Town of Wilmington Annual Report 1947-1948, Part 6

Author: Wilmington (Mass.)
Publication date: 1947
Publisher: Town of Wilmington
Number of Pages: 374


USA > Massachusetts > Middlesex County > Wilmington > Town of Wilmington Annual Report 1947-1948 > Part 6


Note: The text from this book was generated using artificial intelligence so there may be some errors. The full pages can be found on Archive.org (link on the Part 1 page).


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$


2,500.00


From Cemetery Reserve Fund ..


1,500.00


$ 4,000.00


Transferred from Cemetery Re-


serve Fund 600.00


Balance (due from Trust Funds


Income) to 194S


1,008.42


$


5,608.42


. .


Payments


Wages $ 4,133.70


Light and Fuel 72.80


Postage, printing and stationery 52.25


Supplies 34.35


Water 18.00


Compensation Insurance


45.37


Equipment repairs and replacements


501.15


Loam and rock


94.00


Seeds, shrubs and fertilizer


150.80


Grave Liners


501.40


Miscellaneous


4.60 $ 5,608.42


Cemetery (1946 Account)


Dr.


Balance from 1946


$


203.51


Cr.


Received Income from Trust Funds


$


203.51


95


Cemetery Reserve Fund Dr.


Appropriated for Cemetery (Annual Meeting)


$


1,500.00


Transferred to Cemetery 600.00


$


2,100.00


Balance, to 1948


2,144.00 $ 4,244.00


Cr.


Balance from 1946


$ 2,675.00


Sale of Lots and Graves 1,559.00


State Audit Adjustment 10.00 $ 4,244.00


Interest


Appropriation, From Taxes


$


242.50


From Water Revenue


6,656.25


$


6,898.75


Overdraft, to 1948


76.62 6,975.37


Payments


On Water Department Bonds


$


5,750.00


On Water Department Notes 906.25


On School Department Notes 22.50


On Highway Department Notes 93.71


On Temporary Loans


202.91 6,975.37


Maturing Debt


Appropriation, From Taxes


$


7,965.25


From Premium on Water Extension Notes


534.75


From Water Revenue 10,000.00 $ 18.500.00


Payments


Water Bonds


$ 12,500.00


School Department Note No. 269 1,000.00


Water Department Notes (1946 issue )


Nos. 345, 346, 347, 348, 349


5,000.00 $ 18,500.00


Reserve Fund


Appropriated (From Overlay Surplus Reserve) $ 5,000.00 Transferred from Overlay Surplus Reserve ... ...


1,827.60 Transferred from Post War Rehabilitation Fund 1,252.96


Transferred from State Highway Damages 84.00 $ 8,164.56


Transfers


To Treasurer, Expense Account $ 970.00


To Election


S1.88


To Police Department, Salaries and Wages 765.90


To Fire Department, Salaries and Wages 2,787.26


To Fire Department, Expense Acc. 778.68


To Aid to Dependent Children 1,400.00


To Unclassified 1,278.90


$ 8,162.62


Unexpended Balance, to Revenue Acc.


1.94 $


8,164.56


OVERLAYS


1933 Overlay


Dr.


Balance from 1946 $ 8.58


Cr.


Levied by Assessors


$ 8.5S


1937 Overlay


Dr.


Balance from 1946 $ 102.71


Cr.


Levied by Assessors $ 102.71


1938 Overlay Dr.


Balance from 1946


$ 155.87


Levied by Assessors


$ 155.87


1939 Overlay


Dr.


Balance from 1946


192.13


Levied by Assessors


192.13


1940 Overlay


Dr.


Balance from 1946 $ 198.06


Cr.


$ 198.06


Levied by Assessors


('r.


('r.


97


1941 Overlay


Dr.


Balance from 1946 $ 98.21


Cr.


Levied by Assessors $ 98.21


1942 Overlay Dr.


Transferred to Overlay Reserve Surplus $ 1.099.06


Cr.


Balance from 1946 $ 1,099.06


1943 Overlay


DI.


-


Transferred to Overlay Reserve Surplus $ 4,028.79


Balance to 1948 47.72


$ 4,076.51


Cr.


Balance from 1946 $ 4,076.51


1944 Overlay


Dr.


Tax Abatements $ 184.30


Transferred to Overlay Reserve Surplus


1,699.75


Balance to 1948


1,562.05 $ 3,446.10


Cr.


Balance from 1946 $ 3,446.10


1945 Overlay


Dr.


Tax Abatements


$ 235.00


Balance to 194S 1,545.33 $ 1,780.33


Cr.


State Audit Adjustments $ 114.45


Balance from 1946 1,665.88 $ 1,780.33


98


1945 Overlay Dr.


Tax Abatements $ 8.476.46 8,773.66 $ 17,250.12


Balance to 1948


.


Cr.


Balance from 1946 $ 16,858.08


State Audit Adjustments 392.04 $ 17,250.12


1947 Overlay


Dr.


Tax Abatements $ 7.464.98


Balance to 1948 1,144.11 $ 8,609.09


C'r.


Levied by Assessors $ S.609.09


Overlay Reserve - Surplus


Dr.


Appropriated for Reserve Fund


(Annual Meeting) $ 5.000.00


Appropriated for Reserve Fund ( Special Meeting)


1.827.60 6,827.60


C'r.


Balance, 1942 Overlay transferred $ 31.15


Balance. 1943 Overlay transferred 4.028.79


Balance, 1944 Overlay transferred


1.699.75


Balance. 1942 Overlay transferred (additional)


1.067.91 $ 6,827.60


Blue Cross Shield Account


Dr.


Paid Massachusetts Hospital Service, Inc. $ 1,065.95


('r.


Deductions from Pay Rolls ..... $ 1,065.95


United States Withholding Tax


Dr.


Paid Depositary


$ 16,295.57


Cr.


Deductions from Pay Rolls


$ 16,295.57


99


Middlesex County Retirement Fund Dr.


Paid Middlesex County Retirement Board .....


$ 1,463.84


Cr.


Deductions from Pay Rolls $ 1,463.84


Dog Licenses - County


Dr.


Paid County Treasurer $ 775.60


Balance to 1948 32.65 $ 808.25


Cr.


Balance from 1946 $ 23.65


Received from Licenses


778.60


Received from sale of dogs


6.00


SOS.25


Teachers' Retirement Fund - Refund


Dr.


Paid, refund $ 45.81


Cr.


Received from State $ 45.81


TRUST FUNDS


New Trust Funds - 1947


Received for Perpetual Care of Cemetery Lots


$


400.00


Payments


To Trustees of Trust Funds


100.00


Trust Funds - Income Account 1947


Balance to 1948 ( Due from Trustees)


180.00


Payments


To S. D. J. Carter Lecture Committee


....


$


180.00


Trust Funds - Income Account 1946


Cr.


Received from Trustees of Trust Funds $ 150.00


Dr.


Balance from 1946


$


150.00


100


.....


Tax Titles Dr.


Balance from 1946


$ 19,191.98


State Audit Adjustment of List


1.75


1944 Taxes


283.50


1945 Taxes


621.39


1946 Taxes


3,657.07


1947 Taxes


2.976.80


Abatement Adjustment


3.00


Costs and Interest


917.55 $ 27,653.04


Cr.


State Audit Tax Adjustments .


$ 240.74


Tax Title Abatements


1.027.60


Tax Title Redemptions


4,941.47


Balance to 1948


21.443.23 $ 27.653.04


Tax Titles - Revenue


Dr.


Excess and Deficiency, State Audit Adjustments $


240.74


Redemptions, Tax Titles


4,941.47


Abatements, Tax Titles


1,027.60


Balance to 1948


$ 21,443.23 $ 27,653.04


Cr.


Balance from 1946


$ 19.191.98


Excess and Deficiency, State Audit Adjustments


996.99


Costs and Interest


922.30


1945 Taxes


192.99


1946 Taxes


3,447.98


1947 Taxes


2,900.80 $ 27,653.04


Tax Possessions


Dr.


Balance from 1946 $ 923.91


Cr.


Received from sale of Real Estate $ 839.19


Balance to 1948 84.72 $ 923.91


101


Tax Possessions - Revenue Dr.


Tax Title charges and Taxes


$


839.19


Balance to 1948 84.72 $ 923.91


Cr.


Balance from 1946


$


923.91


State Parks and Reservations - 1946


Dr.


Balance from 1946 (underestimate) $ 112.89


Cr.


Levied by Assessors


$


112.89


County Tax - 1947 Dr.


--- --


Paid County Treasurer


$


6,955.81


Balance to 1948


1,066.79 $


8,022.60


Cr.


Levied by Assessors


$


8,022.60


County Tax - 1946 Dr


Balance from 1946 (underestimate)


$


88.56


Cr.


Levied by Assessors


$


88.56


Commonwealth of Massachusetts Account Highways - 1946 Dr.


Balance from 1946


$


3,175.21


Cr.


Received from State Treasurer, account


Chapter 90, Construction


$


2,698.31


Adjustment of allotment


476.90 $


3,175.21


Commonwealth of Massachusetts Account Highways - 1947 Dr.


Allotment, account Chapter 90, Maintenance ...


$


1,500.00


Allotment, account Chapter 90, Construction


...


15,000.00 $ 16,500.00


102


.. .... . . . ..


Cr.


Received from State Treasurer $ 11,800.94 Adjustment Chapter 90, Maintenance, Allotment .06 Balance to 194S


4,699.00 $ 16,500.00


County of Middlesex Account Highways 1946


Dr.


Balance from 1946 $ 2.540.17


Cr.


Received from County Treasurer $ 2,158.64


Adjustment of Allotment 381.53 $ 2,540.17


County of Middlesex Account Highways 1947


Dr.


Allotment, account Chapter 90, Maintenance $ 1,500.00


Allotment, account Chapter 90, Construction 12,000.00 $ 13,500.00


Cr.


Received from County Treasurer $ 9,440.75


Adjustment, Chapter 90, Maintenance Allotment .06


Balance to 194S 4,059.19 $ 13,500.00


Tailings Account


Dr.


Transferred to Excess and Deficiency $ 495.34


Balance to 1948 45.51 $ 540.85


Cr.


Balance from 1946 $ 495.34


Outstanding checks, July 1947


45.51 $ 540.85


Sale of Real Estate


Dr.


Appropriated for New Water Mains $ 1,625.00


Tax Possession charges on property 839.19


Balance to 1948


545.81 $ 3,010.00


Cr.


Balance from 1946


$


3,010.00


103


U. S. Government Bonds - Premium Dr.


Transferred to Post War Rehabilitation Fund $ 893.76


Cr.


Balance from 1946 $ 893.76


Premium on Water Extension Notes


Dr.


Appropriated for Maturing Debt $ 534.75


Cr.


Balance from 1946 $ 534.75


Post War Rehabilitation Fund Dr.


Appropriated for Reserve Fund


$


1,252.96


Cr.


1945 Interest on U. S. Bonds (from E & D) $ 207.65


1946 Interest on U. S. Bonds (from E & D) 151.55


Premium on U. S. Bonds, transferred 893.76 $ 1,252.96


State Tax Dr.


Paid State Treasurer, 1947 Tax


$


3,350.00


Cr.


Levied by Assessors $ 3,350.00


State Parks and Reservations - 1947


Dr.


Paid State Treasurer $ 219.82


Balance to 1948 81.22 $ 301.04


Cr.


Levied by Assessors


$


301.04


State Highway Damages


Balance from 1946 $ $4.00


Transferred to Reserve Fund $ 84.00


Tax Refund - Payable Dr.


Transferred to Excess and Deficiency $ 4.00


Cr.


Balance from 1946 $ 4.00


104


-


Estate of Thomas Leonard Dr.


Transferred to Excess and Deficiency Account $ 40.00


Cr.


Balance from 1946 $ 40.00


Auditing Municipal Accounts


Dr.


Paid State Treasurer $ .. 1,140.63


Cr.


Levied by Assessors


$ 1,140.63


Old Age Assistance - Reimbursement Account


Dr.


Balance to 1948


$ 193.15


Cr.


Cash received by Court Order $ 193.15


ESTIMATED RECEIPTS


Dr.


Amounts Estimated by Assessors:


Income Tax


$ 31.998.50


Corporation Tax


8,093.36


Reimbursement, Loss of Taxes


19.91


Gas Tax (Chap. 588, 1946)


4,959.55


Motor Vehicle and Trailer Excise Taxes


6,000.00


Licenses


5,000.00


Fines


70.00


General Government


380.00


Protection of Persons and Property


700.00


Highways


600.00


Charities


3,700.00


Old Age Assistance


8,733.00


Old Age Assistance, Meal Tax


1,325.00


Veterans' Benefits


1,400.00


Schools


5,300.00


Library


80.00


Cemetery


600.00


Interest


2,800.00


Unclassified


500.00 $ 82,259.32


105


Refund of Motor Vehicle and Trailer Excises


134.15


Refund Tax Collection Costs 1.05


$ 82,394.52


Balance (Excess of Receipts over Estimates) 23,764.11


$106,158.63


Cr.


Amounts Actually Received :


Income Tax $ 35,939.69


Corporation Tax 8,037.28


Reimbursement, Loss of Taxes 18.12


Gasoline Tax, State 4,959.55


Motor Vehicle and Trailer and Excise Taxes 10,048.96


Licenses and Permits 4,145.50


Court Fines


10.00


General Government:


Treasurer: Deeds Tax Title


Release $ 63.00


Land Court Fees 8.87


Tax Lien Certificates 2.00


Postage refund


26.04


Tax Collector: Collection Costs


411.95


Town Clerk: Recording fees, certificates, etc.


764.78


Sale of Printed Records


1.00 $ 1,277.64


Protection of Persons and property :


Police Department:


Bicycle Registrations $ 27.25


Ambulance: Hire 68.50


Fire Dept .: Sale of Tires 8.00


Railroad fires


39.75


Building Inspection: Fees.


660.00


Sealing of Weights & Meas-


ures: Fees 44.80 $ 848.30


Highways:


Snow Removal, State $ 175.75


Damage to truck 10.50


Refund Insurance 67.27 $ 253.52


106


Charities:


Board of Public Welfare:


State


$


2,272.69


Cities and Towns 650.81 Reimbursements, Individ .. 421.80 $ 3,345.30


Aid to Dependent Children: State


$


3.462.87


Old Age Assistance:


State


$ 22,093.72


State, Meal Tax 1,529.91


Cities and Towns 813.05 $ 24,436.68


Veterans' Benefits: State


$


585.00


Schools:


State, Tuition & transportation $ 1,335.20


County, Dog Licenses 765.35


Cities and Towns, Tuition and transportation 131.60


Telephone tolls


3.85


Lost books


3.08 $ 2,239.08


Vocational Training: State $ 873.87


Library: fines


61.34


Cemetery :


Burial expenses $ 696.00


Foundations 74.00


Sunken Graves


162.50


Grave Liners 409.00


Markers


10.00


Sale Lawn Mower


11.25


Wood Sold


5.00


Resodding Lot


5.00 $ 1,372.75


Interest :


On Taxes


$


1.852.19


On Motor Vehicle Excise Taxes .. 41.28


On Redeemed Tax Titles 1,304.53


On Water Extension Notes (accrued) 5.00 $ 3,203.00


Unclassified :


Dog Damage, County


$


948.00


Refund Dog Quarantine


14.00


107


Return Insurance Premium


17.83


Unidentified receipt .12


Premium on Water Notes


30.00


Audit adjustment, interest and costs


30.23 $ 1,040.18 $106,158.63


Revenue Account


Dr.


Appropriations, for Town purposes $318,803.92


State Tax


3,350.00


State Parks and Reservations 1947


301.04


State Parks and Reservations, Balance 1946


112.89


State Audit of Municipal Accounts


1,140.63


County Tax


8,022.60


County Tax, Balance 1946


88.56


Middlesex County Tuberculosis Hospital Tax


1,812.91


1933 Overlay Deficit


8.58


1937 Overlay Deficit


102.71


1938 Overlay Deficit


155.87


1939 Overlay Deficit


492.13


1940 Overlay Deficit


198.06


1941 Overlay Deficit


98.21


Overlay


8,609.09


$343,297.20


Balance (Excess Revenue) to Excess and Deficiency Acc. 31,339.52


Cr.


Estimated Receipts


$ 82,259.32


Taxes Committed to Collector


263,713.88


Unexpended Departmental Balances


4,899.41


Estimated Receipts (Excess)


23,764.11


$374,636.72


Excess and Deficiency Account Dr.


Appropriation, Water Mains, West Street $ 6,475.00


Appropriation, Water Mains, Hopkins Street. 9,300.00


Appropriation, Water Mains, Main Street. 8,000.00


Appropriation, Water Mains, McDonald Road.


6,750.00


Transferred to Aid to Dependent Children


2,000.00


Transferred to Old Age Assistance


1,000.00


State Audit Adjustments


1,320.87


108


$374,636.72


1944 Motor Vehicle Excise Tax, Adjustment ... 5.56


1945 Taxes-Tax Titles


192.99


1946 Taxes-Tax Titles


3.447.98


1947 Taxes-Tax Titles


2,976.80


$ 41.469.20


Balance (Surplus) to 1948


82,967.64 $124,436.84


Cr.


Balance from 1946


$ $6.441.46


Tax Possessions sold


$39.19


Tax Title Redemptions


4,934.40


Tax Disclaimer


24.41


State Audit Adjustments


$57.86


Revenue Account ( Excess for 1947)


31.339.52 $124.436.84


STATEMENT OF TOWN DEBT


Temporary Loans Anticipation of Revenue


Borrowed during 1947:


Note No. 422


$ 50,000.00


Note No. 423


25,000.00 $ 75,000.00


Paid during 1947:


Note No. 422


$ 50,000.00


Note No. 423


25,000.00 $ 75,000.00


Highway Loans (Account Chapter 90, Maintenance and Construction )


Outstanding Jannary 1. 1947:


Note No. 120


2.000.00


Note No. 121


27,000.00 $ 29,000.00


Borrowed during 1947:


Note No. 424


$ 23,000.00


Note No. 125


3,000.00 $ 26,000.00


55,000.00


Paid during 1947:


Note No. 420


$


2,000.00


Note No. 421 ·


27.000.00 $ 29,000.00


Outstanding December 31, 1947 $ 26,000.00


109


School Department Loans (Issue of 1939)


Outstanding January 1, 1947 $ 2,000.00


Paid during 1947, Note No. 269


1,000.00


Outstanding December 31, 1947


$ 1,000.00


Water Department Bonds (Issue of 1928)


Outstanding January 1, 1947 $150,000.00


Paid during 1947 12,500.00


Outstanding December 31, 1947 $137,500.00


Water Mains Extension Notes (Issue of 1946)


Outstanding January 1, 1947 $ 75,000.00


Paid during 1947, Notes Nos. 345, 346, 347, 348, 349 5,000.00


Outstanding December 31, 1947 ......


$ 70,000.00


Water Mains Extension Notes


Borrowed during 1947 $ 20,000.00


Outstanding December 31, 1947 $ 20,000.00


Summary of Town Debt


Temporary Loans ( Anticipation of Revenue None


Temporary Loans ( Highways) $ 26,000.00


School Department Loans 1.000.00


Water Department Bonds 137.500.00


Water Department. Notes (Issue of 1946) 70.000.00


Water Department Notes ( Issue of 1947)


20,000.00


Outstanding December 31, 1947 $254.500.00


Outstanding December 31, 1946 $256,000.00 Decrease $ 1,500.00


110


BALANCE SHEET - DECEMBER 31, 1947


Dr.


Cr.


Cash in Treasury


$100,602.27


Temporary Loans ( Highways)


$ 26,000.00


Fire Alarm Equipment


357.96


Middlesex Tuberculosis Hospital


293.36


Chapter 90, Construction, 1947


5,778.23


1934


5.24


Highway Machinery Fund


661.55


1935


5.46


Street Lights


629.60


1941


5.97


Aid. Dependent Children, U. S. Adm.


463.95


1943


42.65


Aid, Dependent Children, U. S. Aid


415.53


1944


123.25


Old Age Assistance, U. S. Adm.


72.10


1945


553.19


Old Age AAssistance, U. S. Assist.


183.65


1946


16.939.77


Vocational Training


695.24


1947


51.312.61 $ 69.295.91


Development. Roman Property


121.00


Surplus War Bonus Funds


1,475.83


Water Mains Extension (1946)


11,433.31


Water Mains, Harris Street


2,187.50


Water Mains, Miller Road


1,750.00


Water Mains, Central Street


450.00


Water Mains, Edwards Road 363.80


Water Mains, West Street


6,475.00


Water Mains, Hopkins Street


9,300.00


Water Mains, Main Street


6,099.20


Water Mains, McDonald Road


6,750.00


Water Revenue (Deficit ) ...


3,059.32


Cemetery (Due from Trust Funds) 1,008.42


Water Mains. Swain Road. West ..


$74.28


....


Uncollected Motor Vehicle and


Trailer Excise Taxes:


1943


72.34


1944


54.29


1945


113.47


1946


708.35


1947


1.348.77 $


2,297.25


Uncollected Taxes :


1932


2.59


1933


5.15


..


76.62


Motor Vehicle and Trailer Tax-Revenue ....


2,297.25


Trust Funds


Cemetery Reserve Fund


2,144.00


Tailings Account


45.51


Commonwealth of Massachusetts (Account Highways)


4,699.00


Sale of Real Estate


545.81


County of Middlesex


Tax Titles-Revenue


21,443.23


(Account Highways)


4,059.19


Tax Possessions-Revenue


84.72


Tax Titles


21,443.23


1943 Overlay


47.72


Tax Possessions


84.72


1944 Overlay


1,562.05


1945


Overlay


1,545.33


1946 Overlay


8,773.66


1947 Overlay


1,144.11


Dog Licenses-County


32.65


State Parks and Reservations


81.22


County Tax


1,066.79


Old Age Reimbursement Account


193.15


Excess and Deficiency


82,967.64


$206,805.93


$206,805.93


Net. Funded or Fixed Debt .. $228,500.00


Water Department Bonds (1928 issue) ...... $137,500.00


Water Mains Extension Notes (1946 issue)


70,000.00


Water Mains Extension Notes (1947 issue)


20,000.00


School Department Note (1939 issue) ..


1,000.00


$228,500.00


$228,500.00


.......


Interest (Overdraft )


180.00


TRUST ACCOUNTS


Trust Funds. Cash and Securities ... $ 25.521.89


S. D. J. Carter Lecture Fund $ 6,730.05


Sears Cook Walker, School Fund 336.49


Chester W. Clark Library Fund 743.60


Burnap Library Fund 302.87


Benjamin Buck Library Fund


692.14


Charlotte C. Smith Library Fund


725.0S


Sabra Carter Common Fund


204.94


Lizzie T. B. Sweat Cemetery Fund


5.173.40


Cemetery Perpetual Care Funds


10,613.29


$ 25.521.89


$ 25,521.89


HARRY R. DEMING.


Town Accountant.


" .. .


REPORT OF TRUSTEES OF TRUST FUNDS, 1947


Interest


Bank


Book No.


S. D. J. Carter Lecture Fund


Woburn Mechanics


56672 11437


Amount $2,000.00 4,578.50


$101.52


183.97


$180.00


$6,578.50


$285.49


$180.00


$6,683.99


Library Funds


Chester W. Clark


Mechanics


17540


$500.00


$254.79


$754.79


Burnap


Andover


8512


200.00


108.94


308.94


Charlotte C. Smith


Mechanics


4215


500.00


236.00


736.00


Benjamin Buck


Andover


18341


500.00


206.05


706.05


Sears Cook Walker, School Fund


Mechanics


12819


257.00


84.55


341.55


Sabra Carter Common Fund


Andover


18349


200.00


9.04


209.04


Cemetery Funds


Lizzie T. B. Sweatt


Mechanics


24535


5,000.00


251.29


173.00


5,078.29


Isaac Cazneau


Andover


18985


100.00


28.72


20.00


108.72


Geo. W. and Minnie A. Sidelinker


.Andover


22450


200.00


42.88


30.00


212.88


Susan S. Carton


Andover


18345


75.00


20.67


10.00


85.67


Sabra Carter (Jaques Lot)


Andover


18347


200.00


55.46


30.00


225.46


William H. Carter


.Andover


24631


100.00


25.09


15.00


110.09


Dolly Harnden


.Andover


18342


100.00


19.51


12.00


107.51


Thomas P. Eames



Andover


18346


100.00


25.66


18.00


107.66


Accumu- lated


With- drawn


Balance on Deposit $2,101.52 4,582.47


Interest


Balance on


Bank


Book No.


Amount


drawn


Deposit


Sabra Carter


.. Andover


18348


100.00


34.12


25.00


109.12


Rich Carter


Andover


22451


100.00


19.73


12.00


107.73


James Frazer


„.Andover


18343


200.00


50.92


35.00


215.92


Martha Temple


.. Andover


18344


100.00


20.40


10.00


110.40


S. D. J. Carter


Andover


22579


200.00


$9.62


65.00


224.62


Thomas Day


Andover


31514


100.00


22.35


12.00


110.35


Almira J. Carley


Andover


32237


100.00


26.22


15.00


111.22


Jonathan Eames, 2nd


AAndover


35188


100.00


22.30


12.00


110.30


Abuer C. Childs


. Woburn


33384


100.00


19.29


10.00


109.29


Gilman C. Harnden


Woburn


32614


100.00


18.50


10.00


108.50


Laura Parker


. Woburn


32615


50.00


12.05


5.00


57.05


Sarah G. Sheldon


_Woburn


33814


200.00


79.44


50.00


229.44


Charlotte C. Smith


Mechanics


4214


50.00


11.43


5.00


56.43


Charles H. Hopkins


Mechanics


17526


200.00


60.92


45.00


215.92


Rufus C. Eames


Mechanics


17527


100.00


18.12


10.00


108.12


John Sheldon Sargent


Mechanics


17528


100.00


18.12


10.00


108.12


Isabelle Holt


Mechanics


17529


75.00


17.22


10.00


82.22


Henry Blanchard


Mechanics


17530


50.00


10.79


5.00


55.79


Nathan B. Eames


.Mechanics


6899


100.00


20.58


10.00


110.58


Lorenzo Meads


Mechanics


7176


100.00


20.31


10.00


110.31


George E. Swain


Mechanics


17531


100.00


17.17


10.00


107.17


Josiah Monroe (Care Elbridge H. Carter


and Walter Blanchard Lots


Mechanics


7559


100.00


19.99


10.00


109.99


Jacob H. Shedd


Mechanics


17532


100.00


18.55


10.00


108.55


George T. Eames


Mechanics


17533


200.00


45.81


25.00


220.81


Accumu- lated


With-


Interest


Balance on


Bank


Book No.


Amount


Accumu- lated


With- drawn


Deposit


Newman Parker, Jr.


Mechanics


17534


100.00


20.12


10.00


110.12


Irwin E. Morse


.Mechanics


8531


100.00


27.81


15.00


112.81


Sylvester and Lois Carter


Mechanics


8990


100.00


23.14


12.00


111.14


Capt. Geo. W. McIntosh


Mechanics


9662


200.00


59.65


35.00


224.65


Mary A. Gowing


Mechanics


10283


100.00


22.60


12.00


110.60


S. Lizzie Carter


Mechanics


10282


100.00


27.66


15.00


112.66


Julia M. Parker (Ward Parker Lot)


Mechanics


10641


100.00


22.61


12.00


110.61


Manuel and Elizabeth Dexter


Mechanics


10640


50.00


13.64


5.00


58.64


Jaques Gowing


.Mechanics


10639


100.00


22.40


12.00


110.40


Maud K. Tuttle, Lot 60B


Mechanics


10693


1 0.00


22.10


12.00


110.10


Benjamin T. Glover


Mechanics


10953


100.00


25.41


13.00


112.41


John W. Perry, Lot 222 D


Mechanics


10967


100.00


24.86


13.00


111.86


Mary E. Kelley, Lot 322 E


Mechanics


10958


100.00


21.84


10.00


111.84


Caleb S. Harriman, Lot 53


Mechanics


11642


100.00


24.43


10.00


114.43


John N. Eames, Lot 137


Mechanics


11643


100.00


24.95


13.00


111.95


Lemuel E. Eames


Mechanics


12493


100.00


25.4S


13.00


112.48


Sarah H. Jackson, Lot 497


Mechanics


12494


100.00


24.51


11.00


113.51


Henry G. Gowing, Lot 20


Mechanics


12495


150.00


29.48


15.00


164.48


Susan H. Hamlin, Lot 646 .1


Mechanics


12820


100.00


24.97


13.00


111.97


William H. McCabe, Lot 334


Mechanics


12821


100.00


28.40


15.00


113.40


Walter A. Hill, Lot 45S


Mechanics


13322


100.00


26.39


13.42


112.97


Rachel Clough, Lot 132


Mechanics


13323


100.00


26.39


126.39


Samuel Manning and Stephen Buck, Lot 73.


.Mechanics


13324


100.00


26.39


126.39


Clifford H. Wilson, Lot 54


Mechanics


13325


100.00


26.39


126.39


Edward B. Manning, Lots 196-203


Mechanics


13360


100.00


26.44


126.44


Interest


Balance on


Bank


Book No.


Amount


Accumu- lated


With- drawn


Deposit


Thomas J. Morley, Lot 81-F


Mechanics


17535


100.00


22.79


122.79


Sydney C. Buck. Lot 274 D


Mechanics


17536


100.00


21.76


121.76


John Simpson and Levi Swain, Lots 134-140 .....


Mechanics


17537


150.00


36.41


186.41


Mrs. W. T. Duffy, Lot 11, Sec. A


Mechanics


17535


100 00


21.42


121.42


Deacon Levi Parker. Lot 200. Old Cemetery


Mechanics


15602


100.00


23.40


123.40


Annie L. Priggen, Lot 75. Sec. F.


Mechanics


17539


100.00


20.69


120.69


Charles and Ella Blaisdell. Lot 80


Mechanics


17267


100.00


18.34


118.34


George Gowing, Lot 175, Sec. F


Mechanles


1726%


100.00


17.86


117.86


Mary C. Roman, Lot 501. Sec. F


Mechanics


1$151


100.00


17.57


117.57


Wilford Fletcher, Lot 537. Sec. B


Mechanics


18152


109.00


17.57


117.57


Milo Van Steensburg. Lot 93, Sec. E


Mechanics


18153


100.00


13.65


113.65


Sarah A. Call. Lot 295 D


Mechanics


18955


100 00


14.77


114.77


Eldridge Harnden


„Mechanics


19870


100,00


12.21


112.21


Pettengill-Glover Lot


Mechanics


19869


100 00


12 21


112.21


August G. Macleod


-Mechanics


20895


100.00


9.50


109.80


Mrs. Guy B. Cook, Lot 182


Mechanics


22004


150.00


11.74


161.74


Edward N. Eames. Lot 462 B


Mechanics


92951


100.00


6.27


106.27


Arthur O. Buck. Lot 642 B


Mechanics


22005


100.00


7.82


107.82


Mary F. Fitzgerald. Lots 110, 111


Mechanics


23337


100.00


5.89


105.89


Walter 1 .. Hale


MMechanics


23472


100.00


5.35


105.35


George L. Dillaway


Mechanics


24530


100.00


4.32


104.32


Jennie Brabant


Mechanics


24532


50.00


2.15


52.15


George H. Hatheway, Lot 118


Mechanics


25774


100.00


2.78


102.78


Alice Swanson, Lot 18S E


Mechanics


26573


50.00


1.14


51.14


D. M. Laffin. Lot 131, F


.Mechanics


26803


100.00


1.59


101.89


--


Interest


Balance on


Accumu- lated


With-


drawn


Deposit


Peter A. Donovan, Lot 1194 D


Mechanics


27167


100.00


1.50


101.50


Gertrude Amerault, Lot 128 F


Mechanics


27166


100.00


1.50


101.50


Cora E. Buck, Lot 641 B


Mechanics


27877


100.00


.75


100.75


Eugene Gallagher, Lot 164, Sec. F


Mechanics


28021


100.00


.50


100.50


Marion F. Searle, Lots 191, 208


Mechanics


28022


100.00


.50


100.50


Henry H. Cutter, Lot 435, Sec. E


.Mechanics


28427


100.00


25


100.25


$16,457.00


$3,045.46


$1,008.42


$18,494.04


CALEB S. HARRIMAN,


PHILIP B. BUZZELL,


Trustees of Trust Funds.


1-


Bank


Book No.


Amount


WARRANT FOR ANNUAL TOWN MEETING


To Harry J. AAinsworth, 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 Monday, the 1st day of March, next


at 9:45 o'clock in the forenoon, the polls to be opened at 10:00 A. M. and shall be closed at 8:00 P. M. for the election of Town Offices.


Article 1. To bring in your votes on one ballot respect- ively for the following names Town Offices, to wit : One Se- lectman, who shall also act as a member of the Board of Sur- vey for the term of three years; one Assessor for the term of three years; a Town Clerk for the term of three years; a Collector of Taxes for the term of three years; 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 Water Commissioner for the term of two years (to fill unexpired term) ; one member of the Planning Board for the term of three years; one member of the Planning Board for one year (to fill unexpired term) ; 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.




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