USA > Massachusetts > Middlesex County > Wilmington > Town of Wilmington Annual Report 1945-1946 > Part 6
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Unexpended Balance, to
Revenue Account 2.40 - $ 150.00
Aid:
Cash $ 4,091.80
Unexpended Balance, to
Revenue Account 908.20 $ 5,000.00
Aid to Dependent Children (U. S. Grant)
Balance from 1944, account Administration ...
$
36.98
Received from State Treasurer
Account Administration 114.16 $ 151.14
Balance from 1944, Account Aid ..... $ 440.25
Received from State Treasurer, account Aid 1,797.50 - $ 2,237.75
102
Payments
Administration :
Salary, Clerk
$ 86.50
Postage
6.10
$ 92.60
Balance, to 1946
58.54
$ 151.14
Aid:
Cash
1,596.05 $
Balance, to 1946
641.70
$ 2,237.75
Old Age Assistance (Town Account)
Appropriation, Account Administration
$ 1,000.00
Appropriation, Account Assistance
$ 23,000.00
Cash Refunds, Account Assistance
222.20
$ 23,222.20
Payments
Administration:
$ 375.00
Salary, Social Worker
450.50
Salary, Clerk
86.50
Travel
33.25
Postage, printing and stationery ..
52.15
Office Equipment repairs
2.00
$ 999.40
Unexpended Balance, to
Revenue Account
.60
-
$ 1,000.00
Aid:
Cash
$ 22,560.55
Medical Services
8.00
Hospital, board and care
8.00
Board
15.00
Other cities and towns
339.38
$ 22,930.93
Unexpended Balance, to
Revenue Account ................
291.27
$ 23,222.20
103
Salary, Agent
Old Age Assistance (U. S. Grant)
Balance from 1944, Account Administration $ 121.42 Received from State Treasurer, Account Administration 638.32
$ 759.74
Balance from 1944, Account Assistance $ 936.22
Received from State Treasurer, Account Assistance
19,151.11
$ 20,087.33
Payments
Administration :
Salary, Social Worker
$ 424.00
Salary, Clerk
17.30
Travel
50.85
Postage, printing and stationery ...
41.88
Telephone
8.78
$ 542.81
Balance, to 1946
216.93
-
$ 759.74
Assistance:
Cash
$ 18,887.83
Medical Services
7.00
Medicines
.75
Hospital, board and care
11.75
Burial
46.00
Other cities and towns
427.71
Balance, to 1946
.... 706.29
$ 20,087.33
SOLDIERS' BENEFITS
State Aid
Appropriation
$
600.00
Payments $ 270.00
Cash
Unexpended Balance, to
Revenue Account
330.00
$ 600.00
- -
104
Military Aid
Appropriation
$
600.00
Cash
Unexpended Balance, to
Revenue Account .... ... ......
.. 60.00 -
-
$ 600.00
Soldiers' Relief
Appropriation
$
2,000.00
Payments
Administration:
Clerical work
$ 162.00
Postage, printing and stationery .... 8.00
Relief:
· Cash $ 920.00
Food
80.90
Fuel
186.29
Medical Services
169.50
Medicines
32.51
Glasses
11.00
Hospital, board and care
340.36
$ 1,910.56
Unexpended Balance, to
Revenue Account 89.44 $ 2,000.00
Lease of American Legion Club House
Appropriation
.. Payments $ 750.00
Lease of Club House, 1 year $ 750.00
War Allowance World War 2
Appropriation
$ 1,000.00
Cash
$ 380.00
Food
137.00
Fuel
45.63
Light
9.89
Medical Services
82.50
Hospital, board and care
278.36
$ 933.38
Unexpended Balance, to
Revenue Account .............
66.62 -
- -
$ 1,000.00
105
....
..
Payments $ 540.00
EDUCATION
Schools
Appropriation :
$ 98,655.00
Refund account Books
70.19
$ 98,725.19
Payments
Superintendent's Salary
$ 2,372.52.
School Physician's Salary
200.00
School Nurse's Salary
1,100.04
Attendance Officer's Salary
200.00
Clerk's Salary
600.00
Superintendent's Travel and Expenses
139.12
Telephones
250.98
Salaries, Principals, Supervisors, Teachers
59,507.73
Salaries, Janitors
6,712.53
Insurance
15.82
Fuel
3,669.74
Light
651.03
Water
146.02
Building repairs and supplies
3,741.58
Transportation
11,263.50
Bocks and Supplies
4,145.90
Equipment repairs and replacements
840.64
Athletics
479.58
Miscellaneous
182.94
New Equipment
105.63
Maintenance of Grounds
29.29
$ 96,354.59
Unexpended Balance, to
Revenue Account
2,370.60
$ 98,725.19
Vocational Training
Appropriation
..
$ 1,200.00 .
Payments
Tuition at Vocational Schools $ 896.08
Unexpended Balance, to
Revenue Account 303.92 -
$ 1,200.00
106
Development of Roman Property
Appropriation $ 500.00
Payments
Architects' services, plans, etc. $ 250.00
Photographs
12.50
$ 262.50
Balance, to 1946
237.50 $ 500.00
Library
Appropriation
..
$
1,000.00
Salary, Librarian
Payments $ 420.00
Salary, Assistant Librarian
16.00
Salary, Janitor
53.00
Repairing Books
40.50
Stationery and Supplies
10.05
Books and Magazines
316.11
Light and Fuel
74.42
Building repairs
35.42
Maintenance, Grounds
13.60
$ 979.10
Unexpended Balance, to
Revenue Account 20.90 -
$ 1,000.00
Library - 1944 Account Dr.
Balance from 1944
$
10.96
Cr.
Received from Trustees of Trust Funds ........... ...
..
$
10.96
Appropriation
Parks $ 500.00
From Reserve Fund
Payments
Labor
$ 165.80
Flowers
14.00
Flags
16.16
Care of Flag
156.00
107
Flag Pole repairs
103.50
Supplies
20.89
Equipment repairs
2.30
Trucking
30.00
$ 508.65
Unexpended Balance, to
Revenue Account ............
.35
-
$ 500.00
Unclassified
Appropriation
$
2,875.00
Payments
Printing Town Reports
$ 640.30
Delivering Town Reports
52.50
Disposal of Dogs
332.00
Maintenance Charge, Water Bonds
150.00
Rent, Grange Hall
15.00
Advertising
30.50
Cost, selling real estate
10.00
Fire insurance
780.64
War Honor Roll, plates
31.09
State Census
401.50
Sign
8.00
Care of Town Clock
75.00
Miscellaneous
.86
$ 2,528.39
Unexpended Balance, to
Revenue Account 346.61 $ 2,875.00
Appropriation
Memorial Day $ 400.00
Payments $ 100.00
Music
Postage and printing
18.75
Refreshments
34.11
Flowers and wreaths
95.10
$ 247.96
Unexpended Balance, to
....
..
Revenue Account 152.04 $ 400.00
108
Aid to Middlesex County Extension Service (Town 4-H Club)
Appropriation
Payment
$
100.00
..
To Treasurer of Town 4-H Club
$
100.00
Indemnity Insurance
(Account drivers of Highways, Cemetery and Police Motor Vehicles) $ 350.00
Appropriation
Payments
Insurance Premiums
$
342.76
Unexpended Balance, to
Revenue Account
....
7.24
$
350.00
Outstanding Bills
Appropriation
......... $ 168.38
Payments
Police Department:
X Ray, account accident .. $ 10.00
Vocational Training:
Tuition at Vocational Schools
155.38
Parks:
Power
3.00
- - $ 168.38
War Bonds
Appropriation
$ 10,000.00 ....
Payments
United States Government Bonds
........
$10,000.00
Balance from 1944
Civilian Defense $ 159.05
Payments
Postage and printing
$ 23.05
Telephone
9.37
Bond, U. S. Property Officer
5.00
$ 37.42
Unexpended Balance, to
Revenue Account ... 121.63 $ 159.05
109
Water Department
Balance from 1944
$ 1,288.43
Services
1,632.11
Water Rates
21,902.00
Hydrant Rental:
Wilmington
$ 5,720.00
Tewksbury
120.00
$ 5,840.00
Shut Offs and Turn Ons
188.50
Pump Hire
28.00
Sale of Fittings
12.95
Labor and Materials
17.50
Interest
6.81
$ 30,916.30
Payments
Salaries and Wages
$ 10,925.18
Pumping Station, maintenance
1,546.93
Trucks and Autos
564.92
Services, materials
1,277.09
Office: Rent, Light, Heat, Janitor, Postage, Stationery, etc.
424.02
Tools
113.50
Insurance
354.34
Miscellaneous
57.30
Maintenance:
Standpipe, painting and repairs
6,150.35
Equipment
253.17
Street Mains
92.23
Well Field
72.00
Services
191.70 |
Recorder
94.69
Hydrants
181.10
$ 22,298.52
Transferred to Water Revenue, account Interest
6,750.25
Transferred to Water Revenue, account
'Maturing Debt
1,867.53
$ 30,916.30
Water Revenue Account Dr.
To Revenue Account, Appropriation for Interest $ 6,750.25
To Revenue Account,
Appropriation for Maturing Debt 5,000.00 $ 11,750.25
110
Cr.
From Water Department, Account Interest ... $ 6,750.25 From Water Department, Account Maturing Debt 1,867.53
Balance (Deficit) to 1946
3,132.47
$ 11,750.25
Cemetery
Appropriation (From Taxes) ....
..... $ 2,500.00
(From Cemetery Reserve Fund) 1,500.00 $ 4,000.00
Balance, (due from Trust Funds) to 1946. ... 14.29
$ 4.014.29
Payments
Wages
$ 2,970.28
Light and Fuel
62.99
Postage
2.52
Telephone
9.31
Water
21.00
Equipment maintenance
355.32
Tools and Supplies
126.91
Loam, Gravel and Stone
261.19
Fertilizer
108.50
Flowers and seeds
54.38
Repairs to Gate Post
10.00
Insurance
31.89
$ 4,014.29
Cemetery Reserve Fund
Cr.
Balance from 1944
$ 3,215.00
Sales of Lots and Graves
1,341.00
Dr. $ 4,556.00
Excess & Deficiency, Adjustment, State Audit $ 15.00
Revenue Account, Cemetery Appropriation .... 1,500.00
Balance, to 1946 3,041.00
$ 4,556.00
111
Interest $ 430.00 (From Water Revenue)
Appropriation (From Taxes)
6,750.25
Balance, (Overdraft) to 1946
$
7,180.25
112.88 -
$ 7,283.13
Payments
Interest on:
Temporary Loans $ 427.05
Municipal Relief Loans 20.00
Water Department Bonds
6,718.75
Water Department Note
31.50
School Department Loans
77.50
Highway Department Loan
7.95
U. S. Bonds (Accrued)
10.38
$
7,293.13
Maturing Debt
Appropriation (From Taxes)
$ 13,900.00
(From Water Revenue) 5,000.00
-
$ 18,900.00
Payments
School Department Loans $ 3,000.00
Municipal Relief Loans
2,000.00
Water Department Bonds
12,500.00
Water Department Note
1,400.00
$ 18,900.00
Reserve Fund
Appropriation
$
4,000.00
Transferred to:
Tax Collector
$ 85.50
Assessors
300.00
Election and Registration
200.00
Fire Department
40.00
Health and Sanitation
882.50
High ways
794.00
Street Lights
89.55
Parks
9.00
$ 2,400.55
Unexpended Balance, to
Revenue Account 1,599.45
$ 4,000.00
112 .
TRUST FUNDS New Trust Funds
Received for Perpetual Care of Cemetery Lots $ 100.00
Payments
Paid to Trustees of Trust Funds
$
100.00
Trust Funds 1945 Income Account Dr.
Paid to S. D. Carter Lecture Committee
$
150.00
Balance, to 1946
Cr. $ 150.00
Trust Funds-1944 Income Account
Dr.
Balance from 1944 $ 125.00
Cr.
Received from Trustees of Trust Funds, income
$
125.00
Trust Funds-1939 Income Account
Dr.
Balance from 1944 ... ...
$ 7.12
Cr.
Received from Trustees of Trust Funds, income
$ 4.02
Balance to 1946
3.10
$ 7.12 $ 7.12
U. S. Withholding Tax Dr.
Paid U. S. Depositary $ 12,922.76
Cr.
Deductions from Salaries and Wages
$ 12,922.76
Dog Licenses (County)
Dr.
Paid County Treasurer $ 1,075.60
Balance, to 1946 41.65
Cr.
Balance from 1944 $ 21.60
Received from Town Clerk
1,095.65
$ 1,117.25 $ 1,117.25
113
Commonwealth of Massachusetts (Account Highways) Dr.
Balance from 1944 $ 857.69 1945 Allotment, Chapter 90, Maintenance
Cr.
899.98 $ 1,757.67
Received from State during 1945 $ 1,757.67
County of Middlesex (Account Highways) Dr.
Balance from 1944 $ 857.69
1945 Allotment, Chapter 90, Maintenance 899.98 $ 1,757.67
Cr.
Received from County during 1945
......
$
1,757.67
OVERLAYS
1933 Overlay Dr.
Balance from 1944 $ 8.58
Balance to 1946
Cr. $ 8.58
1937 Overlay Dr.
Balance from 1944 $ 102.71
Balance to 1946
Cr. $ 102.71
1938 Overlay Dr.
Balance from 1944 $ 155.87
Balance to 1946
Cr. $ 155.87
1939 Overlay Dr.
Balance from 1944 $ 492.12
Cr.
$
492.13
Balance to 1946
114
1940 Overlay Dr.
1940 Taxes Abated
Cr. $ 198.06
Balance to 1946
$ 198.06
1941 Overlay Dr.
1941 Taxes Abated $ 109.24
Cr.
Balance from 1944
$ 11.03
Balance to 1946
98.21
$ 109.24 $ 109.24
1942 Overlay Dr.
1942 Taxes Abated
81.48
Balance to 1946 $ 1,099.06
Cr.
Balance from 1944
$ 1,165.83
1942 Taxes (State adjustment)
14.71
$ 1,180.54 $ 1,180.54
1943 Overlay Dr.
1943 Taxes Abated
$ 595.93
Balance to 1946
4,076.51
Cr.
Balance from 1944
$ 4,672.44
$
4,672.44 $ 4,672.44
1944 Overlay Dr.
1944 Taxes Refunded
$ 126.00
1944 Taxes Abated
604.10
Balance to 1946
3,518.55
Cr.
Balance from 1944
$ 4,206.65
1944 Taxes (State adjustment)
42.00
$ 4,248.65 $ 4,248.65
115
1945 Overlay
Dr.
1945 Taxes Refunded
$ 110.25
1945 Taxes Abated
1,556.50
Balance to 1946
1,911.96
Cr.
Levied by Assessors
$ 3,578.71
Tax Titles
Dr.
Balance from 1944
$ 22,351.17
1942 Taxes (State Adjustment)
10.19
1944 Taxes (State Adjustment)
189.63
Tax Title Revenue (State Adjustment)
158.01
Excess and Deficiency Account (State Adjust. )
40.00
1943 Taxes
558.65
1944 Taxes
712.61
1945 Taxes
3,083.64
Costs, Sale account 1943 Taxes
346.55
$ 27,450.45
Cr.
1943 Taxes (State Adjustment)
$ 21.93
Tax Title Revenue (State Adjustment)
943.86
Redemptions
3,510.14
Balance to 1946
22,974.52
$ 27,450.45
Tax Titles-Revenue
Dr.
Excess and Deficiency Account (State Adjust.)
$ 21.93
Tax Titles (State Adjustment)
943.86
Tax Title Redemptions
3,510.14
Balance to 1946
22,974.52
$ 27,450.45
Cr.
Balance from 1944
$ 22,351.17
Excess and Deficiency (State Adjustment)
239.82
Tax Titles
158.01
Excess and Deficiency Account, 1943 Taxes.
558.65
116
$
3,578.71 $ 3,578.71
Excess and Deficiency Account, 1944 Taxes.
712.61 Excess and Deficiency Account, 1945 Taxes. 3,083.64 Tax Titles, Costs sale account 1943 Taxes
346.55
$ 27,450.45
Tax Posseesions Dr.
Balance from 1944
$ 409.50
Tax Titles (State Adjustment)
341.31
Tax Possessions Revenue (State Adjustment). ..
596.29
Cr.
Tax Possessions Revenue (State Adjustment) .... Balance to 1946
923.91
$ 1,347.10
Tax Possessions-Revenue
Dr.
Tax Possessions (State Adjustment)
$ 423.19
Balance to 1946
923.91
Cr.
Balance from 1944
$ 409.50
Tax Title Revenue (State Adjustment)
341.31
Tax Possessions (State Adjustment)
596.29
$ 1,347.10
ESTIMATED RECEIPTS
Dr.
Amounts Estimated by Assessors:
Income Tax
$ 24,577.43
Corporation Taxes
6,295.60
Reimbursement of Taxes, State owned Land
17.80
Gasoline Tax (Chapter 569, 1943)
6,336.40
Motor Vehicle and Trailer Excise Taxes
3,500.00
Licenses
3,400.00
Fines
167.00
General Government
200.00
Protection of Persons and Property
430.00
Health and Sanitation
150.00
Highways
130.00
Charities
5,000.00
$ 1,347.10
$ 423.19
$ 1,347.10
117
Old Age Assistance
18,000.00
Old Age Assistance Meal Tax
924.25
Soldiers' Benefits
1,200.00
Schools
2,000.00
Library
75.00
Cemetery
870.00
Interest
2,770.00
Unclassified
600.00 $ 76,643.48
Refund, 1945 Motor Vehicle Excise Tax
6.44
Balance, to Revenue Account
9,500.45
$ 86,150.37
Cr.
Amounts Actually Received :
Income Tax
$ 27,509.00
Corporation Taxes
8,157.81
Reimbursement of Taxes, State owned Land
17.80
Gasoline Tax (Chapter 569, 1943)
6,336.40
Motor Vehicle and Trailer Excise Taxes.
3,772.93
Licenses and Permits
4,707.50
Court Fines
105.00
General Government:
Treasurer:
Tax Title Deeds of Release $ 48.00
Refunds, Land Court Fees
101.78
Refunds, Postage
42.08
$ 191.86
Tax Collector:
Tax Collection Costs 57.40
Town Clerk:
Sale Printed Records
1.00 $ 250.26
Protection of Persons and Property :
Police Department :
Damage, Police Station $ 15.00
Bicycle Registration Plates
36.75
Accident Report
2.00
Miscellaneous
.53 $ 54.28
Ambulance:
$ 223.00 Hire
Fire Department:
Reimbursement, account
Rail-
road Fire
29.25
118
Inspection of Buildings:
Fees
53.00
Sealing of Weights and Measures:
Fees
50.48 $
410.01
Highways:
Snow Removal, Private parties ....
$ 37.50
Snow Removal, State
302.50
Gravel
7.00
Junk
15.00
Return Insurance Premium
10.33 $
372.33
Charities:
Board of Public Welfare:
State $ 437.35
Other Cities and Towns 540.65
Reimbursement, from Individuals
338.50 $ 1,316.50
Aid to Dependent Children :
State
$ 2,007.29
Old Age Assistance:
State
$ 20,439.02
State, Meal Tax
1,190.02
Other Cities and Towns
993.90 $ 22,622.94 $ 25,946.73
Soldiers' Benefits:
State Aid:
State $ 450.00
Military Aid :
State $ 327.50
War Allowance :
State $ 870.16 $ 1,647.66
Educational:
Schools:
Dog Licenses, County $ 820.38
Tuition and transportation, Cities and Town 1,925.33
Supplies sold
1.50
Telephone tolls
1.15
Lost Books
1.38 $ 2,759.64
Vocational Training:
State
$
359.34 $ 3,118.98
119
Library :
Fines, etc.
$ 68.62
Cemetery :
Burial Expenses
$ 570.00
Foundations
76.35
Sale of Wood
52.00
Markers
15.00 $
713.35
Interest:
On Taxes
$ 1,825.37
On Motor Vehicle and Trailer
Excise Taxes
$ 14.45
On Redeemed Tax Titles
797.79
On U. S. Bonds
207.65 $ 2,845.26
Unclassified :
Account Dogs, County ....
$ 161.00
Civilian Defense: Refund, account telephones
9.73
........
Revenue Account
Dr.
Appropriations, for Town Purposes
$281,681.63
State Tax
4,760.00
State Parks and Reservations
180.37
County Tax
5,914.32
Middlesex County Tuberculosis Hospital Assessment
896.39
Overlay, 1945
3,578.71
Balance, to Excess and Deficiency Account
20,738.52
$317,749.94
Cr.
Cemetery Reserve Fund (Account Cemetery)
$ 1,500.00
Water Revenue ( Account Maturing Debt)
5,000.00
Water Revenue (Account Interest)
6,750.25
Excess and Deficiency Account (Account U. S. Bonds)
10,000.00
Excess and Deficiency Account (Account Auburn Ave. etc.
2,950.00
Road Machinery Fund (Account Sand Spreader)
185.00
Hospital or Home Care, Veterans
248.00
Estimated Receipts
76,643.48
Taxes Committed to Collector
193,833.84
Unexpended Departmental Balances
11,138.92
Estimated Receipts (Excess)
9,500.45
$317,749.94
120
Excess and Deficiency Account Dr.
State Adjustments
$ 250.88
To Revenue Account, Account U. S. Bonds
10,000.00
To Revenue Account, Account Auburn Ave., etc. 2,950.00
To Tax Title Revenue, 1943 Taxes
558.65
To Tax Title Revenue, 1944 Taxes
712.61
To Tax Title Revenue, 1945 Taxes.
3,083.64
Balance, to 1946
79,788.15
$ 97,343.93
Cr.
Balance from 1944
$ 73,039.61
State Adjustments
55.66
Tax Title Redemptions
3,510.14
Revenue Account, Balance
20,738.52
$ 97,343.93
STATEMENT OF TOWN DEBT
Temporary Loans Anticipation of Revenue
Outstanding January 1, 1945:
Note No. 336
$ 25,000.00
Note No. 338
5,000.00 $ 30,000.00
Borrowed during 1945:
Note No. 339
$ 25,000.00
Note No. 340
15,000.00
Note No. 341
20,000.00 $ 60,000.00
$ 90,000.00
Paid during 1945:
Note No. 336
$ 25,000.00
Note No. 338
5,000.00 $ 30,000.00
Outstanding December 31, 1945
$ 60,000.00
Highway Loans (Account Chapter 90, Maintenance)
Outstanding January 1, 1945:
Note No. 337
$ 2,000.00
Borrowed During 1945:
Note No. 342
$ 1,800.00
$ 3,800.00
121
Paid during 1945: Note No. 337
$
2,000.00
Outstanding December 31, 1945
$ 1,800.00
Municipal Relief Loans
Outstanding January 1, 1945.
$ 2,000.00
Paid during 1945; Note No. 305 $ 2,000.00
School Department Loans
Outstanding January 1, 1945:
Buzzell School Loan (Issue of 1935)
$ 2,000.00
Silver Lake School Loan (Issue of 1939)
4,000.00 $ 6,000.00
Paid during 1945:
Notes Nos. 167, 168, Buzzell School $ 2,000.00
Note No. 266 Silver Lake School
1,000.00 $ 3,000.00
Outstanding December 31, 1945 $ 3,000.00
Water Department Bonds
Outstanding January 1, 1945
$175,000.00
Paid during 1945
12,500.00
Outstanding December 31, 1945
$162,500.00
Water Department Notes
Outstanding January 1, 1945
$ 1,400.00
Paid during 1945; Note No. 193
$ 1,400.00
Summary of Town Debt
Temporary Loans (Revenue)
$ 60,000.00
Temporary Loan (Highways)
1,800.00
School Department Loans
3,000.00
Water Department Bonds
162,500.00
Outstanding December 31, 1945
$227,300.00
Outstanding December 31, 1944
$218,400.00
Increase
$ 8,900.00
122
BALANCE SHEET, DECEMBER 31, 1945
Dr.
Cr.
Cash in Treasury
$107,132.20
Temporary oans (Anticipation of Revenue) $ 60,000.00 Temporary Loan (Highways) 1,800.00
Uncollected Taxes :
1943
$ 43.54
1944
14,427.59
1945
38,704.70
53,175.83
Aid to Dependent Children, U.S. Aid. 641.70
Old Age Assistance, U.S. Adm 216.93
Old Age Assistance, U.S. Assistance 706.29
Development of Roman Property
237.50
1943
$ 84.33
Vocational Training (1932-1936)
695.24
1944
117.49
Highway Machinery Fund.
661.55
1945
255.88
457.70
Motor Vehicle and Trailer Excise Taxes -Revenue 457.70
Water Revenue Account (Deficit)
3,132.47
Surplus War Bonus Funds
1,475.83
Cemetery (Due from Trust Funds)
14.29
State Highway Damages
84.00
Interest (Overdraft)
112.88
Shawsheen Av-Lake St. Water Mains.
500.00
Trust Funds-1945 Income Account.
150.00
Cemetery Reserve Fund
3,041.00
Trust Funds-1939 Income Account.
3.10
1942 Overlay
1,099.06
1933 Overlay
8.58
1943 Overlay
4,076.51
1937 Overlay
102.71
1944 Overlay
3,518.55
1938 Overlay
155.87
1945 Overlay
1,911.96
1939 Overlay
492.13
Tailings Account
495.34
1940 Overlay
198.06
Tax Titles-Revenue
22,974.52
Tax Possessions-Revenue
923.91
Tax Refunds-Payable
4.00
1941 Overlay
98.21
Tax Titles
22,974.52
Street Lights 644.20
Aid to Dependent Children, U.S. Adm .. 58.54
Uncollected Motor Vehicle and
Trailer Excises taxes :
Tax Possessions Authorized Loans
923.91
Sale of Real Estate
3,010.00
Loans Authorized, Unissued
2,000.00
Dog Licenses (Due County)
41.65
Estate of Thomas Leonard
40.00
State Parks and Reservations.
44.87
Excess and Deficiency.
79,788.15
$191,149.00
$191,149.00
Water Department Bonds
$162,500.00
Net, Funded or Fixed Debt.
$165,500.00
School Department Notes
3,000.00
$165,500.00
$165,500.00
TRUST ACCOUNTS
Trust Funds, Cash and Securities $ 44,681.52
Sears Cook Walker School Fund
$ 326.59
S. D. J. Carter Lecture Fund
6,783.53
Chester W. Clark Library Fund ..
721.71
Burnap Library Fund
291.08
Benjamin Buck Library Fund 665.15
Charlotte C. Smith Library Fund.
703.74
Sabra Carter Common Fund
200.00
Cemetery Perpetual Care Funds ..
9,830.27
Lizzie T. B. Sweatt Cemetery Fund.
5,159.45
U. S. Government Bonds ..
20,000.00
$ 44,681.52
$ 44,681.52 HARRY R. DEMING, Town Accountant.
2,000.00
State Parks and Reservations
16.54
COLLECTOR'S REPORT 1945
Collected
Abated
Tax Titles 3,083.64
Balance $ 38,704.70
Interest
Cost
1945 Taxes (Commitment)
Additional
$193,734.69 $150,489.00 99.15
$ 104.82
$40.25
$193,833.84
1945 Excise
3,949.71
3,687.83
6.00
255.88
6.42
1944 Balance
43,429.30
28,009.37
224.30
712.61
14,483.02
688.44
12.95
1944 Excise Balance
174.59
57.10
117.49
5.23
1943 Balance
15,110.60
13,900.84
595.93
558.65
55.18
1,032.06
20.30
1943 Excise Balance
104.33
22.00
82.33
2.62
$ 1,556.50
$
GEORGE W. BUCK, Collector of Taxes, Town of Wilmington.
TREASURER'S REPORT-1945
-
Cash in Treasury
$ 64,286.74
Income Tax'
27,509.00
Business Corporation Tax
8,157.81
Meal Tax
1,190.02
Re-imbursement Cities and Towns loss of taxes 17.80
Pay Roll deduction Withholding Tax
12,922.76
HIGHWAYS
Chapter 90 Maintenance
Note No. 342
1,800.00
State
1,757.67
County
1,757.67
Snow Removal
362.00
Distribution of Highway Fund
6,336.40
BOARD OF PUBLIC WELFARE
Refunds Cities and Towns
703.01
Refunds Individuals
338.50
Support of Indigent Persons
16.00
Old Age Assistance
Refunds Cities and Towns.
831.54
Refunds Individuals
222.20
U. S. Grant
19,789.43
State Treasurer
20,439.02
Refund postage
38.98
Aid to Dependent Children
U. S. Grant
1,911.66
State Treasurer
2,007.29
Refund postage
3.10
Temporary Aid and Transportation
421.35
Veterans' Aid and Pensions
1,647.66
PUBLIC HEALTH
377.50
POLICE
Ambulance Cases
223.00
Refunds
.53
Bicycle Licenses
36.75
Refund damage to Station
15.00
Copy of Accident Report
2.00
EDUCATION
Tuition and Transportation (City of Boston) $ 1,935.23 Tuition and Transportation (State) 128.35
126
Vocational Education (State)
230.99
Schools, Petty Cash Refunds
4.03
Refund on Books Purchased
70.19
MISCELLANEOUS INCOME
Tax Title Redemption and Sales
3,551.47
Tax Title Interest
797.79
Instruments of Redemption
48.00
Foreclosure Sale-Selectmen
3,010.00
Sealer of Weights and Measures
· 50.48
Land Court-Return of Deposits
44.00
Dog Licenses from Town Clerk
1,095.65
Return of Dog Licenses-County Treasurer
820.38 .
Sale of Dogs
9.00
Dog Damage-County Treasurer
152.00
Licenses
4,707.50
Cemetery
2,154.35
Library
68.62
Building Inspection
53.00
Insurance Return Premium Account
10.33
Fines Fourth District Court
105.00
Water Revenue
23,907.87
Interest on Bonds-U. S. Government.
207.65
Income from Trust Funds
139.98
Notes in Anticipation of Revenue
60,000.00
Births, Marriages and Deaths-Sale of Book.
1.00
Civilian Defense-U. S. Army.
9.73
Boston and Maine Railroad-Refund Fire Department ..
29.25
Outstanding Checks (Tailing Account)
142.35
Collector-State Audit Adjustment
10.44
COLLECTOR OF TAXES
Taxes
196,261.84
Interest
1,851.14
$476,730.00
PAYMENTS
TREASURY WARRANTS
369,597.80
CASH IN TREASURY
$107,132.20
ALFRED S. ALLEN,
Treasurer.
127
WARRANT FOR ANNUAL TOWN MEETING
To Harry J. Ainsworth, a Constable of the Town of Wil- mington :
GREETINGS :- In the name of the Commonwealth of Massachusetts and in the manner prescribed in the By-Laws of said Town, you are hereby directed to notify and warn the inhabitants of the Town qualified by law to vote in Town affairs to meet and assemble at the TOWN HALL on Mon- day the fourth day of March next at 9:45 o'clock in the fore- noon, the polls to be opened at 10:00 A. M. and shall be closed at 8:00 P. M. for the election of Town Officers.
Article 1. To bring in your votes on one ballot respect- ively for the following named Town Officers, to wit: One Selectman, who shall also act as a member of the Board of Survey for the term of three years; one Assessor for the term of three years, one Assessor for the term of two years, one Assessor for the term of one year; a Town Clerk for the term of one year ; a Town Treasurer for the term of one year ; a Collector of Taxes for the term of one year; a Constable for the term of one year; one member of the Board of Public Welfare for the term of three years; two members of the School Committee for the term of three years; two Trustees of the Public Library for the term of three years ; one member of the S. D. J. Carter Lecture Committee for the term of five years; one Water Commissioner for the term of three years ; one member of the Planning Board for the term of three years ; one Tree Warden for the term of one year ; one Trustee of Trust Funds for the term of three years; one Moderator for the term of one year.
You are also hereby further required and directed to notify and warn the said inhabitants of the Town of Wil- mington, who are qualified to vote on elections and town affairs therein, to assemble subsequently and meet in Town Meeting at the Grange Hall, Wildwood Street, in said Town of Wilmington on Monday, the eleventh day of March, A. D. 1946 at eight o'clock P. M., then and there to act on the fol- lowing Articles :
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