USA > Massachusetts > Plymouth County > Norwell > Town of Norwell annual report 1960-1969 > Part 95
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7,409.75
Contractors
Warren P. Merritt
250.00
Natale L. Molla
213.50
James Gallant
208.00
Light and Power
4,263.97
Fuel
731.25
Telephone
520.10
Mileage
1,402.56
Association Dues and Attendance
15.00
Office Supplies and Postage
368.26
Pipe, Fittings, Hydrants and Meters
6,574.54
...
6,399.91
Appropriation
2,633.10
107
Equipment and Repairs
604.34
312.37
31.87
29.59
37.80
26.86
To Revenue
.24
23,000.00
Appropriation
23,000.00
WATER DEPARTMENT - WELLS OR WELL FIELDS
Labor
1,580.75
Contractors
Natale L. Molla
25.00
Richard S. Byrne
3,047.75
Richard S. Allen
72.00
Landers Bros.
40.00
Wasco Scaffolding Company
270.00
Gas and Oil
160.37
Building Materials
124.76
Pipe and Fittings
1,290.56
Light and Power
22.32
Laboratory Fees
7.50
Maps and Plans
2.35
6,643.36
Balance, December 31, 1966
44.21
6,687.57
Balance, January 1, 1966
1,687.57
Appropriation
5,000.00
6,687.57
--- -
WATER DEPARTMENT - STANDPIPE
Engineering
263.30
Contractors
Richard S. Byrne
90.00
Balance, December 31, 1966
69,646.70
70,000.00
Appropriation
70,000.00
WATER DEPARTMENT - 1964 GROVE ST. MAINS
Loma Corp.
426.54
Balance, December 31, 1966
1,060.46
1,487.00
Balance, January 1, 1966
1,487.00
WATER DEPARTMENT - 1965 FOREST AND CIRCUIT ST. MAINS
Labor
110.00
Donahue and Flaherty Inc.
11,661.71
Pipe, Fittings and Hydrants
15,547.32
Materials
18.69
Gas - Oil
8.26
27,345.98
Balance, December 31, 1966
2,654.02
30,000.00 30,000.00
14
0 0
Surveying, Maps and Plans Building Maintenance Materials Advertising Gas - Oil
22,999.76
Appropriation
353.30
108
WATER DEPARTMENT - 1965 PROSPECT ST. MAINS
Donahue and Flaherty Inc.
9,033.23
Pipe and Fittings Maps and Plans Laboratory Fees
15,937.80
29.40
7.50
25,007.93
Balance, December 31, 1966
6,492.07
31,500.00
Appropriation
31,500.00
WATER DEPARTMENT - 1965 WINTER AND CROSS ST. MAINS
Labor
122.00
Contractors
Donahue and Flaherty Inc.
20,812.76
Richard S. Allen
54.00
R. E. Tilgren
90.00
Pipe, Fittings and Hydrants
29,180.50
Laboratory Fees
22.50
Balance, December 31, 1966
3,718.24
54,000.00
Appropriation
54,000.00
WATER DEPARTMENT - 1964 PUMPING STATION AND MAINS
54.00
DeLuze Bulldozer Service
268.75
Pipe and Fittings
1,181.06
Equipment
6.68
Balance, December 31, 1966
923.37
2,433.86
Balance, January 1, 1966
2,433.86
WATER DEPARTMENT 1966 PUMPING TESTS
Labor
1,157.50
Contractors
Abington Motor Sales
50.00
Wasco Scaffolding Company
541.02
Pipe and Fittings
154.46
Gas - Oil and Repairs
108.63
Equipment
39.73
Balance, December 31, 1966
948.66
3,000.00
Appropriation
3,000.00
WATER DEPARTMENT - 1966 PUMPING STATION AND EQUIPMENT
Labor
671.50
Contractors
Donahue and Flaherty Inc.
3,215.25
R. A. Hansen Company
1,179.93
Natale L. Molla
1,154.50
R. E. Chapman
2,210.00
50,281.76
Labor
1,510.49
2,051.34
109
Hardy Welding and Piping Corp. Frank S. Barbuto Inc.
68.00
1,083.00
Equipment
4,216.15
Pipe and Fittings
2,239.59
Surveying, Maps and Plans
246.47
Laboratory Fees
20.00
Advertising
24.30
16,328.69
Balance, December 31, 1966
8,671.31
25,000.00
Appropriation
25,000.00
WATER DEPARTMENT - 1966 MAIN ST. MAINS
Contractors
Natale L. Molla
264.00
Frank Whittaker
40.00
Richard S. Allen
160.00
P. Lanzillotta & Sons Inc.
487.50
George Legg
70,00
Pipe and Fittings
3,558.05
Materials
6.60
4,586.15
Balance, December 31, 1966
913.85
5,500.00
Appropriation
4,500.00
Transfer Reserve Fund
1,000.00
5,500.00
WATER DEPARTMENT - 1966 LAND TAKING GRASSY SWAMP
Land Taking Awards
5,521.00
Surveying and Plans
597.37
David L. Turner Legal Services
864.60
Balance, December 31, 1966
5,017.03
12,000.00
Appropriation
12,000.00
WATER DEPARTMENT - LAND AND RIGHTS
Land Taking Awards
784.85
Surveying and Plans
75,00
Balance, December 31, 1966
4,355.35
5,215.20
Balance, January 1, 1966
5,215.20
WATER DEPARTMENT - 1962 OLD OAKEN BUCKET ROAD MAINS
Daniel J. Donahue
53.50
Appropriation
124.07
177.57
Balance, January 1, 1966
177.57
CARE OF VETERANS GRAVES
Church Hill Cemetery Corp.
84.00
First Parish Cemetery
175.00
Pinehurst Cemetery Corp.
52.50
311.50
6
6
6,982.97
859.85
0
0
110
To Revenue Appropriation
138.50
450.00 450.00
WASHINGTON STREET CEMETERY - EXPENSES
Clerk
100.00
Contractors
Albert Gunderway, Sr.
20.00
David R. Casey Contracting Co.
900.00
Materials
67.52
To Revenue
567.48
1,655.00
Appropriation
1,655.00
WASHINGTON STREET CEMETERY - ROADS AND WATER SERVICES
Labor
271.15
P. Lanzillotta & Sons
52.00
Materials
1,889.60
Balance, December 31, 1966
2,287.25
4,500.00
Appropriation
4,500.00
INTEREST - TEMPORARY LOANS
State Street Bank
25.77
South Shore National Bank
2,194.50
2,220.27
To Revenue
339.73
2,560.00
Appropriation
2,560.00
INTEREST - MATURING DEBT
1965 Town Garage
1,260.00
1960 Senior High School
21,275.00
1953 High School Addition
2,062.50
1949 Elementary School
1,350.00
1956 G. F. Cole School
5,040.00
1964 G. F. Cole School Addition
2,660.00
1966 Old Oaken Bucket Road School
10,800.00
1947 Water Loan
1,293.75
1955 Water Loan
1,650.00
1964 Water Loan
687.50
1965 Water Loan
7,704.00
To Revenue
1,700.00
57,482.75 57,482.75
TEMPORARY LOANS
South Shore National Bank
200,000.00
State Street Bank
63,500.00
263,506.00
55,782.75
Appropriations
1,087.52
2,212.75
111
PRINCIPAL - MATURING DEBT
1965 Town Garage
5,000.00
1960 Senior High School
45,000.00
1953 High School Addition
15,000.00
1949 Elementary School
15,000.00
1965 G. F. Cole School
20,000.00
1964 G. F. Cole School Addition
30,000.00
1947 Water Loan
5,000.00
1955 Water Loan
15,000.00
1964 Water Loan
10,000.00
1965 Water Loan
19,000.00
179,000.00
Appropriations
179,000.00
PREMIUM 1965 WATER AND GARAGE LOAN
State Street Bank
318.72
PREMIUM 1966 OLD OAKEN BUCKET ROAD SCHOOL
State Street Bank
72.00
AGENCY AND TRUST ACCOUNTS
State Parks and Reservations
4,505.20
Mass. Bay Transportation Authority
282.00
State Audit
164.78
State Motor Vehicle Tax Bills
587.85
Metropolitan Area Planning Council
225.61
County Tax
32,990.10
County T. B. Hospital
9,726.24
Dog Licenses Due County
1,939.00
F. B. Clapp Fund
43.75
Farrar Fund
16.10
Washington Street Cemetery Permanent Fund
350.00
Cemetery Perpetual Care Fund
765.10
Federal Withholding Taxes
123,582.75
Mass. Withholding Taxes
15,124.05
Retirement Fund
11,300.02
Blue Cross
12,859.56
Group Insurance
1,686.48
Cash Investments
1,277,844.33
1,493,992.92
REFUNDS AND TRANSFERS
Real Estate Taxes
15,048.81
Motor Vehicle Excise Taxes
6,931.01
Water Rates
106.47
Licenses and Permits
28.00
Revenue Cash Investments
200,000.00
Cash
38.24
222,152.53
4,573,653.78
---
Total Payments
0
112
RECAPITULATION
Cash Balance, January 1, 1966 Receipts
340,233.19 4,513,299.26
4,853,532.45
Payments
4,573,653.78
Cash Balance, December 31, 1966
279,878.67
4,853,532.45
TRANSFERS FROM THE 1966 RESERVE FUND
W. J. Leonard Memorial Library
200.00
Gas Inspector
300.00
Veteran's Agent - Expenses
45.71
Treasurer's Bonding Cost
1,350.36
Town Dump Expenses
27.70
Inspector of Animals
77.00
Wire Inspector
600.00
Board of Health - Aid and Expenses
600.00
Veterans Benefits
2,113.00
Building Inspector
608.70
Selectemen's Expenses
300.00
Town Meetings and Elections - Salaries
182. 59
Treasurer's Expenses
300.00
Recreation Commission
125.00
Snow Removal and Sanding
5,000.00
Treasurer's Clerks
200.00
Town Schedule Insurance
1,683.94
Emergency Communications Center - Expenses
266.49
Tree Warden - O. and M. Account
300.00
Police Payrolls
4,560.00
Fire Department - Expenses
75.00
Police Cruiser Expenses
739.58
Collector's Clerk
250.00
Main Street - Water Main
1,000.00
Highways - M. and O. Account
300.00
21,205.07
TOWN OF NORWELL BALANCE SHEET
AS OF DECEMBER 31, 1966
ASSETS
Cash
279,878.67
Non Revenue Cash Investments
200,000.00
Revenue Cash Investments
299,006.33
Accounts Receivable
1964 Personal Property Tax 97.50
1965 Personal Property Tax 422.40
1966 Personal Property Tax
1,107.82
1965 Real Estate Tax
181.50
1966 Real Estate Tax
41,762.46
1965 Motor Vehicle Excise
Tax 2,415.70
113
1966 Motor Vehicle Excise
Tax 15,934.94
Tax Titles
8,244.34
Tax Possessions
6,931.78
Civil Defense Ambulance
416.05
1966 Water Rates
19,258.94
1966 Water Liens
316.07
State Aid to Highways
9,500.00
County Aid to Highways
4,750.00
111,339.50
To be raised in 1967 Tax Levy
1966 State Parks and
Reservations
805.05
1966 Mass. Bay Transpor- tation Authority
.01
1966 Met. Area Planning Council
21.15
1966 County Tax
1,343.46
1965 Overlay
389.40
1966 Overlay
9,619.90
12,178.97 281,500.00
Loans Authorized
Fixed Debt
Inside Debt Limit
145,000.00
Outside Debt Limit
1,745,000.00
1,890,000.00
Trust Funds
In Custody of Treasurer
115,212.13
In Custody of State
200.00
115,412.13
3,189,315.60
LIABILITIES AND RESERVES
Agency, Trust and Reserves
Federal With, Taxes
10,553.12
Mass. With, Taxes
2,074.39
Retirement Fund
1,249.97
Blue Cross
1,359.31
Group Insurance
161.52
Tailing Account
296.16
Dog Licenses Due County
126.00
C. H. Pike Fund Income
53.59
Sawyer Fund Income
58.38
Highway Funds for Appropri-
ation
3,830.04
Loans Authorized and Unissued
Excess and Deficiency
174,736.77
Unexpended Balances of Accounts
Revised Town By-Laws
91.86
Sewage Disposal Facilities
138.27
Sanitary Leaching Bed 382.30
Conservation Fund 9,419.84
F. M. Cushing Fund
17,879.30
,0%
19,762.48 225,000.00
2.45
2,45
114
Annunciator Panel
5.98
Fire Dept. Repairs
1,375.00
Civil Defense
176.61
Highways Chapter 90
19,000.00
Highways - truck
7,000.00
Highways - sander
2,500.00
Highways - snow plow
328.80
Highways - tractor
15.00
Highways - radio equip.
1,544.12
Town Garage
1,094.42
Road Machinery Fund
4,225.91
Bowker St. Land Damages
1,001.96
Highways - School Street
209.63
Drainage - Washington Park
1,331.66
Sidewalks - High and Oak
Streets
3,262.70
Union Bridge Construction
1,100.00
Permanent Drainage Committee
282.97
Eng., Culverts, etc.
4,375.72
Welfare
O.A.A. - U. S. Aid
3,091.68
O.A.A. - U.S. Adm.
2,404.64
A.D.C. - U.S. Aid
4,747.29
A.D.C. - U.S. Adm.
381.42
D.A. - U.S. Aid
613.44
D.A. - U.S. Adm.
1,324.91
M.A. - U.S. Aid
14,934.77
M.A. - U.S. Adm.
570.21
Schools
Public Law 874
16,343.00
Public Law 864 Title 5
508.97
Public Law 864 Title 3A
3,322.55
George-Barden Account
586.95
School Lunch
1,762.81
School Athletics
1,933.48
Elementary School Site Comm.
323.00
Land Takings Elem, School
3,970.10
New Elementary School
288,380.05
Athletic Field Committee
500.00
Senior High School
881.90
Senior High School Addition
Plans 65,305.81
Leonard Library Building Fund
11.74
Mass. Free Public Libraries
1,301.75
Motor Vehicle & Equip. Fund
8,786.81
Municipal Planning
5,000.00
Water Department
Wells or Well Fields
44.21
Standpipe
69,646.70
1963 Grove St. Mains
230.11
1964 Grove St. Mains
1,060.46
1965 Old Meeting House Lane Mains
993.26
1965 Prospect St. Mains
3,579.72
1965 Walnut Road Mains
99.58
115
1965 Forest and Circuit St. Mains
2,654.02
1965 Prospect St. Mains
6,492.07
1965 Winter and Cross St. Mains 3,718.24
1964 Pumping Station & Mains
923.37
1966 Pumping Tests
948.66
1966 Pumping Station and Equipment
8,671.31
1966 Main Street Mains
913.85
1966 Cost Analyst
1,000.00
1966 Professional Engineers
2,500.00
1966 Land Takings-Grassy Swamp
5,017.03
1966 Land Takings-South St. Land and Rights
4,355.35
Washington Street Cemetery
Replacement of Trees
116.00
Roads and Water Services
2,287.25
633,980.52
Revenue Reserved until Collected
Motor Vehicle Excise Tax
Revenue
18,350.64
Tax Title Revenue
15,176.12
Departmental Revenue
416.05
Water Revenue
19,575.01
Aid to Highway Revenue
14,250.00
67,767.82
Recoveries
Old Age Assistance
4,500.00
Aid to Dependent Children
1,655.88
6,155.88
Temporary Loans
56,500.00
Debt Accounts
1949 Elementary School
45,000.00
1953 High School Addition
75,000.00
1956 G. F. Cole School
200,000.00
1960 Senior High School
530,000.00
1964 G. F. Cole School
Addition
80,000.00
1966 Old Oaken Bucket Rd. School
600,000.00
1947 Water
55,000.00
1955 Water
60,000.00
1964 Water
20,000.00
1965 Water
195,000.00
1965 Town Garage
30,000.00
1,890,000.00
Trust Accounts
Cemetery Perpetual Care
Funds
31,460.02
F. B. Clapp Cemetery Fund
1,000.00
Coffin Cemetery and Charity Fund
3,549.61
Charles H. Pike Fund
200.00
A.T. Otis Cemetery and Tomb
Fund 2,363.80
15,000.00
116
A.T. Otis Charity Fund
Sawyer Cemetery Fund
3,419.26 200.00
Farrar and Estes Cemetery
Fund
316.10
Stabilization Fund
66,555.66
A. Wakefield Charity Fund
2,519.56
A. Wakefield Library Fund
116.50
Washington Street Cemetery Permanent Fund
3,711.62
115,412.13
3,189,315.60
Harry L. Chase, Jr. Town Accountant
P
P
G
117
TOWN OF NORWELL
Commonwealth of Massachusetts
WARRANT for Annual Town Meeting
Monday, March 14, 1966, at 7:30 o'clock in the afternoon
At the Senior High School
and Saturday, March 19, 1966, at 12 Noon At the Senior High School
For the Election of Town Officials
Plymouth, ss.
To either of the Constables of the Town of Norwell, in said County of Plymouth and Commonwealth of Massachusetts.
GREETINGS:
In the name of the Commonwealth of Massachusetts, you are hereby directed to notify and warn the inhabitants of the Town of Norwell, qualified to vote in elections and Town affairs to meet at the Senior High School in said Norwell, on Monday, the fourteenth day of March, 1966, at 7:30 p.m., then and there to act upon the following articles, to wit:
ARTICLE 1
To see if the Town will accept the reports of its Officers, Boards, Departments, Committees and Commissions, as printed in the 1965 Town Report, or act on anything relative thereto.
ARTICLE 2
To see what sums the Town will raise and appropriate, or appropriate from available funds to pay Town debts, expenses and charges including debt and interest for the ensuing year and to fix the salary and compen- sation of all elective officers of the Town, effective from January 1, 1966, as
provided by Section 108 of Chapter 41 of the General Laws, as amended, and to provide for a reserve fund, and raise and appropriate, or appropriate from available funds for the following: Moderator, Selectmen's Department, Town Office Manager and Accountant, Town Hall Clerks, Town Meetings and Elections, Treasurer, Tax Title Account, Town Collector, Assessor's Department, Town Counsel, Town Clerk, Registrations and Listings, Board of Appeals, Planning Board, Development and Industrial Commission, Permanent Building and Main- tenance Committee, Conservation Commission, Council on Aging, Capital Budget Committee, Town Hall and Annex, Police Department, Dog Officer, Fire Department, Civil Defense, Emergency Communications Center, Sealer of Weights and Measures, Tree Warden and Moth Superintendent, Moth Department, Dutch Elm Disease, Operation and Maintenance of Equipment, Pest Control, Tree Maintenance, Removal and Replacement, Capital Outlay, Maintenance of Public Grounds, Building Inspector, Gas
--.
= :
---
15,6
118
Inspector, Wire Inspector, Board of Health, Inspector of Animals, School Nurse, School Dentist, Dental Hygienist, School Physician, Town Dump, Mosquito Control, Highway Surveyor, Highways-Town Account, Capital Outlay, Chapter 81, Chapter 90, Signs and Road Markings, Snow Removal and Sanding, Road Machinery Maintenance and Operation Account, Water Services Account, Street Lights, Welfare-Salaries, Aid (All Categories), Administration and Expense, Veterans' Benefits, School Department, Out-of-State Travel, Vocational Training, Practical Arts - Adults, South Shore Regional Vocational School, Athletic Field Committee, Libraries, Water Department, Cemeteries, Maturing Debt and Interest, Anticipation of Revenue Loans, Aid to Agriculture, Plymouth County Retirement, Group Insurance, Town Schedule Insurance, Pensions and Annuities, Town Reports and Budgets, Recreation Commission, and Memorial Day; or act on anything relative thereto.
ARTICLE 3
To see if the Town will vote to authorize the Town Treasurer, with the approval of the Selectmen, to borrow money from time to time in anticipation of the revenue of the financial years beginning January 1, 1966 and January 1, 1967, and to issue a note or notes therefor, payable within one year in accordance with General Laws, Chapter 44, Section 4, as amended, and to renew any note or notes as may be given for less than one year in accordance with General Laws, Chapter 44, Section 17, as amended, or act on anything relative thereto.
Requested by the Town Treasurer.
ARTICLE 4
To see if the Town will vote to amend the Town of Norwell By-laws, Article XVII Zoning By-laws, by deleting in SECTION X, Enforcement, Paragraphs numbers 2, 2a, 2b, 2c and 2d, and by substituting therefor a new Paragraph number 2, to read as follows:
"2. Whoever violates the provisions of this By-law shall be fined not less than $5.00, nor more than $50.00, for each offense.";
or act on anything relative thereto.
Requested by the Planning Board.
ARTICLE 5
To see if the Town will vote to amend the Town of Norwell By-Laws, Article XIV, entitled Building Code of Norwell, by adding in SECTION III, Paragraph 3, entitled "Applications for Permits," two new sub- paragraphs, designated C and D, to read as follows:
"C. All permits shall be void unless operation thereunder shall be commenced within six months after the date of the permit, or if operations thereunder are discontinued for a period of more than six months. All permits expire twelve months after the date of the permit, but may be renewed without any additional fee.
119
D. No work shall be commenced until a permit has been granted."; or act on anything relative thereto.
Requested by the Planning Board.
ARTICLE 6
To see if the Town will vote to amend the Town of Norwell Zoning By-laws, Article XVII, by deleting Paragraph E of SECTION IV, and by substituting therefor a new Paragraph "E," to read as follows:
"E. A private club, if managed and controlled by the membership, not including one whose chief activity is a service customarily carried on as a business, but the foregoing shall not prohibit the customary functions of bona fide Country Clubs, Sportsman Clubs, Amateur Dramatic Clubs, Social or Educational Clubs, and the like.";
or act on anything relative thereto.
Requested by the Board of Selectmen,
ARTICLE 7
To see if the Town will vote to amend the Town of Norwell Zoning By-laws Article XVII, by deleting Paragraph C of SECTION IV, and by substituting therefor a new Paragraph C, to read as follows:
"C. Institutional, educational, recreational, philanthropic or reli- gious building or use, providing such building or use is not a business undertaking, but not including one, the chief activity of which is a service, (1) to delinquent, criminal, mentally deficient or mentally deranged persons; or (2) customarily carried on as a business.";
or act on anything relative thereto.
Requested by the Board of Selectmen,
ARTICLE 8
To see if the Town will vote to transfer $100,000.00, or any other sum, from available funds, and authorize the Assessors to use this sum, to decrease the 1966 tax rate, or act on anything relative thereto.
Requested by the Advisory Board.
ARTICLE 9
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $5,000.00, or any other sum, to employ the services of municipal planners, architects and engineers, to develop preliminary plans, specifications, costs and illustrations of a fire station, town hall addition and police station, or any combination of the same,
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120
under the direction of the Board of Selectmen, subject to the require- ments and approval of all boards and officials involved, and with the stipulations that such services will be completed before June 1, 1966, adequate for the development of final plans and that any fees paid shall be applied to the normal professional service costs on any portion voted by the Town for final design, construction and supervision under the direction of the Permanent Building and Maintenance Committee, or act on anything relative thereto.
Requested by the Board of Selectmen.
ARTICLE 10
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $15,125.00, or any other sum, in antici- pation of repayment by the Commonwealth of Massachusetts, for Chapter 81 work on the highways, or act on anything relative thereto.
Requested by the Board of Selectmen,
ARTICLE 11
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $19,500.00, or any other sum, in antici- pation of repayment by the Commonwealth of Massachusetts and the County of Plymouth, for Chapter 90 work on the highways, or act on anything relative thereto.
Requested by the Board of Selectmen.
ARTICLE 12
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $7,660.08, or any other sum, in anticipa- tion of repayment by the Commonwealth of Massachusetts for Chapter 679, Acts of 1965. Work on the Highways, or act on anything relative thereto.
Requested by the Board of Selectmen.
ARTICLE 13
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $30,000.00, or any other sum, to the Motor Vehicle and Equipment Fund, to provide for the depreciation, replacement and purchase of motor vehicles and equipment, and establish a control list of all vehicles, recording and date of purchase, mileage, type, maker, repairs and any other pertinent data essential to replacement determination by a vote of the Town, or act on anything relative thereto.
Requested by the Board of Selectmen.
ARTICLE 14
To see if the Town will vote to raise and appropriate, or appropriate
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from available funds, the sum of $7,000.00, or any other sum, for the purchase of a new Heavy Duty Dump Truck for the Highway Department, or act on anything relative thereto.
Requested by the Highway Surveyor.
ARTICLE 15
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $2,500.00, or any other sum, for the purchase of a new V-Body Sander of approximately six yards capacity for the Highway Department, or act on anything relative thereto.
Requested by the Highway Surveyor.
ARTICLE 16
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $1,200.00, or any other sum, for the purchase of a new Snow Plow for the Highway Department, or act on anything relative thereto.
Requested by the Highway Surveyor.
ARTICLE 17
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $16,000.00, or any other sum, for the purchase of a new Loader-Tractor-Backhoe (to be one integrated unit) for the Highway Department, or act on anything relative thereto.
Requested by the Highway Surveyor.
ARTICLE 18
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $15,000.00, or any other sum, to be used by the Highway Surveyor for the resurfacing of sections of Grove, School, Prospect, Summer and South Streets and for the opening, closing and patching of such advance "Across the Street" water service trenches in any street prior to resurfacing, as are approved by the Board of Select- men and the Planning Board, subject to an agreement by the Water Com- missioners, to install the service piping and connections in the trenches while open and to record the location of the installed services on a street layout, or act on anything relative thereto.
Requested by the Board of Selectmen.
ARTICLE 19
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $2,150.00, or any other sum, for the purchase of a 1966 pick-up truck to replace the present 1955 pick-up truck, for use in the Tree and Public Grounds Departments, or act on anything relative thereto.
Requested by the Tree Warden.
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ARTICLE 20
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $10,000.00, or any other sum, to purchase and equip an ambulance, to replace the present 1951 ambulance, or act on anything relative thereto.
Requested by the Civil Defense Director.
ARTICLE 21
To see if the Town will vote to raise and appropriate, or appropriate from available funds, the sum of $1,922.26, or any other sum, for the refund of paid taxes to such residents of Old Meeting House Lane as were declared by the court to be illegally assessed for betterments, with such refunds to be made if the required enabling legislation is passed by the current session of the legislature, or act on anything relative thereto.
Requested by the Board of Selectmen.
ARTICLE 22
To see if the Town will vote to construct a sidewalk on the westerly side of High Street, from Washington Street to the Grace Farrar Cole Elementary School, a distance of approximately 1,800 feet, and to con- struct a sidewalk on the southerly side of Oak Street, from Washington Street to High Street, a distance of approximately 900 feet, and to raise and appropriate, or appropriate from available funds, for this purpose, the sum of $10,800.00, or any other sum, or act on anything relative thereto.
Requested by the Planning Board.
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