USA > Massachusetts > Hampden County > Wilbraham > Wilbraham annual report 1961-1965 > Part 42
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785.00
138
Hired Equipment Supplies
732.00 168.86 3,498.76
Tree Warden
Salaries and Wages
$2,149.80
Services - outside contractors
589.00
Equipment Rental
750.00
Supplies
331.14
Maintenance and Repairs
100.15
Trees
376.00
4,298.09
Forest Warden
Salaries and Wages
$435.00
Car Allowance
200.00
Supplies
103.79
738.79
Building Inspector
Salaries and Wages
$2,425.00
Car Allowance
600.00
Supplies
58.08
3,083.08
Wiring Inspector
Salary
$810.00
Car Allowance
600.00
Supplies
9.81
1,419.81
Sealer of Weights and Measures
Salary
$300.00
Supplies
1.63
301.63
Dog Officer
Salary
150.00
Civil Defense
Salaries and Wages
$810.00
Material
149.97
Supplies
204.60
Equipment
148.00
1,312.57
Aid to Agriculture
125.00
Total - Public Safety
101,796.55
HEALTH AND SANITATION
Board of Health
Salaries and Wages
$4,586.62
Dump expense
8,117.64
Power (pumping station)
652.85
Car Allowances
550.00
Drugs and nursing
422.48
Plumbing code
118.98
139
Engineering Services Supplies
195.00 155.99
$14,799.56
Garbage Collection
Services - outside contractor
7,280.00
Inspector of Animals Salary
65.00
Inspector of Slaughtering Salary
50.00
Sewers
Repair Parts
70.00
Mosquito Control
Salaries and Wages
$309.20
Services - outside contractors
2,038.40
Equipment Rental
152.00
Supplies
38.11
2,537.71
Total - Health and Sanitation
24,802.27
HIGHWAYS
Miscellaneous Highways
Salaries and Wages
$21,528.02
Materials
11,155.69
Services - outside contractors
5,936.66
Engineering services
1,982.50
Supplies
1,208.75
Perishable tools
994.18
Heating fuel
220.05
Repairs and maintenance
573.18
43,599.03
Road Machinery Operating Account
Gasoline and oil
$3,198.07
Repairs - outside contractors
1,170.06
Repair parts
2,328.19
Supplies
150.70
6,847.02
Street Lights
9,439.82
Chapter 81
Salaries and Wages
$9,359.60
Materials
11,318.47
Services - outside contractors
1,533.00
Town equipment
4,590.85
26,801.92
Chapter 90 Construction (1963)
Salaries and Wages
$2,737.67
Materials
4,404.13
Services - outside contractors
2,892.50
Town equipment
1,256.95
11,291.25
140
Chapter 90 Construction (1964)
Salaries and Wages
$3,667.01
Materials
19,894.61
Services - outside contractors
4,563.25
Town equipment
2,520.60
30,645.47
Chapter 90 Maintenance
Salaries and Wages
$1,184.58
Materials
4,833.61
Services - outside contractors
645.50
Town equipment
838.15
7,501.84
Sidewalk Construction Art. 17
Services - outside contractors
$20,297.00
Engineering services
1,857.00
Materials
309.77
Land damages
612.94
23,076.71
Sidewalk Construction Art. 18
Services - outside contractors
$4,518.40
Engineering services
325.00
Materials
352.33
5,195.73
Sidewalk Construction Art. 19
Services - outside contractors
$12,001.58
Engineering services
864.00
Materials
902.58
13,768.16
Sidewalk Construction Art. 20
Services - outside contractors
$29,736.36
Engineering services
1,369.00
Materials
163.14
31,268.50
Joan Street Construction
Services - outside contractor
1,353.19
Soule Road Construction
Salaries and Wages
$2,848.22
Materials
10,680.96
Services - outside contractors
1,459.50
Engineering services
353.00
Land damages
527.51
15,869.19
Resurface Stony Hill Road
Salaries and Wages
$244.15
Services - outside contractors
7,630.41
Materials
100.70
7,975.26
21/2 Ton Truck
7,668.81
Front End Loader
13,015.51
Total - Highways
255,317.41
141
CHARITIES
Town Funds
Administration
$1,075.85
General Relief
4,853.75
Old Age Assistance
26,980.85
Aid to Dep. Children Disability Assistance
12,206.52
5,065.96
$50,182.93
Federal Grants
Old Age Assistance
$17,039.54
Aid to Dep. Children
8,002.26
Disability Assistance
3,196.00
Medical Aid for Aged
13,917.52
Old Age Assistance -- Adm.
844.15
42,999.47
Total - Charities
93,182.40
VETERANS' SERVICES
Salaries and Wages
$610.95
Expenses Aid
10,903.90
Total - Veterans' Services
11,556.85
SCHOOLS
Local
Administration
$21,133.69
Out-of-State travel
54.11
Instruction
547,611.96
Other School Services
Attendance
6,256.71
Health Services
8,610.53
Transportation
61,470.36
Student Body Activities
50.00
Operation and Maintenance
83,459.37
Fixed Charges
3,637.69
New Equipment
5,259.10
Tuition
14,618.14
$752,161.66
Federal Funds
Public Law 874
2,575.00
Public Law 864
646.70
Special Accounts
Mile Tree School
195,162.84
Hampden-Wilbraham Regional School District
430,184.96
Total - Schools
1,380,731.16
TOWN LIBRARY
Salaries and Wages
$17,587.05
Books
3,847.22
Magazines and periodicals
853.80
Supplies
856.00
142
42.00
Rebinding books Utilities Heating fuel Maintenance materials Equipment
189.13
557.65
898.48
365.89
2,197.06
Total - Library
27,352.28
RECREATION AND CELEBRATIONS
Parks
Salaries and Wages
$235.91
Services - outside contractors
90.00
Supplies
51.56
$377.47
Playgrounds
Salaries and Wages
$2,363.09
Transportation
1,400.00
Supplies
420.15
Maintenance and repairs
381.61
Equipment
190.85
4,755.70
Memorial and Independence Days
194.81
Community Program
5,915.10
Spec Pond
Acquisition of site
22,904.20
Bicentennial Celebration
113.45
Total - Recreation and Celebrations
342,260.73
PENSIONS
Hampden County Retirement System Assessment
13,642.77
UNCLASSIFIED
Insurance
Buildings and contents
$942.60
Money and securities
200.00
Workmen's Compensation
4,539.91
Automobile liability
2,560.47
Auto comprehensive and collision
898.16
Ambulance contents
102.50
Bonds
403.07
$9,648.21
Printing Town Reports
4,016.62
Town History
47.52
Conservation Commission
227.38
Conservation Fund
5,580.00
Stabilization Fund
100,000.00
Total - Unclassified
119,519.73
143
PUBLIC SERVICE ENTERPRISE
Water Department
Maintenance
Salaries and Wages
$10,486.71
Purchased Water
12,174.23
Services - outside contractors
212.50
Engineering services
174.05
Repair parts
958.01
Operating supplies
428.64
Office Supplies and Postage
793.25
Utilities
497.05
Equipment maintenance
489.25
Relocate hydrants
275.22
Replace mains
2,669.09
$29,158.00
Installations
Salaries and Wages
$1,676.10
Services - outside contractors
1,325.95
Direct material
5,173.33
Supplies
379.43
8,554.81
Water Exploration Program
Equipment rental
446.25
Water Dept. Truck
2,154.64
Total - Public Serv. Enterprise
40,313.70
CEMETERIES
Salaries and Wages
$814.78
Interments
35.00
Supplies
90.00
Fence - Glendale
400.00
Total - Cemeteries
1,339.78
MATURING DEBT AND INTEREST
Maturing Debt
School Bonds
Water Bonds
$130,000.00 5,000.00
$135,000.00
Maturing Interest
School Bonds
$18,895.00
Water Bonds
1,207.50
20,102.50
Interest
Temporary Loan
2,320.50
Total - Debt and Interest
157,423.00
144
STATE AND COUNTY CHARGES
State Audit of Accounts State Recreation Areas Motor Vehicle Excise Bills
$1,301.75 3,762.05 774.15 $5,837.95
County Tax
15,996.67
Total - State and County Charges
21,834.62
REFUNDS
On Taxes
Real Estate
$10,771.45 345.14
Personal Property
Motor Vehicle Excise
13,580.63
$24,697.22
General
Garbage Collection
$51.25
Water Miscellaneous
6.00
Interest and costs
1.18
Permits
43.00
101.43
Total - Refunds
24,798.65
AGENCY
Dog licenses for county
1,673.75
TRUST
Federal Withholding Taxes
$94,613.20
State Withholding Taxes
11,667.46
County Retirement System
13,086.36
Blue Cross . Blue Shield
5,184.84
Water Guarantee Deposits
204.07
Bliss Fund Income
176.06
Dog Officer's Fees
255.00
Advances to Employees
75.00
School Lunch Program
76,875.39
Total - Trust
202,137.38
MISCELLANEOUS
Temporary loan
300,000.00
Total - Cash Disbursements
$2,886,923.47
Stabilization Fund
Analysis of Changes - Year Ended December 31, 1964
Balance January 1, 1964
$80,774.64
Add:
Appropriation March 14, 1964 Interest Earnings
$100,000.00 3,263.26
103,263.26
Balance December 31, 1964
$184,037.90
145
Statement of Appropriations, Expenditures, and Balances - 1964
Balances
GENERAL GOVERNMENT
Selectmen
$10,564.00
$10,007.46
$556.54
Out-of-State Travel
75.00
62.76
12.24
Accounting Department
8,790.00
8,684.45
105.55
Town Treasurer
5,689.76
5,609.82
79.94
Town Collector
9,959.50
9,789.50
170.00
Board of Assessors
13,497.00
12,158.35
1,338.65
Assessors' and Planning
Board Maps
2,500.00
2,500.00
Town Clerk
4,378.82
4,186.28
192.54
Legal Department
7,090.00
6,029.78
1,060.22
By-Laws Study Committee
98.91
$98.91
Elections and Town Meeting Expense
3,483.48
3,483.48
Registrars of Voters
1,262.00
1,201.44
60.56
Planning Board
4,590.50
3,591.48
375.63
623.39
Planning Board Master Plan
2,000.00
1,269.00
731.00
Board of Appeals
905.00
835.42
69.58
Town Office and Bldg. Maint.
5,993.00
5,781.22
211.78
Town Auditor
50.00
50.00
PUBLIC SAFETY
Police Department
37,966.62
37,145.71
820.91
Police Cruiser
3,250.00
3,235.39
14.61
Fire Department
48,072.00
44,990.63
3,081.37
Pest Control
1,500.00
1,497.09
2.91
Dead Wood
3,500.00
3,498.76
1.24
Tree Warden
4,300.00
4,298.09
1.91
Forest Warden
900.00
738.79
161.21
Building Inspector
3,200.00
3,083.08
116.92
Wiring Inspector
1,460.00
1,419.81
40.19
Sealer of Wgts. and Measures
315.00
301.63
13.37
Dog Officer
150.00
150.00
Civil Defense
1,600.00
1,312.57
287.43
Aid to Agriculture
125.00
125.00
HEALTH AND SANITATION
Board of Health
20,600.00
14,799.56
5,800.44
Garbage Collection
7,280.00
7,280.00
Inspector of Animals
65.00
65.00
Inspector of Slaughtering
50.00
50.00
Sewers
227.51
70.00
157.51
Sewers Engineering Survey
2,500.00
2,500.00
Sewer Construction
14,000.00
14,000.00
Sewer Rental
1,000.00
1,000.00
Mosquito Control
2,600.00
2,537.71
62.29
HIGHWAYS
Highway Department
63,910.00
43,599.03
20,310.97
Appropriations As Modified
Expended
Forward
Surplus
146
Appropriations As Modified
Expended
Balances Forward
Surplus
Road Machinery Oper. Acct.
8,000.00
6,847.02
1,152.98
Street Lights
9,970.00
9,439.82
530.18
Chapter 81
26,802.00
26,801.92
.08
Chapter 90 Maint.
7,502.00
7,501.84
.16
Chapter 90 Const. - 1963
11,292.68
11,291.25
1.43
Chapter 90 Const. - 1964
30,647.07
30,645.47
1.60
Sidewalk Const. Art. 17
30,939.00
23,076.71
7,862.29
Sidewalk Const. Art. 18
5,633.29
5,195.73
437.56
Sidewalk Const. Art. 19
21,323.00
13,768.16
7,554.84
Sidewalk Const. Art. 20
34,903.00
31,268.50
3,634.50
Joan Street Const.
1,815.00
1,353.19
461.81
Soule Road Const.
17,057.08
15,869.19
1,187.89
Resurface Stony Hill Rd.
8,821.00
7,975.26
845.74
212 Ton Truck
8,000.00
7,668.81
331.19
Front End Loader
14,000.00
13,015.51
984.49
Resurface Main and
Springfield Streets
446.00
446.00
CHARITIES
Department of Public Welfare
Administration
1,075.85
1,075.85
General Relief
5,141.00
4,853.75
287.25
Old Age Assistance
28,127.72
26,980.85
1,146.87
Aid to Dep. Children
13,006.95
12,206.52
800.43
Disability Assistance
5,250.00
5,065.96
184.04
SOLDIERS' BENEFITS
Veterans' Services
11,557.95
11,556.85
1.10
SCHOOLS
Local
Regular Operating
753,213.00
752,107.55
1,105.45
Out-of-State Travel
80.00
54.11
25.89
Building Plans
600.42
600.42
Mile Tree School
210,270.28
195,162.84
15,107.44
Pines Addition
508.04
508.04
Hampden-
Wilbraham Regional
430,184.96
430,184.96
LIBRARY
Town Library
27,526.00
27,352.28
173.72
RECREATION AND CELEBRATIONS
Parks
475.00
377.47
97.53
Playgrounds
5,936.26
4,755.70
1,180.56
Spec Pond
22,904.20
22,904.20
MemorialĀ·Independence Days
200.00
194.81
5.19
Community Program
6,480.00
5,915.10
564.90
Bicentennial Celebrations
113.45
113.45
147
Balances
Forward Surplus
PENSIONS
County Retirement Assessment
13,642.77
13,642.77
UNCLASSIFIED
Printing Town Reports
4,016.62
4,016.62
Insurance and Bonding
10,241.51
9,648.21
593.30
Town History
10,549.37
47.52
10,501.85
Conservation Commission
227.38
227.38
Conservation Fund
6,500.00
5,580.00
920.00
Removal of Buildings
500.00
500.00
Decennial Census
1,000.00
1,000.00
Industrial Development
600.00
600.00
Stabilization Fund
100,000.00
100,000.00
Reserve Fund
25,000.00
10,697.88
(14,302.12)
PUBLIC SERVICE ENTERPRISE
Water Department
Maintenance
30,488.00
29,158.00
1,330.00
Installations
12,733.00
8,554.81
4,178.19
Truck
2,300.00
2,154.64
145.36
Water Explor. Program
1,067.46
446.25
621.21
Water Mains
689.65
689.65
CEMETERIES
2,375.00
1,339.78
1,035.22
MATURING DEBT AND INTEREST
Maturing Debt
School Bonds
130,000.00
130,000.00
Water Bonds
5,000.00
5,000.00
Maturing Interest
School Bonds
18,895.00
18,895.00
Water Bonds
1,207.50
1,207.50
Temp. Loan Interest
2,320.50
2,320.50
Totals
$2,424,351.94 $2,290,257.90
$68,562.04
$65,532.00
Reconciliation
Balance Jan. 1, 1964
$242,922.75
Surplus
$55,200.81
Appropriations - 1964
2,175,796.98
Road Machinery Fund
331.19
Refunds
5,632.21
Overlay Surplus
10,000.00
$2,424,351.94
$65,532.00
148
Appropriations As Modified
Expended
Non-Appropriation Expenditures - 1964
Federal Grants:
Department of Public Welfare:
Old Age Assistance : Administration Aid
$844.15
17,039.54
Aid to Dependent Children
8,002.26
Disability Assistance
3,196.00
Medical Aid for Aged
13,917.52
$42,999.47
School Department :
Public Law 874
$2,575.00
Public Law 864
646.70
3,221.70
State and County Charges:
State Audit of Accounts
$1,301.75
State Recreation Areas
3,762.05
Motor Vehicle Excise Bills
774.15
County Tax
15,996.67
21,834.62
Refunds:
On Taxes :
Real Estate
$10,771.45
Personal Property
345.14
Motor Vehicle Excise
13,580.63
General:
Garbage Collection
51.25
Water Miscellaneous
6.00
Interest and costs
1.18
Permits
43.00
24,798.65
Agency :
Dog licenses for County
1,673.75
Trust :
Payroll Deductions :
Federal Withholding Taxes
$94,613.20
State Withholding Taxes
11,667.46
County Retirement System
13,086.36
Blue Cross . Blue Shield
5,184.84
Water Guarantee Deposits
204.07
Bliss Fund Income
176.06
Dog Officer's Fees
255.00
Advances to Employees
75.00
School Lunch Program
76,875.39
202,137.38
Miscellaneous:
Repayment of Tax Anticipation Loan
300,000.00
Non Appropriation Expenditures
$596,665.57
Add - Appropriation Expenditures
2,290,257.90
Total Expenditures per Warrants
$2,886,923.47
149
1
Town of Wilbraham Bonded Indebtedness
December 31, 1964
Maturity
1949 Memorial School
1953 Addition Memorial and Pines
1957 Addition Stony Hill School
1961 Addition Pines School
1963 New Elementary School
1955 Water Bonds
Total
1965
$15,000
$20,000
$20,000
$40,000
$35,000
$5,000
$135,000
1966
15,000
20,000
20,000
40,000
35,000
5,000
135,000
1967
15,000
15,000
20,000
35,000
5,000
90,000
1968
15,000
15,000
20,000
30,000
5,000
85,000
1969
15,000
15,000
20,000
5,000
55,000
1970
15,000
20,000
5,000
40,000
1971
15,000
20,000
5,000
40,000
1972
15,000
20,000
5,000
40,000
1973
15,000
20,000
5,000
40,000
1974
20,000
5,000
25,000
1975
20,000
5,000
25,000
1976
20,000
20,000
1977
20,000
20,000
Totals
$75,000
$145,000
$260,000
$80,000
$135,000
$55,000
$750,000
The unpaid balance of State Grants in Aid payable over the life of the outstanding School Construction Bonds is $439,- 785.08. In addition the Town is contingently liable for 77.5% of the $1,400,000 balance and 79.97% of the $1,000,000 balance of Minnechaug Regional High School Planning, Construction, and Building Addition loans.
150
Year
Statement of Legal Debt Margin As of December 31, 1964
Assessed Value - Average of three preceding years
$53,621,811
Debt Limit 5 Percent of Assessed Value
$2,681,090
Amount of Debt applicable to Debt Limit Total Bonded Debt
$750,000
Less :
Water Bonds
$55,000
Bonds Outside Limit
550,000
605,000
Total Amount of Debt applicable to Debt Limit
145,000
Legal Debt Margin
$2,536,090
NOTE - Debt limit established by Section 10, Chapter 44 of the General Laws. Assessed Value includes motor vehicles and trailers.
Accounts Receivable
As of December 31, 1964
Total
1964
1963
1962
Special Assessments:
Unapportioned
$281.64
$281.64
Street Betterments
79.00
49.00
$30.00
Interest
26.40
17.00
9.40
Departmental:
Ambulance Service
710.00
510.00
160.00
$40.00
Licenses
150.25
150.25
Reimbursements:
General Relief
95.00
95.00
Aid to Dependent Children
2,794.40
2,794.40
Old Age Assistance
138.30
138.30
Veterans' Services
4,719.08
4,719.08
Water:
Rates
6,506.86
6,435.14
71.72
Miscellaneous
344.23
344.23
Total
$15,845.16
$15,300.74
$504.42
$40.00
Statement of Trust Funds
Balance Jan. 1, 1964
Receipts
Balance Dec. 31, 1964
Chloe B. Stebbins Charity Fund
$326.54
$13.18
$339.72
Deacon Warriner School Fund
1,224.74
49.46
1,274.20
School Lot Fund
1,274.85
52.30
1,327.15
Chloe B. Stebbins Library Fund
183.11
7.38
190.49
Abner E. Bell Library Fund
72.90
2.92
75.82
Henry Cutler Library Funds
1,361.20
54.96
1,416.16
151
Balance Jan. 1, 1964
Receipts
Balance Dec. 31, 1964
Civil War Mortar Memorial Plaque Fund
57.19
1.26
58.45
Soldiers' Monument Park Fund
1,202.54
48.56
1,251.10
G. Frank Adams
406.21
16.40
422.61
Charles L. Amadon
245.13
9.90
255.03
John W. Baldwin
544.92
22.33
567.25
Bishop Lot
250.48
10.10
260.58
Henry A. Bowker
169.09
6.82
175.91
Edward H. Brewer
702.28
28.36
730.64
Laura Bruuer
1,186.71
47.92
1,234.63
Albro Bryant
120.79
4.94
125.73
Philip & Angeline R. Butler
150.17
6.16
156.33
Henry C. Butler and Herbert F. Green
188.11
7.72
195.83
James A. Butler
251.01
10.30
261.31
Ethelbert Bliss
1,962.20
214.44
2,176.64
William Butler
169.09
6.82
175.91
Abel B. Calkins
232.19
9.53
241.72
Charles M. Calkins
150.17
6.16
156.33
Howard Calkins
331.32
13.36
344.68
Emma Carson
84.91
3.40
88.31
Inez V. Chilson
170.19
6.86
177.05
Henry Clark
169.08
6.82
175.90
Frederick Coon
70.20
2.82
73.02
Evalina H. Copeland
150.17
6.16
156.33
Lucy M. Dane
120.83
4.94
125.77
Hiram Danks
118.99
4.78
123.77
Dasco Lot
3.11.17
12.56
323.73
J. W. Dunsmore
236.17
9.52
245.69
F. A. Fuller & Marshall A. Lane
526.04
21.24
547.28
Charles H. Gates
150.17
6.16
156.33
Harriet Gates
241.98
9.91
251.89
Blanche B. Gilbert
233.04
9.56
242.60
W. H. Graves
118.45
4.76
123.21
Benjamin B. Green
150.17
6.16
156.33
B. Franklin Greene
120.79
4.94
125.73
Fred W. Green
150.17
6.16
156.33
Henry Green
161.93
6.52
168.45
Lora M. Green
94.37
3.87
98.24
Eliza V. Jones
169.08
6.82
175.90
Anna C. Kibbe
170.74
6.88
177.62
Abraham Knowlton
120.98
4.95
125.93
Charles R. Knowlton
169.09
6.82
175.91
George E. Knowlton
241.68
9.90
251.58
Etta Simmons May
236.79
9.54
246.33
Angeline P. Morgan
121.45
4.98
126.43
Charles North
306.46
12.36
318.82
Charles J. Parker
362.73
14.87
377.60
Inez M. Perry
150.17
6.16
156.33
Inez M. Perry
150.17
6.16
156.33
Ira G. Potter
170.72
6.88
177.60
P. P. Potter
120.90
4.95
125.85
152
Balance Jan. 1, 1964
Receipts
Balance Dec. 31, 1964
William H. Read
237.44
9.58
247.02
Jesse L. Rice
237.40
9.58
246.98
Frank R. & Hattie E. Rindge
106.76
4.37
111.13
Allyn M. Seaver
239.47
9.82
249.29
Spear Butler Lot
311.66
12.56
324.22
Chloe B. Stebbins
118.47
4.76
123.23
Luther & Milton Stebbins
237.32
9.58
246.90
Frances E. Stebbins
299.30
12.28
311.58
Elizabeth B. Tupper
59.33
2.38
61.71
Martha E. Smith
85.59
3.50
89.09
Nellie Spencer
120.79
4.94
125.73
$20,686.25
$973.04
$21,659.29
153
Town Collector's Report
Taxes
Outstanding Jan. 1, 1964
Committed
Refunds
Cash Paid Treasurer Abated
Outstanding Transfers Dec. 31, 1964
Real Estate 1951 through 1962 $38.95
$38.95
1961
Real Estate 66.64
(1) $66.64
1962
Real Estate 11,727.99
10,942.59
$358.60
(1) 394.90
$31.90
1963
Poll Tax
$4.00*
4.00*
Personal Property
1,968.13
$7.05
1,639.13
145.70
190.35
Real Estate
54,040.89
839.60
42,418.53
656.20
(1) 421.82
11,383.94
1964
Personal Property
58,017.23
338.09
55,513.53
584.31
2,257.48
Real Estate
1,273,792.84
10,035.80 1,196,692.02
17,619.86
1,539.83
67,976.93
Motor Vehicle Excise
1962
276.73
123.75* 10,902.74
4,456.66
45,450.03
7,538.03
1,101.78
1964
239,798.39
9,123.97
222,151.71
18,759.67
8,010.98
123.75*
276.73
1963
38,701.84
28.60*
154
Farm Animal Excise 1964
110.48
110.48
Water Betterments - Unapportioned 705.12
705.12
Street Betterments - Unapportioned 871.48
106.00
(2)765.48
Street Betterments -
Unapportioned
624.10
342.46
281.64
1962
30.00
30.00
1963
43.00
13.00
30.00
1964
346.31
297.31
49.00
Committed Interest
1962
10.60
10.60
1963
14.88
5.48
9.40
1964
161.52
144.52
17.00
Ambulance Service
400.00
1,115.00
845.00
710.00
Ambulance Service
40.00*
Departmental Accounts Receivable
Selectmen's Licenses 158.25
7,143.70
7,144.20
7.50
150.25
Garbage Collections
8,127.50
51.25
7,193.75
985.00
General Relief
1,528.35
750.90
682.45
95.00
155
156
TOWN COLLECTOR'S REPORT (Continued)
Taxes
Outstanding Jan. 1, 1964
Committed
Refunds
Cash Paid Treasurer
Abated
Outstanding Transfers Dec. 31, 1964
Disability Assistance
2,531.79
2,531.79
Aid Family Dep. Children
2,104.04
6,563.74
5,873.38
2,794.40
Old Age Assist.
283.91
4,654.10
4,799.71
138.30
Med. Aid for Aged
10,306.07
10,306.07
Veterans' Services
1,453.94
5,218.07
1,944.42
8.51
4,719.08
Water Department
Rates
3,212.62
83,329.53
80,011.91
23.38
6,506.86
Miscellaneous
1,934.08
9,853.89
6.00
4,546.47
232.74
(3)6,670.53
344.23
$118,043.09 $1,724,321.70
$24,858.42 $1,702,686.81
$47,196.23
$10,541.65
$106,798.52
Items collected but not committed :
Interest on Delinquent Taxes
$2,702.21
(1) To Tax Titles
Costs on Delinquent Taxes
1,703.20
(2) Added to Taxes
Municipal Liens and Discharges
179.00
(3) From Water Deposits
Apportioned Assessment Paid in Advance
318.00
History Books
1,880.00
Cartons for History Books
3.00
CASH PAID TREASURER
$1,709,472.22
* Paid After Abatement
MARK E. REYNOLDS, Town Collector
Town Clerk's Report RECEIPTS
Dog Licenses
409 Males at $2.00
$818.00
357 Spayed Females at $2.00
714.00
64 Females at $5.00
320.00
3 Kennel at $10.00
30.00
$1,882.00
Sporting Licenses
270 Resident Fishing at $4.25
$1,147.50
147 Resident Hunting at $4.25
624.75
124 Resident Sporting at $7.25
899.00
45 Resident Fishing (Minor) at $2.25
101.25
54 Resident Fishing (Female) at $3.25
175.50
1 Resident Trapping at $7.75
7.75
4 Special Non-Resident Fishing at $4.25
17.00
9 Non-Resident Citizen Fishing at $8.75
78.75
3 Alien Fishing at $8.75
26.25
6 Non-Resident Citizen Hunting at $15.25
91.50
7 Duplicate Licenses at $0.50
3.50
47 Resident Citizen Sporting (Free)
3,172.75
Marriage Licenses
55 at $2.00
$110.00
14 at $4.00
56.00
166.00
Miscellaneous
Recording Financing Statements
$609.00
Copies of Records
136.50
Pole Locations
46.00
Gasoline Storage Permits
9.00
Miscellaneous
35.75
836.25
$6,057.00
PAYMENTS
County - Dog Licenses
$1,673.75
Division of Fisheries and Game
3,007.00
Clerk's FeesĀ®
833 Dogs at $0.25
$208.25
663 Fishing, Hunting and Sporting Licenses at $0.25
165.75
Marriage Licenses
166.00
Recording Financing Statements
609.00
Copies of Records
136.50
Pole Locations
46.00
Gasoline Storage Permits
9.00
Miscellaneous
35.75
1,376.25
$6,057.00
157
VITAL STATISTICS
1964*
1963
1962
Births Recorded
Males
62
77
69
Females
57
74
49
119
151
118
* 1964 Incomplete. November and December records from Springfield not received at date of printing.
1964
1963
1962
Marriages Recorded
75
77
75
Deaths Recorded
Males
27
34
33
Females
30
29
24
57
63
57
DORIS G. COCHRAN, Town Clerk
158
Notes
Index
Page
Page
Accounts Receivable
151
Aid to Agriculture
45
Animal Inspector
46
Appointed Town Officers
107
Appropriations, Expend., etc. .
146
Assessors
46
Auditor
129
Balance Sheet
130
Board of Health
54
Bonded Indebtedness
150
Building Inspector
48
By-Laws Study Committee
48
Cash Disbursements
136
Cash Receipts
133
Civil Defense
49
Conservation Commission
49
Dog Officer
51
Elected Town Officers
106
Electrical Inspector
52
Estimated Receipts
132
Facts About Wilbraham
2
Finance Committee
119
Finance Committee
Recommendations
122
Fire Commissioners
52
Fire Department
53
Forest Warden
52
Governmental Districts
105
Hampden-Wilbraham Regional
School District
31
Jury List
54
Legal Debt Margin
151
Library
56
Lower Pioneer Valley
Commission
59
Non Appropriation Expend.
.
149
Personnel Board
57
Pest Control
57
Planning Board
61
Playground Commission
63
Plumbing Inspector
61
Police Department
65
Power Line Committee
68
Sanitary Sewer Study Com.
69
School Building Committee
31
School Committee
8
School Survey Committee
28
Sealer of Weights and Measures 70
Selectmen
3
Slaughtering Inspector
70
Spec Pond Recreation Area
70
Stabilization Fund
145
Surplus Revenue
132
Town Clerk
157
Town Collector
154
Town Gov't. Adm. Study Com.
73
Town Meeting -
March 14, 1964
80
Town Meeting -
June 13, 1964
95
Town Meeting -
October 21, 1964
102
Tree Warden
76
Trust Funds
151
Veterans' Service
77
109
Warrant - March 13, 1965
..
Water Department
77
Welfare Department
79
Town Services - Telephone Directory
LOCAL EMERGENCY NUMBERS
Fire Department
TO REPORT A FIRE OR AN EMERGENCY 6-3111
Station - Boston Road - Fire Permits 6-3122
Chief Tupper
6-3014
Police
Local Police
6-3837
If no answer call:
STATE POLICE
283-5671
Chief Leary
6-3376
Civil Defense
6-3838
Department
Call
Telephone
Assessors
Assessors
6-3816
Birth, Death, Marriage Certificates
Town Clerk 6-3816
Board of Health
Selectmen
6-3816
Building Permits
Town Clerk Inspector
6-4885
Charities and Relief
Welfare Department 525-2750
Dog Licenses
Town Clerk
6-3816
Dog Roaming
Dog Officer
6-3624
Fishing & Hunting Licenses
Town Clerk
6-3816
Forest Warden
Fire Chief
6-3122
Highways
Superintendent
6-3060
Library
Librarian
6-4461
Planning Board
Secretary
6-3816
Rubbish, Garbage Disposal
Selectmen
6-3816
School
Minnechaug
6-6161
School
Pines
6-4974
School
Memorial
6-3465
School
Mile Tree
6-6921
School
Stony Hill
6-4974
School Nurse
Memorial
6-3465
Selective Service System
Local Board No. 84 Main St., Palmer
283-8836
Supt. of Schools
Minnechaug
6-4266
Taxes
Town Collector
6-3816
Town Treasurer
Treasurer
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