USA > Massachusetts > Middlesex County > Waltham > Town annual reports of Wayland Massachusetts 1963-1965 > Part 10
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ASSETS
LIABILITIES
Reserve for Petty Cash Advance $250. 00
General . ·
$1, 399, 435. 14
Petty Cash Advance . 250. 00
$1, 399, 685. 14
Revenue Res. Until Collected:
$67,408. 15
Accounts Receivable:
Taxes:
Levy of '62 -- Real
348. 20
Tax Title .
630. 77
Tax Title Possessions
4,700. 95
Departmental .
8,393. 17
Personal
2,948. 10
Real
37,635. 59
41,027. 89
Water
23,604. 67
118,092. 09
Overlay:
1962
400. 00
1963
59,271. 99
59,671.99
Overlay Surplus
144, 377. 84
Water Available Surplus
139,640. 58
Federal Grants Aid:
Disability Assistance
1,495.50
= Adm.
913. 05
Old Age Assistance .
23,899. 76
=
Adm. .
3,072. 49
Medical Asst. to Aged . . 18, 720. 04
=
" Adm. 3,628. 32
Aid to Dep. Children .
14,951.55
=
- Adm. 4,467. 36
71,148. 07
1963 Street .
281.00
1963 Street Com. Int. . 117. 44
398. 44
Farm Animal Excise
30. 00
Tax Titles
630. 77
Tax Title Possessions
4,700. 95
Departmental:
Highway -- Snow Plow . 15.73 ·
State Temp. Aid . 55. 96
.
Burial -- Indig. Persons . · 150. 00 State -- Sick, Poor. · ·
320. 62 A. D. C. .
2,195.92
O. A. A. Other Cities & Towns 1,486. 48
Motor Vehicle Excise
Special Assessment 398. 44
Special Tax Revenue . 30. 00
Levy of '63:
Poll
96. 00
Chapter 90
12, 925. 94
Motor Vehicle Excise:
Levy of '63.
67,408. 15
Betterment Assessments:
147
Cash
148
Departmental, Cont:
O. A. A. State
449. 55
Med. Asst. to Aged . 1,373. 21
Welfare-Other Cities & Towns 197. 12
Disability Assistance . . 204. 03
Cemetery -- Annual Care.
803. 00
Veterans Benefits
1,141. 55
8,393. 17
Insurance Deposit .
63. 70
Planning Bd. -- Subdivision Fees
52. 45
Zoning Board -- Fees.
35. 83
School -- Public Law #874.
17, 543. 89
School -- Public Law #864. 8,389. 11
Ford Foundation 11,336. 12
School Lunch .
2,807. 93
School -- Adult Education
444. 60
School Athletic .
177. 65
School -- Grants 37-A 598. 25
Proceeds -- Sale Town Land.
7,800.00
Evening Practical Arts. 258. 74
Zoning Variances .
134. 04
Library Book Fund 80. 35
Stabilization Fund . 100,000.00
$171, 526. 20
Trust Funds Income:
Charity
640. 54
Library ·
1,241.47
Cemetery -- Perpetual Care. 3,305. 75
Parmenter -- Perpetual Care 1,007.20
6,194. 96
Sale Cemetery Lots & Graves
977. 00
Dog Licenses -- Fees
18. 75
Road Machinery Fund
13,093. 78
Tailings
153. 09
·
6,617. 29
County
3,308.65
Maint: 1963
State
1,500.00
County .
1,500.00
12,925. 94
Water:
Meters . .
.
22,844. 48
Misc. Accounts Receivable
760. 19
23,604. 67
1964 Revenue
22,000.00
State Parks & Reservations
240. 61
Middlesex County, Taxes & Assessments .
140. 99
Agency -- Revolving:
Old Age Asst. Rec. .
$5,438. 05
Medical Aid to Aged Recovery 220.00 1,305.00
Watermain Ext. Agreement ..
Requirement Guarantee 11,965. 43
Data Processing
2,875.06
Chapter 90:
Const. #20911:
State .
Reserves: Payroll:
Insurance -- 32-B
2. 80
Federal Withheld
-1,000.00
Blue Cross-Blue Shield
18. 54
County Retirement.
- 8.95
- 987. 61
Excess & Deficiency
503, 600. 77
Appropriation Balances
353, 429. 21
NET FUNDED AND FIXED DEBT
Inside:
Fire Loan 1952 . $18, 000. 00
School:
$150, 000 -- 1948
15,000.00
140,000 -- 1949 30,000. 00
150,000 -- 1956
80,000.00
50,000 -- 1964
50,000. 00
$193, 000. 00
Outside:
School:
400,000 -- 1948
100,000.00
210,000 -- 1952
90. 000.00
600,000 -- 1954
330,000. 00
600,000 -- 1956
390, 000. 00
62,000 -- 1957
39,000.00
638. 000 -- 1957
416,000. 00
1,175,000 -- 1959
935,000. 00
1,100,000 -- 1960
935,000. 00
Water:
15,000 -- 1955
3,000.00
150,000 -- 1959
100,000. 00
3, 338,000. 00
Outside Debt Limit 3, 338,000. 00
149
Inside Debt Limit. .
$193,000. 00
Deferred Revenue:
Appor. Street Betterments Not Due .
29,163. 00
Trust Funds
106,711. 34
$ 5,248, 061. 06
Apportioned Street Betterments:
29,163. 00
Due in Various Years .
Trust Funds:
Charity 9,651.67
Library
35,450. 00
Perpetual Care -- Cemetery. 50, 282. 66
Parmenter
5,000.00
Greaves
6,327. 01
106,711. 34
$ 5, 248,061. 06
Respectfully submitted, NORMAN E. TAYLOR, Executive Secretary.
150
EXCESS & DEFICIENCY December 31, 1963
Tax Title
$ 1,833. 40
Balance 1/1/63
$ 525,715. 58
Chapter 90 Maintenance
3,000. 00
Chapter 90 Construction
20,100. 00
Chap. 90, County '61 Const. Reimb. 2,908. 29
Adjustment
. 74
Taxes Added to Tax Title
195. 30
6,782. 71 Chap. 90, State '62 11
Chap. 90, County '62 " 11
3,391. 35
1962 -- Blue Cross Dividerd .
2,934. 00
Article 6 --
=
11 50.00
Article 7 -- =
=
50. 00
Article 9 - 11
=
=
11
11 50. 00
Reimb. .
2,999. 64
Tax Titles Redeemed
3,091.00
Article 11 -- "
=
-
50.00
M. A. A. Recovery .
372. 84
Article 12 -- " =
11
11
50. 00
O. A. A. Recovery ·
.
. 541. 38 .
Article 16 -_ !!
1!
-
25,000.00
Article 17 -- "!
11
11
= " 100, 000. 00
11
11 50. 00
Balance 12/31/63
503, 600. 77
1963 Revenue .
168, 791. 52
$ 724,800. 46
$724, 800. 46
.
.
Article 15 -_ " -
16,581.60
Tax Title Possessions . ·
.
.
. .
175.00
Various Agency Balancies
1,130. 58
Article 19 -- "1
11
Refund M. A. A. 1962 . 150. 00
5,816. 57 Chap. 90, State '61 Const. Reimb .
Article 1 -- Spec. Twn. Mtng. 12/11/63 54, 138. 65
Chap. 90, County 1961 & 1962 Maint.
Article 10 -- !! 11
50. 00
151
WATER AVAILABLE SURPLUS December 31, 1963
Article 8 .
$149,065. 77
Balance 1/1/63.
$158, 968. 92
Malicious Mischief -- Hydrant. 100. 00
Hydrant Rental. . 10,000. 00
Cemetery Use of Compressor 200. 00
Accounts Receivable 127, 756. 70
Balance 12/31/63 .
139,640. 58
Close-outs, 1963
9,880. 73
$306,906. 35
$306,906. 35
WATER METERS ACCOUNTS RECEIVABLE
Balance 1/1/63
$ 15,146. 10
Cash Collected 1963
$108, 820. 12
Commitments .
116,562. 25
Abatements
49. 75
Refunds
156. 00
Adjustment
150. 00
Balance 12/31/63
22, 844. 48
$131,864. 35
$131, 864. 35
WATER MISCELLANEOUS ACCOUNTS RECEIVABLE
Balance 1/1/63
$ 890. 89
Cash Collected 1963
$ 18,897. 58
Commitments
18,974. 25
Abatements
162. 37
Refunds
80. 00
Adjustment.
200. 00
Adjustment .
75. 00
Balance 12/31/63
760. 19
$ 20,020. 14
$ 20,020. 14
Article 14 18,000.00
Adjustment .
200. 00
152
ESTIMATED RECEIPTS -- 1963
Income Taxes:
State Tax Apportionment . $22,841. 00
School: Chapter 70 $130, 306. 71
11 Chap. 69&71 15,560. 93 145, 867. 64
$168, 708. 64
Corporation Taxes
$ 37,226. 16
Reimb. on Accrued Publicly Owned Land
$ 177. 05
Old Age Meal Tax
$ 2,009. 04
State Aid Libraries
$ 2,611. 00
Motor Vehicle Excise
$239, 771. 76
Licenses and Permits:
Alcoholic Beverages .
$10,651. 00
Common Victualer's.
95. 00
Class I Car Dealer 30. 00
Class II Car Dealer
50.00
Class III Car Dealer .
5.00
Taxi .
5. 00
Contractors
80. 00
License to sell Firearms.
60. 00
Auctioneer
2. 00
Dance .
5.00
Sunday Entertainment
50. 00
Massage
4.00
Kindergarten
4.00
Ice Cream
5.00
Septic Tank.
276. 00
Milk
49.00
Restaurant
46. 00
Building Permits
2,770. 00
Wiring Permits
653. 00
Oil Burner Permits
178. 00
Gas Permits
1,142.00
Plumbing Permits
1,252. 50
Rubbish Permits
55.00
Blasting Permits
46. 00
Gun Permits
132. 00
Swimming Pool Permits
65.00
Funeral Director Permit.
10. 00
Alcohol Permit .
13. 00
Boarding House Permit
2. 00
$ 17,735. 50
153
Court Fines
$ 436. 60
Special Assessments:
Betterments
$6,555. 94
Pro Forma Tax .
20. 48
$ 6,576. 42
General Government:
Clerical -- Mass. Tax
$ 137. 28
General Office
473. 57
Town Clerk's Fees
1,940. 45
Tax Title Release Deed
2. 00
Adv. Tax Title
9. 32
Goodnoh Reimb. Recount.
27.00
Tax Title Ps'sns Cost
35. 24
Reimb. Workingmen's Comp. .
70. 85
Ctf. Dissolving Betterments .
30. 00
Rent
1.00
Sealer of Weights & Measures Fees
26. 35
$2, 753. 06
Protection -- Persons & Property:
Probation Officer
$ 415. 00
Health & Sanitation:
T. B. Reimbursement
$ 85. 71
Dental Fees
493. 00
Nursing Fees
2,090. 75
Rabies Clinic
80. 00
$2, 749. 46
Highway:
Reimbursement
$ 7. 60
Insurance Reimbursement
175. 00
$182. 60
Charities: (Other than Federal)
Aid Families of Dep. Children.
$8,277. 13
Disability Assistance
4,553. 50
State Temp. Aid.
1,877.40
State -- Sick, Poor
564. 16
Welfare -- Other Cities & Towns
592. 26
Paraplegic Veterans
2,994. 60
$18,859. 05
Old Age Assistance:
Grants . .
$5,442. 97
Medical Aid to Aged .
11, 268. 19
Other Cities & Towns
187. 74
Recovery.
1,082. 74
$17,981. 64
154
Veterans' Services
$ 2,387. 02
Schools:
Transp. & Tuition
$1,503. 26
Library Fines
20.00
Telephone Commissions
81.06
Rent Buildings
325. 00
Shop Fees
647. 35
Vocational Education
2,961. 73
Insurance Refund
240. 00
Transportation
33, 134. 28
Replacement -- Glass
12. 00
$38,924. 68
Libraries:
Fines
$ 2,794. 16
Recreation:
Beach Receipts
$ 3,100. 52
Raytheon -- Soft ball
10. 00
$3,110. 52
Cemeteries: (Other than Trust Funds & Sale of Lots)
Burials
$2,900. 00
Foundations
595. 50
Annual Care
1,277. 00
$4,772. 50
Interest: (Municipal Liens)
Taxes
$ 945. 83
Tax Fees.
1,258.10
Ctf. Municipal Liens
1,140. 00
Reinvested Funds
11,370. 73
Tax Titles
143. 91
$14,858. 57
State Asst. for School Construction.
$159, 523. 95
Farm Animal Excise
$ 60. 55
In lieu of Taxes:
$3,598. 41
TOTAL ESTIMATED RECEIPTS. $748, 223.34
155
RESERVE FUND
Selectmen's Expense
$1,500. 00
Selectmen -- Traffic Survey . 700. 00
Town Building -- Electricity .
40. 10
Town Building -- Telephones.
256. 58
Departmental Gasoline 322. 60
Maintenance -- Cochituate Town Building
69.13
Preliminary Town Betterments .
1,700. 00
Election Officers -- Salaries
210. 00
Election Expense
526. 25
Parking Lot -- Hot-top
859.97
Police -- Sergeants Salaries
136. 34
Police -- Signs & Traffic Lines
549. 78
Fire -- Out of State Travel
225. 22
Health Appropriation
108. 60
Health -- Collection of Garbage
600. 00
Health -- Mental Health Clinic .
245. 80
Health -- School Dental Clinic .
52. 76
Highway -- Snow Removal.
7,011. 24
Highway -- Care Dump
639. 67
Highway -- Drainage Misc. (Polito)
500. 00
Highway -- Street Lighting
1,080.00
Veterans Agent's Expense
30.00
Park -- Rent & Misc ..
10. 64
Waco -- Lighting
70. 17
Waco -- Expense
133. 43
Notice of Meetings
317. 00
Town Clocks .
5.00
Insurance, 32-B
1,200. 00
Water Betterment -- Sunset Road
50. 00
TOTAL
$19,150. 28
Closed out to Excess & Deficiency 849. 72
TOTAL APPROPRIATED $20,000.00
Respectfully submitted, - NORMAN E. TAYLOR, Executive Secretary
156
REPORT OF THE TOWN TREASURER
1963
January 1, 1963
Cash Balance $1, 321, 282. 07
1963
Receipts 4, 292, 899. 03
$5,614, 181. 10
1963
Payments
$4, 214, 745. 96
January 1, 1964
Cash Balance 1,399,435. 14
$5, 614, 181. 10
157
TAX TITLES
Number
Amount of Taxes
Valuation
Due for foreclosure in 1964
2
$544. 05
$1,900
Due for foreclosure in 1965
2
86. 72
200
4
$630. 77
$2,100
TAX TITLE POSSESSIONS
Tax Title Possessions
45
$4,700. 95
$8,220
INSURANCE
Date of Expiration
Type of Insurance
1964
Workmen's Compensation & Employer's Liability
1964
Fire and Police -- Accident
1964
Town Vehicles -- Fire and Theft
1964
Town Vehicles -- Highway Contractor's Equipment
1964
Town Vehicles -- Liability
1964
Non-Ownership Automobile Liability -- Water Dept.
1964
Fire -- Town Buildings and Contents
1965
Fire -- Town Buildings and Contents
1965
Public Liability
1965
Sprinkler Leakage
1965
Fire -- Park Equipment Storage
1966
Boilers
1966
Fire -- Town Buildings and Contents
1966
Burglary and Fidelity
Respectfully submitted, DOROTHY S. DAMON, Town Treasurer.
158
TRUST FUNDS
Charity
FUND AMOUNT
1. Allen. . $1,100. 00
2. Donation . . 1,300.00
$1, 100. 00 - - - Martin 6% Mortgage
300. 00 - - - New York Tel. Co. 4-1/8s 7/1/93 1,000.00 - - - American Telephone & Telegraph Co. Debenture 3-3/8s 12/1/73 $ 46. 15
1,000.00 - - Wisconsin Electric Power 3-7/8s 1986
1,000.00 - - Treasury Notes 4-3/4s 7/20/59 - 5/15/64 86. 25
51. 67 - - Provident Institution for Savings 4 and 4-1/8 200. 00 - - New York Tel. Co. 4-1/8s 7/1/93
2,000.00 - - Southern Pacific 2-7/8s 1/1/86
1,000.00 - - Commonwealth Edison Co. 3-3/4s 3/1/88
1,000.00 - Southern California Edison 3-5/8s 8/15/78 -
1,000.00 - - Treasury Notes 4-3/4s 7/20/59 - 5/15/64 189. 09
Total Income for 1963
$ 321. 49
Cemetery
$1, 000. 00 - - - N. Y. Central & Hudson River RR 3-1/2s 2/1/98
1,200. 00 - - - N. Y. Telephone Co. 4-1/8s 7/1/93 1,000. 00 - - - American Telephone & Telegraph Co. Debenture 3-3/8s 12/1/73
1,800.00 - - U. S. Treasury Bond 2-1/2s 1964-1969 . $163. 25
1,000.00 - - Southern California Edison Ltd. 1st Ref. Mtg. 3s 9/1/65
2,900.00 - - N. Y. Telephone Co. 4-1/8s 7/1/93
2,500.00 - - Commonwealth Edison Co. 3-3/4s 3/1/88
- Southern Pacific Oregon Line Ist Mtg. 4-1/2s 3/1/77 1,000.00 -
2,000.00 - Southern Pacific R. R. Ist Mtg. "E" 2-7/8s 1/1/86
4,000.00 - - Wisconsin Electric Power 3-7/8s 1986 200.00 - - U. S. Treasury Bond 2-1/2s 1964-1969
4,000.00 - - N. E. Telephone & Telegraph Co. 3-1/4s 11/15/91
159
Total Charity Funds . . $9,651.67
1. J. M. Parmenter . $5,000. 00
2. Cemetery Perpetual Care $50, 182. 66
Income 1963
3. Loker ·
2,000.00
4. Russell.
5,251.67
3,000.00 - - Central Maine Power Co. 1st Mtg. "W" 4-7/8s 5/1/87
1,000.00 - - - Michigan Bell Telephone Co. 4-3/8s Debenture 12/1/91
1,550.00 - - Pacific Gas & Electric Co. 5s 6/1/91 2,000.00 - - The Pacific Telephone & Telegraph Co. 4-3/8s 8/15/88
3,700. 00
Southern California Edison Co. "H" 4-1/4s 2/15/82
4,000.00 Northern Pacific Railway Prior Lien 4s 1997
2,700.00
- Standard Oil of Indiana 4-1/2s 1983
2,000.00
- The Twelve Federal Land Bank 5-1/8s 7/20/70
12, 632. 66 -
- Provident Institution for Savings 4 and 4-1/8 . Total In come for 1963
$ 1,902. 70
Total Cemetery Funds $55,182. 66
Cemetery Perpetual Care Funds Received in 1963 and included above:
Walter C. Bennison. $200. 00
Doris Maguire .
$200. 00
William N. Benson
100. 00
Francis J. Moran 100. 00
Bertha H. Brown .
200. 00
Phoebe Parks 50.00
Bonnie Cain .
200. 00
Ella Pottle . 100.00
Walter E. Cooper.
200. 00
George H. Robinson. 200. 00
Ethel W. Dame 200. 00
Joyce L. Robsham. 200. 00
Anna N. Dugan
100. 00
Rita Russell. . 200. 00
Sally Gersbach
100. 00
Edward & Mary Sherman. . 300. 00
F. C. Haynes.
600. 00
Russell B. South. . . 300. 00
Helen M. Hazard
200.00
Elizabeth Stockbridge 200. 00
Bertha C. Jackson
100.00
Dorothy Morgan Strong . 300. 00
Library
1. Lydia M. Child .
$ 150. 00
$ 150. 00 - - - Pacific Gas & Electric Co. 5s 6/1/91
$ 7. 50
2. Harriet C. Damon. · .
3,000.00
1,000.00 - Southern California Edison "E" 3-5/8s 8/15/78
2,000.00 - - Treasury Notes 4-3/4s 7/20/59 - 5/15/64
131. 25
3. Isaac C. Damon.
1,000.00
1,000. 00 - - - Michigan Bell Telephone Co. 4-3/8s 12/1/91 . 43. 75 · ·
4. Ella E. Draper ·
500. 00 )
1,000.00 - - N. Y. Central Railway Co. "A" 4-1/2s 10/1/2013 . 60. 00
5. James Draper. .
500. 00)
6. Grace C. Draper . 1,000.00
1,000. 00 - - - Michigan Bell Telephone Co. 4-3/8s 12/1/91. . . .
50.00
$ 2, 065. 95
160
7. James Sumner Draper. . $ 5,000.00 1,500.00 - - - Commonwealth Edison Co. 3-3/4s 3/1/88 2,000.00 - - - Pacific Gas & Electric Co. 5s 6/1/91
1,300.00 - Southern California Edison Co. "H" 4-1/4s 2/15/82
200. 00 - - N. Y. Telephone Co. 4-1/8s 7/1/93 $ 219. 74
8. Sarah W. Heard . 3,100. 00
100.00 - - Pacific Gas & Electric Co. 5s 6/1/91
1,000.00 - - Michigan Bell Telephone Co. 4-3/8s 12/1/91
2,000.00 - - Treasury Notes 4-3/4s 7/20/59 - 5/15/64. . 143. 75
3,000.00 - - The Pacific Telephone & Telegraph Co. 4-3/8s 8/15/88
1,000.00 - U. S. Treasury Bond 2-1/2s 1964 - 1969
2,000.00 - Standard Oil of Indiana 4-1/2s 1983
1,000.00 - Michigan Bell Telephone Co. 4-3/8s 12/1/91
1,000.00 - - Central Maine Power Co. "S" 4-7/8s 5/1/87
2,000.00 - Amer. Telephone & Telegraph Co. Deb. 3-3/8s 12/1/73 406. 25
500. 00 - - Provident Institution for Savings 4 and 4-1/8. . 20. 46
10. Jane A. Patterson. . ·
500.00
11. Cynthia G. Roby. . ·
3,200.00
. 1,000.00 American Telephone & Telegraph Co. Deb. 3-3/8s 12/1/73
1,000.00 Central Maine Power "W" 4-7/8s 5/1/87 -
1,200.00 - - Pacific Gas & Electric Co. 5s 6/1/91. .
142. 50
12. Francis Shaw · 5,000.00
1,000.00 -
- Texas & New Orleans 3-1/4s 4/1/70
1,000.00 -
- Southern California Edison Co. "E" 3-5/8s 8/15/78
3,000.00 - - Treasury Notes 4-3/4s 7/20/59 - 5/15/64 . . 211. 25
.
·
·
13. Dorothy C. Stone . . 2,000.00
14. Ada H. Wellington .
500. 00
200. 00 - - New York Telephone Co. "K" 4-1/8s 7/1/93
300.00 - - - Standard Oil of Indiana 4-1/2s 1983. .
21.75
Total Library Funds . . . $35,450. 00
Total Income for 1963 . $1,530. 70
School
1. Evelyn M. Greaves . . . . $6,327. 01
5,000. 00 - - - U. S. Steel Corporation 4s 7/15/83 1,327. 01 West Newton Savings Bank 4%
9. Johnathan M. Parmenter. . 10,000.00
161
2,000.00 - - Southern California Edison Co. "E" 3-5/8s 8/15/78 . 72. 50
MATURING DEBT AND INTEREST SCHOOL
Initial Borrow- ings
Year
Type
Rate
Maturing Annually
Balance 1/1/64
Payments Prin.
1964 Interest
Balance 1/1/65
Payments Prin.
1965 Interest
Balance 1/1/66
Payments Prin.
1966 Interest
$400, 000
1948
20-Yr. Bonds 2-1/4
$20,000
$100,000
$20,000
$2, 250. 00
$80,000
$20, 000
$1,800. 00
$60,000
$20,000
$1,350. 00
150,000
1948
18-Yr. Bonds 2-1/4
9,000'63
15,000
5,000
337. 50
10,000
5,000
225.00
5,000
5,000
112. 50
5,000'64
140,000
1949
20-Yr. Bonds 1-3/4
5,000
30,000
5,000
481. 25
25,000
5,000
393. 75
20,000
5,000
306. 25
210,000
1952
20-Yr. Bonds 1-3/5
10,000
90,000
10,000
1,360. 00
80,000
10,000
1,200.00
70,000
10,000
1,040.00
600,000
1954
20-Yr. Bonds 2-1/5
30,000
330,000
30,000
6,930. 00
300,000
30,000
6,270.00
270,000
30,000
5,610. 00
150,000
1956
15-Yr. Bonds 2-1/2
10,000
80,000
10,000
1,875.00
70,000
10,000
1,625.00
60,000
10,000
1,375. 00
600,000
1956
20-Yr. Bonds 2-1/2
30,000
390,000
30,000
9,375.00
360,000
30,000
8,625.00
330,000
30,000
7,875. 00
62,000
1956
20-Yr. Bonds 3-2/5
3,000
39,000
3,000
1,326.00
36,000
3,000
1,224.00
33,000
3,000
1,122. 00
638,000
1956
20-Yr. Bonds 3-2/5
32,000
416,000
32,000
14, 144. 00
384,000
32,000
13,056. 00
352,000
32,000
11,968. 00
1,175,000
1959
20-Yr. Bonds 3-1/2
60,000
935,000
60,000
31,675. 00
875,000
60,000
29,575. 00
815,000
60,000
27,475. 00
1,100, 000
1960
20-Yr. Bonds 3-3/5
55,000
935,000
55,000
32, 670. 00
880,000
55,000
30,690. 00
825,000
55,000
28,710. 00
Total Outstanding for the School.
3, 360,000
3,100,000
2,840,000
Total Principal and Interest for each year .
260,000 102, 423. 75
260,000
94, 683. 75
260,000
86,943. 75
Total Payment for each year .
$362, 423. 75
$354, 683. 75
$346, 943. 75
WATER
15,000 1955 10-Yr. Notes 1.9%
1,500
3,000
1,500
41. 25
1,500
1,500
12. 75
150,000
1958
15-Yr. Bonds 3. 3% 10,000
100,000
10,000
3,300. 00
90,000
10,000
2,970. 00
80,000
10,000
1,640.00
Total Outstanding for Water.
103,000
91,500
80,000
Total Principal and Interest for each year . .
11,500
3,341. 25
11,500
2,982. 75
10,000
1,640. 00
Total Payment for each year .
$14,841. 25
$14,482. 75
$11,640. 00
162
FIRE
Initial Borrow-
ings
Year
Type
Rate
Maturing Annually
Balance 1/1/ 64
Payments Prin.
1964 Interest
Balance 1/1/65
Payments Prin.
1965 Interest
Balance 1/1/66
Payments Prin.
1966 Interest
60,000
1952
20- Yr. Notes 2%
$2,000.00
$ 18,000
$2,000
$ 360. 00 $ 16,000
$2,000
$ 320. 00
$ 14,000
$2,000
$ 280. 00
Total Outstanding for Fire . . .
$ 18,000
$ 16,000
$ 14,000
Total Principal and Interest for each year. . .
$2,000
$ 360. 00
$2,000
$ 320. 00
$2,000
$ 280. 00
Total Payment for each year .
$2,360. 00
$2, 320. 00
$2, 280. 00
TOTALS
Total Outstanding School, Water, Fire. $3,481,000
$3, 207, 500
$2, 934, 000
Total Principal and Interest: School, Water, Fire . .
$273, 500 $106, 125. 00
$273, 500 $97,986. 50
$272, 000
$88, 863. 75
Total Payment for each year .
$379, 625. 00 (1964)
$371, 486. 50 (1965)
$360, 863. 75 (1966)
TEMPORARY LOAN
$ 200,000 @ 1. 30 Dated 7/8/63
200,000 @ 1. 50
Dated 8/12/63
Paid 10/21/63 Anticipation of Taxes Paid 10/28/63 Anticipation of Taxes
50,000 @ 1.59 Dated 8/12/63
Payment Due 1/10/64 -- Addition to Loker Street Grade School
Respectfully submitted, DOROTHY S. DAMON, Town Treasurer.
İ
163
164
REPORT OF THE TOWN COLLECTOR
Levies and Balances
1-1-63
Refunds
Receipts
Abatements
Tax Titles
Balances 12-31-63
1961
Motor Excise Taxes
$ 1,921. 87
$ 6.60
$ 46. 95
$1,881. 52
Real Estate Taxes
1,301.83
920. 20
416. 03
920. 20
$885.80
1962
Motor Excise Taxes
37, 704. 25
2,563. 61
34,590. 63
5,677. 23
Personal Property Taxes.
2,051.60
1,561. 36
490. 24
Poll Taxes .
102. 00
20.00
82. 00
Real Estate Taxes
36, 588. 69
1,103. 17
35, 301. 26
1,094. 80
947. 60
$348. 20
Street Betterments Apportioned
103. 74
103. 74
Street Betterments Committed Int.
21. 24
21. 24
1963
Motor Excise Taxes .
291, 393. 80
3,281. 91
210,986. 30
16, 281. 26
67,408. 15
Farm Animal Excise Taxes .
90. 55
60. 55
30. 00
Personal Property Taxes. . . .
151, 731. 73
967. 94
146, 672. 53
3, 079. 04
2,948. 10
Poll Taxes .
6,276. 00
5,540. 00
640. 00
96.00
Real Estate Taxes
2, 520, 842. 1.9
11,659.17
2, 443, 041. 52
51,628. 95
195. 30
37,635. 59
Street Betterments Apportioned
3, 492. 91
3,211. 91
281. 00
Street Betterments Committed Int.
1, 346. 75
1,229. 31
117. 44
GRAND TOTALS . $3, 054, 969. 15
$ 20, 502. 60
$2, 882, 803. 33
$81, 775. 24
$2,028. 70
$108, 864. 48
Street Betterments Unapportioned $ 3,106. 83
·
.
· . . . .
$482. 89
$209. 37
$2,833. 31
· .
.
.
.
·
.
·
.
·
·
· .
·
.
.
.
Water Collections .
$127,917. 70
Street Betterments Apportioned (Paid in Advance)
1,989.00
Certificates of Municipal Lien
1,140. 00
Certificates Dissolving Betterments . . 30. 00
·
·
Receipts
Receipts
Fees .
$1,258. 10
Interest .
947. 83
Paid Cost of Advertisements .
9. 32
1. Building Inspector
3,915. 50
2. Board of Health
3,428. 71
Polio Agency Fund.
724. 23
3. Cemetery Department.
10,192. 50
4. Executive Secretary.
11,008.00
5. Fire Department
224.00
6. Gas Inspector
949.00
7. General Office
214. 48
8. Library . .
2, 794. 16
9. Park Department .
3,100. 52
10. Planning Board.
75.00
11. Plumb ing Inspector.
1,445. 50
12. Police Department ·
132. 00
13. School Department .
·
1,080.41
Evening Practical Arts
2,200. 00
14. Sealer of Weights & Measures . ·
26. 35
15. Town Clerk
1,940. 45
TOTAL CASH COLLECTIONS . . $ 3, 059, 546. 09
Respectfully submitted, WALTER A. CHESLAK, Town Collector
165
REPORT OF THE BOARD OF ASSESSORS -- 1963
In continuing our policy of reassessing older properties on an area basis, many property valuations were substantially increased for the year 1963. Other areas will be re-examined as this work continues.
The Board of Assessors regrets having to accept the resignation of Fern A. Taylor. Mr. Taylor has served the Town of Wayland in a number of valued capacities.
The Board continued to engage the services of the same professional appraiser as in the years1961 and 1962 to provide experience with un- usual properties. This service continues to prove of great value.
We are pleased to present the following statistics for information and analysis.
WILLIAM S. LEWIS, Chairman WILLIS B. RYDER JOHN H. ROONEY
STATISTICS FOR THE YEAR ENDING DECEMBER 31, 1963
REAL ESTATE ASSESSED JANUARY 1, 1962 $25, 293, 930. 00 PERSONAL PROPERTY ASSESSED JANUARY 1, 1962 1,559,416. 00 $26, 853, 346. 00
REAL ESTATE ASSESSED JANUARY 1, 1963
Land Exclusive of Buildings $ 3, 593,690. 00
Buildings Exclusive of Land 23, 512, 140. 00
$27, 105, 830. 00
PERSONAL ESTATE ASSESSED JANUARY 1, 1963
Stock in Trade
$51,000. 00
Machinery . ·
.
1, 276, 294. 00
Live Stock .
21,030. 00
All Other Tangible Personal
Property.
283, 200. 00
$1,631, 524. 00
TOTAL PROPERTY ASSESSED JANUARY 1, 1963 $28, 737, 354. 00 TOTAL PROPERTY ASSESSED JANUARY 1, 1962 26,853, 346. 00
INCREASE .
$1, 884, 008. 00
Number of Polls Assessed 3,138
Number of Acres of Land Assessed 8,184
Number of Dwellings Assessed 3,089
166
Motor Vehicles
Number
Value $4, 440, 890. 00
Tax
1963 (incomplete)
5,591
1962 (complete)
7,230
5,321,185.00
$260, 163. 49 285, 971. 32
TAX LEVY OF 1963
Appropriation for 1963. . . $3, 406, 308. 98
Overlay for 1963
154,619. 98
$ 3, 560, 928. 96
State Audit of Municipal Accounts
3,113. 37
State Parks Tax
4,632. 27
County Tax. .
$ 29,040. 35
T. B. Hospital Tax .
10, 806. 20
Retirement System
29,926. 80
69,773. 35
AMOUNT TO BE RAISED.
$3, 638, 447. 95
ESTIMATED RECEIPTS AND AVAILABLE FUNDS:
Income Tax
$ 172, 171. 01
Corporation Tax
35, 582. 44
Reimbursement on Publicly Owned Land
177. 05
Motor Vehicle and Trailer Excise
200,000. 00
Licenses
10,000. 00
Fines
100. 00
Health and Sanitation
1,000. 00
Highways
500. 00
Special Assessments
8,000.00
General Government
3,000.00
Old Age Assistance
20,000. 00
Old Age (Meals)
2,870. 08
Veterans' Benefits
2,000. 00
Schools
35,000. 00
Libraries
2,000. 00
Recreation.
2,500.00
Cemeteries
3,000. 00
Interest on Taxes and Assess-
ments
5,000. 00
In Lieu of Taxes
3,000.00
Charities
10,000. 00
Chapter 645, Acts of 1948.
127, 000. 00
Farm Animal Tax
80.00
$ 642, 980. 58
167
OVERESTIMATES OF PREVIOUS YEARS
County Tax
$ 178. 50
State Recreation
443. 02
T. B. Hospital . Available Funds
1,253. 12
$1, 874. 64 314, 742. 81
$316, 617. 45
TOTAL AMOUNT TO BE RAISED.
$ 2,678, 849. 92
TO BE LEVIED ON POLLS AND PROPERTY
Assessed on Polls
$ 6,276. 00
Assessed on Personal Property
151, 731. 73
Assessed on Real Estate. .
2, 520, 842. 19
$ 2, 678, 849. 92
STREET BETTERMENTS Tax
Interest
Total
$3, 492. 91
$ 1,346. 75
$ 4,839. 66
TOTAL AMOUNT COMMITTED TO COLLECTOR, July 6, 1963.
$2,683, 689. 58
Overlay -- 1963.
$ 154,619. 98
Abatements and Exemptions 55,347. 99
Overlay Balance
$ 99, 271. 99
Respectfully submitted, WILLIAM S. LEWIS WILLIS B. RYDER JOHN H. ROONEY Baard of Assessors
168
REPORT OF THE WAYLAND PLANNING BOARD
During 1963 the Board held regular meetings on the first and third Mondays. Allen H. Morgan was re-elected to a five-year term in the Annual Town Election.
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