Town of Agawam, Massachusetts annual report 1931-1935, Part 12

Author: Agawam (Mass. : Town)
Publication date: 1931
Publisher: Agawam (Mass. : Town)
Number of Pages: 812


USA > Massachusetts > Hampden County > Agawam > Town of Agawam, Massachusetts annual report 1931-1935 > Part 12


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Agawam


Bella F. Provost


Agawam


August 7


Silvio DeGeorge


Agawam


Agawam


Amelia F. Duclos


Agawam


June 22


Dominec Crupi


Springfield .


Agawam


Lucy Maiolo


Agawam


August 18 Enfield, Conn.


Vera Belle Pomeroy


Springfield


August 25


Robert D. Guess


Springfield


Agawam


Ebba O. Swanson


Agawam


August 28


Joseph W. Statkun Stella Galica


Agawam


Chicopee


Joseph L. Cardone


Agawam


August 28 Chicopee


Bertha Desmarais


Chicopee


September 2


Anthony G. Circosta


Agawam


West Springfield


Mary F. Fabrcoini


West Springfield


September 4 Springfield


Walter L. Wilson


Agawam


Olga Kapansky


Springfield


Joseph H. Mercadante


Agawam


Raymond Parent


Agawam


Pauline T. Corriveau


Agawam


Alice Wircinger


West Springfield


Everett A. Kellogg


Agawam


Chicopee


29


September 4 Springfield September 4 Springfield September 13 Agawam


Joseph R. Guidi


Agawam


Claudia Forni


Agawam


William Scibelli


Springfield


Annunziata Liquori


Agawam


Pelton Ferry


Glastonbury, Conn.


Eunice E. Wells


Agawam


September 14 Springfield


Roa Audi


Springfield


September 16


Ernest J. Duval


Agawam


Agawam


Mary Smidek


Agawam


Adolph Rother


Springfield


September 18 Agawam


Edna R. Harpin


Agawam


September 28 West Springfield


Mary Fusick


Agawam


October 6


Rystum George


Seekonk, Mass.


Springfield


Marie Mason


Agawam


October 7


Carl A. Sabin


Agawam


Springfield


Eva N. Stimson


Springfield


October 9 Springfield


Gertrude F Putnam


Agawam


October 12 Agawam


Katherine R. Ardizoni


Agawam


October 12


Charles A. Goodreau, Jr.


West Springfield


Agawam


Evelyn B. Duclos


Agawam


October 16 Springfield


Anna Drenowski


Agawam


October 21 Springfield


Ruby G. Phelps


Agawam


October 21 Belchertown


Marion T. Harlow


Agawam


October 28


Howard R. Gibbs


Agawam


Agawam


Emily L. Burnett


Agawam


November 11 Springfield


Carmela Malone


Agawam


November 12


Wellington H. Wells


Agawam


Agawam


Verna M. Fox


Agawam


November 17


Roy P. Pdant


Springfield


Agawam


Ruth Tibbetts


Springfield


November 23 Enfield, Conn.


Rose Albano


Thompsonville, Conn.


November 25


George E. LaFountain


Springfield


Thompsonville, Conn. Doris Provost


Nicholas Natle


Agawam


Helen Mosher


Chicopee


November 25 Springfield


Anna Fesoceua


Springfield


November 28 Springfield


Ida Melo


Springfield


November 30


Alfred E. Mongeon


Warren, Mass.


. West Springfield


Katherine MacIver


Agawam


November 25 Chicopee


Thomas Russo


Agawam


Agawam


Edward Modzelewski


Agawam


Armando Vancini


Agawam


Ernest G. Ferry


Springfield


John L. Hatcher


Agawam


Clayton E. Aldrich


West Springfield


Michael A. Statkun


Agawam


Harry P. Dickinson


Agawam


John W. Biggerstaff


Suffield, Conn.


Charles Fazio


E. Longmeadow


Rosario Mazza


Agawam


30


November 30 Agawam December 2 Springfield December 18 Springfield December 30 Agawam


Frederick Rommalfauger Leona Jolly


Springfield Agawam


Paul V. Ferrarini


Agawam


Louise Laudati


Springfield


Joseph Franciamore


Hartford, Conn.


Ruth Johnson


Agawam


Walter Shaw


Agawam


Eva O'Neil


Agawam


31


DEATHS REGISTERED IN AGAWAM FOR THE YEAR 1933


Date of Death


Y


M


D


Cause of Death


Jan. 7 John P. Keith


10


6


14


Broncho Pneumonia


Jan. 8 Jack W. Barden


2


12 Status Lymphaticus Hypertensive


Jan. 26 Edward A. Brown


35


7


12 Paresis Syphilis Lobar Pneumonia Acute Eucephalitis Coronary Sclerosis


Feb. 4 Anna Guidi


22


Feb. 13 Winfield Safford


56


Feb. 17 Baby Cooley


82


0


15 Myocarditis


Mar. 2 Evelyn M. Burns


26


9


21 Septicemia


Mar. 8 Mary E. Evans


66


11


14 Myocarditis


Mar. 12 Charles A. Dean


76


11


14 Myocarditis


Mar. 19 Mary C. Lombard


67


7


22


Carcinoma


Mar. 27 Anna K. Brooks


24


5


7 Pulmonary Tuberculosis


Apr. 1 Alice G. Ryan


49


7


22


Biliary Calculus


Apr. 6 Julia L. Holcomb


66


11


6 Arterio Sclerosis


Apr. 16 George T. Akey


72


9


1 Coronary Sclerosis Acute Pericarditis


May 3 Henrietta H. Noone


28


3


20


Carcinoma of Spine


May


7


Henry Huber


67


9


19


Accidental Drowning


May


10


Henry Ciak


17


3


25 Chronic Nephritis


May 17


Ernest E. Levesque


48


9


5 Myocarditis


May 21 Kathryn O. Randall


22


11 21 Collapse of Right Lung


June


3 Georgianna H. Hamblen


74


9


24 Angina Pectoris Asphyxiation


June


4 Edward J. Carmody


51


June 5 Margaret L. Atkins


72


1


8 Cerebral Hemorrhage


June 6 George A. Randall


63


June 7 Winifred Boscoe


57


7 29 Phlebites Coronary Thrombosis Unidentified Skeleton


May 1- Skeleton


June 17


Adeline Roberts


78


11


June 25


Ellen P. Kenney


38


June 27 Frank Viens


38


June 29


Raymond Ferrero


3


2


2 Accidental Drowning


June 30


Agnes H. Dietrich


57


1 22 Coronary Thrombosis


July 15


Peter Barabesi


78


Cerebral Hemorrhage


July 18


Catherine T. Ward


59


11


20


Cerebral Hemorrhage


Mar. 12


Adelea W. Twine


49


Appendicitis


Mar. 26 Caroline T. Campion


29


Toxemia


Apr. 29 Premo W. Bongiovanni Sarah W. Kelsey


23


11


1 hr.


Atelectasis


Feb. 28 Virgil L. Lloyd


8


Feb. 3 Paul Hart


80


Jan. 20 Annie G. Sullivan


1 Vascular Penal Broncho Pneumonia Electrical Shock


32


July 21 Edgar H. Benoit


49


4


July 26 James Dunn


91


July 27 Isaac Cowan 49


Aug. 3 Luigi Draghetti


60


Aug. 4 Mary Gallerani


20


Aug. 6 James J. Cesan


69


3


10 Prostate Gland


Aug. 11


Harold Carmody


23


5


19 Tuberculosis


Aug. 12 Johanna Crowley


60


11


Aug. 19 Mary Lango


14


Aug. 20


Jennie S. Sadak


33


Aug. 22


Dieudonne Bessette


76


8 Tuberculosis Progressive Paralysis Internal Hemorrhage Malignant Papilloma of Throat


Sept. 1 Mary Cartello


21


6


Tuberculosis 6


Sept. 2 William H. Roleau


84


5


2 Arterio Sclerosis


Sept. 8 Beverly A. Neilson


11 10


Acidosis


Oct. 2 Louisa Cesan


65


1


1 Metastosis of Liver


Oct. 8 E. Olive Robinson


73


11


17 Angina Pectoris


Oct. 9 Evelina R. Wilcox


5


1 19 Neuro Blastoma of Eye


Oct.


16 Earle D. Fay


20


6 26 Diverticulum Gangrenous Duodenal Bladder


Oct. 20 Harry N. Squire


53


2


4 Coronary Thrombosis


Oct. 26 Frances W. Kooreman


70


2 23 Cerebral Hemorrhage


Nov. 2 Joyce J. Berard


Nov. 16


Mary V. Westcott


65


Nov. 20


Maria Morassi


72


Nov. 21


Eva P. Pomeroy


74


11


1 Arterio Sclerosis Arterio Sclerosis


Nov. 22


Albina B. Gavoni


86


Nov. 24


George Henry Bernier


61 1


7 23 Chronic Myocarditis 7 Lobar Pneumonia


Dec. 1 Marie D. Norman


26


8


8 Chronic Heart


Dec. 5 Anna L. Ohde


59


8


13 Cardiac Dilation Accident


Dec. 6 Henry Otto


74


Dec. 6 Jean A. Manhart


1


1 Broncho Pneumonia


Dec. 14 Charles Ewing


74


11


21 Cerebral Hemorrhage


Dec. 30


Leon E. Marble


63


8


18 Myocarditis


Nov. 30 Roy E. Clark


2 Bronchial Atelectasis Carcinoma of Liver Chronic Myocarditis


Oct. 17 Constantino Placido


43


1 Acute Appendicitis Arterio Sclerosis Carcinoma of Stomach Cerebral Hemorrhage Pneumonia


33


Statistical Report


Births recorded


99


Marriages recorded


. 48 . .


Deaths recorded


79


Legal Papers recorded


72


Dog Licenses issued 678


Sporting Licenses issued


533


HENRY E. BODURTHA,


Town Clerk


34


.


.


.


Treasurer's Report


Ending December 31, 1933


Balance January I, 1933 .... .$ 4,210.91 Receipts of 1933 (see accountant's report)


708,450.72


$712,661.63


Payments of 1933 (see accounting


officer's report) ..


698,071.29


Cash balance December 31, 1933 .. 14,590.34 712,661.63


TRUST FUNDS


Whiting Street Fund


On hand January 1, 1933


Securities


$ 5,500.00


Cash


414.69


Income from fund


250.70


6,165.39


Paid by order of Trustees


176.38


Administration expenses


3.25


Federal Tax


.14


On hand December 31, 1933


Securities


5,500.00


Cash


485.62


6,165.39


Desire A. Pyne Fund


On hand January I, 1933


Securities


2,000.00


Cash


105.43


Income from Fund


75.70


2,181.13


35


Paid by order of Selectmen. .... 24.00


Federal Tax


.08


On hand December 31, 1933


Securities


2,000.00


Cash


I57.05


2,181.13


Phelon School Fund


On hand January I, 1933


Securities


4,225.93


Cash


863.53


Income from fund


174.40


5,263.86


Paid Orders of School


Committee


613.50


Federal Tax


.14


Cash balance


424.29


Amount of fund


4,225.93


5,263.86


Phelon Library Fund On hand January 1, 1933


Amount of Fund


500.00


Income of Fund


18.93


518.93


Paid to Trust Fund Income ..... 18.93


Amount of Fund


500.00


518.93


Davis Library Fund Income from Safe Deposit and Trust Company


683.93


683.93


Paid Agawam Library


Association .....


683.93


683.93


36


Old Cemetery Fund Amount of Fund


700.00


Income from Fund


26.50


726.50


Paid Income Trust Fund


26.50


Amound of Fund


700.00


726.50


Maple Grove Cemetery Fund


Amount of Fund


1,405.8I


Income of Fund


53.18


1,458.99


Paid Trust Fund Income


53.18


Amount of Fund


1,405.8I


1,458.99


HENRY E. BODURTHA,


Treasurer


37


2


LIABILITIES, DECEMBER 30, 1933


Ten bonds of $1,000. each payable annually Oct. I, 1934-42 to Old Colony Trust Co., at 4% water loan $ 9,000.00


Bonds of 1913 water loan payable $3,500. an- nually July I, 1934-43 to Old Colony Trust Co., at 41/2% 30,000.00


Bonds of 1917 water loan payable $1,000. an- nually Oct. 1, 1934-42 to Old Colony Trust Co., at 41/2% 9,000.00


Notes of 1931 water loan payable $1,000. an- nually July 1, 1934-39 to First National Bank at 33/4℃ 5,500.00


Bonds of 1916 Schoolhouse, loan payable $1,000. annually July 1, 1934-34 to Old Col- ony Trust Co., at 4% 1,000.00


Bonds of 1916 Sewer loan payable $1,000. an- nually Dec. I, 1934-43 to Old Colony Trust Co., at 4% 10,000.00


Bonds of High School loan payable $12,000. annually Sept. I, 1934-4I to Old Colony Trust Co., at 5%


96,000.00


Bonds of 1924 Schoolhouse loan payable $2,000. annually June I, 1934-44 to Old Col- ony Trust Co., at 414%


22,000.00


Bonds of 1925 Schoolhouse loan payable $3,000. annually June 1, 1934-40 to Old Col- ony Trust Co., at 4% 20,000.00


Bonds of Memorial Bridge loan payable $3,000. annually Oct. I, 1934-44 to Old Col- ony Trust Co., at 4% 33,000.00


38


Bonds of High School Addition of 1928 pay- able $10,000. annually Nov. 1, 1934-38 to Old Colony Trust Co., at 4%


50,000.00


Five Notes of $7,000. each under authority Chapter 307 Acts of 1933, payable $7,000. annually September 1, 1934-38 to the State of Massachusetts at 31/2% 35,000.00


One note Tax Title Loan payable September I, 1934 to the State of Massachusetts at 5% 13,128.19


Temporary loans


125,000.00


$458,628.19


Of the above sum


Water debt is


$ 53,500.00


Outside of debt limit 227,128.19


Inside of debt limit 178,000.00


39


REPORT OF Tax Collector


1933


Tax Committed


$289,370.64


Cash Paid to Treasurer


$138,545.23


Less Refunds


39.00


1 38,506.23


Abatements


180.75


Uncollected


1 50,683.66


289,370.64


Previous Years


January I, 1933, balance due .. 187,253.53


Plus added commitments and


adjustments


99.32


187,352.85


Cash paid to Treasurer


108,155.18


Less Refunds and Adjustments.


35.29


108,119.89


Abatements


2,674.14


Tax Titles


35,363.07


Uncollected taxes 1932


40,694.97


Uncollected taxes 1932 Polls


442.00


Uncollected taxes 1931


58.78


187,352.85


Motor Vehicle Excise 1933


Committed


8,480.21


8,480.21


40


N/2 192


Cash paid to Treasurer


Less refunds


6,280.55


Abatements


417.67


Balance due January 1, 1934 ....


1,781.99


8,480.21


Previous Years


Balance due January I, 1933 ....


3,599.92


Plus commitments and


adjustments


15.19


3,615.1I


Cash paid to Treasurer


1,313.30


Less refunds


8.64


1,304.66


Abatements


563.47


Balance January I, 1933


1,746.98


3,615.II


Old Age Assistance


Committed 1933


2,210.00


Plus commitment


2.00


2,212.00


Cash to Treasurer


1,785.00


Less Adjustments


1.00


1,784.00


Balance due


428.00


2,212.00


Previous Years


Balance due January I, 1933 ..


409.00


Plus commitment


17.00


426.00


Cash to Treasurer


403.00


Less refunds


15.00


388.00


Balance due January I, 1933 ....


38.00


426.00


6,376.88 96.33


FREDERICK A. RAISON, Collector


4I


REPORT OF The Accounting Officer


To the Honorable the Board of Selectmen:


The Annual Report of the Accounting Department, cov- ering the financial transactions of the Town of Agawam for the year 1933, is hereby submitted.


BALANCE SHEET, DECEMBER 31, 1933 .


Cash


$ 4,210.91


Cash in School Department 50.00


Taxes


Polls, 1930


2.00


R. and P., 1930


75.76


Polls, 1931


253.00


R. and P., 1931


42,085.88


R. and P., 1932


144,254.89


Polls, 1932


582.00


Old Age Assistance


1932


280.00


1931


129.00


Motor Vehicle Excise


1930


578.39


1931


911.17


1932


2,110.36


Tax Titles


10,876.71


.


.


.


.


·


42


Accounts Receivable


Health


1,043.77


Sewer


213.24


Public Welfare


7,950.84


Sealer of Weights & Measures


104.67


Schools


1,466.82


Fire Department


31.00


Sidewalks, 1928


87.38


Sidewalks, 1929


233.42


Sidewalks, 1930


275.63


Water Rates


4,225.2I


Water Entrances


220.80


A/c Rec. County Aid to Highways


3,427.64


State Aid to Highways


3,426.65


Revenue Loans


$124,000.00


Emergency Loan


24,000.00


Surplus War Bonus


2,701.14


Phelon Library Trust Fund


21.20


Old Cemetery Fund Income


99.86


Maple Grove Cemetery Income


...


84.66


Overlay Reserve


3,393.63


Overlay, 1929


2.00


Overlay, 1930


-


825.14


Overlay, 1931


1,796.00


Overlay, 1932


9,774.18


Tax Title Revenue


10,876.71


1930 Mo. Ve. Excise Revenue


578.39


1931 Mo. Ve. Excise Revenue


911.17


1932 Mo. Ve. Excise Revenue


2,110.36


Departmental Revenue


10,827.34


Special Assessment Rev.


596.43


Water Revenue


4,446.01


Excess and Deficiency


65,576.14


Auditor and Accounting Dept.


24.02


So. Westfield St. Construction


12,237.99


Library


253.26


Water Construction


North Street


1,823.99


Other


199.56


$253,133.16


$253.133.16


·


.


.


.


43


RECEIPTS


General Revenue-Taxes


Current Year


Property


$138,542.23


Polls


3,507.00


$142,049.23


Old Age Assistance


1,786.00


In Lieu of Taxes


883.05


Previous Year


Property


107,963.18


Polls


191.00


Old Age Assistance


75.00


108,229.18


Motor Vehicles Excise Tax


7,690.18


From State


Corporation, Business


2,737.95


Corporation Public Service


.34


Gas and Electric


607.67


Bank


13.97


R. R. and Telephone


239.83


3,599.76


Income Taxes


9,423.00


Income Taxes-based on


teachers' salaries


20,309.00


29,732.00


From County


Dog Licenses


1,402.II


Licenses and Permits


Junk


..... .... 30.00


Pool and Bowling


. 15.00


Milk


12.50


Slaughter


254.00


All Other


258.50


Alcoholic Beverage


... 3,985.00


4,555.00


44


..


Fines


Court


955.00


Rents


540.50


$301,422.01


COMMERCIAL REVENUE


From State


Trust Funds for Schools .....


323.16


Special Assessments


On 1928 Sidewalks


57.98


On 1929 Sidewalks


35.82


On 1930 Sidewalks


64.30


158.10


From County


Memorial Bridge Rental .....


109.35


Departmental


Collector's Fees


155.83


Town Clerk-dog fines, etc. 1,470.20


Treasurer-Tax titles, etc.


2,757.28


Police-damage to auto


353.80


Fire Dept .- hall rental


13.50


Sealer, weights and measures ..


78.67


4,829.28


Schools


Tuition-State Wards


1,531.94


Tuition-Other Towns


2,371.00


Sale of Supplies


3.89


State for Education


3,143.82


7,050.65


Library Fines


79.50


Charities


Reimbursement for aid to cities


and town settled cases


16,699.59


Reimbursement for aid to State Cases .


13,548.14


Reimbursement for State Old


Age Assistance


2,665.69


32,913.42


45


Soldiers' Relief


State Aid


45.00


Veterans' Exemption


73.69


118.69


Health and Sanitation


From State


Reimbursement for Health ....


77.86


From Individuals


Reimbursements from Individ- uals for T. B. aid


248.57


Sewer Entrances


515.00


Highways


Sale of Materials


7.47


Westfield Street Construction


From State


227.48


From County


227.48


454.96


Suffield Street Construction


From State


2,328.II


From County


776.04


3,104.15


Water Department


Water Rates


20,993.62


Water Connections


717.92


Hydrant Damage


136.50


21,848.04


Municipal Indebtednes


Anticipation Revenue


258,750.00


Interest


On Taxes


6,582.07


On Bank Deposits


57.28


On Trust Funds


683.93


On Investments


45.06


Maple Grove Cemetery Fund


53.18


Old Cemetery Fund


26.50


Phelon Library Fund


18.93


7,466.95


46


·


Tax Title loan, Chap. 49, Acts 1933


15,000.00


State Loan, Chap. 307, Acts 1933


35,000.00


Federal Aid-Public Welfare ..


18,259.46


Refunds


From Individuals on Public Wel-


fare who have sold property .....


77.10


From Individuals whom we found


to have cash in banks.


305.00


From State


On Old Age Assistance


329.00


From Highways


2.00


From B. & A. R. R. freight.


1.00


714.10


Total Receipts


$708,450.72


Recapitulation


Receipts for year 1933


General Revenue


301,422.0I


Commercial Revenue


49,990.16


Water Department 21,848.04


Interest


7,466.95


Municipal Indebtedness


Anticipation Rev. 258,750.00


Refunds


714.10


From State


Loan, Chap. 307, Acts 1933 ...... 35,000.00


Tax Title Loan, Chap. 49,


Acts 1933


15,000.00


Federal Aid-Public Welfare. 18,259.46


Cash on hand, January 1, 1933


4,210.91


712,661.63


PAYMENTS


General Government


Legislative


Moderator


25.00


Printing, stationery and


Postage 27.50


All Other


24.19


76.69


47


Executive


Selectmen


1,500.00


Printing, stationery and


6.55


postage Posting notices and telephone


12.65


1,519.20


Financial


Auditor


67.51


Accounting Department


278.99


Printing, stationery and


postage


102.47


448.97


Selectmen's clerk


210.00


Treasury


Salary


1,524.70


Printing, stationery and


postage


66.44


All Other expenses-certifying


notes, etc.


127.14


1,718.28


Collector


Salary


1,215.00


Clerk


118.85


Printing, stationery and


postage


495.46


All Other


892.75


2,722.06


Assessors


Salaries


2,250.00


Clerical


80.00


Printing, stationery and


46.41


2,376.41


Law Department


Town Counsel


281.25


Other Counsel


876.96


All Other


26.00


1,184.21


postage


48


Town Clerk


Salary


488.80


Printing, stationery and


postage


90.88


All Other


19.85


599.53


Election and Registration


Registrars


75.00


Election officers


260.00


Printing, stationery and postage


89.50


All Other


18.07


442.57


Town Buildings


Janitors


I14.00


Lights


527.55


Repairs


171.83


Water Rent


8.00


821.38


Protection to Persons and Property


Police Department


Salary of Chief


2,160.00


Other Salaries


156.50


Salary to Motorcycle Officer ..


1,660.50


Automobile expense


299.86


Motorcycle expense


239.10


Gas and Oil


544.12


Telephone


109.17


Printing, stationery and


postage


19.85


Lock-up Fees


47.45


Other Expense ..... .......... ...


187.66


5,424.21


Fire Department


Commissioners


I 50.00


Firemen


1,500.00


Janitors


I 50.00


Expense of trucks


179.03


Apparatus


36.15


Hose


574.10


3977,00


49


Other Expense


1.04


Gas and Oil


65.05


Fuel


252.78


Lights


54.45


Repairs to Buildings


38.67


Doors and Equipment


205.20


Supplies


7.20


Printing, stationery and postage


3.00


Telephone


65.45


3,282.12


Sealer of Weights and Measures


Salary of Sealer


402.00


Transportation


48.00


Equipment


14.03


Travel


18.00


482.03


Forestry


Salary of Superintendent


173.27


Labor


I30.50


Trucks


56.00


1.50


Repair to equipment Fire permits


40.73


Spraying trees on Main St.


50.35


452.35


Gypsy Moth


Salary of Superintendent


239.62


Other Labor


69.60


Transportation


23.75


331.97


Health


General Administration


Salaries


250.00


250.00


Quarantine and Contagious Diseases


Medical


21.00


Bacteria Examination


27.00


All Other


4.00


Tuberculosis


Board and Treatment


1,831.83


Hospital Maintenance


1,354.94


50


Diphtheria Immunization


Supplies


52.94


Painting Signs


12.00


Inspection


Animals


300.00


Meat and Provisions


650.94


4,254.65


Sanitation


Sanitary Sewers


Labor


53.43


Pipe and Cement


20.75


Hose for Flushing


128.87


Shovels and Equipment


23.45


226.50


Surface Drainage


Pipe and Catch Basins


75.21


Hose for Flushing


128.87


Brick


11.00


215.08


Refuse and Garbage


Collection of Garbage


..


260.35


Suffield Street Sewer


Construction of Sanitary Sewer


on Suffield Street


Supervision


410.75


Expense of Truck


2.07


Gas, Oil and Kerosene


19.93


Survey Work


45.00


Pipe Ties and Cement


1,362.45


Contracting Supplies, etc.


49.78


Lumber


2.79


Brick


40.00


1,932.77


Highways


General Administration


Salaries and Wages


962.59


Truck Hire


24.50


Stone, Gravel and Cinders ..... 690.58


5.1


Equipment (1933 Ford Chassis Heavy duty dump body) .... 910.42


Supplies and repairs to equipment


814.54


Gas and Oil


490.87


Fence Material


II2.77


Material for repairing Bridges


423.72


All other expense


31.25


Snow and Ice Removal


Wages


516.18


Truck Hire


10.00


Gas and Oil


15.20


Street Signs-Material


1.90


5,004.52


Street Lights


Contract


7,675.32


Other Lights


374.25


8,049.57


Town Improvement


Supervision


2,III.53


Ashes, cinders, stone, etc


1,045.36


Supplies


189.88


Gas and Oil


848.82


Upkeep of Trucks


423.76


Lumber for walks and fence


posts


104.3I


Cement


62.25


Survey


80.28


Other Expense


127.06


4,993.25


Westfield Street, Chap. 90,


Construction


. Expense of Roller


16.00


Gravel


966.40


Repair to Equipment


615.35


Telephone


4.50


Compensation Insurance .. 644.31


2,246.56


Suffield Street Construction


Supervision 1,015.40


Pay Rolls for Labor


4,128.73


52


Gas and Oil


54.72


Pipe, Culverts, Curbing


1,263.43


Contractors' Supplies


306.79


Brick


237.73


Gravel, Sand and Hauling ....


752.40


Steam Roller hire


167.02


Office Supplies and Printing


30.31


Other expense


45.72


8,002.25


Public Welfare


General Administration


Salaries


300.00


300.00


Relief


Groceries


36,326.39


Fuel


8,069.88


Board and care


2,843.67


State Institutions


229.07


Medicine and Medical


2,972.07


Dental


I33.40


Cash Aid


1,972.24


Rents


19,310.37


Shoes and Clothing


1,969.35


Hospitals


1,823.54


Burial


215.00


Pay Rolls for Labor


16,165.95


Pay Rolls for Suffield Street Sewer


964.17


Pay Rolls for Snow Removal ..


185.60


All Other Expense


1,185.94


Relief by Other Cities and Towns


Cities


13,478.47


Towns


2,125.92


109,971.03


Mothers' Aid


1


Cash


990.00


Dental


30.00


1,020.00


Salary of Public Welfare Agent .. .... 1,615.00


1,615.00


Salary of Public Welfare Clerk .... 300.00 -


300.00


.


53


Old Age Assistance


Cash Aid


8,355.34


Medicine and Medical


331.71


Hospital


34.00


Other Expense


122.99


8,844.04


Soldiers' Relief


Cash Aid


9,486.80


Board


521.15


Fuel


657.83


Groceries and Provisions


1,372.47


Rent


858.00


Medicine, Medical and Nursing Service


437.87


Grave and Burial


13.00


Hospital


958.91


Clothing, etc.


185.58


City of Springfield


5.75


14,497.36


State and Military Aid


State Aid


205.00


205.00


Schools For detail see School Report .......... 127,999.32


127,999.32


Library


Librarians' salaries


405.00


Books


1,528.17


Periodicals


16.90


Binding books


49.10


Lights


10.65


Janitors' supplies


5.00


Stationery and postage


15.89


All other expense


1.15


2,031.86


.


Unclassified


Damage to Persons and Property Land Taking


830.10 830.10


54


Other Expenses


Memorial Day Observances .... 149.90


Printing Town Reports


329.95


Compensation Insurance


524.28


Burglar Insurance


31.00


Printing Liquor Licenses


20.55


1,055.68


Surety Bonds


Treasurer's Bond


195.00


Town Clerk's Bond


5.00


Collector's Bond


390.00


590.00


To State


Assessment for Hospitals for


Civil War Veterans ..


190.00


State Parks


24.02


Balance on State Audit, 1932 ....


646.06


860.08


Civil Works Project


582.45


582.45


To County


Dog Licenses


1,470.20


1,470.20


Payments


Special State Tax


2,210.00


County Tax


14,273.66


State Tax


12,330.00


Smith Hughes Fund


282.51


Geo. Reed Fund


40.65


29,136.82


Public Service Enterprises


Water Department


Administration


Commissioners' Salaries


540.00


Salary of Superintendent


1,248.00


Salary of Clerk .


500.00


Printing, stationery and


postage


202.49


Telephone


33.31


Insurance on Truck


... 72.00


55


Upkeep of Truck 85.99


Gas and Oil


191.64


Meters and Equipment 525.41


Water Consumption


8,409.49


All other


13.08


Service Boxes


41.25


Service Pipe


Labor


1,004.7I


Pipe and Fittings 248.39


Water Department


Payment on Bonds


6,500.00


Interest


2,503.75


22,119.5I


Maple Grove Cemetery 10.00


10.00


Interest and Municipal Indebtedness


Interest


Anticipation Revenue Loan 9,637.35


All other


1,287.37


General Loans


High School Loan


5,400.00


High School Addition


2,400.00


Other School Loans


1,897.50


Memorial Bridge


1,445.00


Highway Loan


84.72


Sewer Loan


440.00


22,591.94


Debt


Anticipation of Revenue Loans 233.750.00 Memorial Bridge Loan


3,000.00


Highway Loan


2,000.00


High School Loan


12,000.00


High School Addition


10,000.00


Other School Loans


6,000.00


Sewer Loans


1,000.00


34,000.00


Welfare Loan


24,000.00


24,000.00


Tax Title Loan 1,871.8I


1,871.81


Agency Trust and Investment


Taxes


Bank Tax to State .62 ....... .62


·


56


233,750.00


Trust and Investment


Private Trust Funds


683.93


Phelon Library Fund


21.06


704.99


Refunds


Taxes


66.00


Excise


105.00


Old Age Assistance


15.00


I86.00


Total Payments


$698,071.29


Recapitulation


Payments for the year 1933


General Government


II,297.92


Town Buildings


821.38


Protection to Persons and Property


9,972.68


Health and Sanitation


5,206.58


Construction of Sewer on Suffield Street


1,932.77


Highways


5,004.52


Street Lights


8,049.57


Town Improvement


4,993.25


Westfield St., Chap. 90, Construction


2,246.56


Suffield St., Chap. 90,


Construction


8,002.25


Public Welfare


General Administration


Salaries


300.00


Relief


109,971.03


Mothers' Aid


1,020.00


Public Welfare Agent


1,615.00


Public Welfare Clerk


300.00


Old Age Assistance


8,844.04


Soldiers' Relief


14,497.36


State and Military Aid


205.00


Schools


127,999.32


Libraries


2,031.86


57


2258 9.0 7979175


25


1979175 6.208,200


Unclassified


Damage to Persons and


Property


Land Taking.


830.10


Other Expenses


Memorial Day Observance 149.90


Printing Town Reports 329.95


Compensation Insurance 524.28


Burglar Insurance


31.00


Printing Liquor License


20.55


Surety Bonds


590.00


To State


Assessment Civil War


Veterans


190.00


State Parks


24.02


Balance 1932 State Audit.


646.06


State Tax


12,330.00


Special State Tax


2,210.00


County Tax


14,273.66


Payments from Smith Hughes Fund


282.51


Payments from Geo. Reed Fund


40.65


To County


Dog Licenses 1,470.20


Civil Works Projects


582.45


Public Service Enterprises


22,119.51


Cemeteries


10.00


Interest


22,591.94


Debt


Anticipation Revenue Loans .... 233,750.00


Town Debt


34,000.00


Welfare Loan


24,000.00


Tax Title Loan 1,871.81


Agency Trust and Investment


Bank Tax to State .62


Trust and Investment


704.99


Refunds


186.00


698,071.29


Cash Balance on Hand ........


14,590.34


$712,661.63


58


.


381.06 4069097 - 47405,93 97332.99


105 119, 98


Trial Balance After Closing Books December 30, 1933


Cash


$ 14,590.34


Cash in Schools


50.00


Taxes 1930


$ 8.29


Taxes 1931


58.78


Taxes 1932


40,694.97


Taxes 1932 Polls


442.00




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