Town annual reports of the officers of Southbridge for the year ending 1962-1966, Part 53

Author: Southbridge (Mass.)
Publication date: 1962
Publisher: The Town
Number of Pages: 1494


USA > Massachusetts > Worcester County > Southbridge > Town annual reports of the officers of Southbridge for the year ending 1962-1966 > Part 53


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School Maintenance of


292


430.60 1,905.38


School Buildings 21,574.00


By Contingency Fund


726.50


22,300.50


22,005.33


22,005.33


295.17


Schools-Furn., Fixt., Mach &


Capital Outlay


15,805.00


15,805.00


13,265.76


13,265.76


2,539.24


Schools-Audio Visual Aids


3,675.00


3,675.00


3,649.25


3,649.25


25.75


Playgrounds


4,500.00


4,500.00


4,416.07


4,416.07


83.93


School Athletic Fund


7,370.00


Balance-1/1/64 Receipts


6,751.19


18,136.53


11,385.34


11,385.34


6,751.19


Dresser Street Field


10,500.00


10,500.00


10,128.03


10,128.03


371.97


Federal Lunch Program-


4,000.00


4,000.00


4,000.00


4,000.00


Federal Lunch Program-Rotating


Fund


Balance 1/1/64


8,880.00


Comm. of Mass.


15,159.83


Cash Receipts


51,811.37


By Reserve for Petty


Cash Advance


100.00


75,951.20


65,162.85


To Reserve for Petty Cash Advance


100.00


65,262.85


10,688.35


School Music Account


6,557.00


6,557.00


6,411.74


6,411.74


145.26


School-Library


6,500.00


6,500.00


4,228.67


4,228.67


2,271.33


School Library-Special Balance 1/1/64


190.07


190.07


11.39


11.39


178.68


Contingency Fund


10,056.00


10,056.00


7,887.90


To Operation and Mainten. of Plant


868.11


8,756.01


1,299.99


National Defense Education Balance 1/1/64


786.61


786.61


783.92


783.92


2.69


New High School and Addition


Cole Trade High School Balance 1/1/64


1,475.30


293


Appropriation Account


4,015.34


SCHEDULE OF APPROPRIATIONS, EXPENDITURES, TRANSFERS AND BALANCES (Cont.)


O'Drawn 1/1/64 Accts.


Appropria- tions


Prev. Bal. Refunds Transfers


Total Receipts


Payments


Transfer To Other Accounts


Total Expense


Bal. To 1964 Rev.


Bal. Forw'd 1965


O'Drawn Accts. 12/31/64


By 1965 Revenue Cole Trade Rotating Fund Balance 1/1/64 Receipts


8,000.00


9,475.30


8,294.35


8,294.35


1,180.95


884.94


87.76


972.70


48.06


To Estimated Receipts


87.76


135.82


836.88


Physical Education


2,270.00


2,270.00


2,270.00


2,270.00


Central Youth Guidance Center By Schools-General Control


1,910.00


24.00


1,934.00


1,934.00


1,934.00


New Boilers for Wells Junior High School


31,000.00


31,000.00


24,751.46


24,751.46


6,248.54


Manpower Develop. and Training


Act-Project #39


Balance 1/1/64


444.61


444.61


Project completed balance returned to Comm. of Mass.


444.61


444.61


Manpower Develop. and Training


Act-Project #230 Balance 1/1/64


1,291.87


1,291.87


1,291.87


1,291.87


Library-Salaries By Library Trustees


22,800.00


1,697.20


24,497.20


24,497.20


24,497.20


Library-Expense


8,850.00


By Refunds


123.87


By Library Trustees


1,168.88


10,142.75


10,142.75


Library-Replacem. Equipment


350.00


350.00


348.00


1.10


State Aid for Libraries-Reserved


for Appropriation From Comm. of Mass.


4,130.75


4,130.75


4,130.75


Total Schools and Library 1,078,660.00 110,776.83 1,189,436.83 1,145,551.30


1,593.13 1,147,144.43


10,839.92


31,452.48


10,142.75 348.90


294


Recreation and Unclassified :


600.00


600.00


595.85


595.85


4.15


World War I Memorial Park


400.00


400.00


400.00


400.00


New Equipment W.W. I Memorial


550.00


550.00


550.00


550.00


II World War Memorial


200.00


200.00


193.14


193.14


6.86


Winter Sports-Salaries


600.00


600.00


133.50


133.50


466.50


Winter Sports-Expense


150.00


150.00


6.00


6.00


144.00


Swimming Pool-Salaries


3,800.00


3,800.00


3,800.00


3,800.00


Swimming Pool-Expense


750.00


750.00


481.14


481.14


268.86


Swimming Pool-Red Cross Instruct.


400.00


400.00


400.00


400.00


Swimming Pool-Special


Water Account


1,200.00


1,200.00


1,060.39


1,060.39


139.61


Swimming Pool-Poison Ivy


Control


Balance 1/1/64


40.00


40.00


40.00


40.00


Swimming Pool-New Construction


and Repairs


1,300.00


Balance 1/1/64


793.91


2,093.91


1,169.71


1,169.71


924.20


Swimming Pool-Life Guard


Lookout


Balance 1/1/64


65.87


65.87


65.87


Special Events-Intermediate


League


1,795.00


1,795.00


1,795.00


1,795.00


Special Events-Little and Minor


2,071.00


2,071.00


2,071.00


2,071.00


Alumni Field-Salaries


1,000.00


1,000.00


922.65


922.65


77.35


Alumni Field-Maintenance


and Improvement


500.00


By Dresser Memorial Park


Maintenance


11.00


511.00


509.62


509.62


1.38


Alumni Field-Jeep Expenses


200.00


200.00


69.70


69.70


130.30


Henry St. Field-Salaries


1,600.00


1,600.00


1,600.00


1,600.00


Henry St. Field-Expense


450.00


450.00


450.00


450.00


295


Parks


Leagues Expenses


SCHEDULE OF APPROPRIATIONS, EXPENDITURES, TRANSFERS AND BALANCES (Cont.)


O'Drawn 1/1/64 Accts.


Appropria- tions


Prev. Bal. Refunds Transfers


Total Receipts


Payments


Transfer To Other Accounts


Total Expense


Bal. To 1964 Rev.


Bal. Forw'd 1965


O'Drawn Accts. 12/31/64


Henry St. Field-M. & I. Acct.


1,500.00


1,500.00


1,499.64


1,499.64


36


Lassie League


500.00


500.00


498.58


498.58


1.42


Program for Retarded Children


Expense By Refund


2,200.00


300.00


2,500.00


2,182.87


2,182.87


317.13


Damage to Persons and


Property


By Excess and Deficiency


1,300.00


By 1965 Revenue


1,682.10


By Finance Reserve Fund


40.75


3,022.85


3,022.85


3,022.85


Memorial Day


1,050.00


1,050.00


1,050.00


1,050.00


Veterans Day


750.00


750.00


750.00


750.00


Annual Reports


4,000.00


4,000.00


3,883.60


3,883.60


116.40


Insurance


29,000.00


By Refunds


388.32


29,388.32


28,412.36


28,412.36


975.96


Non-Contributory Pensions


3,7000.00


3,700.00


3,521.28


3,521.28


178.72


Pension Accumulation Fund


60,427.00


60,427.00


60,427.00


60,427.00


Total Recreation and Unclassified


120,693.00


4,621.95


125,314.95


121,495.88


121,495.88


2,894.87


924.20


Cemetery :


Cemetery Expenses Dividends


6,849.00


4,816.59


11,665.59


11,641.75


11,641.75


23.84


Cemetery Improvement Acct.


1,375.00


1,750.48


3,125.48


535.75


535.75


2,589.73


Total Cemetery


8,224.00


6,567.07


14,791.07


12,177.50


12,177.50


23.84


2,589.73


Special Accounts :


Balance 1/1/64


1959 Airport Reconstruction Enlarging and Improvements


296


Balance 1/1/64 1960-1961 Airport Balance 1/1/64 Comm. of Mass.


73.11 73.11


73.11


3,232.88 1,611.89


4,844.77


4,844.77


Advisory Board of Review


1,000.00


1,000.00


10.00


10.00


990.00


Alpine Drive Widening


1,000.00


1,000.00


557.15


557.15


442.85


Brook Road Regrading


3,100.00


3,100.00


1,505.65


1,505.65


1,594.35


Cady Brook Land Damage Account Balance 1/1/64


200.40 2,000.00


2,200.40


2,000.00


2,000.00


200.40


Central St .- Grading and Sealing


Parking Lot Balance 1/1/64


239.11


239.11


20.00


20.00


219.11


1963 Chap. 90 Construction-


Pleasant St. Reconstruction


Cont. #21656


By Highway Aid Revenue


8,501.16


8,501.16


10,704.73


10,704.73


2,203.57


South St. and Guelphwood Road


8,000.00


Balance 1/1/64


7,964.46


15,964.46


8,019.00


8,019.00


7,945.46


1963 Chap. 90 Eastford Road


Special Maintenance 8,000.00


8,000.00


8,000.00


Chap. 90 Road Maintenance-


Special Maintenance of


1,500.00


1,500.00


North Woodstock Road To 1964 Chap. 90 Road Maintenance 1962 Chap. 90 Construction- Pleasant St. Reconstruction Cont. #20628 Balance 1/1/64


1,500.00 1,500.00


1962 Chap. 90 Construction- Pleasant St. Reconstruction Cont. #20824


3,602.85 3,602.85 3,602.85


297


By 1965 Revenue


SCHEDULE OF APPROPRIATIONS, EXPENDITURES, TRANSFERS AND BALANCES (Cont.)


O'Drawn 1/1/64 Accts.


Appropria- tions


Prev. Bal. Refunds Transfers


Total Receipts


Payments


Transfer To Other Accounts


Total Expense


Bal. To 1964 Rev.


Bal. Forw'd 1965


O'Drawn Accts. 12/31/64


By Highway Aid Revenue Charlton St. Sanitary Sewer Construction


9,750.00


9,750.00


5,785.60


5,785.60


3,964.40


Balance 1/1/64


3,548.55


3,548.55


3,157.01


3,157.01


391.54


Charlton St. Storm Drain


Construction


3,400.00


3,400.00


3,300.20


3,300.20


99.80


Chartier Lane Sanitary


Sewer Construction By S/ A Reserve


1,623.99


1,623.99


1,623.99


1,623.99


Christmas Decoration Committee


1,000.00


1,000.00


1,000.00


1,000.00


Cohasse Brook Channel


Clearance Account-Bal. 1/1/64


10,200.00


10,200.00


10,200.00


Crystal St. Reconstruction Bal. 1/1/64


4,610.01


4,610.01


4,610.01


The Decennial Census Year


Beginning Jan. 1, 1965 By Excess and Deficiency


2,000.00


2,000.00


2,000.00


Dresser Memorial Park


1,200.00


1,200.00


1,179.84


Maintenance To Alumni Field, M. & I. Acct.


11.00


1,190.84


9.16


East Main St. Intercepting


Sewer Construction


10,000.00


10,000.00


Fiske St. Masonry Wall, Steps and


Fiske St. Widening


By Excess and Deficiency Girouard Ave. Sanitary Sewer


1,400.00


1,400.00 1,290.02


1,290.02 109.98


10,000.00


Construction


298


Balance 1/1/64 Globe Village Fire Station- Disabled Vets Globe Village Fire Station Repairs Balance 1/1/64 Rental of Parking Lot Goddard


915.91


915.91


915.91


915.91


475.00


475.00


384.30


384.30


90.70


318.30


318.30


318.30


and Main Streets Balance 1/1/64


2,000.00


2,315.12


4,315.13


1,749.15


1,749.15


2,565.97


High St .; Highview St.


Intersection Storm Drain


Construction


5,000.00


5,000.00


4,671.05


4,671.05


328.95


Blue Cross - Blue Shield-


Group Insurance-Employees


Pay Roll Deductions Receipts


27,288.66


27,288.66


27,288.66


27,288.66


Blue Cross - Blue Shield-


Group Insurance


23,500.00


By 1965 Revenue


2,100.00


25,600.00


25,320.53


To B.C. - B.S. Payroll Deductions


196.76


25,517.29


82.71


Italian-American W. W.


Veterans, U.S. Post #66


675.00


675.00


675.00 2,148.41


2,148.41


1.59


Land Damage Appraisal Acct. Balance 1/1/64


1,087.00


1,087.00


Construction of Lebanon Hill


3,000.00


3,000.00


Construction


4,753.88


4,753.88


4,753.88


4,753.88


High St. Sanitary Sewer


Construction


144.67


144.67


144.67


144.67


Highview St. Sanitary Sewer


Construction


2,070.56


2,070.56


2,070.56


2,070.56


Repair Culvert Crossing Main


299


1,087.00 3,000.00


Cathy Lane Sanitary Sewer


675.00


Kingsley St. Reconstruction


2,150.00


2,150.00


SCHEDULE OF APPROPRIATIONS, EXPENDITURES, TRANSFERS AND BALANCES (Cont.)


O'Drawn 1/1/64 Accts.


Appropria- tions


Prev. Bal. Refunds Transfers


Total Receipts


Payments


Transfer To Other Accounts


Total Expense


Bal. To 1964 Rev.


Bal. Forw'd 1965


O'Drawn Accts. 12/31/64


St. Near Chestnut St. Balance 1/1/64 Maple St. Storm Drain Balance 1/1/64 To Nuisance Brook Improvement Morris St. Recreation Area Improvement Balance 1/1/64


834.40


834.40


7,372.44


7,372.44


2,500.00


2,500.00


4,872.44


1,556.06


1,556.06


1,448.59


1,448.59


107.47


Nuisance Brook Improvement


2,500.00


2,500.00


2,500.00


Relaying Sanitary Sewer


Pleasant St. Acct. By Finance Reserve Fund


1,000.00


1,000.00


1,000.00


1,000.00


Polish American Veterans of Southbridge, Inc.


575.00


575.00


312.48


312.48


262.52


Red Oak Sanitary Sewer Construction


By Sewer Assessment Reserve


1,022.96


1,022.96


1,022.96


1,022.96


South St. Drainage Acct. Balance 1/1/64


255.38


255.38


Representative Town Meeting


186.55


186.55


9.13


913


177.42


The Southbridge Sesquitennial Committee


By Excess and Deficiency


300.00


300.00


72.90


72.90


227.10


Southbridge Housing Authority


100.00


100.00


100.00


Southbridge Public Improvement Committee


834.40


300


255.38


Committee Expense Acct .- Bal. 1/1/64


Balance 1/1/6+ Old Sturbridge Road Reconstruction From Comm. of Mass.


1,281.10


1,281.10


1,281.10


12,715.24


18,284.76


31,000.00


25,564.49


25,564.49


5,425.51


Town Hall Alterations and Repairs Balance 1/1/64


1,000.00


654.58


1,654.58


1,653.58


1,653.58


1.00


Town Hall Legion Room


Lighting Acct. Balance 1/1/64


491.00


491.00


284.91


284.91


206.09


'Tree Warden-Removal Elm Tree


at 85 Hamilton St.


285.00


285.00


285.00


285.00


Tree Warden-Taking Care of Town


450.00


450.00


449.83


449.83


.17


Tree Warden-Buy and Plant


20 Shade Trees on Various Town Streets


460.00


460.00


460.00


460.00


Urban Renewel Expense Balance 1/1/64


627.55


627.55


627.55


Westville Dam Relocation


Balance 1/1/64


24,978.23


From The Fund Insurance


Company


10,421.71


From U. S. Treasury


700.00


36,099.94


29,304.95


29,304.95


6,794.99


Williams St. Reconstruction


6,000.00


From Comm. of Mass.


8,000.00


14,000.00


8,520.86


8,520.86


5,479.14


Woodverest Ave. Reconstruction Balance 1/1/64


3,198.34


3,198.34


3,198.34


World War I Vets. Barracks #1747


200.00


200.00


200.00


200.00


Total Special Accounts 8,000.00


99,277.31


182,725.50


282,002.81


180,864.99


4,207.76


185,072.75


16,259.75


74,873.66


2,203.57


Interest and Debt :


Interest-Temporary Loans 11,000.00


301


Owned Trees-Main Street


SCHEDULE OF APPROPRIATIONS, EXPENDITURES , TRANSFERS AND BALANCES (Cont.)


O'Drawn 1/1/64 Accts.


Appropria- tions


Prev. Bal. Refunds Transfers


Total Receipts


Payments


Transfer To Other Accounts


Total Expense


Bal. To 1964 Rev.


Bal. Forw'd 1965


O'Drawn Accts. 12/31/64


By 1965 Revenue Interest-Funded Debt .- Airport Reconstruction From American Optical Company


434.38


11,434.38


11,434.38


11,434.38


Interest-Funded Debt .-


New High School


34,650.00


34,650.00


34,650.00


34,650.00


Interest-Funded Debt .-


600.00


600.00


600.00


600.00


Maturing Debt-New High School


60,000.00 5,000.00


60,000.00


60,000.00


60,000.00


Funded Debt-Airport Loan From American Optical Co.


5,000.00


10,000.00


10,000.00


10,000.00


Funded Debt-New Town Barn


12,000.00


12,000.00


12,000.00


12,000.00


Total Interest and Debt


123,250.00


5,584.38


128,834.38


128,834.38


128,884.38


Agency, Trust and Investment :


Parking Meter Fees Balance 1/1/64


Receipts


7,299.58 11,801.79


19,101.37


To Parking Meters Salaries


and Expense


11,775.00


11,775.00


7,326.37


Federal Tax Deductions Balance 1/1/64 Receipts


17,832.93 163,259.64 181,092.57


166,356.55


To School Salaries


32.10


166,388.65


14,703.92


State Tax Deductions


150.00


150.00


150.00


150.00


New Town Barn


302


Balance 1/1/64 Receipts To School-Salaries


4,061.24 17,896.27 21,957.51


20,126.54


3.79


20,130.33


1,827.18


Deposits on Plans and Bids Balance 1/1/64 Deposits


755.00 15,004.00


15,759.00


13,034.00


13,034.00


2,725.00


J. J. Angel Fund Balance 1/1/64


31.27


21.27


31.27


Alexis Boyer, Jr. Fund Balance 1/1/64


11.29


11.29


11.29


Ella M. Cole Fund


622.74


Balance 1/1/64 Fund Income


144.98


767.72


81.70


81.70


686.02


Mabel Murphy Fund Balance 1/1/64 Fund Income


90.47


172.97


100.00


100.00


72.97


Mary Mynott Fund Balance 1/1/64 Fund Income


60.75


102.01


44.92


44.92


57.09


Adah L. Stedman Fund Balance 1/1/64 Fund Income


42.50


111.96


24.00


24.00


87.96


Ruth Stedman Fund


Balance 1/1/64 Fund Income


42.50


214.17


43.20


43.20


170.97


Smith-Hughes Fund From Comm. of Mass. To School Salaries Acct.


1,953.00


1,953.00


47.62


1,905.38


1,953.00


Dog Tax Fees-Reserved


for County


Balance 1/1/64 Receipts


13.50 1,521.75


1,535.25


1,501.25


1,501.25


34.00


Sale of Land Account


82.50


303


41.26


69.46


171.67


SCHEDULE OF APPROPRIATIONS, EXPENDITURES, TRANSFERS AND BALANCES (Cont.)


O'Drawn 1/1/64 Accts.


Appropria- tions


Prev. Bal. Refunds Transfers


Total Receipts


Payments


Transfer To Other Accounts


Total Expense


Bal. To 1964 Rev.


Bal. Forw'd 1965


O'Drawn Accts. 12/31/64


Cemetery Perpetual Care Bequests


1,000.00


1,000.00


1,000.00


Balance 1/1/64 By Dept. Revenue Tailings Balance 1/1/64


1,425.00


975.00


2,400.00


By Excess and Defiency


1,375.00


1,375.00


1,025.00


Veterans Benefits Recoveries Balance 1/1/64


Lien


40.00 900.00


940.00


940.00


940.00


State Auditing Tax By 1964 Revenue


260.86


4.00


264.86


264.86


By 1964 Revenue


State Examination of Retire-


581.25


1,499.00


917.75


917.75


581.25


By 1964 Revenue


1,890.40


1,890.40


1,890.40


1,890.40


Motor Vehicle Excise Bills


By 1964 Revenue


Balance 1/1/64


13,343.10


13,343.00


11,209.47


11,209.47


1,005.87


Sale of Cemetery Lots and


Graves Fund


Balance 1/1/64


54.60


54.60


54.60


54.60


By Dept. Revenue To Cemetery Improvement


304


To Surplus Revenue


State Parks and Reservation Tax 1,127.76


917.75


ment System


Account County Tax Balance 1/1/64 By 1964 Revenue To 1964 Revenue County T.B. Maintenance Tax By 1964 Revenue


1,153.35


1,153.35


1,153.35


1,153.35


1,734.14


102,435.26


104,169.40


95,811.59


1,734.14


97,545.73


6,623.67


6,433.89


6,433.89


6,433.89


6,433.89


Various Overpayments-Refunds


28,771.03


28,771.03


28,771.03


28,771.03


Total Agency, Trust and Investment & Refunds


1,127.76


404,729.72


404,729.72


347,624.11


17,743.16


365,367.27


38,234.69


Recapitulation :


General Government


152,140.83


8,129.03


160,269.86


147,199.35


967.96


148,167.31


7,468.76


4,633.79


Protection of Persons


478,901.54


5,616.04


484.517.58


473,018.60


487.00


473,505.60


8,633.74


2,378.24


Health and Sanitation


66,695.00


1,288.71


67,923.71


60,032.12


60,032.12


7,891.59


Highways


4,000.00


157,164.00


9,548.13


166,712.13


163,805.39


163,805.39


5,906.74


7,000.00


Charities and


Veterans Benefits


4,571.68


445,970.00


455,805.80


901,775.80


814,072.73


17,813.15


831,885.88


9,006.64


56,311.60


Schools and Library


1,078,660.00


110,776.83


189,436.83 1,145,551.30


1,593.13


1,147,144.43


10,839.92


31,452.48


Recreation and


Unclassified


120,693.00


4,621.95


125,314.95


121,495.88


121,495.88


2,894.87


924.20


Cemetery and


Enterprises


8,224.00


6,567.07


14,791.07


12,177.50


12,177.50


23.84


2,589.73


Special Accounts


8,000.00


99,277.31


182,725.50


282,002.81


180,864.99


4,207.76


185,072.75


16,259.97


74,873.66


2,203.57


Interest and Debt


123,250.00


5,584.38


128,834.38


128,834.38


128,834.38


Agency, Trust and


Investment and


Refunds


1,127.76


404,729.72


404,729.72


347,624.11


17,743.16


365,367.27


38,234.69


17,699.44 2,730,975.68


1,195,333.16 3,926,308.84 3,594,676.35


42,812.16


637,488.51


68,926.07


211,398.39


9,203.57


and Property


305


1


ANNUAL REPORT


OF THE


SCHOOL COMMITTEE


AND


Superintendent of Schools


BRIDGE


MA


INCORPORATED


3. 15. 1816


S


5


THE EYE C


IWEALTH


N


THE


COMM


OF THE


TOWN OF SOUTHBRIDGE


For Year Ending December 31, 1964


ANNUAL REPORT OF THE SCHOOL COMMITTEE AND SUPERINTENDENT OF SCHOOLS Southbridge School Committee 1964 -1965


Albert Bishop, 8 Meadowbrook Road, Chairman 1965 Raymond C. Previer, 119 Hartwell Street, Vice-Chairman . 1966


Raymond Brodeur, 99 Elm Street 1966 John Rossi, 18 Lyons Street 1965


Albert Langevin, 256 Hamilton Street 1967


Dr. Ralph R. Racicot, 192 Chapin Street 1967


Lorenzo Beaupre, 131 Central Street 1966


MEETINGS OF THE SCHOOL COMMITTEE


The regular meetings of the School Committee are held on the first Tuesday of each month at 8:00 p.m. in the office of the Superintendent of Schools, Mary E. Wells Junior High School building.


There are no regular meetings in July and August.


SUPERINTENDENT OF SCHOOLS


Robert L. Fox


Residence : 46 Columbus Avenue


Tel. 4-8400


Office : Mary E. Wells Junior High School .. Tel. 4-3285


SECRETARIES


Margaret R. Connolly, 14 South Street Tel. 4-6513


Mrs. Leona Lavoie, 62 Glenwood Street Tel. 4-6733


Lorenzo Beaupre, 131 Central Street 1966


The Superintendent's office is open from Monday through Friday, from 8:30 a.m. to 5:00 p.m.


SCHOOL PHYSICIANS


Dr. William Langevin, 24 Everett Street Tel. 4-7358


Dr. Adah B. Eccleston, 62 Elm Street Tel. 4-8141


SCHOOL NURSES


Mrs. Pauline Boucher, 405 Charlton Street Tel. 4-7772 Mrs. Virginia Page, 145 Central Street Tel. 4-3739


2


SCHOOL CALENDAR


Winter term, seven weeks January 4 - February 19


Spring term, seven weeks March 1 - April 16


Summer term, nine weeks April 23 - June 25


Fall term, sixteen weeks September 8 - December 23


NO SCHOOL SIGNALS


During the school year 1964-165, whenever wheather condi- tions are such that school authorities decide to cancel sessions for the elementary and junior high school students for the day, there will be two sets of eight blasts of the fire siren at 6:45 a.m.


Senior high school students will be expected to attend on all regular school days excepting when the weather makes travel impossible. In this case, there will be three sets of blasts of the fire siren, instead of two.


When it is necessary to make a decision regarding closing, schools will be closed for the entire day.


RADIO ANNOUNCEMENTS FOR NO SCHOOL


WESO


6:30 A. M.


6:45 A. M.


7:00 A. M.


WTAG


7:00 A. M.


7:28 A. M.


7:45 A. M.


WAAB


6:35 A. M.


7:15 A. M. 7:30 A. M.


ENROLLMENT OCTOBER 1, 1964


Boys Girls Boys Girls Boys Girls


Boys Girls


Boys Girls


Gr.


5-7


7-14


14-16


16 up


Total


1


92


95


20


14


112


109


2


26


38


67


57


93


95


3


98


69


98


69


4


81


79


81


79


5


83


102


2


1


85


103


6


104


84


1


1


106


84


7


75


63


14


10


1


90


73


8


63


76


20


16


2


4


85


96


9


13


19


46


82


8


7


67


108


10


11


54


73


16


11


70


95


11


35


34


43


41


78


75


12


19


11


48


66


67


77


Trade


3


46


137


186


Special


15


11


12


4


1


28


15


Tot. 118


133


622


585


249


231


257


129 1246 1078


3


Total Southbridge Public Schools 2,324 Total Notre Dame School 728 Total Sacred Heart School 214 Total St. Mary's School 498


Grand Total (all pupils attending school in Southbridge) 3,764


SCHOOL PERSONNEL


The name, date of appointment, official title, and degree appear in that order.


Robert L. Fox-1954, Superintendent of Schools M.ED


Kathryn Beauregard-1922, Guidance Counselor M.A.


Claire Birtz-1937, Supervisor of Art (Grades 7-12)


Lewis A. Kyrios-1938, Director of Guidance and Placement. D.ED


SOUTHBRIDGE HIGH SCHOOL


Name-Year Appointed Degree Held


M.Ed.


Edward J. Desroches-1949, Principal


Eugene J. Remian-1959, Assistant Principal, Director of Athletics B.S.


Nora B. Adams-1947, Secretary to Principal


Mary C. Clarke-1962, Clerk (Part-time)


Janet Baker-1964


A.B.


Paul Bergeron-1963 A.A., BB.E. Ed


Carroll Britch-1964 M.A.


Eva Casavant-1933 M.A.


Constance Coderre-1929 B.S.


John Conlon-1960


A.B.


Paul DiGrazia-1963


B.A.


Helen Emrich-1964


B.S.Ed.


Thecla Fitzgerald-1926


M.Ed.


James Forkey-1962


M.Ed.


Walter Gosk-1964


B.S.Ed.


Bernard Heavey, Jr .- 1964


Persis Howe-1930


B.S.Ed.


Joseph Jordan-1959 A.B. Math


Barbara Kyrios-1940 B.S.Ed.


James LaPietra-1964


B.A.


Melia LeBoeuf-1960 B.S.


Richard Leduc-1962 B.S.Ed.


Donald Marino-1958 B.A.


4


Richard McGrail-1963 M.Ed.


William Nickerson-1941 B.S.


Rose Proulx-1938 M.A.


Arnold Reppucci-1962 Mus.M.


Eugene Savage-1964 B.A.


Ralph Sennott-1962


B.S. in B.A.


Meredith Suld-1963 A.B., M.A.


Gregory Sullivan-1963 B.E.


P. Eugene Talbot-1963 A.B.


Judith Trudell-1964 A.B.


Roland Varin-1961 B.S.Ed.


Michael Veshia-1964 B.S.Ed.


Robert Young-1959 M.Ed.


Kathryn Beauregard-1922, Guidance Counselor and Dean of Girls M.A.


Claire Birtz-1937, Supervisor of Art (Grades 6-12)


Lewis A. Kyrios-1938, Director of Guidance and Placement D.Ed.


Catherine Theodoss-1964, Sect. to Guidance Dir. (part-time)


COLE TRADE HIGH SCHOOL PERSONNEL


Name-Year Appointed Degree Held


Raymond L. W. Benoit-1949, Director M.Ed.


Frank P. Skinyon-1934, Assistant Director B.S.Ed.


Elsie A. Hofstra-1933, Secretary to the Director


Alice Nichols-1960, Clerk


Paul W. Bergeron-1963 A.A., B.S.Ed.


Donald Bernard-1961 Assoc. Eng.


Anthony J. Chlapowski-1956 M.Ed.


Walter J. Glondek-1938


David F. Knight-1956


Charles Latino, Jr .- 1964


B.S.Ed.


Lucian J. Manchuk-1956


Arthur R. Metras-1962


William B. Paul-1942


Frank J. Polaski-1962


Edwin J. Waskiewicz-1952


Anatole J. Bombardier-1957, Janitor


Name-Year Appointed


Degree Held


Edward J. Desroches-1949, Principal M.Ed.


5


MARY E. WELLS JUNIOR HIGH SCHOOL


Name Year Appointed Degree Held


Raoul O. Lataille-1939, Principal M.Ed.


Virginia P. Slack-1962, Secretary to Principal B.S.


George Curtin-1963 B.Ed.


Alice Dion-1926


Joan Ferry-1964 B.S.


Francis Flanagan-1956 B.S.


John Hopkins-1964 M.Ed.


Claire Kirk-1949 M.Ed.


Thomas Mahoney -1954


M.Ed.


Edith Manzi-1957


B.S.


Virginia Maywalt-1962


B.S.


Margaret Monahan-1960


B.A.


Joseph Montigny-1959


B.S.


Stanley Naumnik-1954


B.S.Ed.


David O'Brien -1962


B.S.


Susan O'Dea-1964


B.A.


Raymond Renaud-1959 M.Ed.


Louise Robida-1962 B.S.


Joseph Santosuosso-1964 B.A.


M.Ed.


Paul Sturgis-1962 M.Ed.


B.A.


Carol Swirbliss-1962


B.A.


Peter Teguis-1963


B.S.Ed.


Robert Windheim-1959


M.Ed.


CHARLTON STREET SCHOOL


Name-Year Appointed Degree Held


Anne Hamel-1964, Grade I B.S. in Ed.


Mary Rischitelli-1964, Grade I B.A. in Ed.


Carroll H. Vangel-1961, Grade I


B.S. in Ed.


Joan Little-1955, Grade II


B.S. in Ed.


Dorothy M. Locke-1943, Grade II


Lorene Fierro-1954, Grade III B.S. in Ed.


Winifred Innis-1964, Grade III


B.S.


Dorothy Robida-1961, Grade IV B.S. in Ed.


Virginia Sullivan-1963, Grade IV B.S.


Candide B. Murphy-1962, Grade V B.E.


Richard O'Neil-1964, Grade V B.A.


Camella M. Dintini-1940, Principal B.S. in Ed., M.A.


6


Raymond Snow-1964


Celestine Sweet-1932


EASTFORD ROAD SCHOOL PERSONNEL


Name-Year Appointed Degree Held


Constance L. Ecuyer-1940, Principal M.A.


Alfreda Brousseau-1962, Grade V A.B.


Josette Dupuis-1948, Grade I. A.B.


Margaret Hughes-1963, Grade I B.S. Ed.


Lorna Lanza-1962, Grade III B.S. Ed.


Norman Naum-1963, Grade V B.S. Ed.


Barrie Proulx-1963, Grade III B.S. Ed.


Mary Puracchio-1963, Grade IV


B.S.


Anita Sfreddo-1963, Grade II


B.Mus.


Mary Skaza-1949, Grade II


Florida Tarquinio-1942, Grade IV B.S.Ed.


PLEASANT STREET SCHOOL


Name-Year Appointed Degree Held


Patricia Callahan-1939, Teaching Principal, Grade IV . . M.Ed.


Elizabeth Rogers-1962, Grade I B.A.


Schell, Donna I .- 1964, Grade II B.S.


Diritgt Sheriff-1945, Grade III


WEST STREET SCHOOL


Vincent J. Puracchio-1950, Principal M.A.


Maryalice W. Dion-1964, Grade III B.A.


Barbara A. Gianaris-1962, Grade I B.S.Ed.


Helen R. Golden-1948, Grade IV B.A.


Myrtle B. Jodrey-1944, Grade V


Katherine S. Karcasinas-1961, Grade II A.B.


Martha H. Koprowski-1954, Grade II B.S., B.S. Ed.


Genevieve R. Long-1960, Grade V A.B.


Madelene Y. Proulx-1954, Grade I M.A.


Eva P. Salviuolo-1943, Grade III B.S.Ed.


Rosalie Rubenstein-1959, Supervisor of Elementary Music


Anthony J. Santilli-1961, Supervisor of Elementary Physical Education B.S.


Richard Yucatonis-1964, Supervisor of Elementary


School Band


B.Mus.


CHANGE OF TEACHERS


APPOINTED :


Janet Baker-September Southbridge High School Judith Blanchard-September Southbridge High School


7


Carroll Britch-September . Southbridge High School


Helen Emrich-September


Southbridge High School Southbridge High School


Walter Gosk-September Bernard J. Heavey-September Southbridge High School Southbridge High School


James J. Lapietra-September


Eugene Savage-September Southbridge High School Michael Veshia-September Southbridge High School Charles A. Latino-September Cole Trade High School


Joan Ferry-September


Mary E. Wells Junior High




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