Town annual reports of Wayland Massachusetts 1963-1965, Part 36

Author: Wayland (Mass.)
Publication date: 1963
Publisher: Printed at the Middlesex Freeman Office
Number of Pages: 752


USA > Massachusetts > Middlesex County > Waltham > Town annual reports of Wayland Massachusetts 1963-1965 > Part 36


Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).


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Schools


226, 175. 85


Dividend, 32-B


3,311. 30


$ 291, 216. 82


Water Department


$ 143, 541. 48


Financial:


Temporary Loan Antic. Revenue $ 497, 538. 43


.$ 27,022.07 Interest


Trust Funds


$ 4,563. 19


Agency, Trust and Investments $ 29,085. 25


Refunds


$ 3,084. 54


TOTAL RECEIPTS . $4, 856, 140. 41


124


RECAPITULATION -- 1965 EXPENDITURES


Departments:


General Government


$ 171, 444. 98


Protection


259, 795. 33


Health


82, 380. 25


Highway


270, 533. 89


Welfare


125,815. 57


Schools


2, 760, 775. 48


Library


48,158. 95


Recreation


66,027. 38


Unclassified


91,351.01


Water. .


117, 222. 80


Cemetery, Tree & Moth


39, 761. 76


$4,033, 267. 40


Financial:


Maturing Debt and Interest.


$371, 509. 25


County Taxes


115, 262. 68


State Taxes. ·


10,609.00


Temporary Loans and Interest


500,000.00


$


997, 380. 93


Agency:


General.


$ 10,802. 10


Trust Funds


10, 159. 14


$ 20, 961. 24


Refunds


$ 25, 393. 27


TOTAL EXPENDITURES


$5,077,002. 84


125


TOWN OF WAYLAND


BALANCE SHEET -- AFTER CLOSING December 31, 1965


ASSETS


LIABILITIES


Cash


Reserve for Petty Cash Adv. $250.00


General .


$1, 437, 921. 74 250.00


$1, 438, 171. 74


Revenue Res. Until Collected:


Accounts Receivable:


Levy of 164:


Real


2,745. 67


Levy of 165:


Personal .


2,284.75


Real .


31, 735. 74


36, 766. 16


Motor Vehicle Excise:


Levy of '64 .


125. 96


Levy of '65 .


10,104.01


10,229. 97


1965


42, 978. 56


46, 344.69


Betterment Assessments:


1965 Street . . .


51.05


1965 Street Com. Int.


30.43


Unapportioned. . - 388.55


- 307. 07


Water Available Surplus


146,057. 32


Tax Titles


2,429.67


4,268.70


Disability Assistance 1,430. 14


=


= Adm.


2,055.85


Old Age Assistance


17,290. 17


11


11 Adm. 5,571.45


Medical Asst. to Aged . . 14, 777. 86


11


11


Adm. 6,419. 36


Aid to Dependent Children . 18, 864. 34


11 11


11


11 Adm. 4, 503.08


70,912. 25


Const. 1964:


State .


7,092. 31


County


3,546. 16


Motor Vehicle Excise $10,229. 97


Spec. Assessment - 307. 07


Tax Title . 2,429. 67


Tax Title Possessions 4, 268.70


Departmental.


2,990. 64


Chapter 90


12, 138. 53


Water . 26,095. 14


57,845. 58


Overlay:


1964


3, 366. 13


Overlay Surplus .


92,110. 75


Federal Grants Aid:


Tax Title Possessions


Departmental:


H'way Snow Plow . 15.73


Aid to Dep. Children .


1,477.42


Med. Aid to Aged . . 182. 52


Cemetery -- Annual Care . 890.00


Vet. Benefits .


424. 97


2,990. 64


Chapter 90:


Petty Cash Advance.


126


Chapter 90 -- Cont. :


Agency -- Revolving:


Old Age Asst. Rec. 54. 20


General Relief .. 240. 30


M. A. A. Recovery . 130. 39


Requirement Guarantee 13,911. 50


Fire Alarm Box Ins. .


190.00


Insurance Deposit Acct. 157.00


State Aid to Libraries 5,222.00


Library Book Fund .. 80. 35


Water Ext. Agreement. 2,505.00


Plan. Board Sub. Fees. 198. 50


Zoning Board Hearing Fees - 2. 00


49. 50


Proceeds Sale Town Land 7,800.00


School Public Law #874.


34,826. 04


School Public Law #864


9,498.70


School Lunch .


5,984.02


School Grant 37-A


33.04


School Athletic . .


3,967. 58


- Evening Prac. Arts


174.44


Stabilization Fund . 104, 495. 49


Vet. Recovery Accounts


1,200.00


Driver Education.


60.00


Oxbow Road


6,000.00


196, 776. 05


Trust Funds Income:


Bequests & Investments


1,800.00


Charity .


628. 13


Library. .


899. 33


Cemetery -- Per. Care


4,715. 48


Parmenter -- Per. Care


1, 329. 20


9,372. 14


Sale Cemetery Lots & Graves 3, 742.00


Dog Licenses -- Fees


26. 50


State Parks & Reserv.


688. 50


Maint. 1965: State


. 06


County


1,500.00


12, 138. 53


Water:


Meters Accounts Receivable


24,812. 98


Miscellaneous Accts. Receivable 1,282. 16


26,095. 14


Loans Authorized


200,000.00


4,986. 34


Recording Variances. .


Middlesex Co. - Taxes & Assessment .


127


Road Machinery Fund


Tailings .


13,093. 78 434. 19


Loans Author. & Unissued . 200,000.00


Reserves: Payroll:


Insurance -- 32-B. 19. 12


Federal Withheld 35.00


County Retirement . - 8. 95


Blue Cross, Blue Shield 9. 26


54. 43


Excess & Deficiency. 470,402. 85


Approp. Balances .


429,658. 79


NET FUNDED AND FIXED DEBT


Inside:


Fire Loan 1952 . $ 14,000. 00


School:


$150,000 -- 148 5,000.00


140,000 -- 149 . 20,000.00


150,000 -- '56 60,000.00


$ 99,000.00


Outside:


School:


400,000 -- '48 60,000.00


210,000 -- '52 70,000.00 600,000 -- '54 270,000.00 600,000 -- '56 330,000.00


62,000 -- '56 . 33,000.00


638,000 -- '57 352,000.00


1,175,000 -- '59 815,000.00


1,100,000 -- '60 825,000.00


Water: 150,000 -- '59 80,000.00


Outside Debt Limit.


2,835,000.00


2,835,000.00


128


Inside Debt Limit


$ 99,000.00


129


Deferred Revenue:


Appor. Street Betterments Not Due . . . .


$ 31,837. 00


Trust Funds 121,211. 59


$ 4,824, 818. 41


Apportioned Street Betterments:


Due in Various Years .


$ 31,837. 00


Trust Funds:


Charity . 9,651.67


Library .


35, 450.00


Perpetual Care -- Cemetery 63, 332. 66


Parmenter .


5,000.00


Greaves .


6,757. 84


Austin Hale


1,019.42


121, 211. 59


$ 4, 824,818. 41


Respectfully submitted, NORMAN E. TAYLOR, Executive Secretary


EXCESS & DEFICIENCY


December 31, 1965


Chapter 90 - Art. 10 . $ 23,100.00


January 1, 1965 - Balance . . . $447, 590. 13


Stabilization Fund - Art. 43 .


100,000.00


County Reimbursement-Chap. 90. 5,552. 39


Tax Titles Taken .. 1,171. 20


State Reimbursement - Chap. 90. . 11,104. 72


Taxes added to Tax Title 370. 50


Refund School, 1964 . . 608. 04


Adjust. Int. Antic. Rev. 20. 27


Old Age Asst. - Recovery . 874. 26


Special Town Meeting, Art. 3 .


60,000.00


Disability Asst. - Recovery


899. 33


Special Town Meeting, Art. 4


3,000.00


Tax Title Recovery .


241.89


Special Town Meeting, Art. 6 .


9,946. 74


Highway Refund - 1964.


144.00


Special Town Meeting, Art. 8 .


12,500.00


Special Town Meeting, Art. 9 .


5,500.00


State Parks & Reservations


330. 98


Insurance Refund. .


23. 76


Fire Department Refund, 1964. . 13. 50


Tailings -- Close out.


138. 50


Balance, December 31, 1965. . 470, 402. 85


From Revenue .


218, 351.06


$ 686, 087. 56


$ 686,087. 56


Adjust. -- Zoning Variances. . .


76.00


Sealer's Salary - 1964 . . 215. 00


130


WATER AVAILABLE SURPLUS December 31, 1965


March 12 -- Art. 8 -- Town Meeting


$118, 819. 31


Balance 1/1/65.


$109, 972. 50


March 12 -- Art. 21 -- Town Meeting


5,000.00


Accounts Receivable 1965


143, 352. 63


August 31 -- Adjustment. . .


8.00


Fines .


92. 35


Dec. 9 -- Art. 1 - - Spec. Town Mtg. .


1,000.00


Hydrant Rental


10,000.00


Dec. 9 -- Art. 2 -- Spec. Town Mtg. .


4,000.00


Close-outs, 1965.


15, 467. 15


Dec. 9 -- Art. 3 -- Spec. Town Mtg. . 4,000.00


Balance, 12/31/65 .


146, 057. 32


$278, 884. 63


$278, 884. 63


WATER METERS ACCOUNTS RECEIVABLE


Balance 1/1/65


$ 20,131. 27


Cash Collected, 1965.


$130, 123. 54


Commitments


134,935. 75


Abatements .


160. 00


Refunds ·


29. 50


Adjustment


75.00


Adjustment


75.00


Balance 12/31/65.


24,812. 98


$155, 171. 52


$155, 171. 52


WATER MISCELLANEOUS ACCOUNTS RECEIVABLE


Balance 1/1/65


$ 481. 98


Cash Collected, 1965.


$ 13,333. 59


Commitments.


14, 125. 77


Abatements


75.00


Refunds . .


75.00


Adjustment


75.00


Adjustment .


83.00


Balance 12/31/65.


1,282. 16


$ 14,765. 75


$ 14,765. 75


131


RESERVE FUND


Selectmen's Expense


$ 916. 83


Town Offices, Equipment


135. 25


Town Offices, Grafotype. 42. 86


Town Offices, Telephones. 35. 70


Town Offices, Department Gasoline 359. 76


Cochituate Town Building Maintenance 44. 06


Town Counsel, Disbursements & Claims 1,758. 39


Police Chief, Salary


249. 48


Police, Special Services


973. 75


Fire Chief, Salary


207. 90


Fire Captains, Salary


215. 60


Fire Regular Men, Salary.


84. 62


Fire Call Men, Hourly.


2,580.09


Fire Expense, General


235. 62


Fire Alarm System Maintenance


380. 63


Health, Dog Clinic


51. 05


Highway, Roadside Cleanup.


1,500.00


Highway, Garage Addition & Plans 111. 86


Highway, Snow Removal. 4,036. 29


Veterans' Benefits, Agent's Expense . 36. 74


180. 57


Library, Clerks & Substitut es


1,356. 30


Library Appropriation


616. 56


Beach, Miscellaneous Expense


40. 36


Waco, Lighting


23. 78


Unclassified, Town & Finance Com. Reports


47. 40


Unclassified, Memorial Day


170. 98


Unclassified, Notice of Meetings


363. 75


Unclassified, Surety Bonds . 40.00


Unclassified, Engineering Survey, Granny.


695. 00


Unclassified, Town Land Cleanup


696. 15


Interest -- Water $15,000 - 155


1.50


Betterments, Dudley Settlement


1,483. 86


TOTAL $ 19, 672. 69


Closed out to Excess & Deficiency 327. 31


TOTAL APPROPRIATED $20, 000. 00


Respectfully submitted, NORMAN E. TAYLOR, Executive Secretary


132


Library, Childrens' Librarian


ESTIMATED RECEIPTS - 1965


Income Taxes:


State Tax Apportionment $43, 239. 88


School: Chapter 70 $145, 906. 71


11 11 69 & 71 11,307. 34 157, 214. 05


$200, 453. 93


Corporation Taxes


$ 94,468. 28


Old Age Meal Tax


$ 2,443. 46


Motor Vehicle Excise


$335, 033. 13


Licenses and Permits:


Alcoholic Beverages


$ 9,450.00


Common Victualer's


40.00


Class I Car Dealer


10.00


Class II Car Dealer


10.00


Nursery School


45.00


Druggist's .


350.00


License to sell Firearms


60.00


Auctioneer


2.00


Dance .


5.00


Sunday Entertainment


105.00


Septic Tank


660.00


Milk


50.00


Restaurant


72.00


Building Permits


2,880.00


Wiring Permits


1,103.80


Oil Burner Permits


112.00


Gas Permits .


1,164. 50


Plumbing Permits


1,114. 50


Rubbish Permits


85.00


Blasting Permits


62.00


Gun Permits.


112.00


Swimming Pool Permits.


235.00


Funeral Director


8.00


Alcohol Permits


16.00


Boarding House Permit


5.00


Massage Permit.


2.00


$ 17,758. 80 $ 748. 60


Court Fines


Special Assessments:


Betterments


$ 19, 276. 51


Advertising


33. 54


Certificate Dissolving Betterments 22.00


$ 19,332. 05


133


General Government:


Clerical -- Mass. Tax


$ 214. 73


General Office .


585. 88


Town Clerk's Fees


2, 174. 20


Tax Title Advertising 3.33


Sealer's Fees


251.05


Blue Cross, Blue Shield Dividend. 1,323.00


Deed Release 3.00


Appraisers Fees. 8.00


Insurance Dividend


1,988. 30


Conservation Reimbursement


2,500.00


Insurance Reimbursement. 121. 43


Recording Deed Fees 8.00 $ 9,180. 92


Protection -- Persons and Property:


Probation Officer


$ 1,415. 00


Health & Sanitation:


Dental Fees


$ 402. 00


Nursing Fees


3,199.00


Rabies Clinic


222.00


Well Child Clinic


136. 50


3,959. 50 $


Highway:


Sale of Street Signs


$ 110.00


State Snow Plowing


748. 50


Sale of Scrap Metal


164. 70


1,023.20 $


Tree Warden:


Fees from Boston Edison


$ 544.00


Charities: (Other than Federal)


Aid Families of Dependent Children . $5,083. 56


Disability Assistance 6,097. 30


General Relief -- State


70. 35


$ 11, 251. 21


Old Age Assistance:


Grants . .


$7,307. 80


Medical Aid to Aged


15,050. 39


Veterans' Services


Schools:


Gard Money $ 61. 05


Telephone Commissions. 114. 23


Rent Buildings 290.00


Shop Fees


160. 61


$ 22, 358. 19 $ 5,679. 67


134


Schools, Cont. :


Vocational Education


6,410. 13


Lost Books


271. 71


Transportation & Tuition


35,539.00


English Speaking Class


59. 29


Library Fines


404. 63


$


43,310. 65


Libraries:


Fines


$


3,310.35


Recreation:


Beach Receipts


$ 2,823. 20


Raytheon -- Softball


10.00


Plans


5.00


$ 2,838. 20


Cemeteries: (Other than Trust Funds & Sale of Lots)


Burials


$ 4,200.00


Foundations


524. 50


Annual Care


1,356.00


$ 6,080.50


Interest: (Municipal Liens)


Taxes


$ 1,475. 49


Tax Fees.


2,309.00


Certificate Municipal Liens


1,059.00


Reinvested Funds


19, 684. 45


Tax Titles


14.00


Recording Deed


.39


$ 24, 542. 33


State Asst. for School Construction


$ 184, 167. 43


Farm Animal Excise


$ 83. 51


In Lieu of Taxes


$ 3,851. 34


Tax Title Redeemed


$


67. 54


TOTAL ESTIMATED RECEIPTS


$ 993,901. 80


135


REPORT OF THE TOWN TREASURER


1965


January 1, 1965


Cash Balance


$1, 658, 603. 95


1965


Receipts


4, 856,140. 41


$ 6, 514, 744. 36


1965


Payments


$5, 076, 822. 62


January 1, 1966


Cash Balance


1,437, 921. 74


$ 6, 514, 744. 36


136


TAX TITLES


Number


Amount of Taxes


Valuation


Due for foreclosure in 1966


3


$1,202. 46


$3,000


Due for foreclosure in 1967


6


1,227. 21


5,900


$2,429. 76


$8,900


TAX TITLE POSSESSIONS


Tax Title Possessions


41


$4,268. 76


$7,220


INSURANCE


Date of Expiration


1966


Workmen's Compensation & Employer's Liability


1966 Fire and Police - Accident


1966


Town Vehicles - Fire, Theft and Windstorm


1966


Town Vehicles - Liability


1966


Non-Ownership Automobile Liability - Water Dept.


1966


Contractors Equipment Floater


1966


Fidelity & Burglary


1966


Boilers


1966


Fire - Town Buildings & Contents


1967


Fire - Town Buildings & Contents


1968


Fire - Town Buildings & Contents


1968


Public Liability


1968


Sprinkler Leakage


137


Income 1965


$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 - Provident Institution for Savings 4-1/8 80.03


1,051.67 - - Provident Institution for Savings 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. .


182. 90


Total Income for 1965 $ 309. 08


Cemetery


1. J. M. Parmenter. . . $5,000. 00


$1,000. 00 - - - N. Y. Central & Hudson River R. R. 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


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


1,000.00 - - Southern Pacific Oregon Line 1st Mtge. 4-1/2s 3/1/77


2,000.00 - Southern Pacific R. R. 1st Mtge. "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


3,000.00 - Central Maine Power Co. 1st Mtge. "W" 4-7/8s 5/1/87


1,000.00 - Michigan Pell Telephone Co. 4-3/8s Deb. 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


138


FUND


AMOUNT


1. Allen .


$1,100.00


2. Donation.


1,300.00


3. Loker . 2,000.00


4. Russell


5,251.67


Total Charity Funds. . $9,651. 67


2. Cemetery Perpetual Care 64,032.66


TRUST FUNDS Charity


Total Cemetery Funds. . $69,032. 66


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 27, 482. 66 - - Provident Institution for Savings 4-1/8s . . . . Total Income for 1965


$ 2,403. 56


$ 2, 566. 81


Cemetery Perpetual Care Funds Received in 1965 and included above:


John H. Baldwin . $200


Edwin R Good e 11 $200


Jeannette Ballard


100


Thurber Handley 100


Thomas Barr .


300


Vincent A. Harriott 200


George Barrell


200


Florence Hartin. 100


Charles H. Beadle


200


Eugene Hollett 200


Warren Bishop


200


Mayme Lacka


100


Kenneth M. Blair


200


Ada Lawrence .


200


Florence Bourette .


200


Waldo Lawrence 200


Robert J. Bourette


200


Jennie Malfa.


100


Marie Bowker .


200


John F. Miller.


100


William S. Braunig


200


Arthur G. Merrill


200


Carl B. Carter .


200


Daisy F. Pierce .


200


Ruth Chalfant .


100


Florence E. Powers


100


Flora M. Cody.


200


Fitz Henry Stevens. 200


Helen L. Cook .


200


Mabel Thorpe .


200


Lewis B. Dell


500


Ronald A. Wood.


100


Arne T. Furst


200


Geraldine C. Young


100


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 - - - Provident Institution for Savings 4-1/8s . . .


118. 81


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)


5. James Draper .


500.00)


1,000.00 N. Y. Central Railway Co. "A" 4-1/2s 10/1/2013 60.00


6. Grace C. Draper . . 1,000.00


1,000. 00 - - - Michigan Bell Telephone Co. 4-3/8s 12/1/91. . 50.00


7. James Sumner Draper . . 5,000.00


1,500.00 Commonwealth Edison Co. 3-3/4s 3/1/88


2,000.00 - - Pacific Gas & Elec. Co. 5s 6/1/91


139


8. Sarah W. Heard . $ 3,100.00


9. Jonathan M. Parmenter . . 10,000.00


10. Jane A. Patterson . 500.00


11. Cynthia G. Roby . 3,200.00


12. Francis Shaw


5,000.00


13. Dorothy C. Stone . . 2,000.00


14. Ada H. Wellington . 500.00


Total Library Funds $35, 450. 00


1. Evelyn M. Greaves . $ 6, 757. 84


1. Austin S. Hale $ 1,027.06


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


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 - - Provident Inst. for Savings 4-1/8 . 131. 31


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 "S" 4-7/8s 5/1/87


2,000.00 - - American Telephone & Telegraph Co/Deb. 3-3/8s 12/1/73 406. 25


500.00 - - - Provident Inst. for Savings 4-1/8 20. 60


1,000.00 - - - Amer. 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 & Elec. Co. 5s 6/1/91 142. 50


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 - - - Provident Inst. for Savings 4-1/8. . . 192. 59


2,000. 00 - - - Southern California Edison Co. "E" 3-5/8s 8/15/78 72. 50


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 Income for 1965 $ 1,487. 30


School


5,000. 00 - - - U. S. Steel Corporation 4s 7/15/83 1, 757. 84 - - - West Newton Savings Bank 4-1/2%


Town of Wayland


West Newton Savings Bank


4-1/2%


140


MATURING DEBT AND INTEREST SCHOOL


Initial Borrow- ings


Year


Type


Rate


Maturing Annually


Balance 1/1/66


Payments Prin.


1966 Interest


Balance 1/1/67


Payments Prin.


1967 Interest


Balance 1/1/68


Payments Prin.


1968 Interest


$400,000


1948 20-Yr. Bonds 2-1/4


$20,000


$60,000


$20,000


$1, 350. 00


$40,000


$20,000


$ 900.00


$20,000


$20,000


$ 450.00


150,000


1948


18-Yr. Bonds 2-1/4


5,000


5,000


5,000


112. 50


15,000


5,000


218. 75


10,000


5,000


131. 25


210,000


1952 20-Yr. Bonds


1-3/5


10,000


70,000


10,000


1,040.00


60,000


10,000


880.00


50,000


10,000


720.00


600,000


1954


20-Yr. Bonds 2-1/5


30,000


270,000


30,000


5,610.00


240,000


30,000


4,950.00


210,000


30,000


4,290.00


150,000


1956


15- Yr. Bonds


2-1/2


10,000


60,000


10,000


1,375.00


50,000


10,000


1,125.00


40,000


10,000


875.00


600,000


1956


20-Yr. Bonds


2-1/2


30,000


330,000


30,000


7,875.00


300,000


30,000


7,125.00


270,000


30.000


6,375.00


62,000


1956


20-Yr. Bonds


3-2/5


3,000


33,000


3,000


1,122.00


30,000


3,000


1,020.00


27,000


3,000


918.00


638,000


1956


20-Yr. Bonds


3-2/5


32,000


352,000


32,000


11,968.00


320,000


32,000


10,880.00


288,000


32,000


9,792.00


1,175,000


1959


20-Yr. Bonds


3-1/2


60,000


815,000


60,000


27,475.00


755,000


60,000


25,375.00


695,000


60,000


23,275.00


1,100,000


1960


20-Yr. Bonds 3-3/5


55,000


825,000


55,000


28,710.00


770,000


55,000


26,730.00


715,000


55,000


24,750.00


141


Total Outstanding for the School. 2,840,000


2,580,000


2,325,000


Total Principal and Interest for each year .


260,000


86, 943. 75


255,000


79,203. 75


255,000 71, 576. 25


Total Payment for each year


$346, 943. 75


$334,203. 75


$326, 576. 25


WATER


150,000


1958 15-Yr. Bonds 3. 3%


10,000


80,000


10,000


2,640.00


70,000


10,000


2,310,00


60,000


10,000


1,980.00


Total Principal and Interest for each year .


10,000


2,640.00


10,000


2,310.00


10,000


1,980.00


Total Payment for each year .


$ 12,640.00


$ 12, 310. 00


$ 11,980.00


FIRE


60,000


1952 20-Yr. Notes 2%


2,000


14,000


2,000


280.00


12,000


2,000


240.00


10,000


2,000


200.00


Total Principal and Interest for each year .


2,000


280.00


2,000


240.00


2,000


200.00


Total Payment for each year .


$ 2,280. 00


$ 2,240.00


$ 2,200.00


140,000


1949


20-Yr. Bonds 1-3/4


5,000


20,000


5,000


306. 25


TOTALS


Balance


1/1/66


Payments Prin.


1966 Interest


Balance 1/1/67


Payments Prin.


1967 Interest


Balance 1/1/68


Payments Prin.


1968 Interest


Total Outstanding School, Water, Fire . . . $2, 934, 000


$2, 662, 000


$2, 395, 000


Total Principal and Interest: School, Water and Fire


$272,000


$89, 863. 75


$267, 000 $81, 753. 75


$267, 000 $73, 756. 25


Total Payment for each year


$361, 863. 75 (1966)


$348, 753. 75 (1967)


$340, 756. 25 (1968)


TEMPORARY LOANS


$150,000 @ 2. 00% Dated 7/7/65


Paid 10/25/65


Anticipation of Taxes


$150,000 @ 2.05%


11


11


11


11


11


11


11


$200,000


2.00% 11 9/9/65


# 11/4/65


11


11


=


Respectfully submitted, DOROTHY S. DAMON, Town Treasurer


142


REPORT OF THE TOWN COLLECTOR


Levies and Balances 1-1-65


Refunds


Receipts


Abatements


Tax Titles


Rescinded Abatements


Balances 12-31-65


1962


Motor Excise Taxes


Rescinded Abatements .


$ . .


$ 184.00


· .


$ 184.00


1963


Motor Excise Taxes ..


2,280. 15


185. 90


899. 64


1,566. 41


. .


·


.


.


·


Real Estate Taxes. .


1,224. 68


46. 50


1,196. 78


46.50


27. 90


·


1964


Motor Excise Taxes .


36, 242. 81


2,765. 95


32,439. 83


6, 531. 80


88. 83


125. 96


Personal Property Taxes . . ·


2, 382. 90


2,035. 10


347. 80


Real Estate Taxes . .


39, 734. 24


3,042.90


36, 257. 37


3,191. 30


582. 80


2, 745. 67


Street Betterments Apportioned


61.00


61.00


Street Betterments Committed Int.


33. 68


·


.


·


.


·


1965


Motor Excise Taxes .


. 342, 793. 50


8,808.26


313, 251. 75


28,246.00


10,104. 01


Farm Animal Excise Taxes.


83. 51


83. 51


. .


·


.


.


·


Personal Property Taxes . .


168, 580. 54


399.00


163, 540. 79


3,154. 00


2, 284. 75


Real Estate Taxes . ..


2, 803, 334. 10


11,145.00


2, 703,095. 36


78,717.00


931.00


31, 735. 74


Street Betterments Apportioned 4,652. 66


4,601. 61


51.05


Street Betterments Committed Int.


1,346. 74


1,316. 31


30. 43


GRAND TOTALS . .$3, 402, 917. 91


$ 26, 577. 51


$3, 258, 830. 88


$122, 152. 21


$ 1,541. 70


$106. 98


$47,077. 61


Street Betterments Unappor- tioned -- 1964 $ 25, 126. 02


$ 11,738. 46


Refund -- $160. 10


Apportioned - $13, 547.66


Street Betterments Unapportioned (Paid in Advance)


$ 388. 55


· ·


.


·


$ 18. 15


$ . . . . ·


Personal Property Taxes . ·


.


167. 40


. .


.


·


·


·


.


.


·


·


. ·


.


·


·


.


·


·


.


·


·


33. 68


.


.


· .


$ 18. 15


$ .


Real Estate Taxes


167. 40


·


143


Receipts


Water Collections


$143, 449. 13


Water Fees .


92. 35


Street Betterments Apportioned . ·


1,297.00


(Paid in Advance)


Cost of advertising · ·


36. 87


Certificates of Municipal Lien , .


1,059.00


Certificates Dissolving Betterments .


22.00


Fees .


.


Interest.


1,477.72


1. Board of Health .


4,835. 50


Rabies Clinic .


222.00


Well Child Conference


65.00


4,430. 30


3. Cemetery Department


13, 320. 50


4. Executive Secretary


10,047.00


5. Fire Department


174.00


6. Gas Inspector .


1,164. 50


7. General Office


585. 88


8. Library . .


3,310. 36


9. Park Department Reimbur sements


11. 20


10. Planning Board .


275.00


11. Plumbing Inspector


1,114. 50


12. Police Department 112.00


13. School Department


1,302.23


Driver Ed. Agency Account .


330.00


14. Sealer of Weights & Measures .


84. 65


15. Town Clerk


8, 305. 70


TOTAL CASH COLLECTIONS .. $3, 473, 202. 28


Respectfully submitted, WALTER A. CHESLAK, Town Collector


144


2,812.00


2. Building Inspector. .


2,308.00


REPORT OF THE BOARD OF ASSESSORS


Our policy of reassessing existing properties has been substantially completed. Revaluation will, however, continue on a small area basis as changes in value are indicated.


Exempt properties are presented for the first time on an equalized valuation basis with the rest of the commercial and residential real estate in our report below. This will present a more accurate picture of the relationship between these classifications of properties.


Our annual presentation of statistics is tabulated below.


WILLIAM S. LEWIS, Chairman WILLIS B. RYDER JOHN H. ROONEY


STATISTICS FOR THE YEAR ENDING DECEMBER 31, 1965


REAL ESTATE ASSESSED JANUARY 1, 1964 $28, 128,080. 00


PERSONAL PROPERTY ASSESSED JANUARY 1, 1964 1,706,592.00 $29, 834, 672. 00


REAL ESTATE ASSESSED JANUARY 1, 1965


Land Exclusive of Buildings $3, 633, 140. 00


Buildings Exclusive of Land 25, 875, 640. 00 $29, 508, 780. 00


PERSONAL ESTATE ASSESSED JANUARY 1, 1965


Stock in Trade


$ 47,000.00


Machinery


Live Stock


1, 346, 182. 00 14,850. 00


All Other Tangible Personal


Property . . . 366, 500. 00 $ 1, 774, 532. 00


TOTAL PROPERTY ASSESSED JANUARY 1, 1965 $ 31, 283, 312. 00 TOTAL PROPERTY ASSESSED JANUARY 1, 1964 29, 834, 672. 00


INCREASE


$ 1,448,640. 00


Number of Acres of Land Assessed 8,184 Number of Dwellings Assessed 3,325


Motor Vehicles Number Value


1965 (incomplete) 7,249 $5,642, 400. 00


Tax $342, 793. 50


1964 (complete) 7,903 $ 6, 254, 945.00 $336, 359. 94


TAX LEVY OF 1965


Appropriation for 1965 $3, 993, 334. 94


Overlay for 1965 174,849. 56 $ 4,168, 184. 50


145


Land Damage Settlement


4,500.00


Motor Vehicle Excise Tax.


1,279. 35


State Parks Tax


7,617. 87


State Audit of Municipal Accounts


1,890. 46


County Tax. . $70,193. 37


T. B. Hospital Tax


694. 04


Retirement System 37,945. 59


108,833. 00


$ 119, 620. 68


AMOUNT TO BE RAISED


$ 4,292,305.18


ESTIMATED RECEIPTS AND AVAILABLE FUNDS:


Income Tax $ 190,697. 92


Corporation Tax 86,084. 17


Reimbursement on Publicly


Owned Land


175. 55


Motor Vehicle and Trailer


Excise 305,000.00


Licenses 15,000.00


Fines 200.00


Health and Sanitation.


2,000.00


Highways.


500.00


Special Assessments. .


6,000.00


General Government. , 3,500.00


Protection of Persons and


Property . 1,000.00


Old Age Assistance


15,000.00


Old Age (Meals) . 2,443. 46


Veterans' Benefits. 2,000.00


Schools


35,000.00


Libraries


2,500.00


Recreation.


2,000.00


Cemeteries


4,000.00


Interest on Taxes and


Assessments 10,000.00


In Lieu of Taxes 5,000.00


Charities 14,000.00


Chap. 645, Acts of 1948


169,000.00


$ 871, 101. 10


Available Funds 449, 289. 44




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