USA > Massachusetts > Middlesex County > Arlington > Town of Arlington annual report 1908-1909 > Part 54
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1,091.03
Sewer Assessments.
2,129.01
Rents .
1,593.63
Town Hall.
$389.00
Town House Site
480.00
Medford Street Estate.
330.00
Summer Street Estate.
275.00
Town Yard.
119.63
Schools,
$1,065.04
E. Nelson Blake, Jr. Memorial Fund ...
$105.00
Wm. Cutter School Fund.
218.09
Martha M. W. Russell Fund.
216.90
Miscellaneous Collection ..
52.73
Nathan Pratt High School Fund.
472.32
Library.
$2,915.38;
Elbridge Farmer Fund.
$2,056.49
Henry Mott Fund
211.10
Timothy Wellington Fund.
4.54
Nathan Pratt Fund.
404.25
Miscellaneous Collection.
239.00
Income Poor Widows Fund.
515.10
Military Fund
25.41
Dog Tax
600.02
Interest ..
2,630.04
Bank Deposits, Treasurer.
427.08
Tax Titles, Treasurer.
5.00
Bank Deposits Collector
102.52
Delayed Payments
1,640.42
Committed Sewers
431.44
Committed Betterments
23.58
Court Fines
$999.35
Sales of Offal.
725.00
Cemeteries .
3,010.95
Town Account (sales of lots).
$755.00
Care of lots, etc.
2,255.95
Perpetual Care Fund. 2,000.00
267
TREASURER'S REPORT
Treasury.
715.78
Miscellaneous .
500.00
Lexington Peat Fuel Co. 500.00
Soldiers' Relief.
10.00
Water Works Guarantee Fund.
165.00
Tax Title Account. 93.61
Reimbursements 20,332.19
Police.
5.00
Bow Street Storm Drain
7.00
Highway Department.
4,698.54
Sewer Department.
1,293.58
Particular Sewers.
1,910.13
Water Department.
4,640.16
Permanent, sidewalks
398.42
Incidentals, Selectmen.
5.50
Incidentals Town Clerk
25.00
State Aid.
16.00
Gypsy Moth Account.
15.60
Outside Poor.
292.95
Board of Health.
97.21
Town House Site
2.80
Fire Department.
23.75
Commonwealth of Massachusetts
6,900.55
Burial of Indigent Soldiers and Sailors $37.00
Military Aid. 45.00
Burial of Paupers
15.00
Temporary Aid.
97.29
State Aid.
1,775.00
Gypsy and Brown Tail Moths. 4,931.26
$469,971.38
DISBURSEMENTS.
Permanent Loans ..... a.
$14,450.00
April 1, Locke School Loan $1,450.00
June 1, Cutter School Loan 4,000.00
July 1, Suspense Account Note.
3,000.00
July 1, Parmenter School Bonds. .
1,000.00
Dec. 1, Palmer, Wyman & Tanager Sts. Note.
1,000.00
Dec. 15, Russell School Repair Loan .... 1,000.00
268
TREASURER'S REPORT
Dec. 31, Locke School Addition Loan .. 2,500.00 Dec, 31, Enlargement of Locke School Lot Loan 500.00
87,000.00
Loans in Anticipation of Taxes.
Note dated Dec. 16, 1908, paid June 16, 1909
20,000.00
Jan. 1, 1909,
Nov. 1, 1909. 12,000.00
June 14, 1909, “
Nov. 15, 1909
35,000.00
66 June 21, 1909, “ Dec. 21, 1909
20,000.00
State and County Taxes
$57,481.63
Corporation Tax.
$3.87
County Tax.
11,682.45
State Tax.
13,635.00
National Bank Tax.
295.05
Metropolitan Park Tax.
5,253.27
Metropolitan Sewer Tax.
9,169.53
Metropolitan Water Tax.
17,442.46
Interest.
$29,614.75
Water Loans
$14,060.00
Sewer Loans.
4,200.00
Parmenter School Loan
520.00
Suspense Account Note.
120.00
Town House Site.
1,820.00
Locke School Loan
609.00
High School Loan.
2,584.00
Park Loan.
600.00
Cutter School Lot Loan
107.94
Palmer, Wyman & Tanager Sts. Loan
160.00
.. Cutter School Loan.
80.00
Russell School Repair Loan.
320.00
Kensington Park Sewer Loan.
140.00
Henderson Street Sewer Loan
420.00
Locke School Addition Loan.
1,800.00
Summer Street Loan.
80.00
Kensington Road Sewer Loan.
40.00
Enlargement of Locke School Lot Loan .
160.00
Police Signal Notes
120.00
Sawin Street Loan.
40.00
Town Yard Loan of 1909
60.00
Anticipation of Tax Notes
1,573.81
Cemetery Commissioners
Perpetual Care Fund. 2,000.00
$2,000.00
269
TREASURER'S REPORT
Tax Title Account. $112.32
Sinking Fund. .. 500,00
Auditors warrants. 265,246,73
Total Disbursements $456,405.43
Cash Deposited in First National Bank, Arlington 13,565.95
$469,971.38
MYRON TAYLOR.
Treasurer,
I have examined the accounts of Myron Taylor, Treasurer of the Town of Arlington, and find the same correct, agreeing with the Auditor's book, and the balance of cash on hand is thirteen thousand five hundred sixty-five dol- lars and ninety-five cents (13,565.95) as stated.
GEORGE McK. RICHARDSON, Auditor.
REPORT OF COLLECTOR OF TAXES.
1908 TAX.
DR.
Amount uncollected Dec. 31, 1908. $62,657.58
Additional commitments and reassessments 4.00
CR.
Abatements. $504.56
Amount paid Town Treasurer
62,025.61
Uncollected Dec. 31, 1009
131.41
$62,661.58
$62,661.58
1909 TAX
DR.
Amount committed by Assessors. $217,954.81
Additional commitments and reassesments 3,673.55
CR.
By Abatements $1,040.07
Amount paid Town Treasurer. 159,889.56
Amount uncollected Dec. 31, 1009. 60,698.73
$221,628.36 8221,628.36
STREET WATERING ASSESSMENTS 1907.
DR.
Amount uncollected Dec. 31, 1908. $599.66
CR.
Amount paid Town Treasurer.
$599.66
$599.66 $599.66
271
COLLECTOR OF TAXES
STREET WATERING ASSESSMENTS 1908. DR.
Amount uncollected Dec. 31, 1908. $2,500.97
CR.
Abatements . 18.59
Amount paid Town Treasurer ..
2,057.01
Amount uncollected Dec. 31, 1909
425.37
$2,500.97 $2,500.97
STREET WATERING ASSESSMENTS 1909.
DR.
Amount committed by Assessors Dec. 1909.
$2,523.05
WATER RATES.
DR.
Amount committed Jan. 1, 1909. .
$20,104.04
Amount committed July 1, 1909 18,117.91
Additional commitments 2,117.55
CR.
Rebates
$687.72 39,651.78
Amount paid Town Treasurer
$40,339.50 $40,339.50
SEWER ASSESSMENTS.
DR.
Amount collected on unapportioned assess-
ments.
$846.46
CR.
Amount paid Town Treasurer $846.46
$846.46
$846.46
272
COLLECTOR OF TAXES
APPORTIONED SEWER ASSESSMENTS.
DR.
Amount uncollected Dec. 31, 1908 $694.86
Apportionments for 1909 committed by
Assessors.
901.38
CR.
Amount paid Town Treasurer
$1,282.55
Uncollected Dec. 31, 1909.
313.69
$1,596.24
$1,596.24
INTEREST COMMITTED ON APPORTIONED SEWER ASSESSMENTS.
DR.
Amount uncollected Dec. 31, 1908 $248.83
Amount committed by Assessors in 1909 .. . 260.77
CR.
Amount paid Town Treasurer. $431.44
Uncollected Dec. 31. 1909.
78.16
$509.60 $$509.60
STREET RAILWAY EXCISE TAX.
DR.
Amount committed by Assessors. .
Boston & Northern Street Railway Co. $329.93
Lexington & Boston Street Railway Co .... $63.30
CR.
Amount paid Town Treasurer
$393.23
$393.23 $393.23
NON-RESIDENT BANK TAX.
DR.
Amount committed by Assessors $293.04
CR.
Amount paid Town Treasurer $293.04
$293.04 $293.04
273
COLLECTOR OF TAXES
COMMITTED SIDEWALK ASSESSMENTS.
DR.
Amount uncollected Dec. 31, 1908 $945.67
CR.
Amount Paid Town Treasurer $800.09
Amount uncollected Dec. 31, 1909
145.58
$945.67
$945.67
BETTERMENT ASSESSMENTS UNAPPORTIONED.
DR.
Amount uncollected Dec. 31, 1908
$1,643.57
Less amount apportioned . 766.53
$877.04
Advance apportionments.
85.43
Amount committed by Joint Board of Selectmen and Board of Public Works Dec. 27, 1909.
Bartlett Av. 819.52
Woodland St. 651.26
CR.
Abatements .
$59.70
Amount paid Town Treasurer
442.09
Amount uncollected Dec. 31, 1909
1,931.46
$2,433.25 $2,433.25
APPORTIONED BETTERMENT ASSESSMENTS.
DR.
Amount uncollected Dec. 31, 1908.
$370.33
Amount committed by Assessors 1909 812.01
CR.
Amount paid Town Treasurer .. $648.94
Amount unpaid Dec. 31, 1909.
533.40
$1,182.34 $1,182.34
274
COLLECTOR OF TAXES
INTEREST COMMITTED ON APPORTIONED BETTERMENT ASSESSMENTS.
DR.
Amount uncollected Dec. 31, 1908. $6.69
Amount committed by Assessors 1909. 50.42
CR.
Amount paid Town Treasurer.
23.58
Amount uncollected Dec. 31, 1909
33.53
$57.11
$57.11
BOARD FOR SUPPRESSION OF GYPSY AND BROWN TAIL MOTHS.
DR.
Amount uncollected Dec. 31, 1908 $657.44
Amount committed by Assessors 1909 1,373.51
CR.
Abatements
$ 51.70
Amount paid Town Treasurer
1,707.93
Amount uncollected Dec. 31, 1909
271.32
$2,030.95
$2,030.95
INTEREST.
DR.
Amount collected on Taxes.
$1,464.01
Bank Deposits 102.52
Sewer Assessments uncommitted
87.45
Street Watering. 11.80
Betterment Assessments uncommitted.
28.14
Sidewalk Assessments.
35.09
Gypsy and Brown Tail Moths Assessments
13.93
CR.
Amount paid Town Treasurer
$1,742.94
$1,742.94
$1,742.94
275
-
COLLECTOR OF TAXES
MISCELLANEOUS RECEIPTS.
DR.
Amount collected for different departments $14,628.21
CR.
Amount paid Town Treasurer
$14,628.21
$14,628.21 $14,628.21
HARVEY S. SEARS, Collector of Taxes.
December 31, 1909.
I have examined the accounts of Harvey S. Sears, Collector of Taxes for the Town of Arlington, Mass., and find the same correct, agreeing with the Auditor's Books.
GEORGE McK. RICHARDSON, Auditor.
December 31, 1909.
AUDITOR'S REPORT.
For the Financial Year ending December, 31, 1909.
The books and accounts of the Treasurer and Collector have been examined and found correct, and the balance of cash on hand as reported has been verified.
A list of all unpaid assessments at this date is on file in this office.
The accounts of the Cemetery Department, Town Clerk, Sealer of Weights and Measures, and Inspector of Milk have all been ex- amined and agree with the Auditor's books.
The accounts of the following Trust Funds have been examined and found correct, and the Investments on hand as reported by the Trustees of the various funds :
Elbridge Farmer Fund.
Nathan Pratt Library Fund.
Nathan Pratt High School Fund.
Nathan Pratt Poor Widow's Fund.
High School Income Fund.
Sinking Fund.
Martha M. W. Russell School Fund.
Martha M. W. Russell Poor Widows' Fund.
Mary Cutter Poor Widows' Fund.
Income Poor Widows' Funds.
William Cutter School Fund.
E. Nelson Blake, Jr., Memorial Fund.
Henry Mott Library Fund.
Timothy Wellington Fund.
Julia Fillebrown Fund.
Citizens Soldiers' Fund.
Soldiers' Monument Fund.
Robbins Fund.
Samuel C. Buckman Fund.
Cemetery Perpetual Care Fund.
Income Cemetery Perpetual Care Funds.
277
AUDITOR
During the year the Military Fund has been closed as shown in the accounts.
OVERDRAFTS. The overdrafts shown on Police, Incidentals, and Board of Health were all authorized by the Board of Selectmen.
BOARD OF HEALTH. This was occasioned by large expenditures on account of Contagious Diseases.
INCIDENTALS. This was occasioned by unforeseen expenses in connection with the Lowell & Suburban Railroad matter.
POLICE. This was largely due to extra expenses at the time of the trial in the Mullins' case.
The overdraft on Suppression of Gypsy and Brown Tail Moth account was occasioned by the Reimbursements not being sufficient to offset the authorized borrowings, the difference being charged back to this account.
The deficit in Corporation and Bank Tax was on account of an overestimate by the Assessors when making their tax levy.
No unpaid bills have been reported.
Respectfully submitted,
GEO. McK. RICHARDSON, Auditor.
278
AUDITOR
FINANCIAL STATEMENT.
PUBLIC PROPERTY.
Book value December 31, 1908.
$1,465,715 09
Increase during the year
Locke School Addition
$45,000 00
Town Yard.
3,500 00
Water Extensions.
2,000 00
Sewer Extensions.
2,000 00
Garbage Building cost. .. 995 89
53,495 89
$1,519,210 98
SURPLUS.
Balance December 31, 1908.
$761,466 45
Increase
Additional Public Property
$53,495 89
Town Debt Paid.
14,450 00
$829,412 34
DECREASE.
Loans issued.
14,500 00
$814,912 34
Fixed Loans December 31, 1909.
704,298 64
$1,519,210 98
DEBT STATEMENT.
Water Loans
$355,000 00
Sewer Loans.
121,000 00
School Loans ..
146,798 64
Town House Site Loan.
52,000 00
Park Loan.
15,000 00
Highway Loans.
8,500 00
Police Signal System Loan.
3,000 00
Town Yard Loan
3,000 00
Total of Fixed Loans.
Loans in anticipation of taxes.
$704,298 64 40,000 00
Total Debt.
$744,298 64
279
AUDITOR
BORROWING CAPACITY.
Assessor's Valuation May 1, 1909.
$11,479,914 00
At 3 per cent is.
$344,397 42
Total Debt ..
$744,298 64
Loans Exempt
Water Loans. $355,000 00
Sewer Loan
100,000 00
Park Loan.
15,000 00
Anticipation of tax loans 40,000 00
510,000 00 234,298 64
Borrowing Capacity Dec. 31, 1909 ...
$110,098 78
STATEMENT OF CURRENT ASSETS AND LIABILITIES.
ASSETS.
Uncollected Taxes. $60,830 14
Sewer Assessments.
6,769 45
66 Sidewalk Assessments 145 58
66 Betterment Assessments.
3,465 03
66
Street Watering Assessments
2,948 42
66
Gypsy Moth Assessments.
271 32
66
Committed Interest.
111 69
Town Grant.
4,592 00
Overdrafts 1909.
Deficit Corporation and Bank Tax
2,969 31
Com. of Mass. Burials.
74 00
66
State Aid
9 00
Tax Titles.
257 86
Wood Account.
11 26
Cash on hand.
13,565 95
$97,552 71
LIABILITIES.
Com. of Mass. Metropolitan Sewer. $186 44
Anticipation of tax loans.
40,000 00
Unexpended balances.
19,016 23
Unappropriated Receipts.
26,629 65
$85,832 32
Surplus.
$11,720 39
Fixed Assets and Liabilities will be found in the Financial Statement.
1,531 70
DETAILED STATEMENT OF FIXED TOWN DEBT, DECEMBER 31, 1909. Showing the Amounts Maturing Each Year.
Due.
Account.
Date of Note
When Due.
Rate Per Cent.
Amount.
Total.
1910
Locke School.
Apr.
1,1899
Apr. 1, 1910
4
$1,450 00
1910
Water Pipe Renewal, 1909.
June
1,1909
June
1, 1910
4 4
500 00
Town Yard ...
June
1,1909
June
1, 1910
4
500 00
Sewer Loan, 1909 ..
June
1, 1909
June
1,1910
4
1,000 00
Water Loan, 1909 ..
June
1,1909
June
1, 1910
4
500 00
Cutter School Lot.
June
1, 1900
June
1, 1910
4
2,698 64
Parmenter School.
July
1,1904
July
1, 1910
4
1,000 00
Palmer, Wyman & Tanager Sts. & Avon Pl.
.
AUDITOR
$18,648 64
1911
Locke School ..
Apr.
, 1899
Apr.
1,1911
4
$1,450 00
Water Pipe Renewal, 1909.
June
1,1909
June
1,1911
4
500 00
Town Yard ..
June
1, 1909
June
1,1911
4
500 00
Sewer Loan, 1909 ..
June
1, 1909
June
1,1911
4
1,000 00
Water Loan, 1909 ..
June
1, 1909
June
1,1911
4
500 00
Parmenter School.
July
1, 1904
July
1,1911
4
1,000 00
Palmer, Wyman & Tanager Sts. & Avon Pl. .
Dec.
1, 1907
Dec.
1,1911
4
1,000 00
Water Pipe Renewal.
Dec.
1, 1907
Dec.
1,1911
4
1,000 00
Dec.
1, 1907
Dec.
1, 1911
4
1,000 00
Dec.
15, 1905
Dec.
15, 1910
4
500 00
Water . . .
Dec.
15, 1905
Dec.
15, 1910
4
1,000 00
Kensington Road Sewer
Dec.
31, 1904
Dec.
31,1910
4
1,000 00
Water. ..
Dec.
31, 1906
Dec.
31, 1910
4
1,000 00
Dec.
31, 1906
Dec.
31, 1910
4
1,000 00
Dec.
31, 1908
Dec. 31, 1910
4
2,500 00
Enlargement Locke School Lot.
Dec.
31, 1908
Dec. 31, 1910
4
500 00
Woodland St. Loan
Dec.
31, 1909
Dec. 31, 1910
4
500 00
Bartlett Av. Loan ..
Dec. 31, 1909
Dec. 31, 1910
4
1,000 06
Dec. Dec.
1,1907
Dec.
1, 1910
4
1,000 00
Russel School Repairs.
15, 1904
Dec.
15, 1910
4
1,000 00
Kensington Park Sewer
Police Signal.
Locke School Addition.
.
. .
.
. . .
Water Loan, 1907 .. .
280
$16,950 00
1912
Water Bonds.
Jan.
1,1892
Jan.
1,1912
4
$91,000 00
Locke School ..
Apr.
1,1899
Apr.
1,1912
4
1,450 00
Water Pipe Renewal, 1909.
June
1, 1909
June
1,1912
4
500 00
66
Town Yard .. ..
June
1, 1909
June
1,1912
4
500 00
Water Loan, 1909.
June
1,1909
June
1,1912
4
500 00
Parmenter School.
July
1,1904
July
1, 1912
4
1,000 00
Water Pipe Renewal.
Dec.
1,1907
Dec.
1,1912
4
1,000 00
Dec.
1,1907
Dec.
1,1912
4
1,000 00
Dec.
1,1907
Dec.
1,1912
4
1,000 00
Dec.
1, 1907
Dec.
1,1912
4
1,000 00
Russell School Repairs.
Dec.
15, 1904
Dec.
15, 1912
4
1,000 00
Dec.
15, 1905
Dec. 15, 1912
4
1,000 90
.:
Water.
Dec.
15, 1905
Dec.
15, 1912
4
1,000 00
Dec.
31,1906
Dec. 31, 1912
4
1,000 00
Dec.
31, 1908
Dec. 31, 1912
4
2,500 00
Dec. 31, 1908
Dec. 31, 1912
4
500 00
1913
Locke School.
Apr.
1,1899
Apr.
1,1913
4
$1,450 00
Water Pipe Renewal, 1909.
June
1,1909
June
1,1913
4
500 00
Town Yard ..
June
1,1909
June
1,1913
1
500 00
Water Loan, 1909
June
1,1909
June
1,1913
4
500 00
Parmenter School.
July
1,1904
July
1,1913
4
1,000 00
High School Bonds.
Nov.
1,1893
Nov.
1,1913
4
64,600 00
Dec.
1,1907
Dec.
1,1913
4
1,000 00
Dec.
1,1907
Dec.
1,1913
4
1,000 00
66
Scwer Loan, 1907 ...
Dec.
1,1907
Dec. 1,1913
4
1,000 00
Dec. 15,1904
Dec. 15, 1911
4
1,000 00
Kensington Park Sewer.
Dec. 15, 1905
Dec. 15, 1911
4
1,000 00
Water
Dec. 15, 1905 Dec. 15, 1911
4
1,000 00
Water
Dec. 31,1906
Dec. 31, 1911
4
1,000 00
Dec. 31,1906
Dec. 31,1911
4
1,000 00
Dec. 31, 1908
Dec. 31, 1911
4
2,500 00
Enlargement Locke School Lot ..
Dec.
31, 1908
Dec. 31,1911
4
500 00
Woodland St. Loan.
Dec. 31, 1909
Dec. 31, 1911
4
500 00
Bartlett Av. Loan.
Dec. 31, 1909
Dec. 31, 1911
4
500 00
AUDITOR
281
.
Police Signal.
Locke School Addition.
Enlargement Locke School Lot.
$105,950 00
Water Pipe Renewal.
Water Loan, 1907. .
. .
[Russell School Repairs.
Police Signal.
Locke School Addition ..
Water Loan, 1907.
Sewer Loan, 1907.
Palmer, Wyman & Tanager Sts. & Avon Pl.
Kensington Park Sewer
DETAILED STATEMENT OF FIXED TOWN DEBT .- Continued.
Due.
Account.
Date of Note.
When Due.
Rate Per Cent.
Amount.
Total.
1913
Russell School Repairs.
Dec. 15, 1904
Dec. 15, 1913
4
1,000 00
Kensington Park Sewer.
Dec.
15, 1905
Dec. 15, 1913
4
1,000 00
Water.
Dec.
15, 1905
Dec. 15, 1913
4
1,000 00
Locke School Addition.
Dec.
31, 1908
Dec. 31, 1913
4
2,500 00
Enlargement Locke School Lot ..
Dec. 31,1908
Dec. 31, 1913
4
500 00
Sawin Street, 1908 ..
Dec. 31, 1908
Dec. 31, 1913
4
1,000 00
Water Loan, 1908.
Dec. 31, 1908
Dec. 31, 1913
4
1,000 00
Water Pipe Renewal ..
Dec. 31, 1908
Dec. 31, 1913
4
1,000 00
1914
Locke School ..
Apr.
, 1899
Apr.
1,1914
4
$,1450 00
Water Pipe Renewal, 1909.
June
1,1909
June
1, 1914
4
500 00
Town Yard ..
June
1,1909
June
1, 1914
4
500 00
Parmenter School ..
July
1,1904
July
1,1914
4
1,000 00
Water Pipe Renewal ..
Dec.
, 1907
Dec.
1,1914
4
1,000 00
Dec.
1,1907
Dec.
1,1914
4
1,000 00
Dec.
15, 1904
Dec. 15, 1914
4
1,000 00
Water
Dec.
15, 1905
Dec. 15, 1914
4
1,000 00
Dec.
31,1908
Dec.
31, 1914
4
2,500 00
Dec.
31, 1908
Dec.
31, 1914
4
500 00
Summer Street, 1908.
Dec.
31, 1908
Dec. 31, 1914
4
1,000 00
Water Loan, 1908.
Dec.
31, 1908
Dec. 31, 1914
4
1,000 00
Dec.
31, 1908
Dec. 31, 1914
4
1,000 00
1915
Locke School ..
Apr.
1,1899
Apr.
1,1915
4
$1,450 00
Water Pipe Renewal. .
June
1,1909
June
1,1915
4
500 00
6.
Town Yard.
June
1,1909
June
1, 1915
4
500 00
Parmenter School ...
July
1,1904
July
1, 1915
4
1,000 00
Water Pipe Renewal, 1909.
Dec.
1,1907
Dec.
1, 1915
4
1,000 00
Sewer Loan, 1907 ..
Dec.
1,1907
Dec.
1, 1915
4
1,000 00
66
Russell School Repairs ..
Dec. 15, 1904
Dec. 15, 1915
4
1,000 00
Water .
Dec. 15, 1905
Dec. 15, 1915
4
1,000 00
.
. . .
·
Locke School Addition.
·
.
.
.
·
. . .
$13,450 00
282
AUDITOR
.
.
.
Sewer Loan, 1907 ...
Russell School Repairs.
. . .
.
Enlargement Locke School Lot ..
Water Pipe Renewal, 1908.
$80,550 00
$12,450 00
$9,950 00
1917
Locke School.
Apr.
1,1899
Apr.
1,1917
4
$1,450 00
Water Pipe Renewal, 1909
June
1, 1909
June
1,1917
4
500 00
Parmenter School ...
July
1,1904
July
1, 1917
4
1,000 00
Dec.
1, 1907
Dec. 1,1917
4
1,000
00
Water .
Dec. 15, 1905
Dec. 15, 1917
4
1,000
00
Locke School Addition ..
Dec. 31, 1908
Dec. 31, 1917
4
2,500 00
Water Pipe Renewal, 1908.
Dec. 31, 1908
Dec. 31, 1917
4
1,000 00
Apr.
1,1899
Apr.
1, 1918
4
$1,450 00
Water Pipe Renewal, 1909
June
1, 1909
June
1, 1918
4
500 00
Parmenter School ..
July
1, 1904
July
1, 1918
4
1,000 00
Water Pipe Renewal ..
Dec.
1, 1907
Dec. 1,1918
4
1,000
00
Water.
Dec. 15, 1905
Dec.
15, 1918
4
1,000 00
Locke School Addition.
Dec. 31, 1908
Dec. 31, 1918
4
2,500 00
Water Pipe Renewal, 1908 ..
Dec. 31, 1908
Dec. 31, 1918
4
1,000 00
1919
Locke School.
Apr.
1,1899
Apr.
1,1919
1
$1,450 00
Water Pipe Renewal, 1909.
June
1,1909
June
1,1919
4
500 00
Parmenter School ...
July
, 1904
July
1,1919
4
1,000 00
Water Pipe Renewal ..
Dec.
1,1907
Dec. 1,1919
4
1,000 00
Locke School Addition.
Dec. 31 ,1908 | Dec. 31, 1919 .
4
2,500 00
.
July
1. 1904
July
1,1916
4
1,000 00
Water Pipe Renewal.
Dec.
1,1907
Dec. 1,1916
4
1,000 00
Russell School Repairs.
Dec.
. · .
.
.
Dec.
15, 1905
Dec. 15, 1916
4
1,000 00
Locke School Addition.
Dec.
31, 1908
Dec. 31, 1916
4
2,500 00
Enlargement Locke School Lot ..
Dec. 31, 1908
Dec. 31, 1916
4
500 00
Dec.
31, 1908
Dec. 31, 1916
4
1,000 00
1916
Locke School.
Apr. 1,1899
Apr. 1,1916
4
$1,450 00
Water Pipe Renewal, 1909
June
1,1909 June
1, 1916
4
2,500 00 500 00
Enlargement Locke School Lot.
Dec. 31, 1908
Dec. 31, 1915
4
Summer Street, 1908 ..
Dec. 31, 1908
Dec. 31, 1915
4
1,000 00
. .
Water Pipe Renewal, 1908.
Dec. 31, 1908
Dec. 31, 1915
4
1,000 00
500 00
Parmenter School ..
. . .
.
.
.
15, 1904
Dec.
15, 1916
4
1,000 00
Water. .
AUDITOR
$8,450 00
1918
Locke School ..
.
.
$8,450 00
283
1915 |Locke School Addition.
Dec. 31, 1908 1 Dec. 31, 1915
4
Water Pipe Renewal, 1908 ..
Water Pipe Renewal. .
DETAILED STATEMENT OF FIXED TOWN DEBT .- Concluded.
Due.
Account.
Date of Note.
When Due.
Rate Per Cent.
Amount.
Total.
1919
Water Pipe Renewal, 1908.
Dec. 31, 1908
Dec. 31, 1919
4
$1,000 00
1920
Parmenter School ..
July 1, 1904
July 1,1920
4
$1,000 00
Water Pipe Renewal ..
Dec. 1,1907
Dec. 1,1920
4
1,000 00
Locke School Addition
Dec. 31, 1908
Dec. 31, 1920
4
2,500 00
1921
Parmenter School ...
July 1, 1904
July 1,1921
4
$1,000 00
Locke School Addition.
Dec. 31, 1908
Dec. 31, 1921
4
2,500 00
1922
Water Bonds ...
Jan. 1,1892
Jan. 1,1922
4
$92,000 00
Locke School Addition.
Dec. 31, 1908
Dec. 31, 1922
4
2,500 00
1923
Henderson Street Sewer.
Dec. 31, 1903
Dec. 31, 1923
4
$10,500 00
Locke School Addition.
Dec. 31, 1908
Dec. 31, 1923
4
2,500 00
1924
Water Bonds
July 1,1894
Apr. 1,1924
4
$92,000 00
Locke School Addition.
Dec. 31, 1908
Dec. 31, 1924
4
2,500 00
1925
Water Bonds .. Locke School Addition.
Oct. 1,1895
Oct. 1,1925
4
$10,000 00
Dec. 31, 1908
Dec. 31, 1925
4
2,500 00
1926
Water Bonds Locke School Addition.
Oct.
1,1896
Oct. 1,1926
4
$5,000 00
Dec. 31, 1908
Dec. 31, 1926
4
2,500 00
1927
Water Bonds ..
Oct. 1,1897
Oct.
1,1927
4
1928
Water Bonds.
Oct, 1,1898
Oct.
1,1928
4
$15,000 00
1936
Sewer Bonds. ..
June 1,1896
June
1,1936
4
$100,000 00
1939
Town House Site Bonds ...
Apr,
1,1899
Apr.
1,1939
31/2
$52,000 00
1946
Park Bonds ..
Nov.
1, 1896
Nov.
1,1946
4
$15,000 00
$704,398 64
284
AUDITOR
$13,000 00
$94,500 00
$12,500 00
$7,500 00 $10,000 00
$7,450 00
$4,500 00
$3,500 00
$94,500 00
285
AUDITOR
STATEMENT OF LOANS IN ANTICIPATION OF TAXES.
Date of Issue. To Whom. Due Date. Amount.
December 4, 1909. Loring, Tolman & Tupper. June 7, 1910. $20,000 00 December 27, 1909. Sinking Fund Commissioners. April 1, 1910. 20,000 00
$40,000 00
Statement of Appropriations showing Receipts and Disbursements, also Unexpended
Balances and Overdrafts.
APPROPRIATIONS
Credits and Reimburse- ments.
Total.
Disburse- ments.
Available for Depart- ment only.
Available for Transfer.
Over-
drafts.
Abatements .
$1,700 00
$343 75
$2,043 75
$1,616 50
$427 25
Appleton Street Storm Drain.
$600 00
600 00
599 98
02
Block System for Assessors ..
300 00
300 00
$300 00
Board of Health ..
775 00
97 21
872 21
1,693 64
$821 43
Board of Survey ..
500 00
500 00
115 98
384 02
Bow Street Storm Drain.
600 00
7 00
607 00
554 14
52 86
Cemetery Department.
1,800 00
2,951 35
4,751 35
4,018 26
733 09
Committee on Town Yard ..
$250 00
250
00
250 00
Committee on School accommodations
500 00
500 00
500 00
Construction Bartlett Avenue ..
250 00
1,750 00
1,639 04
110 96
Sawin Street.
235 31
235 31
235 31
Woodland Street ..
350 00
1,350 00
1,302 51
47 49
Filling Meadow Brook Park
695 40
695 40
695 40
Fire Department ....
11,600 00
23 75
11,623 75
11,587 21
36 54
Health Department ..
5,660 00
5,660 00
5,598 76
61 24
Highway Division.
14 80
7,150 00
16,176 10
5,376 99
28,717 89
28,501 64
216 25
Incidentals, Selectmen.
2,500 00
5 50
2,505 50
2,963 18
457 68
Assessors.
700 00
700
619 54
80 46
Auditor ...
150 00
150 00
93 64
56 36
Collector ..
330 00
330 00
327 86
2 14
350 00
25 00
375 00
374 98
02
Treasurer ...
150 00
150 00
82 09
67 91
Insurance ..
2,300 00
2,300 00
1,579 18
720 82
Interest ..
1,376 88
29,043 12
30,420 00
29,614 75
805 25
Locke School Addition, ..
30,364 82
400 00
30,764 82
30,371 35
393 47
...
.
. .
.
.
....
·
...
.
·
·
200 00
200 00
200 00
.
ACCOUNTS.
Balance Dec. 31, 1908.
By Taxation
Borrowing & Transfer
Unexpended Balances.
....
.
Town Clerk ...
Insect Pest Extermination.
·
1,500 00
1,000 00
Memorial Day .. Military Aid. Notes due in 1909. Overdrafts in 1908
275 00|
275 00 275 001
50 00
45 00
95 00
95 00
11,450 00
3,000 00
14,450 00
14,450 00
3,692 75
3,692 75
3,692 75
Outside Poor ..
6,000 00
405 24
6,405 24
6,310 41
94 83
325 00
325 00
254 40
70 60
3,000 00
405 74
3,405 74
3,362 44
43 30
Police Department ...
9,300 00
5 00
9,305 00
9,396 52
91 52
Police Station & Lock-up Alterations
800 00
373 00
1,173 00
28 00
1,145 00
Premiums for Bonding ..
150 00
150 00
126 00
24 00
Rental of Lawrence Field.
165 00
165 00
165 00
3.500 00
800 02
2,915 38
7,215 40
7,207 40
8 00
Salaries .
13,748 50
13,748 50
13,418 27
330 23
Schools.
65,000 00
487 72
65,487 72
65,194 54
293 18
Schools, Repairs ...
1,000 00
1,000 00
935 13
64 87
Sewer Construction.
2,000 00
2,000 00/
1,900 00
3,623 37
5,523 37
4,636 15
887 22
Sinking Fund ..
5,000 00
1,000 00
500 00
15,500 00
15,500 00
Soldiers' Relief.
400 00
10 00
410 00
313 00
97 00
State Aid.
200 00
1,800 00
2,000 00
1,990 00
10 00
Street Lighting.
9,440 00
9,440 00
9,176 66
263 34
Suppression of Moths to Nov. 30, 1909
4,276 07
1,000 0
6,000 00
14 60
11,290 67
11,451 74
161 07
Suppression of Moths to Nov. 30, 1910 Telephones .
450 00
450 00
414 29
35 71
Town House.
1,800 00
1,800
1,420 76
379 24
Town House, Repairs on Cupola.
250 00
240
00
220 64
29 36
Town House Site, Care of Lot ..
300 00
2 80
302 80
264 76
38 04
Town Yard ..
250 00
3,250 00
3,500 00
3,500 00
Town Yard Building Repairs ... .
125 00
125 00
101 34
23 66
Town Yard Garbage Building ...
1,000 00
1,000 00
995 89
4 11
Town Yard Roadway ...
200
199 99
01
Tree Warden ..
300 00
300
290 02
9 98
Water for Hydrants and Public Uses.
7,000 00
7,000 00
7,000 00
Water Division.
51,736 49
51,736 49
50,543 62
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