Wilbraham annual report 1961-1965, Part 42

Author: Wilbraham (Mass.)
Publication date: 1961
Publisher: The Town
Number of Pages: 884


USA > Massachusetts > Hampden County > Wilbraham > Wilbraham annual report 1961-1965 > Part 42


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).


Part 1 | Part 2 | Part 3 | Part 4 | Part 5 | Part 6 | Part 7 | Part 8 | Part 9 | Part 10 | Part 11 | Part 12 | Part 13 | Part 14 | Part 15 | Part 16 | Part 17 | Part 18 | Part 19 | Part 20 | Part 21 | Part 22 | Part 23 | Part 24 | Part 25 | Part 26 | Part 27 | Part 28 | Part 29 | Part 30 | Part 31 | Part 32 | Part 33 | Part 34 | Part 35 | Part 36 | Part 37 | Part 38 | Part 39 | Part 40 | Part 41 | Part 42 | Part 43 | Part 44 | Part 45 | Part 46 | Part 47 | Part 48 | Part 49 | Part 50 | Part 51 | Part 52 | Part 53 | Part 54 | Part 55 | Part 56


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




Need help finding more records? Try our genealogical records directory which has more than 1 million sources to help you more easily locate the available records.