USA > Massachusetts > Worcester County > Oakham > Town annual reports of the officials of the town of Oakham, Massachusetts 1962 > Part 4
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I wish to thank everyone who helped make this past busy year a successful milestone in the history of the library building.
Respectfully submitted,
DOROTHY V. LUPA, Librarian
61
CEMETERIES
CEMETERIES
1.7
2.0
1.4
60
'€1
62
REPORT OF THE CEMETERY COMMITTEE
Cemeteries - General
Committee Salaries $ 45.00
Appropriation
600.00
Income from Perpetual Care and Annual Funds
482.39
Transferred from Income Account 289.73 $ 1,417.12
Committee Salaries
Expended $ 45.00
Labor and Materials 1,372.12 $
1,417.12
Annual and Perpetual Care Accounts
Balance Sale of Lots Account 1-1-62 $
127.50
Received - sale of lots 45.00
Balance Sale of Lots Account 12-31-62 $ 172.50
Annual Care of Lots Account
Annual Care of Lots Paid directly to Treasurer $ 88.00
Perpetual Care Funds
Perpetual Care Funds Received
$
50.00
Perpetual Care Funds to Treasurer $ 50.00
Respectfully submitted,
FREDERICK G. STONE, Secretary
62
ANNUAL REPORTS
GRAPHS OF OTHER CLASSIFICATIONS
8.6
4.7
3.5
60
'61
'62
Recreation and Unclassified
5.4
4.7
3.7
'60
19,
'62
Interest and Maturing Debt
3.5
4.3
4,0
60
'61
62
Assessments
5.8
5.3
6.3
'60
'61
'62
Agency & Trust- Refunds & Transfers
63
FINANCIAL REPORTS
FINANCIAL REPORTS
State Examiners' Balance Sheet Accounting Officers' Balance Sheet Receipts Appropriations and Transfers Statement of Accounts
Itemized Account of Expenditures
64
TOWN OF OAKHAM BALANCE SHEET -- AUGUST 20, 1962 GENERAL ACCOUNTS
ASSETS
LIABILITIES and RESERVES
Cash:
General
$ 16,370.49
Advance for Petty:
Library
10.00
Accounts Receivable:
Taxes:
Levy of 1959:
Payroll Deductions:
Poll
$ 4.00
Federal Taxes $ 313.74
Personal Prop.
55.00
State Taxes 48.24
Real Estate
389.26
County Retirement System 26.11
Levy of 1960:
$ 388.09
Poll
12.00
Dog Licenses - for County
98.25
Personal Prop.
172.94
Library Gifts
30.00
Real Estate
1,456.80
Mary Lincoln Alden Fund Income
3,416.16
Levy of 1961:
26.28
Poll
42.00
Personal Prop.
879.31
Disability Assistance $ 399.92
Real Estate
4,405.88
Aid to Dependent Children
525.62
Poll
130.00
Old Age Assistance
1,460.22
Personal Property
19,458.88
Real Estate
43,129.79
Medical Assistance for the aged 824.30
$ 70,135.86
$ 3,210.06
-
ANNUAL REPORTS
Tailings - Unclaimed checks Federal Grants:
Levy of 1962:
Temporary Loans: In anticipation of Revenue 1962 State and County Assessments 1962: State Recreation Areas $ 314.19
$ 25,000.00
County Tax 2,997.35 $ 3,311.54
Motor Vehicle and Trailer Excise:
Levy of 1959 $ 167,49
Levy of 1960 645.14
Levy of 1961
2,256.15
Levy of 1962
5,061.00
$ 8,129.78
Farm Animal Excise:
Levy of 1959
$ 19.04
127.50
Levy of 1960
59.93
Levy of 1961
56.84
Levy of 1962
185.43
$ 321.24
Tax Titles and Possessions:
Tax Titles $ 180.54
Tax Possessions
63.90
$ 244.44
Departmental:
General Relief
$ 1,296.55
Old Age Assistance
452.48
Veterans' Services
462.60
Cemetery 111.00
$ 2,322.63
Aid to Highways: State 12,100.00
Estimated Receipts - to be collected
34,923.31
Unprovided for or Overdrawn Accounts: Trust Fund Income - to be Withdrawn:
Revolving Fund: School Lunch Appropriation Balances: Revenue $ 64.988.39 Non-Revenue: Fire Station Const. 13.22
314.65
FINANCIAL REPORTS
5,089.32 547.87
Reserve Fund - Overlay Surplus Overlays Reserved for Abatements: Levy of 1959 $ 125.13
Levy of 1960
536.39
Levy of 1961 757.89
Levy of 1962 3,257.47
$
4,676.88
Revenue Reserved until Collected: Motor Vehicle & Trailer Excise $ 8,129.78
Farm Animal Excise 321.24
Tax Title and
Possession 244.44
Departmental 2,322.63
65
65,001.61 $
Sale of Cemetery Lots Fund Receipts Reserved for Appropriations: Bicentennial
Celebration $ 1,532.84
Road Machinery 3,556.48 $
Library $ 647.70 Cemetery Perpetual Care 58.02
$
705.72
Aid to Highway 12,100.00
$ 23,118.09
Reserve for Petty Cash Advance 10.00 Surplus Revenue 23,061.66
Overdrawn Appropriations: Highways - Chap. 81 Maintenance $ 10,453.96
Road Machinery Acct.
78.00
Veterans' Services 715.20
Cemetery
48.45
Bicentennial Celebration 868.88
$ 12,164.49
$ 157,427.96
$ 157,427.96
DEBT ACCOUNTS
Net Funded or Fixed Debt: Inside Debt Limit Outside Debt Limit
$ 8,000.00 5,000.00
Serial Loans: Inside Debt Limit: Fire Station $ 4,000.00 Fire Dept. Equipment 4,000.00 $ 8,000.00
Outside Debt Limit: School Building 5,000.00 $ 13,000.00
$ 13,000.00
66
ANNUAL REPORTS
TRUST AND INVESTMENT ACCOUNTS
Trust and Investment Funds: Cash and Securities $ 53,263.28
Mary Lincoln Alden Charity Fund $ 18,315.52
Library Funds:
Alfred Parks Wright, $ 764.21
The Fobes Memorial
3,128.37
B. P. Clark
1,226.44
J. H. O. Lovell
356.14
Samuel R. Dean
1,854.42
Ethel Braman
151.68
Carl Wheeler
1,231.97
Harriet F. Gifford
6,032.96
$ 14,746.19
Henry Wright Park Fund
431.45
Cemetery Perpetual Care Funds
13,809.08
Post-War Rehabilitation Fund 436.05
Stabilization Fund
5,524.99
$ 53,263.28
$ 53,263.28
FINANCIAL REPORTS
67
68
TOWN OF OAKHAM BALANCE SHEET -- DECEMBER 31, 1962
ASSETS
LIABILITIES and RESERVES
Cash:
General
$ 30,189.71
Advance for Petty:
Library
10.00
Agency:
Library Gifts $ 30.00
Payroll Deductions:
Levy of 1959:
Poll
$
4.00
Personal Property
55.00
Real Estate
296.26
Levy of 1960:
1.75
Poll
12.00
Personal Property
136.59
Unclaimed Checks
26.28
Real Estate
1,032.32
Federal Grants:
Levy of 1961:
Poll
38.00
Personal Property
839.71
Real Estate
3,147.32
Levy of 1962:
Poll
70.00
Personal Property
1,232.16
Real Estate
6,934.71
$ 13,798.07
Non-Revenue,
Fire Station Construction 13.22
ANNUAL REPORTS
$ 3,500.76
Appropriation Balances: Revenue General
1,940.94
Motor Vehicles and Trailer Excise:
Temporary Loan: In anticipation of Highway Reimbursement 1962 $ 12,100.00
Accounts Receivable: Taxes:
Federal Taxes 714.24
State Taxes 125.52
County Retirement 76.18
$ 945.94
Dog Licenses - For County Tailings:
Disability Assistance 399.92
Medical Aid for Aged 900.95
Aid to Dependent Children 323.72
Old Age Assistance
1,876.17
Levy of 1959 152.26
Levy of 1960
612.22
Levy of 1961
2,044.89
Levy of 1962
4,448.37
Overestimates 1962: County Tax 155.01 State Parks & Reservations 28.37
$ 183.38
Farm Animal Excise:
Levy of 1959 19.04
Levy of 1960
32.84
Levy of 1961
56.84
Levy of 1962
73.17
$
3,652.43
$ 181.89
Sale of Cemetery Lot Fund Cemetery Perpetual Care
172.50
Tax Titles and Possessions:
Tax Titles
180.54
Tax Possessions
63.90
$ 244.44
Departmental:
General Relief
$1,296.55
Aid to Dependent Children
38.33
Veterans' Services
462.60
Cemetery
99.00
$ 1,896.48
Aid to Highways:
State
20,100.00
Departmental 1,896.48
Aid to Highways
13,000.00
Reserve for Petty Cash Surplus Revenue
$ 22,580.55 10.00 30,044.70
69
$ 78,678.33
$ 78,678.33
FINANCIAL REPORTS
Levy of 1960 536.39
-
Levy of 1961 757.89
Levy of 1962
2,084.47
$
3,503.88
Revenue Reserved until Collected: Motor Vehicle and Trailer Excise 7,257.74
Farm Animal Excise 181.89
Tax Title and Possessions 244.44
County
5,000.00
$ 25,100.00
$ 7,257.74
Receipts Reserved for Appropriation: Road Machinery 2,363.88 Bicentennial Celebration 618.44
Reserve Fund
Overlay Surplus 670.11
2.00
Overlays Reserved for Abatements: Levy of 1959 125.13
70
ANNUAL REPORTS
RECEIPTS FOR 1962 GENERAL REVENUE
Taxes: Current year: Real Estate Personal Poll
$ 40,959.28 18,691.84 232.00
Reimbursement for Loss of Taxes - State In lieu of taxes - Metropolitan Water Dist.
1,908.40
6,887.18
Previous years: Real Estate
$$ 9,118.32
Personal
639.01
Poll
36.00
$ 9,793.33
Tax Title Redemption
From the State:
Income
$ 8,395.67
Corporation
3,120.00
$ 11,515.67
Licenses and Permits: Licenses 14.50
Grants and Gifts:
From the Federal Government:
Old Age Assistance
$ 7,838.60
Aid to Dependent Children
328.00
Medical Aid for Aged
76.65
8,243.25 $
From the State:
School Transportation
$ 17,230.36
Vocational Education
1,205.51
Highways - Chapter 81
10,290.04
Union Superintendent
98.82
Div. of Livestock - Disease Control
17.50
Meals Tax
481.30
Library
500.00
29,823.53 $
From the County: Dog License Refund
$159.82
Commercial Revenue
Privileges: Motor Vehicle Excise $ 11,919.43 211.61
Farm Animal Excise
$ 12,131.04
$ 59,883.12
0.00
71
FINANCIAL REPORTS
General Government Treasurer
10.75
Protection of Persons and Property
Fire Department
36.00
Sealer of Weights & Measures
2.00
Worcester County:
Dutch Elm Disease $ 28.92
Service of Dog Officer 68.00
Wildcat Bounty
20.00 $
116.92 $
154.92
Highways
Chap. 90 Maint. from State $ 1,999.87
Chap. 90 Maint. from County 1,999.87
Chap. 90 Const. from State
8,489.07
Chap. 90 Constr. from County
4,244.54
Town of New Braintree
Machinery Rentals
89.50
Machinery Rentals
4,576.90
$
21,399.75
Public Assistance
Medical Aid for Aged - State $ 146.77
Aid to Dependent Children:
State $ 219.85
Individuals
75.00
294.85
Old Age Assistance
State $ 4,019.37
Towns
125.25
Individuals
47.00
4,191.62
4,633.24
Veterans Benefits - State School Lunch Program: From Sale of Lunches
$
4,012.69
From State
3,592.21
$ 4,371.91
Library:
Book Fines 7.25
Bicentennial Receipts
From
Couples Club - Ball
$ 246.64
PTA - Play
261.67
Volunteer Group - Supper
376.17
Old Home Days
Proceeds from concessions
Pilgrim Fellowship $ 48.61
Pete's Novelties 25.00 No. Brookfield Lions Club 20.54
Esther Rood 20.00
4-H Club 18.53
20.00
72
ANNUAL REPORTS
John Fargnoli
15.00
Bill's Snackmobile 10.65
Joe Phelps 7.40
$ 165.73
Band Sponsors
Dean Company $ 75.00
Trifilo Bros. 75.00
Worc. Co. Nat. Bank 75.00
Krussell Insurance Agcy. 40.00
$ 265.00
Tagging
$ 275.12
Bicentennial Ball
$
109.00
Sale of books, badges and stationery $ 419.11
$ 2,118.44
Note: $100 received from Charles G. Allen Co. will appear in 1963 receipts.
Sale of Land of low value
40.00
New England Tel. & Tel.
3.06
National Defense Education Title III
177.66
Commercial Revenue - Cemeteries
Sale of Lots
$
75.00
Annual Care of Lots
88.00
$ 163.00
Commercial Revenue - Interest
On Deferred Taxes $ 316.68
On Cemetery Funds 484.39
$ 801.07
Municipal Indebtedness
Loans in Anticipation of Revenue from Taxes $ 25,000.00
Loans in anticipation of Revenue
from Highway Reimbursements
Chapter 81 $ 12,100.00 $ 37,100.00
Agency, Trust and Investment
Payroll Deductions:
Federal Withholding Taxes $ 5,116.72
County Retirement
727.03
State Withholding Taxes
460.34
Dog Licenses for County
246.00
Cemetery Perpetual Care Bequests
50.00
Cemetery Perpetual Care Funds
654.70
Library Funds The Fobes
Memorial Fund $ 1,000.00 B. F. Clark Library Fund 136.87 1,136.87
73
FINANCIAL REPORTS
Alden Fund
Tailings - Checks not cashed
539.76 12.00
$ 8,943.42
Refunds:
Interest
$ 3.06
Library
6.00
Miscellaneous
1.50
$ 10.56
Total
$ 220,314.87
Less Alden Fund
539.76
Total Receipts
$ 219,775.11
APPROPRIATIONS and TRANSFERS Appropriations Voted at Annual Town Meeting March 5, 1962
General Government:
Moderator
$ 20.00
Selectmen
600.00
Auditing
450.00
Treasurer
600.00
Collector
600.00
Assessors
550.00
Planning Board
50.00
Legal
50.00
Town Clerk
250.00
Elections and Registrations
300.00
Town Hall Maintenance
1,200.00
Total General
$
4,670.00
Public Safety
Police Department
$ 600.00
Fire Department
2,500.00
Sealer of Weights & Measures
20.00
Inspection of Wires
25.00
Insect Pest Control
150.00
Dutch Elm Disease
500.00
Tree Warden
150.00
Dog Officer
75.00
Civil Defense
50.00
Compensation Insurance
800.00
$ 4,870.00
Health and Sanitation:
Board of Health
$ 50.00
Town Dump
200.00
Inspection of Animals
35.00
74
ANNUAL REPORTS
Inspection of Slaughtering 25.00
S 310.00
Streets and Highways:
Snow Removal and Sanding
$ 8,500.00
Street Lights
500.00
Chapter 81 Maintenance
1,100.00
Chapter 90 Maintenance
2,000.00
Chapter 90 Construction.
3,000.00
$ 15,100.00
Public Assistance:
Public Assistance & Admin.
$ 10,500.00
Veterans' Services
200.00
$
10,700.00
Schools and Education:
School Comm. Salaries
$ 125.00
School Expenses
73,622.62
Adult Vocational Education
1,404.00
National Defense Education Acct.
417.50
Library Trustees Salaries
45.00
Library Expenses
(plus dog tax returns)
1,200.00
$ 76,814.12
Recreation and Unclassified:
Care of Town Common
$ 150.00
Wright Park Maintenance
100.00
Memorial Day Observances
100.00
Care of Town Clock
50.00
Annual Reports
550.00
4-H Club
100.00
Worceser County Retirement
628.41
School Study Committee
50.00
Stabilization Fund
4,000.00
$ 5,728.41
Cemeteries:
Cemetery Comm. Salaries
$ 45.00
General Care of Cemeteries (plus interest)
600.00
$ 645.00
Interest and Maturing Debt
Interest
$ 700.00
Maturing Debts
4,500.00
$
5,200.00
Total raised and appropriate at Annual Town Meeting
$ 124,037.53 Appropriations from Available Funds in the Treasury Voted at Annual Town Meeting Chapter 90 Maintenance $ 4,000.00
75
FINANCIAL REPORTS
Chapter 90 Construction
9,000.00 8,000.00
To reduce tax levy
$ 21,000.00
Appropriations from Overlay Surplus
Voted at Annual Town Meeting $ 1,000.00
Total appropriated from Overlay Surplus 1,000.00
Transfers
From Highway Machinery Fund to Highway Machinery Account Annual Town Meeting $ 2,000.00 Special Town Meeting November 16, 1963 2,500.00 $ 4,500.00
From Public Assistance and Administration to Veterans' Services $ 800.00
From Bicentennial Receipts to Bicentennial Celebration 1,500.00 $ 6,800.00
Assessments (Included by Assessors in 1962 Tax Levy)
Worcester County
Tuberculosis Hospital $ 873.49
County Tax 2,997.35 $ 3,870.84
Commonwealth of Massachusetts
State Parks & Reservations $ 314.19
$ 4,185.03
Loans
Anticipation of Reimbursement Chapter 81 Maint.
$ 12,100.00
Anticipation of Taxes $ 25,000.00 $ 37,100.00
Revolving Funds carried over from 1961 or Started in 1962 Balance Receipts 1-1-62
Available ·
Fire Station Const. $ 13.22 $
0.00 $
13.22
Civil Defense
236.74
50.00
286.74
Public Assistance
Federal Accounts
399.92
0.00
399.92
Medical Aid for Aged
824.30
76.65
900.95
Aid to Dependent Children 432.22
328.00
760.22
Old Age Assistance
1,675.77
7,838.60
9,514.37
School Cafeteria Classroom
1,058.60
0.00
1,058.60
School Study Committee
50.00
50.00
Regional Planning Committee School
100.00
100.00
76
ANNUAL REPORTS
School Lunch Program
*90.35
4,371.91
4,281.56
Bicentennial Celebration
1,462.27
1,500.00
2,962.27
Tax Title Foreclosures
203.67
0.00
203.67
Wright Park Facilities
33.95
0.00
33.95
*Deficit
Totals
$ 6,250.31 $
14,315.16 $ 20,565.47
Reserve Fund
Transferred from Overlay Surplus
$ 1,000.00
Transfers approved by Selectmen
Chapter 90 Const. $ 35.26
Interest
134.67
Land Taking Appraisal
140.00
Memorial Day
35.00
Wright Park Maintenance
11.00
Workmen's Compensation
Insurance
113.27
Selectmen
9.80
Treasurer
21.90
Memorial Hall Maint.
156.90
Snow and Sand
129.80
Highways
83.30
4-H Club
6.86
$ 877.76
Balance Returned to Overlay Surplus 122.24 $
STATEMENT OF ACCOUNTS General Government
Amount Available
Amount Spent
Balance 12-31-62
Moderator
$
20.00 $
20.00 $
0.00
Selectmen
609.80
609.80
0.00
Auditing
450.00
426.95
23.05
Treasurer
621.90
621.90
0.00
Tax Collector
600.00
576.73
23.27
Assessors
550.00
442.20
107.80
Town Clerk
250.00
217.84
32.16
Planning Board
50.00
0.00
50.00
Legal
50.00
50.00
0.00
Election & Registration
300.00
290.20
9.80
Memorial Hall Maint.
1,356.90
1,356.90
0.00
Totals
$ 4,858.60 $
4,612.52 $
246.08
Public Safety
Police Department
$
600.00 $
599.94 $
.06
Fire Department
2,500.00
2,478.20
21.80
Fire Station
13.22
0.00
13.22
1,000.00
77
FINANCIAL REPORTS
Sealer of Weights & Meas.
20.00
20.00
0.00
Civil Defense
286.74
0.00
286.74
Inspection of Wires
25.00
25.00
0.00
Dog Officer
75.00
75.00
0.00
Insect Pest Control
150.00
150.00
0.00
Dutch Elm Disease
500.00
497.55
2.45
Tree Warden
150.00
145.40
4.60
Workmen's Comp. Insurance 913.27
913.27
0.00
Wildcat Bounty
10.00
10.00
0.00
Totals
$ 5,243.23 $ Health and Sanitation
4,914.36 $
328.87
Board of Health
$
50.00 $
9.46 $
40.54
Town Dump
200.00
155.40
44.60
Inspector of Animals
35.00
35.00
0.00
Inspector of Slaughtering
25.00
25.00
0.00
Totals
$ 310.00 $
224.86 $
85.14
Highways
Chap. 81 Maintenance
$ *13,200.00 $
13,199.65 $
.35
Snow and Sand
8,629.80
8,629.80
0.00
Street Lights
500.00
490.01
9.99
Chap. 90 Maintenance
6,000.00
5,999.81
.19
Chap. 90 Construction
12,233.60
12,232,25
1.35
Highways
83.30
83.30
0.00
Land Taking Appraisal
140.00
140.00
0.00
Machinery Account
4,500.00
4,392.40
107.60
Totals
$ 45,286.70 $ 45,167.22 $ 119.48
*$2,889.30 transferred to Snow and Sand
Public Assistance and Veterans' Services
Public Assistance
Town Account $ *9,822.00
Old Age Assistance
$ 5,811.35
Disability Assistance
0.00
Aid to Dep. Children
381.70
Medical Aid for Aged
774.70
General Relief
148.20
Administration
350.00
2,356.05
*$800 transferred to Veterans' Services at Special Town Meeting 11-16-62.
Federal Account
Disability Assist. $ 399.92 $
0.00 $
399.92
Medical Aid for Aged
900.95
0.00
900.95
Aid to Dep. Children
760.22
436.50
323.72
Old Age Assistance
9,514.37
7,638.20
1,876.17
78
ANNUAL REPORTS
Veterans Services
1,000.00
1,000.00
0.00
Totals
$ 22,397.46 $ 16,540.65 $
5.856.81
Schools and Library
School Comm. Salaries
125.00 $
125.00 $
0.00
National Defense
.Education Act
417.50
27.42
390.08
School Department
73,622.62
72,686.79
935.83
Vocational Education
1,404.00
1,292.60
111.40
Cafeteria Classroom
1,058.60
0.00
1,058.60
School Study Committee
50.00
0.00
50.00
Regional Planning Comm.
100.00
48.77
51.23
School Lunch Program
. - 4,281.56
4,024.85
256.71
Library
2,502.69
2,500.96
1.73
Library Trustees' Salaries
45.00
45.00
0.00
$ 83,606.97 $ 80,751.39
$ 2,855.58
Recreation and Unclassified
Wright Park Facilities $
33.95 $
0.00 $
33.95
Wright Park Maint.
111.00
111.00
0.00
4-H Club
106.86
106.86
0.00
Care of Town Common
150.00
107.89
42.11
Care of Town Clock
50.00
0.00
50.00
Worc. County Retirement
628.41
628.41
0.00
Bicentennial Celebration
2,962.27
2,962.23
.04
Town Reports
550.00
510.90
39.10
Memorial Day
135.00
135.00
0.00
Stabilization Fund
4,000.00
4,000.00
0.00
Totals
$ 8,727.49 $
8,562.29 $
165.20
Cemeteries
Cemetery Comm.
$ 45.00 $
45.00 $
0.00
General Care of Cemetery 1,372.12
1,372.12
0.00
$ 1,417.12 $
1,417.12 $
0.00
Interest
Interest and Maturing Debt $ 837.73 $ 4,500.00
837.73 $
0.00
Maturing Debt
4,500.00
0.00
$ 5,337.73 $
5,337.73 $
0.00
Assessment
County T. B. Hospital
$ 873.49 $
873.49 $
0.00
County Tax
2,997.35
2,842.34
155.01
State Parks & Reservations 314.19
285.82
28.37
$ 4,185.03 $ 4,001.65 $ 183.38
79
FINANCIAL REPORTS
Refunds
Motor Vehicle Excise
$ 209.98 $
209.98 $ 0.00
Real Estate
560.00
560.00
0.00
Other
1.50
1.50
0.00
$ 771.48 $
771.48 $
0.00
Retirement and Withholding Payments
Federal Withholding
$ 5,116.72 $
4,402.48 $
714.24
Mass. Income Tax
562.99
437.47
125.52
County Retirement
727.03
650.85
76.18
$ 6,406.74 $
5,490.80 $
915.94
Temporary Loans
Highway
$ 32,100.00 $
20,0000.0 $
12,100.00
General
25,000.00
25,000.00
0.00
$ 57,100.00 $ 45,000.00 $ 12,100.00
Licenses
Dog Licenses
to County
$ 246.00 $
244.25 $
1.75
Cemetery Perpetual Care Bequests
Perpetual Care Funds $ 50.00 $
50.00 $
0.00
Sale of Cemetery Lots
30.00
30.00
0.00
General Expenditures
$223,116.32
Alden Fund
529.44
Total
$223,645.76
ITEMIZED ACCOUNT OF EXPENDITURES GENERAL GOVERNMENT Moderator
F. W. Lane, Salary
$ 20.00 $ 20.00
Selectmen
Salaries
R. H. Lonergan,
-1
Chairman & Clerk $
150.00
J. P. O'Donnell
100.00
W. W. Nelson
100.00
$ 350.00
Expenses
N. E. T. & T. Co. $ 166.21
R. Lonergan, W. Nelson
28.00
Barre Gazette 22.85
-
Worcester Blueprint Co. 5.40
R. T. Quigley . 1.34
M. Butler
1.95
80
ANNUAL REPORTS
Dues
18.25 15.00
Sylvia Hudson
$ 259.00 $ 609.00
Auditing
R. Langley, Acc. Officer $
133.33
Gene Connolly,
Acc. Officer
273.62
C. M. Billings
20.00
$ 426.95 $
426.95
Treasury
Salaries
James Barringer $ 400.00 $ 400.00
Expenses
Printing, stationery & postage
James Barringer $ 93.30
Max Kuhner
14.00
Butler's Store
10.50
$ 117.80
Surety Bond
Stark, Johnson
& Stinson
45.60
$ 45.60
Other
Burroughs Corp. $ 46.00
Worc. County Nat. Bank
5.50
Comm. of Mass.
4.00
Dues
3.00
$ 58.50
$ 621.90
Collector
Salary
Maude M. Stone
$ 400.00 $ 400.00
Expenses
Printing, postage and stationery
Barre Gazette $ 41.91
Maude Stone
26.00
Palson's
9.25
Hobbs and Warren
1.33
$ 78.49
Surety Bond
Stark, Johnson & Stinson
$ 75.60 $
75.60
All Other
Hobbs & Warren
$ 15.64
Registry of Deeds
4.00
Dues
3.00
$ 22.64
$ 576.73
81
FINANCIAL REPORTS
Assessors
Salaries
C. M. Rood, Ch'man $ 125.00
L. Szczuka 100.00
W. F. Brennan 100.00
Dorothy P. Day, Clerk 75.00
$ 400.00
Printing, postage & stationery Hobbs & Warren $ 11.00
$ 11.00
Abstracts
Worc. County Abstract
Company
$ 31.20 $ 31.20
$ 442.20
Planning Board
None
Legal Expenses
Igoe & Beaudette
$ 50.00 $ 50.00
Town Clerk
Salaries & Wages Dorothy P. Day
$ 150.00
Recording Fees Comm. of Mass. $ 9.00
Printing, Stationery and Postage Dorothy P. Day $ 21.74
Hobbs & Warren 2.85 $ 24.59
Surety Bond Healy Bros.
$ 10.00
All other No. Brookfield News $ 12.75
Dues
11.50
$ 24.25
$ 217.84
Elections and Registrations
Registrars
Dorothy P. Day $ 21.00 $ 21.00
Election Officers
Town Meeting $ 48.00
Primaries
34.00
State Elections
70.00
$ 152.00
Printing stationery & postage Barre Gazette $ 57.20
82
ANNUAL REPORTS
All other
Ann Troy, Census 60.00
$ 290.20
Town Hall Maintenance
Salaries and Wages
Charles Casault
$ 118.00
Light
Mass. Electric Company
$ 551.09
Janitor's supplies
R. T. Quigley
$
25.02
Baroni Glass
1.25
$ 26.27
Insurance
I. E. Irish, Inc. $ 185.95
Krussell Ins. Agency
287.72
$ 473.67
All other
LeRoy Spinney
$ 11.50
R. T. Quigley
1.48
$
12.98
Repairs
Baroni Glass $ 11.05
Athol-Orange Lumber Co.
73.84
Robert J. Duval
90.00
$ 174.89 $ 1,356.90
PUBLIC SAFETY Police Department
Salaries and Wages Officer's Wages
$ 286.00
Equipment and Repairs Radio Electronic Sales $
132.99
Del Padre Supply
6.85
Springfield Radio
5.90
DeMambro Radio Supply
2.75
David Hinckley
64.25
Al Stretton
14.50
A. Robert Grenier
19.20
$ 246.44
All other
Comm. of Mass. $ 5.00
Krussell Ins. Agency
62.50
Fire Department $ 67.50 $ 599.94
Salaries and wages None
83
FINANCIAL REPORTS
Equipment and Repairs
Kelly Square Tire Co. $
168.00
City Auto Parts
117.04
International Harvester
106.69
Joseph Klemavich
15.00
Maynard Fire Equip. Co.
166.67
George Green
7.61
Stone's Oil Service
2.96
Industrial Supplies
10.19
Center Auto Body
1.00
C. S. Lyman
31.60
Jordan's Auto Body
100.00
John Lane
3.00
$
729.76
Gasoline
Labonte's Filling Station
$
21.65
& GAS
Fay's Esso Station
32.34
$ 53.99
Fuel
Stone's Oil Service
346.21
Light
Mass. Electric Co.
$
106.80
Telephone
N .E. T. & T. Co.
$
315.56
Insurance Krussell Insurance Agency
$
691.16
All Other
Henry Modell Co. $
19.50 tane inatt
R. Ciraso
30.00 books
David Deane
100 68
Halprin Supply Co.
51.75
145 A
Gilbertville Trucking
8.79
Hace etc
Dues, etc.
24.00
NEFPA
$ 234.72
$
2,478.20
Wildcat Bounty
Prescott Adams
$ 10.00 $
10.00
Sealer of Weights and Measures
Salaries and wages Frederick G. Stone
$ 20.00 $
20.00
Wire Inspector
Salaries and wages LeRoy C. Spinney
$ 25.00 $
25.00
Insect Pest Control
Poison ivy control
Walter P. Harrington
$ 150.00 $
150.00
LO2
ail matey H 3 Body adjust Brakes
Taxa Repaint
-
In ine Parle
Porte # 2
SICH AZ
Battery is
$1459.73
badger
84
ANNUAL REPORTS
Dutch Elm Disease
Salaries and wages $ 497.55 $ 497.55
Tree Warden
Salaries and wages
Dog Officer $ 145.40 $ 145.40
Care and destroying dogs Waclaw Smichinski $
68.00
Expenses Waclaw Smichinski $
7.00
$
75.00
Compensation Insurance
Krussell Insurance Agency $ 913.27 $
913.27
Health and Sanitation
Polio Clinic
Joseph Britton $ 2.39 $
2.39
Tubercular Hospital Assessment
Worcester County Hospital
$ 873.49 $
873.49
Care of Town Dump
Bulldozing
E. W. Sykes $ 106.00
H. K. Bigelow
30.00
$ 136.00 $
136.00
Rodent Control
Joseph Britton $ 7.07
Rodent Control Fund
5.10
Signs
Barre Gazette
$
14.30 $
14.30
Henry W. Stone, Jr.
$
35.00 $
35.00
Inspection of Slaughtering
Henry W. Stone, Jr. $
25.00 $
25.00
$
12.17 $
12.17
Inspection of Animals
HIGHWAY DEPARTMENT
Chap. 81M
Chap. 90M
Chap. 90C
Snow & Sand
Total
$ 2,665.60 $
515.25 $
1,165.50 $
1,213.00 $
5,559.35
3,342.80
404.00
955.40
1,434.10
6,136.30
64.60
27.20
702.10
117.20
911.10
85.00
35.00
55.00
20.00
195.00
Total Labor and Supervision
$
6,158.00 $
981.45 $
2,878.00 $
2,784.30 $
12,801.75
Town Equipment Chain Saw
$
75.00
$
75.00
Trucks
870.40 $
169.60 $
696.00 $
513.00
$ 2,249.00
Plows
35.50
141.00
176.50
Tractor
860.00
118.00
348.00
172.40
1,498.40
Sander
162.00
68.00
4.00
336.00
570.00
Total Town Equipment
$ 2,002.90 $
355.60 $
1,048.00 $
1,162.40 $
4,568.90
Outside Equipment
Town of Hardwick
$ 40.00
$
40.00
Jamara Bros.
$ 119.00
337.50
$
70.50
527.00
Gray, H.
892.50
221.00
$
793.00
972.50
2,879.00
Young R.
1,433.00
546.00
2,320.00
1,342.00
5,641.00
Holbrook, J.
56.00
56.00
New Braintree Highway Department
77.00
77.00
Regienus, A.
30.00
30.00
60.00
Rossi, A.
138.00
138.00
Sykes, E.
173.00
173.00
Hebert, C.
132.00
132.00
-
FINANCIAL REPORTS
85
Paid To Labor and Supervision Supervision Drivers Labor Clerk
Varnum D. Zelnia, J.
120.00
20.00
120.00 20.00
Total Outside Equipment
$ 2,726.50 $
1,277.50 $
3,454.00 $
2,405.00 $
9,863.00
Materials
Bituminous Dist. Service
$ 864.25 $
2,363.05 $
805.66
$ 4,032.96
Holden Trap Rock
331.40
693.91
29.98
1,055.29
Jamara Bros.
737.49
308.30
1,341.99 $
2,387.78
Zelnia, W.
20.00
109.12
129.12
Zukus, W.
309.45
309.45
Hardwick Farmers Exchange
29.30
20.90
50.20
Worcester Foundry
178.00
178.00
Wirthmore Stores
4.35
18.00
22.35
Miller, J.
16.40
13.80
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