 10 yrs.
128. 25
128. 25
Art. 8
150, 000 -- 1958 -- 3. 3 --- 15 yrs.
4,290. 00
4,290. 00
Art. 8
Fire
60, 000 -- 1952 -- 2. 20 --- 20 yrs. 560. 00
560. 00
480. 00
15
33
1961 Appro- priated
MATURING DEBT
Schools -- School Bonds
400, 000 -- 1948 -- 2-1/4 --- 20 yrs.
20,000. 00
20,000.00
20,000. 00
16
150, 000 -- 1948 -- 2-1/4 --- 20 yrs.
9,000.00
9,000.00
9,000.00
17
140, 000 -- 1949 -- 1-3/4 --- 20 yrs. 5,000.00
5,000. 00
5,000.00
18
210, 000 -- 1952 -- 1. 6 --- 20 yrs.
10,000. 00
10,000.00
10,000.00
19
10, 000 -- 1952 -- 2. 0 --- 10 yrs.
1,000. 00
1,000.00
1,000.00
20
30,000. 00
30,000. 00
30,000. 00
21
600, 000 -- 1954 -- 2. 2 --- 20 yrs. 150, 000 -- 1956 -- 2-1/2 --- 15 yrs.
10,000. 00
10,000. 00
10,000. 00
22
600, 000 -- 1956 -- 2-1/2 --- 20 yrs.
30,000. 00
30,000. 00
30,000.00
23
62, 000 -- 1956 -- 3. 4 --- 20 yrs.
3,000.00
3,000. 00
3,000. 00
24
638, 000 -- 1956 -- 3. 4 --- 20 yrs.
32,000. 00
32,000. 00
32,000. 00
25
1,175, 000 -- 1959 -- 3. 5 --- 20 yrs.
60,000. 00
60,000. 00
60,000. 00
26
1,100, 000 -- 1960 -- 3. 6 --- 20 yrs.
54,881. 81
54,881. 81
55,000. 00
27
Water -- Water Coupon Notes, Bonds or Notes
37, 000 -- 1948 -- 2. 0 --- 15 yrs.
2,000.00
2,000.00
Art.
8
90, 000 -- 1948 -- 2-1/4 --- 15 yrs.
6,000. 00
6,000. 00
Art.
8
10, 000 -- 1951 -- 1-3/4 --- 10 yrs.
1,000.00
1,000.00
20, 000 -- 1953 -- 2. 0 --- 10 yrs.
2,000. 00
2,000. 00
Art.
8
18, 000 -- 1953 -- 2-1/4 --- 9 yrs.
2,000. 00
2,000. 00
Art.
8
15, 000 -- 1955 -- 1. 9 --- 10 yrs.
1,500. 00
1,500.00
Art. 8
150, 000 -- 1958 -- 3. 3 --- 15 yrs.
10,000.00
10,000.00
Art. 8
Fire
60, 000 -- 1952 -- 2. 0 --- 20 yrs. 4,000. 00
4,000.00
4,000.00
28
1961 Expended
Recom- mended 1962
Item No.
34
Upon Motion of Mrs. Stokey, duly seconded, it was
VOTED: To delete Item No. 1 from P. 30 of the Budget, relating to the Moderator's Salary of $10. 00.
Upon Motion, duly seconded, of Mr. Richard Durant: To reduce Item 29 on Page 38 (Street Lighting) from $13, 000 to $11, 000 to re- present discontinuance of running lights after midnight; it was
VOTED: In the Negative.
Mr. Durant had attempted to re-word his Motion of reduction to $11, 500 instead of $11, 000;
but since there was an objection from the floor, the change could not be made.
Upon Motion of Mr. Morgan, duly seconded, it was
VOTED: To amend Item No. 6 on P. 42 of the Budget, (Recreation Expense -- Town Building -- Wayland -- Contract Maintenance) by reduc- ing the amount from $3, 500 to $2, 500.
Upon a Motion, duly seconded, of Mrs. Robert L. Davis (Natalie E. ); To delete Items Nos. 24 and 25 on P. 43 of the Budget (relating to Playground Development at North Wayland School Site and Cochit- uate Junior High School Site) it was
VOTED: In the negative.
Upon the Main Motion, as amended (by Motions of Mrs. Stokey and Mr. Morgan), it was
VOTED: In favor.
Upon a Motion of Mr. Warren T. Cronin, duly seconded,
To adjourn the Meeting at 10:30 P. M., to meet again at the same hall and the same hour next Wednesday, it was
VOTED: In the Negative.
Article 5. To see if the Town will vote to fix the salary and com- pensation of all elective officers of the Town, as provided by the General Laws (Tencentenary Edition) Chapter 41, Section 108, and set the effective date of such salary and compensation.
Upon Motion of Mr. Roger E. Ela, duly seconded, it was
VOTED: That the Town fix the salary and compensation of all elective officers of the Town, as voted Under Article 4, the effective date of such salary and compensation to be from January 1, 1962.
Article 6. To see if the Town will authorize the Treasurer, with the approval of the Board of Selectmen, to borrow money from time to time in anticipation of the revenue of the financial year beginning January 1, 1962, and to issue a note or notes therefor, payable with- in one year and to renew any note or notes as may be given for a per-
35
iod of less than a year, in accordance with Section 4, Chapter 44, General Laws.
Upon Motion of Mr. John T. W. Lawrence, duly seconded, it was VOTED: unanimously: That the Town authorize the Treasurer, with the approval of the Board of Selectmen, to borrow money from time to time in anticipation of the revenue of the financial year be- ginning January 1, 1962, and to issue a note or notes therefor, pay- able within one year and to renew any note or notes as may be given for a period of less than a year, in accordance with Section 4, Chap- ter 44, General Laws.
Article 7. To see if the Town will vote to authorize the Board of Selectmen to sell, or otherwise dispose of the following:
(1) The Police Department's present two 1961 Chevrolet Station wagons, in connection with the purchase of two new station wagons;
(2) The Highway Department's present 1945 International 4-1/2 ton chassis 1954 dump body, 1956 dump body, 1954 Oliver 18 bull- dozer, and worn out, small miscellaneous equipment, parts and scra in connection with the purchase of two new 4-1/2 ton trucks;
(3) The Water Department's present 1956 Case back hoe, 1958 Chevrolet 1/2 ton pick-up truck, and miscellaneous small, used equi- pment, in connection with the purchase of a new back hoe and a new 1/ 2 ton pick-up truck;
(4) The Park Department's 1958 Ford 1-1/2 ton truck, in connec- tion with the purchase of a new 1-1/2 ton truck;
(5) The Town Office miscellaneous used equipment; or do or act.
With unanimous permission of the Meeting, the Moderator and the maker of the following Motion, omitted the detail of this Article, in their respective presentations, since the wording followed exactly the wording of the Article as printed in the Warrant.
Upon Motion, duly seconded, of Mr. Morgan, it was
VOTED: unanimously: That the Town authorize the Board of Selectmen to sell or otherwise dispose of the following:
(1) The Police Department's present two 1961 Chevrolet station wagons, in connection with the purchase of two new station wagons;
(2) The Highway Department's present 1945 International 4-1/2 ton chassis 1954 dump body, 1956 dump body, 1954 Oliver 18 bull- dozer, and worn out, small miscellaneous equipment, parts and scrap, in connection with the purchase of two new 4-1/2 ton trucks;
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