USA > Massachusetts > Middlesex County > Arlington > Town of Arlington annual report 1910 > Part 14
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During this time I have tested fifty samples of milk and found by far the greater per cent to be of excellent quality as regards the required fats and solids. . Although State law requires a certain per cent of fats and solids, 3.35 per cent fat and 12.15 per cent total solids, it is conceded by all authorities that the matter of cleanliness in milk is by far of greater importance to public health, and especially that of children. In relation to this question I have made inspections of dairies, milk chests, wash-rooms and cow stables to considerable extent, but with only a few exceptions,
175
BOARD OF HEALTH
those of this Town only. In almost all of these inspections I have been received cordially by the owners and have met with a spirit of co-operation for a better and cleaner condition of milk supply. In a few cases where doubtful as to conditions a bacteria count of the milk has been made, and in one of these a count of 1,600,000 bacteria to the cubic centimetre, or every sixteen drops, was found; a few suggestions in a case of this kind have resulted in a general cleaning up and better conditions.
In certain cases examinations of milk for preservatives have been made, especially in cases of two complaints received where milk was supposed to have been tampered with, but by chemical tests I was unable to detect any evidence of any such attempt. .. In the few cases where milk has failed to come up to the legal stand- ard I have been convinced it was not due to adulteration.
Fifty-four licenses have been issued to milk dealers, and twenty- seven dollars turned over to the Town Treasurer.
..
For the bacteria count of milk I am indebted to Dr. Merrill E. Champion.
Respectfully submitted, LAURENCE L. PEIRCE, M.D.V., Inspector of Milk.
REPORT OF THE INSPECTOR OF SLAUGHTERING.
ARLINGTON, MASS., December 31; 1910.
To the Board of Health.
Gentlemen: I have the honor to submit my report as Inspector of Slaughtering for the year of 1910.
Licenses have been granted to William Bowman and Frank Bowman to slaughter in the Town of Arlington.
Have made one hundred and forty-two visits to the two slaugh- ter houses. Have inspected 2478 veal, thirty-one pigs, six cows and two lambs. They have all been good quality and up to the standard. Have kept the house in good order.
Respectfully submitted,
FRANK P. WINN,
Inspector of Slaughtering ..
REPORT OF COMMISSIONERS OF CEMETERIES, ETC.
ARLINGTON, January 16, 1911.
The Commissioners of Cemeteries, Robbins Fund, Soldiers' Monument Fund and Samuel C. Buckman Fund herewith submit their report for the year ending December 31, 1910.
Number of lots sold
26
Number of single graves sold
23
Interments in private lots
90
Interments in public lots
11
Interments in single graves
26
In Peirce tomb
1
Total interments
128
Receipts.
Outstanding December 31, 1909
$1,107.60
Appropriation for 1910
1,300.00
Care of lots
1,432.50
Opening graves
467.00
Sale of lots
2,135.00
Brick graves
231.00
Foundations
124.00
Evergreen
25.00
Received from Perpetual Care Fund
321.53
Received from Robbins Fund
. 185.00
Received from Soldiers' Monument Fund
99.00
Received from Samuel C. Buckman Fund
80.00
$7,507.63
Disbursements.
Labor
$3,089.74
Incidentals
1,375.79
Amount received for sale of lots and paid into Town Treasury
2,135.00
6,600.53
$907.10
177
REPORT OF CEMETERY COMMISSIONERS
Accounts receivable December 31, 1910
$753.60
Suspense account
153.50
$907.10
ROBBINS FUND
1910.
Balance January 1, 1910, principal $5,000.00
Accumulated income 222.13®
$5,222.13
Receipts.
Interest on Locke School addition loan notes
$200.00
Interest on Savings Bank deposit
10.96
210.96
$5,433.09
Expenditures.
Amount paid, expended in 1910 185.00
$5,248.09
Balance December 31, 1910, principal $5,000.00
Balance December 31, 1910, accumulated income 248.09
$5,248.09
Investments.
Two Locke School addition loan notes, dated December 31, 1908, due one December 31, 1922, and one December 31, 1923; $2500 each, 4 per cent $5,000.00
Deposit in Arlington Five Cents Savings Bank 248.09
$5,248.09
PERPETUAL CARE FUND
1910.
Balance January 1, 1910, principal $21,500.00
Accumulated income
929.77
$22,429.77
178
ARLINGTON TOWN REPORT
Receipts.
From various persons for perpetual care of
lots $2,500.00
Interest on Henderson Street loan 420.00
Interest on Summer Street loan 40.00
Interest on Locke School addition loan
300.00
Interest on Bartlett Avenue loan
40.00
Interest on water loan of 1909
70.00
Collected for care of single lots
45.00
Dividend on Savings Bank deposit
69.18
$3,484.18
$25,913.95
Expenditures.
Amount paid Town Treasurer for use of cemeteries
321.53
$25,592.42
Balance December 31, 1910, principal
$24,000.00
Balance, accumulated income 1,592.42
$25,592.42
Investments.
Henderson Street Sewer loan note, dated December 31, 1903, due December 31, 1923, 4 per cent
$10,500.00
Three Locke School addition loan notes, dated December 31, 1908, due Decem- ber 31, 1924, 1925, 1926; $2500 each
7,500.00
One Summer Street loan note,dated Decem- ber 31, 1908, due December 31, 1914, 4 per cent
Three water loan notes of 1909, dated June 30, 1909, due one on June 30, 1910, and one on June 30 of each of the three succeeding consecutive years ; $500 each, 4 per cent
Four Town of Arlington water loan of 1910, dated December 1, 1910, due one on December 1, 1922, and one on Decem-
1,000.00
1,500.00
179
REPORT OF CEMETERY COMMISSIONERS
ber 1 of each of the three succeeding con-
secutive years; $1000 each, 4 per cent $4,000.00
Deposit in Arlington Five Cents Savings Bank
1,092.42
$25,592.42
SOLDIERS' MONUMENT FUND
1910.
Balance January 1, 1910, principal
$2,000.00
Accumulated income 607.98
$2,607.98
Receipts.
Interest on water loan of 1908
$80.00
Interest on enlargement of Locke School lot 20.00
Interest on Savings Bank deposit
5.34
Reimbursement from Town by vote of March 28, 1910 455.00
560.34
$3,168.32
Expenditures.
Amount paid, expended in 1910
99.00
$3,069.32
Balance December 1, 1910, principal
$2,000.00
Balance December 1, 1910, accumulated income
1,069.32
$3,069.32
Investments.
Two water loan notes of 1908, dated December 31, 1908, due one December 31, 1913, and one December 31, 1914; 4 per cent $2,000.00
One enlargement of Locke School lot loan note, dated December 31, 1908, due December 31, 1913 500.00
Deposit in Arlington Five Cents Savings Bank
569.32
$3,069.32
180
ARLINGTON TOWN REPORT
SAMUEL C. BUCKMAN FUND 1910.
Balance January 1, 1910, principal $2,000.00
Accumulated income 91.37
$2,091.37
Receipts.
Interest on enlargement of Locke School lot loan
$60.00
Interest on Woodland Street loan
20.00
Interest on Savings Bank deposit $
4.48
84.48
$2,175.85
Expenditures. Amount paid, expended in 1910
80.00
$2,095.85
Investments.
Two notes of enlargement of Locke School lot loan dated December 31, 1908, due one December 31, 1911, and one Decem- ber 1, 1912; $500 each, 4 per cent
$1,000.00
One water loan bond of 1910, dated December 1, 1910, due December 1, 1921; Coupon Bond
1,000.00
Deposit in Savings Bank
95.85
$2,095.85
ARLINGTON, January 16, 1911.
I hereby certify that I have examined the accounts of the Cemetery Department, and find the same to be correct, agreeing with the Auditor's books.
GEORGE McK. RICHARDSON, Auditor. WARREN A. PEIRCE, GEORGE G. ALLEN, J. EDWIN KIMBALL, Commissioners.
ELBRIDGE FARMER FUND
The ¿ Trustees of the Elbridge Farmer Fund herewith submit their annual report for the year ending December 31, 1910.
Received.
Town of Orange, 4s, 12 months' interest on $10,000
$400.00
Arlington Water Loan, 4s, 12 months' interest on $12,000
480.00
City of Brockton, 4s, 12 months' interest on $8,000
320.00
Minneapolis Gold, 4}s, 12 months' interest on $10,000
450.00
Great Barrington, 4s, 12 months' interest on $10,000 400.00
Atlantic National Bank, interest on deposits
14.42
$2,064.42
Disbursements.
Atlantic National Bank, collection charges
$0.50
Boston Safe Deposit and Trust Co., rent of box one year
10.00
Treasurer, Town of Arlington, for Trustees of Robbins Library
2,053.92
$2,064.42
Investments.
Great Barrington
4s due 1912
$10,000.00
Town of Orange
4s due 1922
10,000.00
City of Brockton
4s due 1922
8,000.00
Minneapolis Gold
42s due 1922
10,000.00
Arlington Water Loan
4s due 1928
12,000.00
$50,000.00
Respectfully submitted, JOHN Q. A. BRACKETT, WILLIAM G. PECK, JOHN H. HARDY, EDWIN S. FARMER, WILLIAM E. WOOD,
Trustees.
December 31, 1910.
COMMISSIONERS OF THE SINKING FUND.
1910. Balance January 1, 1910. Investments $157,833.38
Receipts.
Interest on
$10,150 Locke School Bonds, April 1 and October 1 $406.00
15,000 N. Y., N. H. & H. R.R. Bonds May 1 and November 1 600.00
15,000 Town of Scituate Notes, May 16 and November 16 600.00
20,000 Fall River Bonds, June 1 and December 1 800.00
1,000 Concord & Montreal R.R. Bonds, June 1 and December 1 40.00
4,000 Sewer Loan of 1907, June 1 and December 1 160.00
10,000 Water Pipe Renewal Loan of 1907, June 1 and December 1 400.00
3,000 Water Loan of 1907, June 1 and December 1 120.00
3,000 Palmer, Wyman and Tanager Sts. Loan, June 1 and Dec: 1 120.00
9,000 Water Loan of 1905, June 15 and December 15 360.00
*7,000 Russell School Loan, June 15 and December 15 280.00
3,500 Kensington Park Sewer Loan, June 15 and December 15 140.00
1,000 Kensington Road Sewer Loan, June 30 and December 31 40.00
2,000 Parmenter School Bonds, July 1 40.00
1,000 Parmenter School Bonds, Janu- ary 1, 1911 20.00
183
REPORT OF SINKING FUND COMMISSIONERS
25,000 Locke School Addition Loan, June 30 and December 31 $1,000.00
1,500 Enlargement of Locke School Lot Loan, June 30 and Dec. 31 60.00
1,000 Water Pipe Renewal Loan of 1909, June 1 20.00
500 Water Pipe Renewal Loan of 1909, December 1 10.00
2,000 Sewer Loan of 1909, June 30 40.00
1,000 Sewer Loan of 1909, December 31
20.00
3,000 Town Yard Loan of 1909, Note, June 30 60.00
2,500 Town Yard Loan of 1909, Note, December 31 50.00
500 Woodland Street Loan, June 30 and December 31 20.00
500 Bartlett Avenue Loan, June 30 and December 31 20.00
3,000 Enlargement Crosby School Lot Loan of 1910, December 31 60.00
1,000 Town Yard Loan Note of 1910, December 31 20.00
1,000 Whittemore Street Loan Note of 1910, December 31 20.00
20,000 Town of Arlington Tax Note, December 31 800.00
Deposit in Arlington Five Cents Savings Bank 46.20
$6,372.20
Town Appropriation Vote of March, 1910
12,000.00
$176,205.58
Expenses.
Boston Safe Deposit & Trust Co., box rent
10.00
$176,195.58
Investments.
Seven Locke School Bonds $1450 each, dated April 1, 1899, payable one April 1,
184
ARLINGTON TOWN REPORT
1913, and one on April 1, in each of the six succeeding consecutive years, 4 per cent $10,150.00
Six Russell School Loan of 1904 Notes, dated December 15, 1904, payable.one December 15, 1911, and one on Decem- ber 15, in each of the succeeding five con- secutive years, 4 per cent 6,000.00
One Parmenter School Bond, dated July 1, 1904, payable July 1, 1911, 4 per cent 1,000.00
Eight Town of Arlington Water Bonds, dated December 15, 1905, payable one December 15, 1911, and one on Decem- ber 15, in each of the seven succeeding consecutive years, 4 per cent
8,000.00
Three Town of Arlington, Kensington Park Sewer Loan Notes, dated Decem- ber 15, 1905, payable one on December 15, 1911, and one on December 15, in each of the two succeeding consecutive years, 4 per cent
3,000.00
One Town of Scituate Note due May 16, 1911, 4 per cent 4,000.00
One Town of Scituate Note due May 16, 1912, 4 per cent 5,000.00
One Town of Scituate Note due May 16, 1913, 4 per cent 4,000.00
One Town of Scituate Note due May 16, 1914, 4 per cent
2,000.00
Fifteen N . Y., N. H. & H. R.R. Co., Har- lem River, Port Chester, First Mortgage, 4 per cent, 50-year gold bonds, due May 1, 1954, Nos. 9620-9629 inclusive, and Nos. 8693-8697 inclusive 15,000.00 One Fall River, Mass., Registered Bond, certificate No. 572, due December 1, 1916, 4 per cent 20,000.00
185
REPORT OF SINKING FUND COMMISSIONERS
One Concord & Montreal R.R. First Mort-
gage Bond, No. 1453, June 1, 1920, 4 per cent
$1,000.00
Two Palmer, Wyman & Tanager Sts. and Avon place Loan Notes, dated Decem- ber 1, 1907, payable one on December 1, 1911, and one on December 1, 1912, 4 per cent
2,000.00
Three Water Loan of 1907 Notes, dated December 1, 1907, payable one on December 1, 1911, and one on Decem- ber 1, in each of the two succeeding con- secutive years, 4 per cent 3,000.00
Ten Water Pipe Renewal Loan of 1907 Notes, dated December 1, 1907, pay- able one on December 1, 1911, and one on December 1, in each of the nine suc- ceeding consecutive years, 4 per cent 10,000 00
Four Sewer Loan of 1907 Notes, dated December 1, 1907, payable one on December 1, 1911, and one on Decem- ber 1, in each of the three succeeding consecutive years, 4 per cent 4,000.00
Nine Locke School Addition Notes, dated December 31, 1908, payable one on December 1, 1911, and one on December 1, in each of the eight succeeding con- secutive years, $2500 each at 4 per cent 22,500.00
Three Enlargement of Locke School Lot Notes, dated December 31, 1908, pay- able one on December 1, 1914, and one on December 1, in each of the two suc- ceeding consecutive years, 4 per cent 1,500.00
One Water Pipe Renewal Loan Note of 1909, dated June 1, 1909, payable June 1, 1911, 4 per cent - 500.00
186
ARLINGTON TOWN REPORT
Investments.
One Sewer Loan Note of 1909, dated June 30, 1909, payable June 30, 1911, 4 per cent
$1,000.00
Five Town Yard Loan Notes, dated June 30, 1909, payable one June 30, 1911, and one on June 30, in each of the four suc- ceeding consecutive years, 4 per cent 2,500.00
One Bartlett Avenue Loan Note, dated December 31, 1909, payable December 31,1911 500.00
One Woodland Street Loan Note, dated December 31, 1909, payable December 31,1911 500.00
Three Enlargement of Crosby School Lot Loan Notes, dated June 30, 1910, pay- able one June 30, 1911, and one on June 30, in each of the two succeeding con- secutive years; $1000 each, 4 per cent
3,000 00
One Town Yard Loan of 1910, dated June 30, 1910, payable June 30, 1911, 4 per cent
1,000.00
One Whittemore Street Loan Note, dated June 30, 1910, payable June 30, 1911, 4 per cent
1,000.00
Eight Water Loan of 1910 Bonds, dated December 1, 1910, payable one Decem- ber 1, 1911, and one on December 1, in each of the seven succeeding consecutive years; $1000 each, 4 per cent (coupon) 8,000.00
One Sewer Loan of 1910 Bond, dated December 1, 1910, payable December 1, 1911, 4 per cent (coupon) 2,000.00
Six Crosby School Addition Loan Bonds, dated December 1, 1910, payable three on December 1, 1911, and three on December 1,1912; $1000 each, 4 per cent (coupon)
6,000.00
187
REPORT OF SINKING FUND COMMISSIONERS
Ten Crosby School Additional Loan Notes, dated December 1, 1910, payable one on December 1, 1911, and one on Decem- ber 1, in each of the nine succeeding con- secutive years; $500 each, 4 per cent $5,000.00
Six Crosby School Addition Furnishing Loan Notes, dated December 1, 1910, payable one on December 1, 1911, and one on December 1, in each of the five succeeding consecutive years; $500
each, 4 per cent 3,000.00
Town of Arlington Note in anticipation of 1910 taxes, issued April 1, 1910, pay- able April 1, 1911, 4 per cent 20,000.00
Deposit in Arlington Five Cents Savings Bank, Book No. 14554 45.58
$176,195.58
WILLIAM G. PECK, JOSEPH C. HOLMES, HENRY HORNBLOWER, Sinking Fund Commissioners.
MYRON TAYLOR, Treasurer.
GEORGE McK. RICHARDSON, Auditor.
NATHAN PRATT HIGH SCHOOL FUND 1910.
Principal of Fund $25,000.00
Receipts.
Interest on Cutter School Bonds, due June 1 (6 months) $80.00
Interest on N. Y., N. H. & H. R.R. Bonds, due July 1 and January 1 520.00
Interest on Town of Arlington Water Bonds of 1922 and 1928 160.00
Interest on Water Pipe Renewal Note of 1908, due June 3 and December 31 . 160.00
Interest on Water Pipe Renewal Note of 1909, due December 1 (6 months) 80.00
1,000.00
$26,000.00
Payments. Carried to High School Income Fund 1,000.00
$25,000.00
Investments. Eight Water Pipe Renewal Loan of 1909, dated June 1, 1909, payable June 1, 1912- 1919 $4,000.00
Thirteen N. Y., N. H. & H. R.R. Co. Bonds, Nos. 6439, 6440, 7102, 7103, 7104, 9775, 10,166, 10,167, 10,168, 10,169, 12,422, 12,423, 12,642, due July 1, 1955 13,000.00
Four Town of Arlington Water Bonds, due 118 and 119 in 1922, and 130 and 131 in 1928 4,000.00
189
NATHAN PRATT HIGH SCHOOL FUND
Four Town of Arlington Water Pipe Re- newal Bonds, dated December 13, 1908, due in 1913, 1914, 1915 and 1916 re- spectively. $ 4 000.00
$25,000.00 WILLIAM G. PECK, JAMES A. BAILEY, WILLIAM E. WOOD, GEORGE HILL, HENRY HORNBLOWER, Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
HIGH SCHOOL INCOME FUND 1910.
Balance from 1909-Accumulated income $2,358.18
Receipts.
From Nathan Pratt High School Fund $1,000.00
From interest on Savings Bank deposit 105.26
1,105.26
$3,463.44
Payments. Reimbursements to Town Treasurer for payments approved by Trustees in accord- ance with terms of this trust ; 1,538.75
$1,924.69
Investments.
Arlington Five Cents Savings Bank, Book No. 4063 $1,924.69
WILLIAM G. PECK, GEORGE HILL, JAMES A. BAILEY, WILLIAM E. WOOD, HENRY HORNBLOWER, Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK RICHARDSON, Auditor.
WILLIAM CUTTER SCHOOL FUND
1910.
Principal of Fund $5,354.00
Receipts.
Interest on Town of Arlington Parmenter School Bonds Dividend on Savings Bank deposit
$200.00 16.30
216.30
$5,570.30
Expenditures. Paid Town Treasurer for disbursements per order of School Committee 216.30
$5,354.00
Investments.
Five Town of Arlington Parmenter School Bonds, Nos. 13, 14, 15, 16, 17, payable one in each consecutive year, beginning July 1, 1917 $5,000.00
Arlington Five Cents Savings Bank, Book No. 15102 354.00
$5,354.00
PHILIP A. HENDRICK, JACOB BITZER, H. W. RAWSON, MYRON TAYLOR, Trustees, ex-officio.
GEORGE McK. RICHARDSON, Auditor.
MARTHA M. W. RUSSELL SCHOOL FUND 1910.
Principal of Fund $5,327.86
Receipts.
Interest on two Locke School Addition Loan
$200.00
Notes Dividend on Savings Bank deposit
15.22
215.22
$5,543.08
Payments. Paid Town Treasurer for disbursements as per order of School Committee 215.22
$5,327.86
Investments. Two Locke School Addition Loan Notes, dated December 31, 1908, due in 1920 and 1921, 4 per cent $5,000.00
Arlington Five Cents Savings Bank, Book No. 9373 327.86
$5,327.86
PHILIP A. HENDRICK, JACOB BITZER, H. W. RAWSON, MYRON TAYLOR, Trustees, ex-officio.
GEORGE McK. RICHARDSON, Auditor.
E. NELSON BLAKE, JR., MEMORIAL FUND 1910.
Principal of Fund Accumulated income
$2,500.00 172.73
- $2,672.73
Receipts.
Dividend on Savings Bank deposit
107.96
$2,780.69
Expenditures.
Paid to Town Treasurer
100.00
$2,680.69
Investments.
Arlington Five Cents Savings Bank, Book No. 12541 $2,680.69
WILLIAM G. PECK, GEORGE HILL, WILLIAM E. WOOD, JAMES A. BAILEY, HENRY HORNBLOWER,
Trustees.
MYRON TAYLOR,
Treasurer.
GEORGE McK. RICHARDSON,
Auditor.
MARY CUTTER POOR WIDOWS' FUND 1910.
Principal of Fund $613.11
Receipts.
Dividend on Savings Bank Book, No. 15105
24.76
$637.87
Payments.
Transferred to income Poor Widows' Fund
24.76
$613.11
Investments. Deposit in Arlington Five Cents Savings Bank, Book No. 15105
$613.11
PHILIP A. HENDRICK, JACOB BITZER, H. W. RAWSON, Trustees, ex-officio.
GEORGE McK. RICHARDSON, Auditor.
MARTHA M. W. RUSSELL POOR WIDOWS' FUND 1910.
Principal of Fund $1,704.23
Receipts.
Interest on Summer Street Loan of 1908, 1 year, 4 per cent Dividend on deposit in Savings Bank
$40.00
28.84
68.84
$1,773.07
Payments.
Transferred to income of Poor Widows' Fund
68.84
$1,704.23
Investments.
One Town of Arlington, Summer Street Loan of 1908, dated December 31, 1908, due December 31, 1915, 4 per cent $1,000.00
Deposit in Arlington Five Cents Savings
Bank, Book No. 439 704.23
$1,704.23
PHILIP A. HENDRICK, JACOB BITZER, H. W. RAWSON, Trustees, ex-officio.
GEORGE McK. RICHARDSON, Auditor:
NATHAN PRATT POOR WIDOWS' FUND 1910.
Principal of Fund $5,000.00
Receipts.
Dividends on Savings Bank deposit 202.00
$5,202.00
Payments.
Transferred to income Poor Widows' Fund 202.00
$5,000.00
Investments.
Arlington Five Cents Savings Bank, Book No. 3791 $5,000.00
WILLIAM G. PECK, GEORGE HILL, JAMES A. BAILEY, W. E. WOOD, HENRY HORNBLOWER,
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
INCOME POOR WIDOWS' FUND 1910.
Balance from 1909 $1,512.97
Receipts.
Martha M. W. Russell Poor Widows' Fund,
income for year ending December 31, 1909 Mary Cutter Poor Widows' Fund, income for year ending December 31, 1909 24.76
$68.84
Nathan Pratt Poor Widows' Fund, income
for year ending December 31, 1909 202.00
Interest on Savings Bank deposit 61.10
356.70
$1,869.67
Payments. Paid Town Treasurer for disbursements 491.48
$1,378.19
Investments.
Arlington Five Cents Savings Bank, Book No. 17209 $1,378.19 .
PHILIP A. HENDRICK, JACOB BITZER, H. W. RAWSON, Trustees.
MYRON TAYLOR,
Treasurer.
GEORGE McK. RICHARDSON,
Auditor.
NATHAN PRATT LIBRARY FUND 1910.
Principal of Fund
Receipts. $10,000.00
Interest on Town of Arlington Water Bonds $120.00
Interest on Police Signal Notes 120.00
Interest on Water Pipe Renewal Loan Notes, June 30 and December 31 120.00
Interest on Sawin Street Loan of 1908,
June 30 and December 31 40.00
Dividend on Savings Bank, Book No. 18083 4.00
404.00
$10,404.00
Payments. Paid Town Treasurer on request of Trustees Robbins Library 404.00
$10,000.00
Investments.
One Town of Arlington Water Bond, due October 1, 1928, No. 132 $1,000.00
One Town of Arlington Water Note of 1906, dated December 31, 1906, due December 31,1911 1,000.00
Two Town of Arlington Police Signal Notes, dated December 31, 1906, due one Decem- ber 31, 1911, and one December 31, 1912, 4 per cent 2,000.00
Three Water Pipe Renewal Loan Notes, dated December 31, 1908, due one each on December 31, 1917, 1918, 1919 3,000.00
One Sawin Street Loan of 1908, dated December 31, 1908, due December 31, 1913 1,000.00
199
NATHAN PRATT LIBRARY FUND
Two Water Loan Bonds of 1910, dated December 1, 1910, due one on December 1, 1919, and one on December 1, 1920 $2,000.00
$10,000.00
WILLIAM G. PECK, GEORGE HILL, WILLIAM E. WOOD, JAMES A. BAILEY, HENRY HORNBLOWER, Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
1
HENRY MOTT LIBRARY FUND 1910.
Principal of Fund $5,200.00
Receipts.
Interest on Parmenter School Bonds
$200.00
Dividends on Savings Bank deposit 1
10.08
210.08
$5,410.08
Payments. Paid Town Treasurer for use of Library 210.08
$5,200.00
Investments. Five Parmenter School Bonds, Nos. 8 to 12 inclusive, payable one in each consecutive year, beginning July 1, 1912 $5,000.00 Arlington Five Cents Savings Bank, Book No. 15101
200.00
$5,200.00
1
SAMUEL C. BUSHNELL, CHARLES A. KEEGAN, JAMES P. PARMENTER, ARTHUR J. WELLINGTON, E. NELSON BLAKE, CYRUS E. DALLIN,
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
TIMOTHY WELLINGTON FUND 1910.
Principal of Fund $100.00
Receipts.
Dividend on Savings Bank deposit 4.04
$104.04
Expenditures.
Paid Treasurer for use of Library 4.04
$100.00
Investments.
Arlington Five Cents Savings Bank, Book No. 15103 $100.00
SAMUEL C. BUSHNELL, CHARLES A. KEEGAN, JAMES P. PARMENTER, ARTHUR J. WELLINGTON, E. NELSON BLAKE, CYRUS E. DALLIN,
Trustees.
MYRON TAYLOR,
Treasurer.
GEORGE McK. RICHARDSON,
Auditor.
CITIZENS SOLDIERS' FUND 1910.
Balance from 1909 $440.31
Receipts.
Dividend on Savings Bank deposit 17.78
$458.09
Payments.
Paid Town Treasurer for disbursement
50.00
$408.09 1.
Investments. .
Arlington Five Cents Savings Bank, Book No. 15104
$408.09
PHILIP A. HENDRICK, JACOB BITZER, H. W. RAWSON, Trustees, ex-officio.
GEORGE McK. RICHARDSON, Auditor.
.
JULIA FILLEBROWN FUND 1910.
Principal of Fund
$100.00
Accumulated income
31.70
$131.70
Receipts.
Dividend on Savings Bank deposit 5.30
$137.00
Investments.
Arlington Five Cents Savings Bank deposit $137.00
PHILIP A. HENDRICK, JACOB BITZER, H. W. RAWSON, Trustees, ex-officio.
GEORGE McK. RICHARDSON. Auditor.
REPORT OF JOINT BOARD OF SELECTMEN AND BOARD OF PUBLIC WORKS
The Joint Board of Selectmen and Board of Public Works herewith present their seventh annual report for the year 1910.
The Board met March 12, 1910, and organized by electing Philip A. Hendrick, Chairman, and Horace A. Freeman, Clerk.
Regular meetings have been held on the evenings of the second and fourth Saturdays of each month, at eight o'clock.
The Board is made up of three members of the Selectmen and three members of the Board of Public Works, sitting jointly.
The duties of this Board are indicated in Section 5 of Chapter 3 of the Acts of 1904, which reads as follows:
" Section 5. Upon the election of said Board of Public Works all the powers, rights, duties and liabilities of the Selectmen in said town, now existing or hereafter created by law, relating to high- ways, town ways, the laying out and discontinuance of ways, bridges, sidewalks, guide posts, monuments at the termini and angles of roads, public squares, playgrounds, shade trees, sewers, drains, street watering, street lighting, the assessment of damages and betterments, water pipes, gas pipes, conduits, poles, wires, street railways, the granting of locations, rights or licenses for structures upon, under or over highways or other ways, shall be exercised, enjoyed, performed and incurred by a Board consisting of the Selectmen and the Board of Public Works created by this act, sitting jointly as the Board of Survey."
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