USA > Massachusetts > Middlesex County > Arlington > Town of Arlington annual report 1915 > Part 11
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$2,000.00
Care of lots, opening graves, etc.
2,546.13
From Perpetual Care Fund
1,474.80
From Robbins Fund
214.82
From Samuel C. Bucknam Fund
86.36
From Soldiers' Monument Fund
108.77
Total
$6,430.88
Expenses.
Amount paid for labor
$4,595.91
Amount paid for all other expenses
1,834.97
Total
$6,430.88
SALE OF LOTS.
Amount received from sale of lots
$1,080.00
This amount has been paid into the Town Treasury available for transfer to other accounts.
The funds under the control of the Commissioners are as follows:
147
REPORT OF COMMISSIONERS OF CEMETERIES
PERPETUAL CARE FUND. 1915.
Amount of Fund, January 1, 1915 $32,100.00
Receipts for perpetual care lots in 1915 2,735.00
·Total fund December 31, 1915 $34,835.00
Receipts.
Unexpended income to January 1, 1915 $2,605.61
Income from investments in 1915:
Street Loan of 1914 $80.00
Park Loan of 1914
171.00
Water Loan of 1910
160.00
Henderson Street Sewer 420.00
Locke School Addition Loan 300.00
Playground Loan of 1914
40.00
Schouler Court Land Purchase of 1914 200.00
Savings Bank Deposit 103.80 1,474.80
$4,080.41
Expenditures.
Paid Town Treasurer for disbursement 1,474.80
Unexpended income December 31, 1915 2,605.61
Total Fund and unexpended income December 31, 1915 $37,440.61
Investments.
One Henderson Street Sewer Loan Note, dated December 31, 1903, due December 31, 1923, 4%
$10,500.00
Three Locke School Addition Loan Notes, dated December 31, 1908; due serially commencing December 31, 1925 7,500.00
Four Water Loan Notes, dated December 1, 1910; due serially commencing Decem- ber 1, 1922 4,000.00
148
ARLINGTON TOWN REPORT
One Playground Loan of 1914 Note, dated June 30, 1914; due June 30, 1917 $1,000.00
Five Schouler Court Land Purchase of 1914 Bonds, dated April 30, 1914; due serially commencing January 1, 1929 5,000.00
Two Street Loan of 1914 Notes, dated November 1, 1914; due serially commenc- ing November 1, 1920 2 000.00
Five Park Loan of 1914 Notes, dated November 1, 1914; due serially com- mencing November 1, 1916 2,500.00
Two Street Loan of 1915 Notes, dated December 1, 1915, due serially com- mencing December 1, 1918 4,000.00
Deposit in Arlington Five Cents Savings Bank 940.61
Total investments $37,440.61
SOLDIERS' MONUMENT FUND. 1915.
Amount of Fund January 1, 1915 $2,000.00
Receipts.
Unexpended income January 1, 1915. $1,304.91
Receipts from investments in 1915: Park Loan of 1914 $90.00
Savings Bank Deposit 57.02
Income for 1915 147.02
$1,451.93
Expenditures.
Paid Town Treasurer for disbursement $108.77
Unexpended income December 31, 1915
$1,343.16
Total Fund and unexpended income
$3,343.16
149
REPORT OF COMMISSIONERS OF CEMETERIES
Investments.
Four Park Loan Bonds of 1914, dated
November 1, 1914; due serially com- mencing November 1, 1921 $2,000.00 Deposit in Arlington Five Cents Savings Bank 1,343.16
Total investments $3,343.16
ROBBINS CEMETERY FUND. 1915.
Amount of Fund January 1, 1915 $5,000.00
Receipts.
Unexpended income January 1, 1915 $291.39
Receipts from investments in 1915:
Locke School Addition Loan Notes $200.00
Savings Bank Deposit 14.75
Income for 1915 $214.75
$506.14
Expenditures.
Paid Town Treasurer for disbursement $214.82
Unexpended income December 31, 1915 291.32
Total Fund and unexpended income $5,291.32
Investments.
Two Locke School Addition Loan Notes, dated December 31, 1908; due serially commencing December 31. 1923 $5,000.00
Deposit in Arlington Five Cents Saving Bank 291.32
$5,291.32
150
ARLINGTON TOWN REPORT
SAMUEL C. BUCKNAM FUND.
Amount of Fund January 1, 1915 $2,000.00
Receipts.
Unexpended income January 1, 1915 $118.97
Receipts from investments in 1915: Water Loan of 1910 $40.00
Crosby School Additional Loan Note 20.00
Savings Bank Deposit 27.23
Income for 1915 87.23
$206.20
Expenditures.
Paid Town Treasurer for disbursement
86.36
Unexpended income December 31, 1915
119.84
Total Fund and unexpended income $2,119.84
Investments.
One Water Bond of 1910, dated December
1, 1910; due December 1, 1921 $1,000.00
One Crosby School Additional Loan Note, dated December 1, 1910; due December 1,1920 500.00
Deposit in Arlington Five Cents Savings Bank 619.84
Total investments $2,119.84
I hereby certify that the above amounts of receipts and ex- penditures agree with the Auditor's book, and that I have examined the investments as reported and find the sum correct and agreeing with the Auditor's book.
GEORGE McK. RICHARDSON, Town Auditor. WARREN A. PEIRCE, GEORGE G. ALLEN, JAMES E. KIMBALL, Cemetery Commissioners.
REPORT OF ELBRIDGE FARMER FUND.
ARLINGTON, December 31, 1915.
Report of the Trustees of the Elbridge Farmer Fund for the year ending December 31, 1915:
Receipts.
City of Taunton 4% interest $10,000, 12 months $400.00 City of Minneapolis 42% interest, $10,000, 12
months 450.00
City of Brockton 4% interest, $8,000, 12 months 320.00 Town of Orange 4% interest, $10,000, 12 months 400.00 Town of Arlington 4% interest, $12,000, 12 months 480.00
Interest on deposits for year 12.38
$2,062.38
Disbursements.
Boston Safe Deposit & Trust Co., rent of box $10.00
Treasurer Town of Arlington for Robbins
Library 2,052.38
$2,062.38
Investments.
City of Taunton 4% Bonds due 1922, Reg. $10,000.00
City of Minneapolis 412% Bonds due 1922 10,000.00
City of Brockton 4% Bonds due 1922 8,000.00
Town of Orange 4% Bonds, due 1922 10,000.00
Town of Arlington 4% Bonds due 1928 12,000.00
$50,000.00 -
Respectfully submitted,
JOHN Q. A. BRACKETT, WILLIAM G. PECK, JOHN H. HARDY, HENRY HORNBLOWER, WILLIAM E. WOOD, HARRY G. PORTER,
Trustees.
151
COMMISSIONERS OF THE SINKING FUND.
1915.
Balance January 1, 1915
$93,672.94
Receipts.
Interest on
$7,250 Locke School Bonds, April $145.00
5,800 Locke School Bonds, October 116.00
21,000 High School Loan of 1914: $945 less interest $52.50 892.50
200.00
5,000 Street Loan of 1914
1,000 Summer Street Loan of 1914
45.00
4,000 Water Pipe Renewal of 1907
160.00
4,000 Water Loan of 1910
160.00
2,500 Crosby School Additional Loan
100.00
1,000 Sewer Loan of 1907
40.00
1,000 Crosby School Addition Fur- nishing Loan 40.00
2,000 Russell School Repair Loan
80.00
12,500 Locke School Addition Loan 500.00
1,000 Enlargement Locke School Lot Loan 40.00
500 Town Yard Loan Note, June 10.00
2,000 Playground Loan of 1914, June
40.00
1,000 Playground Loan of 1914, De- cember 20.00
14,000 Schouler Court Land Purchase of 1914 560.00
15,000 N. Y., N. H. & H. R.R. Bonds 600.00
12,500 Summer Street Loan of 1915 (6 months) 250.00
2,000 Fire Equipment Loan of 1915 (6 months) 40.00
1,000 Concord & Montreal R.R. 40.00
152
153
REPORT OF SINKING FUND COMMISSIONERS
$2,000 Town of Arlington Revenue Note $40.00 Savings Bank Deposit, July 1, $9.06; January 1, 1916, $40.66 49.72
$4,168.22
Appropriation by vote of the Town, March, 1915
14,550.00
$112,391.16
Expenses.
Box rent in Boston Safe Deposit & Trust Co. vault 10.00
Total fund December 31, 1915
$112,381.16
INVESTMENT TRANSACTIONS IN 1915.
Securities on hand January 1, 1915
$93,253.09
Purchased in 1915
Four High School Loan of 1914
$4,000.00
One Fire Equipment Loan, 1915
2,000.00
Five Summer Street Loan of 1915
12,500.00
One Town of Arlington Tax Note
2,000.00
Five Water Loan of 1915
12,000.00
Arlington Five Cents Savings Bank
3,604.72
36,104.72
$129,357.81
Less Securities Maturing During the Year 1915. One Locke School Loan $1,450.00
Two Schouler Court Land Purchase of 1914 2,000.00
One Playground Loan of 1914
1,000.00
One Town Yard Loan of 1909
500.00
Three High School Loan of 1914
3,000.00
One Street Loan of 1904
1,000.00
One Water Pipe Renewal Bond of 1907
1,000.00
One Sewer Loan of 1907 Bond
1,000.00
One Water Loan of 1910
1,000.00
One Crosby School Additional Loan
500.00
154
ARLINGTON TOWN REPORT
One Crosby School Addition Furnishing
Loan $500.00
One Russell School Repair Loan 1,000.00
One Locke School Addition Loan
2,500.00
One Enlargement of Locke School Lot Loan
500.00
Arlington Five Cents Savings Bank 50.00
$17,000.00
$112,357.81
Invested as Follows:
Four Locke School Bonds, $1450 each, dated April 1, 1899, payable serially commencing April 1, 1916
$5,800.00
One Russell School Loan of 1904 Note, $1,000 each, dated December 15, 1904, due December 15, 1916 1,000.00
Fifteen New York, New Haven & Hart- ford R.R. Co. Bonds, due May 1, 1954 One Concord & Montreal R.R. Bond, due June 1, 1920
15,000.00
1,000.00
Three Water Pipe Renewal Loan of 1907, dated December 1, 1907, payable seri- ally commencing December 1, 1916 Four Locke School Addition Notes, $2500 each, dated December 31, 1908, due seri- ally commencing December 1, 1916 10,000.00
3,000.00
One Enlargement of Locke School Lot Note, dated December 31, 1908, due December 31, 1916 500.00
Three Water Loan of 1910 Bonds, dated December 1, 1910, due serially com- mencing December 1, 1916
3,000.00
Four Crosby School Additional Loan Notes, dated December 1, 1910, due serially commencing December 1, 1916 2,000.00 One Crosby School Addition Furnishing Loan Note, dated December 1, 1910, payable December 1, 1916 500.00
155
REPORT OF SINKING FUND COMMISSIONERS
Fourteen Schouler Court Land Purchase of 1914 Bonds, dated April 30, 1914, due serially commencing January 1, 1916 $14,000.00 One Playground note dated June 30, 1914, payable June 30, 1916 1,000.00
Four Street Loan Notes of 1914, dated November 1, 1914, due serially com- mencing November 1, 1916 4,000.00
One Summer Street Loan of 1914, dated November 1, 1914, due' November 1, 1916
1,000.00
Eighteen High School Loan of 1914 Bonds, dated November 1, 1914, due serially commencing November 1, 1916 One Fire Equipment Loan of 1915, dated June 1, 1915, due June 1, 1916
18,000.00
2,000.00
Five Summer Street Loan of 1915, dated June 1, 1915, due serially commencing June 1, 1916 12,500.00
Five Water Loan Notes of 1915, dated December 1, 1915, due serially com- mencing December 1, 1916 12,000.00
One Town of Arlington Tax Note, dated July 1, 1915, due July 1, 1916 2,000.00
Deposited in Arlington Five Cents Sav- ings Bank
4,057.81
Total Investments
$112,357.81
Deposit in Menotomy Trust Co.
23.35
Total Fund
$112,381.16
WILLIAM G. PECK, JOSEPH C. HOLMES, HENRY HORNBLOWER, Sinking Fund Commissioners.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor:
NATHAN PRATT HIGH SCHOOL FUND. 1915.
Principal of Fund
$25,000.00
Receipts.
Interest on N. Y., N. H. & H. R.R.
Bonds, July and January $520.00
Interest on Arlington Water Bonds of 1898, April and October 80.00
Interest on Arlington Water Bonds of 1892, July and January 80.00
Interest on Turkey Hill Land Purchase May and November 60.00
Interest on High School Loan of 1914, May 90.00
Interest on Water Pipe Renewal Loan of 1909, June 50.00
Interest on Water Pipe Renewal Loan of 1909, December 40.00
Interest on Water Pipe Renewal Loan of 1908, June and December 80.00
Interest on Deposit in Arlington Savings Bank 11.25
1,011.25
$26,011.25
Payments.
Carried to High School Income Fund
1,011.25
$25,000.00
Investments. Four Water Pipe Renewal Loan Notes of 1909, dated June 1, 1909, payable seri- ally commencing June 1, 1916
$2,000.00
156
157
NATHAN PRATT HIGH SCHOOL FUND
Thirteen N. Y., N. H. & H. R.R. Bonds, due July 1, 1955 $13,000.00
Two Water Bonds, dated January 1,
1892, due January 1, 1922 2,000.00
Two Water Bonds, dated October 1, 1898, due October 1, 1928 2,000.00
One Water Pipe renewal Bond, dated December 31, 1908, due December 31, 1916 1,000.00
Two Turkey Hill Land Purchase of 1913, dated November 1, 1914, due, one November 1, 1916, and one, November 1,1917 1,000.00
One Street Loan of 1915, dated December 1, 1915, due December 1, 1916 2,000.00 Deposit in Arlington Savings Bank 2,000.00
$25,000.00
GEORGE HILL, WILLIAM G. PECK, HENRY HORNBLOWER, WILLIAM E. WOOD, JOSEPH C. HOLMES,
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
HIGH SCHOOL INCOME FUND. 1915.
Balance from 1914 of accumulated income $2,741.22
Receipts.
From Nathan Pratt High School Fund $1,011.25
Interest on Savings Bank Deposit 129.09
1,140.34
$3,881.56
Payments.
Reimbursement to Town Treasurer for
payments approved by Trustees in accordance with terms of the Trust
2,306.99
$1,574.57
Investments.
Arlington Savings Bank Book No. 4063 $1,574.57
GEORGE HILL, WILLIAM G. PECK, HENRY HORNBLOWER, WILLIAM E. WOOD, JOSEPH C. HOLMES,
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
158
WILLIAM CUTTER SCHOOL FUND. 1915.
Principal of Fund
$5,354.00
Receipts.
Interest on $5000 Parmenter School Bonds $200.00
Interest on Savings Bank Deposit 17.45
217.45
$5,571.45
Expenditures.
Paid Town Treasurer for disbursements per order of School Committee 217.45
$5,354.00
Investments.
Five Parmenter School Bonds, due seri- ally commencing January 1, 1917 $5,000.00
Deposit in Arlington Five Cents Savings Bank, Book No. 15102 354.00
$5,354.00
WILLIS P. HOWARD, THOMAS J. DONNELLY, HORATIO A. PHINNEY, MYRON TAYLOR,
Trustees Ex-Officio.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
159
·
MARTHA M. W. RUSSELL SCHOOL FUND. 1915.
Principal of Fund
$5,327.86
Receipts.
Interest on Two Locke School Addition Loan Notes $200.00
Interest on Deposit in Arlington Five
Cents Savings Bank 16.31
216.31
$5,544.17
Payments.
Paid Town Treasurer for disbursements
216.31
$5,327.86
Investments ..
Two Locke School Addition Loan Notes, dated December 31, 1908, due in 1920 and 1921
Deposit in Arlington Savings Bank
$5,000.00 327.86
$5,327.86
WILLIS P. HOWARD, THOMAS J. DONNELLY, HORATIO A. PHINNEY, MYRON TAYLOR, Trustees Ex-Officio.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
160
·
E. NELSON BLAKE, JR., MEMORIAL FUND. 1915.
Principal of Fund.
$2,500.00
Accumulated Income 219.02
$2,719.02
Receipts.
Interest on Savings Bank Deposit
116.77
$2,835.79
1 Paid Town Treasurer
Expenditures.
119.95
$2,715.84
Investments.
Arlington Savings Bank, Book No. 12541
$2,715.84
GEORGE HILL, WILLIAM G. PECK, HENRY HORNBLOWER, JOSEPH C. HOLMES, WILLIAM E. WOOD,
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
161
MARY CUTTER POOR WIDOWS' FUND. 1915.
Principal of Fund
$613.11
Receipts.
Interest on Savings Bank Deposit
26.32
$639.43
Payments.
Transferred to Income Poor Widows'
Fund Account 26.32
$613.11
Investments.
Deposit in Arlington Savings Bank, Book No. 15105 $613.11
WILLIS P. HOWARD, THOMAS J. DONNELLY, HORATIO A. PHINNEY, Trustees Ex-Officio.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
162
MARTHA M. W. RUSSELL POOR WIDOWS' FUND. 1915.
Principal of Fund
$1,704.23
Receipts.
Interest on Summer Street Loan of 1908
$40.00
Interest on Savings Bank Deposit 30.24
70.24
$1,774.47
Payments.
Transferred to Income of Poor Widows' Fund 70.24
$1,704.23
Investments.
Deposit in Arlington Savings Bank,
Book No. 439
$1,704.23
WILLIS P. HOWARD, THOMAS J. DONNELLY, HORATIO A. PHINNEY, Trustees Ex-Officio.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
163
NATHAN PRATT POOR WIDOWS' FUND. 1915.
Principal of Fund
$5,000.00
Receipts.
Interest on
$4,000 Water Bond of 1905
$160.00
1,000 Street Loan of 1914
40.00
200.00
$5,200.00
Payments.
Transferred to Income of Poor Widows' Fund 200.00
$5,000.00
Investments.
Three Water Bonds of 1905, due serially commencing December 15, 1916 $3,000.00
One Street Loan of 1914, due November 1,1922 1,000.00
Deposit in Arlington Savings Bank
1,000.00
$5,000.00
GEORGE HILL, WILLIAM G. PECK, HENRY HORNBLOWER, JOSEPH C. HOLMES, WILLIAM E. WOOD,
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
164
EDWIN S. FARMER POOR WIDOWS' FUND. 1915.
Principal of Fund $5,000.00
Receipts.
Interest on
$4,700 Summer Street Loan of 1914
$211.50
Savings Bank Deposit
12.89
224.39
$5,224.39
Payments.
Transferred to Income Poor Widows' Fund
224.39
$5,000.00
Investments.
Three Summer Street Loan of 1914 Notes, dated November 1, 1914, due serially beginning November 1, 1916 One Street Loan of 1915 Note, dated December 1, 1915, due December 1, 1920
$3,000.00
1,500.00
Deposit in Arlington Savings Bank 500.00
$5,000.00
GEORGE HILL, WILLIAM G. PECK, HENRY HORNBLOWER, WILLIAM E. WOOD, JOSEPH C. HOLMES,
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
165
INCOME POOR WIDOWS' FUND. 1915.
1 Balance from 1914
$1,297.62
Receipts.
Income for year ending December 31, 1915
Martha M. W. Russell Poor Widows' Fund
$70.24
Mary Cutter Poor Widows' Fund
26.32
Nathan Pratt Poor Widows' Fund
200.00
E. S. Farmer Poor Widows' Fund
224.39
Interest on Savings Bank Deposit
60.79
581.74
-$1,879.36
Payments.
Paid Town Treasurer for Disbursement
435.00
$1,444.36
Investments.
Arlington Savings Bank, Book No. 17209
$1,444.36
WILLIS P. HOWARD, THOMAS J. DONNELLY, HORATIO A. PHINNEY, .
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
166
1
EDWIN S. FARMER RELIEF FUND.
1915.
Principal of Fund
$5,000.00
Accumulated interest on same
· 140.83
$5,140.83
Receipts.
Interest on
$4,000 Water Loan Notes of 1914
$160.00
1,000 Summer Street Loan of 1914
45.00
Deposit in Savings Bank
8.34
213.34
Total Fund and Accumulation $5,354.17
Investments
Two Water Loan Notes of 1914, dated November 1, 1914, due, No. 104, No- vember 1, 1918; No. 105, November 1, 1919 $4,000.00
One Summer Street Loan of 1914 No. 10, due November 1, 1924 1,000.00
Deposit in Arlington Savings Bank 354.17
$5,354.17
GEORGE HILL, WILLIAM G. PECK, HENRY HORNBLOWER, JOSEPH C. HOLMES, WILLIAM E. WOOD,
Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
167
NATHAN PRATT LIBRARY FUND. 1915.
Principal of Fund
$10,000.00
Receipts.
Interest on
$1,000 Water Bond No. 132 $40.00
3,000 Water Pipe Renewal Loan
Notes of 1908 120.00
2,000 Water Pipe Renewal Loan
Notes of 1910 80.00
2,000 Water Loan Bonds of 1910 80.00
2,000 Summer Street Loan of 1914 90.00
Deposit in Arlington Savings Bank 4.61
414.61
$10,414.61
Payments.
Paid Town Treasurer on request of Trustees of Robbins Library
414.61
$10,000.00
Investments.
One Water Bond, due October 1, 1928, No. 132 $1,000.00
Three Water Pipe Renewal Loan Notes, dated December 31, 1908, due serially commencing December 31, 1917
3,000.00
Two Water Pipe Renewal Loan Notes of 1907, due serially commencing Decem- ber 1, 1919 2,000.00
Two Water Loan of 1910, dated Decem- ber 1, 1910, due serially commencing December 1, 1919
2,000.00
168
169
NATHAN PRATT LIBRARY FUND
Two Summer Street Loan of 1914, dated November 1, 1914, due serially com- mencing November 1, 1920 $2,000.00 $10,000.00
GEORGE HILL, WILLIAM G. PECK, HENRY HORNBLOWER, JOSEPH C. HOLMES, WILLIAM E. WOOD, Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
HENRY MOTT LIBRARY FUND.
1915.
Principal of Fund
Receipts.
Interest on
$2,000 Parmenter School Bonds, July $40.00
1,000 Parmenter School Bonds, Janu- ary 1 20.00
1,000 Playground Loan of 1914 40.00
2,000 Summer Street Loan of 1914 90.00
1,000 Arlington Tax Note, 6 months 20.00
Savings Bank Deposit
10.95
220.95
Payments.
Paid Town Treasurer for Disbursement
220.95
$5,200.00
Investments.
One Parmenter School Bond No. 12, due in 1916 $1,000.00
One Playground Loan of 1914, due June 30, 1918
1,000.00
Two Summer Street Loan of 1914, due No. 8 on November 1, 1922; No. 9, on November 1, 1923 2,000.00
One Town of Arlington Tax Note, dated July 1, 1915, due July 1, 1916 1,000.00
Deposit in Arlington Savings Bank 200.00
$5,200.00
SAMUEL C. BUSHNELL, CYRUS E. DALLIN, CHARLES A. KEEGAN, WILLIAM A. MULLER, JAMES P. PARMENTER, ARTHUR J. WELLINGTON, Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
170
1
$5,200.00
$5,420.95
TIMOTHY WELLINGTON FUND. 1915.
Principal of Fund
$100.00
Receipts.
Dividend on Savings Bank Deposit
4.32
$104.32
Expenditures.
Paid Town Treasurer for Library pur- poses
4.32
$100.00
Investments.
Arlington Savings Bank, Book No. 15103 $100.00
SAMUEL C. BUSHNELL,
CYRUS E. DALLIN,
CHARLES A. KEEGAN, JAMES P. PARMENTER,
WILLIAM A. MULLER, ARTHUR J. WELLINGTON, Trustees.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
171
·
CITIZEN-SOLDIERS' FUND. 1915.
Balance from 1914
$452.42
Receipts.
Dividend on Savings Bank Deposit
19.41
$471.83
Expenditures.
Paid Town Treasurer for Disbursement
96.00
$375.83
Investments. .
Arlington Savings Bank, Book No. 15104
$375.83
WILLIS P. HOWARD, THOMAS J. DONNELLY, HORATIO A. PHINNEY, Trustees Ex-Officio.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
172
.
JULIA FILLEBROWN FUND. 1915.
Principal of Fund
$100.00
Accumulated Income
61.26
J
$161.26
Receipts.
Dividend on Savings Bank Deposit
6.91
$168.17
Investments.
Arlington Savings Bank, Book No. 15840
$168.17
WILLIS P. HOWARD, THOMAS J. DONNELLY, HORATIO A. PHINNEY, Trustees Ex-Officio.
MYRON TAYLOR, Treasurer. GEORGE McK. RICHARDSON, Auditor.
173
TOWN TREASURER'S REPORT.
FOR THE YEAR ENDING DECEMBER 31, 1915. Balance from 1914
$65,739.48
Receipts
Loans in anticipation of taxes
85,000.00
Date Due Discount
July 1, 1915, Nov. 10, 1915, 212%
$40,000.00
July 1, 1915, July 1, 1916, 4%
2,000.00
July 1, 1915, July 1, 1916, 4% 2,000.00
July 1, 1915, July 1, 1916, 4%
1,000.00
Sept. 7, 1915, May 1, 1916, 3.29%
40,000.00
Permanent Loans
139,500.00
High School Loan of 1914, 74 Serial
Bonds of $1000 each, dated Novem- ber 1, 1914 $74,000.00
Fire Equipment Loan of 1915
Note No. 114, dated June 1, 1915,
2,000.00
Summer Street Loan of 1915, 5 Serial Notes dated June 1, 1915
12,500.00
High School Grading Lot Loan of 1915, 11 Serial Notes dated June 15, 1915 11,000.00
High School Furnishing Loan of 1915, 18 Serial Notes dated June 15, 1915
18,500.00
Water Loan of 1915, 5 Serial Notes dated December 1, 1915
12,000.00
Street Loan of 1915, 5 Serial Notes dated December 1, 1915 9,500.00
Cemeteries
1,884.75
Perpetual Care Fund
$1,474.80
S. C. Bucknam Fund
86.36
Soldiers' Monument Fund
108.77
Robbins Fund
214.82
.
174
175
TREASURER'S REPORT
Library $2,692.26
Timothy Wellington Fund
$4.32
Henry Mott Fund
220.95
Nathan Pratt Fund
414.61
Elbridge Farmer Fund
2,052.38
Schools 2,860.70
E. Nelson Blake, Jr., Memorial Fund
119.95
William Cutter Fund
217.45
High School Income Fund
2,306.99
Martha M. W. Russell Fund
216.31
Income Poor Widows' Fund
435.00
Citizens'-Soldiers' Fund
96.00
Commonwealth of Massachusetts
34,673.83
Corporation Tax, Public Service
4,896.84
Corporation Tax, Business
1,033.78
National Bank Tax
11,984.32
Military Aid
144.00
State Aid
2,088.00
Street Railway Tax
9,406.77
Boston Elevated Railway Tax
3,253.63
Tuition of Children
350.00
Aiding Mothers of Dependent Children
744.00
Outside Poor
771.99
Particular Sewers
5,320.74
Perpetual Care Deposits
2,735.00
Court Fines
384.56
Tax Title Account
27.35
Interest on Tax Titles
3.92
Dog License
573.53
Water Guarantee Fund
316.00
State Aid, Refund
5.00
Summer Street Extension, Unsettled Accounts
3,718.78
Premiums on Bonds
3,562.05
Interest on Treasurer's Deposits
1,299.89
Accrued Interest on Bonds Sold
126.74
Department Transfers on Auditor's
Warrants
23,439.60
Receipts from Town Collector
499,103.62
$873,498.80
176
ARLINGTON TOWN REPORT
Disbursements. $41,950.00
Permanent Loans
Schouler Court Land Purchase of 1914
$2,000.00
Locke School Loan ·
1,450.00
Water Pipe Renewal of 1909
500.00
Town Yard Loan of 1909
500.00
Playground Loan of 1914
1,000.00
Water Loan of 1913
2,000.00
Parmenter School Loan
1,000.00
High School Loan of 1914
10,000.00
Turkey Hill Land Purchase of 1913
500.00
Water Loan of 1914
2,000.00
Street Loan of 1914
1,000.00
Summer Street Loan of 1914
1,700.00
Park Loan of 1914
1,300.00
Water Pipe Renewal of 1907
1,000.00
Sewer Loan of 1907
1,000.00
Water Loan of 1910
1,000.00
Sewer Loan of 1910
2,000.00
Crosby School Addition Loan
3,000.00
Crosby School Additional Loan
500.00
Crosby School Addition Furnishing Loan 500.00
Water Loan of 1912
1,000.00
Water Loan of 1905
1,000.00
Russell School Repair Loan
1,000.00
Locke School Addition Loan
2,500.00
Enlargement of Locke School Lot Loan
500.00
Water Pipe Renewal of 1908
1,000.00
Summer Street Loan of 1908
1,000.00
Loans in Anticipation of Revenue Note dated June 1, 1914, paid June 1, 1915
25,000.00
Note dated July 1, 1915, paid Novem- ber 10, 1915
40,000.00
Interest
32,850.23
School Loans
11,686.00
Water Loans
11,107.50
Sewer Loans
4,780.00
65,000.00
TREASURER'S REPORT
177
Street Loans
$1,091.50
Town House Site Loan
1,820.00
Park Loans
1,081.00
Town Yard Loans
10.00
Fire Equipment
40.00
Anticipation of Revenue Loans
1,234.23
Registration Fees
Commonwealth of Massachusetts
State Tax
35,197.50
Charles River Basin Loan Fund
1,145.20
Metropolitan Parks Loan Sinking
Fund .
5,195.45
Metropolitan Parks Loan Sinking
Fund
2,511.68
Metropolitan Parks Loan Fund Nan- tasket
196.92
Wellington Bridge
23.81
Metropolitan Sewer Loan Sinking
Fund
14,540.81
Metropolitan Water Loan Sinking Fund
17,850.63
Metropolitan Park Alewife Brook
2,567.75
Fire Prevention
106.07
Corporation Tax
49.76
National Bank Tax
. 3.03
County of Middlesex, County Tax
18,300.00
Cemetery Commissioners
2,735.00
Perpetual Care Fund
Auditor's Warrants
589,209.88
$829,537.72
Cash deposited in
Menotomy Trust Co.
$14,424.73
Charlestown Trust Co.
10,385.96
International Trust Co.
10,456.86
First National, Boston
8,693.53
43,961.08
$873,498.80
MYRON TAYLOR, Treasurer.
$104.00 79,388.61
178
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