USA > Massachusetts > Hampden County > Agawam > Town of Agawam, Massachusetts annual report 1941-1945 > Part 21
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Agricultural Work
During the year the service of the County Agricultural Agent has been incidental to a County-Wide service, shaped almost wholly by the war time developments. All farmers have been kept informed by circular letters and published articles regarding special crop and livestock developments and recommended practices, spray bulletins, pest control calendars, tips on poultry range management, beekeeping and so forth. Assistance to individuals in connection with their agricultural production and marketing problems has been given when requested. The total amount of $14.76 was reimbursed as expenses incurred: To Chester Pilch and Arthur W. Taylor.
Home Bureau Work
During the year 622 women availed themselves of twelve different projects conducted under the auspices of the Home Bureau. 63 voluntary local leaders assisted the County and State Agents in holding nineteen meetings or demonstrations in these various projects of which canning, home storage, gardening, nutrition and child development were very popular. The following local leaders incurred a total expense of $7.97. Mrs. E. H. Torrey, Miss Lora Smith, Mrs. Dwight Hawley and Mrs. Frank Draghetti.
4-H Club Work
There were in all 214 young people enrolled in 14 dif- ferent 4-H Club projects during the year. 19 local volun- tary leaders were in charge of these projects in cooperation with the County and State Agents. Gardening, poultry and canning had the largest enrollments with some excellent records made by the young people. Several war bonds and
81
a trip to Chicago were a few of the top awards won by our Agawam Club members that brought credit not only to them- selves but the Town and State as well.
The following leaders incurred a total expense of only $36.99: Mrs. O. A. Powell, Mrs. Marion A. Pond, Miss Pauline Olsen and Mr. Noel Brown. Town money was also used to pay the electric light bill at the Feeding Hills Com- munity house used frequently as a 4-H Club building.
FINANCIAL STATEMENT
1943 Appropriation.
$ 75.00
Balance carried over from 1942. 53.25
$128.25
*Expended in 1943
59.72
Balance available for 1944.
$ 68.53
Amount Recommended for 1944
$50.00
*Local leaders as listed incurred these expenses and they received checks directly from the County Treasurer who handles the Town appropriation for the Trustees according to Chapter 128 of the General Laws.
Respectfully submitted,
TRUSTEES FOR COUNTY AID TO AGRICULTURE,
L. B. BOSTON,
Clerk
82
State Auditor's Report
September 29, 1943.
To the Board of Selectmen Mr. Giles W. Halladay, Chairman Agawam, Massachusetts
Gentlemen :
I submit herewith my report of an audit of the books and accounts of the town of Agawam for the period from September 6, 1942, to September 7, 1943, made in accordance with the provisions of Chapter 44, General Laws. This is in the form of a report made to me by Mr. Herman B. Dine, Assistant Director of Accounts.
Very truly yours,
THEODORE N. WADDELL, Director of Accounts.
TNW:CAH
Mr. Theodore N. Waddell Director of Accounts
Department of Corporations and Taxation
State House, Boston
Sir :
In accordance with your instructions I have made an audit of the books and accounts of the town of Agawam for the period from September 6, 1942, the date of the previous examination, to September 7, 1943, and submit the following report thereon :
The financial transactions, as recorded on the books of the several departments collecting or disbursing money for the town, or committing bills for collection, were examined, checked and verified.
The books and accounts of the bookkeeping department were examined and checked. The recorded receipts were checked with records of the departments collecting money for
83
the town and with the treasurer's record of receipts, while the payments were compared with the approved treasury war- rants.
The ledger record of departmental accounts receivable was checked with the records of the departments sending out the bills and with the treasurer's record of collection.
The appropriation ledger accounts were checked with the appropriations and transfers voted by the town as listed from the town clerk's record of town meetings.
The ledger was analyzed, a trial balance was taken off, and a balance sheet, which is appended to this report, was prepared showing the financial condition of the town on September 7, 1943.
The balance sheet indicates that the town is in excellent financial condition.
The books and accounts of the town treasurer were examined and checked in detail. The recorded receipts were checked with the records of the departments collecting money for the town and with the other sources from which money was paid into the town treasury. The payments were com- pared with the treasury warrants approved by the board of selectmen, the bank balances were reconciled with statements received from the banks, and the cash in the office was proved by actual count.
The payments on account of debt and interest were proved by comparison with the amounts falling due and with the cancelled securities and coupons on file.
The securities, including savings bank books, representing the investment of the trust funds in the custody of the treas- urer were examined and listed. The income was proved and the transfers to the town and expenditures were verified.
The books and accounts of the tax collector were examined and checked in detail. The commitment lists of all poll, prop- erty, and motor vehicle excise taxes were added and proved with the assessors' warrants. The recorded collections were compared with the payments to the treasurer, the recorded abatements were checked with the assessors' record of abate- ments granted, and the outstanding accounts were listed and proved with the bookkeeper's ledger.
The tax collector's cash balance September 7, 1943, was proved by actual count of the cash in the office.
The records of tax titles representing liens on real estate taken by the town for the non-payment of taxes were exan- ined. The tax title register was analyzed and checked with the
84
tax collector's and the treasurer's accounts and with the records at the Registry of Deeds.
The tax titles foreclosed, as shown by the records at the Registry of Deeds, were listed, the recorded receipts for the sale of tax possessions were checked, and the balance repre- senting the tax possessions held by the town was proved with the bookkeeper's ledger.
The financial transactions of the town clerk were exam- ined. The recorded receipts for dog and sporting licenses were checked with the record of licenses issued and the payments to the state and town treasurers were verified. The town clerk's cash on hand September 7, 1943, was proved by actual count.
The surety bonds filed with the town by the town clerk, treasurer, tax collector and the clerk employed in the col- lector's office were examined and found to be in proper form.
The recorded receipts for licenses granted by the board of selectmen, which are issued by the town treasurer, were checked with the record of licenses granted and the payments to the treasurer were verified. The surety bonds filed with the town by individuals to whom liquor licenses were issued were examined and found to be in proper form.
The receipts of the police department for revolver per- mits were checked with the record of permits issued, the pay- ments to the treasurer were verified, and the cash on hand September 7, 1943, was proved by actual count.
The recorded receipts of the sealer of weights and meas- ures were checked with the record of work done, and the payments to the treasurer were verified.
The charges for the rental of town-owned property were listed, the payments to the treasurer were verified, and the outstanding charges were listed and proved.
The records of accounts receivable of the sewer, public welfare, and school departments were examined. The charges were added, the recorded collections and abatements were checked, and the outstanding accounts were listed and proved with the bookkeeper's ledger.
The recorded receipts of the school department for dam- ages, sale of supplies, sale of manual training projects, and miscellaneous charges were checked, the payments to the treasurer were verified, and the cash on hand September 7, 1943, was counted.
The recorded receipts of the librarians for fines, etc., were checked with the record of collection, the payments to
85
the treasurer were verified, and the cash on hand September 18, 1943, was proved by actual count.
The books and accounts of the water department were examined. The charges for the sale of water and for water services were added, the recorded collections and abatements were checked, the payments to the treasurer were verified, and the outstanding accounts were listed and proved with the bookkeeper's ledger.
Verification of the outstanding tax and departmental accounts was obtained by mailing notices to a number of persons whose names appeared on the books as owing money to the town, the replies received thereto indicating that the accounts, as listed, are correct.
The securities, including savings bank books, representing the investment of the Charles Palmer Davis Library Fund in custody of the Springfield Safe Deposit and Trust Company. were examined and listed. The income was proved, the pay- ments to the town and the expenditures being verified.
The accuracy with which the work of the accounting and collecting departments has been performed greatly facilitated the progress of the audit.
Appended to this report, in addition to the balance sheet, are tables showing a reconciliation of the treasurer's cash, summaries of the tax and departmental accounts together with tables showing the transactions and condition of the trust funds.
For the cooperation received from all town officials during the progress of the audit I wish, on behalf of my assist- ants and for myself, to express appreciation.
Respectfully submitted,
HBD:CAH
HERMAN B. DINE, Assistant Director of Accounts.
86
RECONCILIATION OF TREASURER'S CASH
Balance September 6, 1942, per previous audit. . $ 94,512.17
Receipts September 6 to December 31, 1942:
Per cash book.
$297,039.50
Omitted from cash book:
Revolver permits
7.00
Fire station rent 3.00
Tenement rents.
14.00
Tax title redemption
56.85
Penalty interest on tax title redemptions. 4.50
297,124.85
$391,637.02
Payments September 6 to Decem-
ber 31, 1942, per warrants. $236,441.32
Balance December 31, 1942. 155,195.70
$391,637.02
Balance January 1, 1943.
$155,195.70
Receipts January 1 to September 7, 1943:
Per cash book.
$247,841.18
Omitted from cash book: Sealer's fees .
2.68
Sale of tax possessions
100.00
247,943.86
$403,139.56
Payments January 1 to September 7, 1943, per warrants ..
$230,495.77
Balance September 7, 1943:
Springfield National Bank.
$129,013.45
Union Trust Company.
13,310.96
West Springfield Trust Com-
22,874.13
Cash in office, verified
7,264.47
Cash discrepancy 180.78
172,643.79
pany.
$403,139.56
87
Springfield National Bank
Balance September 7, 1943, per
statement. $132,090.11
Balance September 7, 1943, per check register. $129,013.45
Outstanding checks September 7, 1943, per list. 3,076.66
$132,090.11
Union Trust Company
Balance September 7, 1943, per statement.
$ 14,608.47
Balance September 7, 1943, per check register. $ 13,310.96
Outstanding checks September 7,
1943, per list. 1,297.51
$ 14,608.47
West Springfield Trust Company
Balance September 7, 1943, per statement. .
$ 23,443.22
Balance September 7, 1943, per check register. $ 22,874.13
Outstanding checks September 7, 1943, per list. 569.09
$ 23,443.22
RECONCILIATION OF COLLECTOR'S CASH Cash balances September 7, 1943, per tables : Taxes:
Levy of 1942 S 581.80
Levy of 1943
1,063.25
Motor vehicle excise taxes : Levy of 1942
.92
Levy of 1943
45.05
Water rates
185.59
Interest on taxes
23.21
Collector's costs on taxes. .
3.50
S 1,903.32
Excess cash September 7, 1943. ..
16.08
Cash in office September 7, 1943, verified .
$ 1,919.40
$ 1,919.40
88
TAXES-1938
Outstanding September 6, 1942, per previous audit.
S 26.40
Outstanding December 31, 1942 ...
S 26.40
Outstanding January 1, 1943
S 26.40
Abatements January 1 to Septem- ber 7, 1943.
$
26.40
TAXES-1939
Outstanding September 6, 1942, per previous audit.
S 34.85
Payments to treasurer September 6 to December 31, 1942. $
.85
Outstanding December 31, 1942 ...
34.00
S
34.85
Outstanding January 1, 1943.
S
34.00
Abatements January 1 to Septem- ber 7, 1943
S
34.00
TAXES-1940
Outstanding September 6, 1942, per previous audit. S
534.88
Tax titles disclaimed September 6 to December 31, 1942. 6.48
Tax title redemptions reported as taxes 1940 4.86
$ 546.22
Payments to treasurer September 6 to December 31, 1942. S 268.03
Abatements September 6 to De- cember 31, 1942. 213.39
Outstanding December 31, 1942 ...
64.80
S 546.22
Outstanding January 1, 1943.
S 64.80
Abatements January 1 to Septem- ber 7, 1943 S
64.80
TAXES-1941
Outstanding September 6, 1942, per previous audit. $ 34,702.03
Abatement after payment re- funded, September 6 to Decem- ber 31, 1942 9.00
Tax title redemptions reported as taxes 1941. 19.44
$ 34,730.47
89
Payments to treasurer September 6 to December 31, 1942. $ 15,691.53 Abatements September 6 to De- cember 31, 1942. 5.67
Outstanding December 31, 1942. .
19,033.27
$ 34,730.47
Outstanding January 1, 1943. .. $ 19,033.27 Collection after abatement Janu- ary 1 to September 7, 1943, adjusted. 58.32
$ 19,091.59
Payments to treasurer January 1 to September 7, 1943. .
S 18,710.98
Abatements January 1 to Septem- ber 7, 1943.
147.42
Transfers to tax titles January 1 to September 7, 1943. 156.33
Outstanding September 7, 1943, per list. 76.86
$ 19,091.59
TAXES-1942
Outstanding September 6, 1942, per previous audit.
$266,727.55
Additional commitment Septem- ber 6 to December 31, 1942. . 320.00
Abatement after payment re- funded September 6 to Decem- ber 31, 1942 344.80
Collection after abatement (ad- justed) . 2.00
$267,394.35
Payments to treasurer September 6 to December 31, 1942. S192,563.33
Abatements September 6 to De- cember 31, 1942. Transfers to tax titles September 6 to December 31, 1942. Outstanding December 31, 1942. .
1,949.20
14,834.40
58,047.42
$267,394.35
90
1
Outstanding January 1, 1943. S 58,047.42
Collection after abatement, ad- justed. . 61.60
Audit adjustment:
Error in reporting transfers to tax titles. 20.00
S 58,129.02
Payments to treasurer January 1 to September 7, 1943. .. $ 45,507.13
Abatements January 1 to Septem- ber 7, 1943 64.00
Transfers to tax titles January 1 to September 7, 1943 154.40
Audit adjustment :
Collection taxes 1942 reported as sale of tax possessions.
20.00
Outstanding September 7, 1943, per list.
11,801.69
Cash on hand September 7, 1943, verified. 581.80
$ 58,129.02
TAXES-1943
Commitments January 1 to Sep- tember 7, 1943, per warrants ... S306,844.40 Additional commitment January 1 to September 7, 1943. 18.00 Collection after abatement Janu- ary 1 to September 7, 1943 .. 2.00
Overpayment to collector, re- funded, January 1 to September 7, 1943. 9.30
S306,873.70
Payments to treasurer January 1 to September 7, 1943. $ 75,867.45
Abatements January 1 to Septem- ber 7, 1943.
1,194.85
Transfers to tax titles January 1 to September 7, 1943
750.21
Outstanding September 7, 1943, per list . Cash balance September 7, 1943. . 1,063.25
227,997.94
S306,873.70
91
MOTOR VEHICLE EXCISE TAXES-1939
Outstanding September 6, 1942, per previous audit. S 12.00
Payments to treasurer September 6 to December 31, 1942 $ 4.00 Abatements September 6 to De- cember 31, 1942 8.00
S 12.00
MOTOR VEHICLE EXCISE TAXES-1940
Outstanding September 6, 1942, per previous audit. $ 13.19
Payments to treasurer September 6 to December 31, 1942. $ 4.46
Abatements September 6 to De- cember 31, 1942
6.00
Outstanding December 31, 1942 ...
2.73
S 13.19
Outstanding January 1, 1943
$ 2.73
Collection after abatement ad- justed
2.73
$ 5.46
Payments to treasurer January 1 to September 7, 1943.
$ 2.73
Abatements January 1 to Septem- ber 7, 1943
2.73
$ 5.46
MOTOR VEHICLE EXCISE TAXES-1941
Outstanding September 6, 1942, per previous audit. $ 357.63
Abatement after payment, Sep- tember 6 to December 31, 1942, refunded 9.25
$ 366.88
Payments to treasurer September 6 to December 31, 1942. $ 72.62
Abatements September 6 to De- cember 31, 1942. 217.61
Outstanding December 31, 1942 ...
76.65
S 366.88
92
Outstanding January 1, 1943 $ 76.65
Collection after abatement 21.25
$ 97.90
Payments to treasurer January 1 to September 7, 1943.
$ 71.53
Outstanding September 7, 1943, per list.
26.37
$ 97.90
MOTOR VEHICLE EXCISE TAXES-1942
Outstanding September 6, 1942, per previous audit. $ 1,236.43
Additional commitments Septem- ber 6 to December 31, 1942. .
661.47
Abatement after payment re- funded, September 6 to Decem- ber 31, 1942. 39.88
Abatement cancelled September 6 to December 31, 1942 2.00
$ 1,939.78
Payments to treasurer September 6 to December 31, 1942
$ 1,227.95
Abatements September 6 to De- cember 31, 1942.
198.68
Outstanding December 31, 1942 ...
513.15
$ 1,939.78
Outstanding January 1, 1943.
$ 513.15
Additional commitment January 1 to September 7, 1943 18.00
Abatement after payment re- funded January 1 to September 7, 1943. 1.22
$ 532.37
Payments to treasurer January 1 to September 7, 1943.
$ 357.72
Abatements January 1 to Septem- ber 7, 1943
43.99
Audit adjustment: Abatement refunded in error . ..
.03
Outstanding September 7, 1943, per list. 129.71
Cash balance September 7, 1943. .
.92
$ 532.37
93
MOTOR VEHICLE EXCISE TAXES-1943
Commitment January 1 to Sep- tember 7, 1943, per warrant .... $ 13,624.67 Abatement after payment Janu- ary 1 to September 7, 1943, refunded. 84.64
$ 13,709.31
Payments to treasurer January 1 to September 7, 1943.
$ 12,276.14
Abatements January 1 to Septem- ber 7, 1943. 219.41
Outstanding September 7, 1943, per list .
1,168.71
Cash on hand September 7, 1943, verified . 45.05
S 13,709.31
INTEREST AND COSTS ON TAXES
Interest and costs collections, Sep-
tember 6 to December 31, 1942:
Interest :
Taxes :
Levy of 1939 S .52
Levy of 1940
32.50
Levy of 1941
666.32
Levy of 1942.
103.54
Motor vehicle excise taxes :
Levy of 1941
3.89
Levy of 1942
5.29
S 812.06
Costs:
Taxes:
Levy of 1939
S 1.70
Levy of 1940
8.70
Levy of 1941
2.60
Levy of 1942.
10.15
Motor vehicle excise taxes :
Levy of 1941
8.05
Levy of 1942
56.55
87.75
S 899.81
94
Payments to treasurer September 6 to December 31, 1942: Interest .
Costs.
S 812.06 87.75
S 899.81
Interest and costs collections, Jan- uary 1 to September 7, 1943: Interest :
Taxes :
Levy of 1940
S .27
Levy of 1941
1,196.34
Levy of 1942
1,133.75
Motor vehicle excise taxes :
Levy of 1941
3.44
Levy of 1942
9.27
Levy of 1943
2.12
S 2,345.19
Costs:
Taxes:
Levy of 1941
S 64.35
Levy of 1942
94.11
Levy of 1943
120.20
Motor vehicle excise taxes :
Levy of 1941
8.60
Levy of 1942
37.50
Levy of 1943
149.45
474.21
S 2,819.40
Payments to treasurer January 1
to September 7, 1943: Interest
S 2,321.78
Costs
470.71
S 2,792.49
Audit adjustment:
Collection of interest on taxes reported as sale of tax pos- sessions . .20
Cash balance September 7, 1943: Interest
S
23.21
Costs.
3.50
26.71
S
2,819.40
95
TAX TITLES
Balance September 6, 1942, per previous audit .. $ 80,508.03
Transfers to tax titles September 6 to December 31, 1942: Taxes: Levy of 1942
$ 14,834.40
Interest and costs 148.46
14,982.86
$ 95,490.89
Tax titles redeemed September 6 to December 31, 1942.
$ 1,710.64
Tax titles abated September 6 to December 31, 1942.
1,040.86
Tax titles foreclosed September 6 to December 31, 1942
2,373.49
Tax titles disclaimed September 6 to December 31, 1942: Taxes 1940 $ 6.48
Interest and costs.
4.62
11.10
Tax title redemption reported as collection of taxes :
Levy of 1940 $ 4.86
Levy of 1941.
19.44
24.30
Balance December 31, 1942
90,330.50
$ 95,490.89
Balance January 1, 1943
$ 90,330.50
Transfers to tax titles January_1 to September 7, 1943: Taxes :
Levy of 1941 S 156.33
Levy of 1942 154.40
Levy of 1943 750.21
Interest and costs
67.73
1,128.67
96
Collection in excess of tax title value, Section 79, Chapter 60, General Laws. 16.53
Audit adjustments:
Error in reporting tax titles fore- closed :
September 6 to December 31, 1942
S 69.51
January 1 to September 7, 1943. .01
69.52
Collection in excess of tax title value, Section 79, Chapter 60, General Laws, reported as col- lection in excess of tax posses- sion value. 34.87
$ 91,580.09
Tax titles redeemed January 1 to September 7, 1943.
S 1,142.23
Tax titles sold, Section 79, Chap- ter 60, General Laws, January 1 to September 7, 1943. 126.05
Tax titles foreclosed January 1 to September 7, 1943 Audit adjustments:
6,736.80
Tax titles redeemed September 6 to December 31, 1942, not entered on cash book.
56.85
Tax title value in excess of re- demption .
.05
Tax titles sold, Section 79, Chap- ter 60, General Laws, re- ported as sale of tax posses- sions. 70.35
Error in reporting transfers to tax titles January 1 to Sep- ber 7, 1943:
Taxes 1942 S 20.00
Interest
.20. 20.20
Balance September 7, 1943, per list.
83,427.56
$ 91,580.09
97
-
TAX POSSESSIONS
Balance September 6, 1942, per previous audit. $ 18,092.31
Tax titles foreclosed September 6 to December 31, 1942 2,373.49
Collections in excess of tax pos- session value. 55.24
$ 20,521.04
Tax possessions sold September 6 to December 31, 1942. S 515.00
Tax possession value in excess of collections September 6 to De- cember 31, 1942 34.32
Balance December 31, 1942
19,971.72
$ 20,521.04
Balance January 1, 1943.
$ 19,971.72
Tax titles foreclosed January 1 to September 7, 1943.
6,736.80
Collections in excess of tax pos- session value January 1 to Sep- tember 7, 1943 Audit adjustments:
1,908.18
Collection of taxes 1942 re- ported as sale of tax posses- sions 20.00
Collection of interest on taxes reported as sale of tax pos- sessions . .20
Tax titles sold, Section 79, Chap- ter 60, General Laws, Janu- ary 1 to September 7, 1943, reported as sale of tax pos- sessions. 70.35
Error in reporting collections in excess of tax possessions value January 1 to September 7, 1943. 230.24
Erroneous collection to be re- funded
100.00
$ 29,037.49
Tax possessions sold January 1 to September 7, 1943: Per cash book. Not on cash book
$ 10,845.55 100.00
$ 10,945.55
98
Tax possession value in excess of collections. . 606.87 Audit adjustments:
Collection in excess of tax title value, Section 79, Chapter 60, General Laws, reported as collection in excess of tax possession value. 34.87
Error in reporting tax titles foreclosed :
September 6 to December 31, 1942.
$ 69.51
January 1 to September 7, 1943 .01
69.52
Balance September 7, 1943, per list.
17,380.68
$ 29,037.49
COURT FINES
Receipts September 6 to December 31, 1942.
$ 421.00
Payments to treasurer September 6 to December 31, 1942.
S 421.00
Receipts January 1 to September 7, 1943. $ 1,208.00
Payments to treasurer January 1 to September 7, 1943 $
1,208.00
SELECTMEN'S LICENSES
Licenses granted September 6 to December 31, 1942:
All alcoholic. $ 3,300.00
Wine and malt.
600.00
Package store.
700.00
Club.
750.00
Special wine and malt. 45.00
Common victualler.
9.00
Amusement.
113.50
Bowling
36.00
Roller skating
36.00
Gasoline.
.50
Milk.
1.00
Slaughtering
100.00
$ 5,691.00
99
Payments to treasurer September 6 to December 31, 1942 $ 5,691.00
Licenses granted January 1 to
September 7, 1943:
All alcoholic.
S 400.00
Wine and malt.
300.00
Special wine and malt
110.00
Common victualler
9.00
Park.
50.00
Amusement
1,377.50
Bowling.
78.00
Roller skating
68.00
Miniature golf.
16.00
Riding school .
5.00
Automobile dealer
5.00
Sunday sales.
10.00
Auctioneer
10.00
Garage
5.00
Junk.
28.00
Gasoline
10.50
Milk.
4.00
Pasteurization
20.00
Ice cream manufacturing.
1.00
Slaughtering
400.00
2,907.00 S
Payments to treasurer January 1 to September 7, 1943 S
2,907.00
TOWN CLERK Dog Licenses
Cash on hand September 6, 1943, per previous audit : Due county. S 22.20
Clerk's fees, 9 @ S.20.
1.80
S 24.00
Licenses issued September 6 to December 31, 1942:
Males, 8 @ $2.00
S 16.00
Females, 2 @ $5.00.
10.00
Spayed females, 1 @ $2.00.
2.00
Transfers, 1 @ S.25
.25
28.25
S 52.25
100
Payments to treasurer September 6 to December 31, 1942. . . . Fees retained September 6 to De- cember 31, 1942, 20 @ $.20.
$ 48.25
4.00
$ 52.25
Licenses granted January 1 to September 7, 1943:
Males, 508 @ $2.00
$ 1,016.00
Females, 109 @ $5.00.
545.00
Spayed females, 209 @ $2.00
418.00
Kennels:
4 @ $25.00
100.00
1 @ $50.00
50.00
S 2,129.00
Payments to treasurer January 1 to September 7, 1943
$ 1,962.80
Fees retained January 1 to Sep- tember 7, 1943, 831 @ $.20. . . .
166.20
S 2,129.00
TOWN CLERK Sporting Licenses
Cash on hand September 6, 1942,
per previous audit : Due State.
$ 10.00
Clerk's fees, 5 @ $.25.
1.25
$
11.25
Licenses issued September 5 to December 31, 1942:
Resident citizen's fishing, 1 @ $2.00. S 2.00
Resident citizens' hunting,
247 @ $2.00
494.00
Resident citizens' sporting, 2 @ $3.25
6.50
Resident citizen's minor trap- ping, 1 @ $2.25 2.25
Resident citizens' trapping, 5 @ $5.25
26.25
Non-resident citizens' hunt-
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