Reports of the Town officers of Newmarket, New Hampshire 1919-1921, Part 1

Author: Newmarket (N.H. : Town)
Publication date: 1919
Publisher: [Newmarket, N.H. : The Town]
Number of Pages: 294


USA > New Hampshire > Rockingham County > Newmarket > Reports of the Town officers of Newmarket, New Hampshire 1919-1921 > Part 1


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GEN.


ALLEN COUNTY PUBLIC LIBRARY 3 1833 01882 3697


GC 974.202 N54AR, 1919-1921


REPORTS


OF THE


TOWN OFFICERS


OF


NEWMARKET, N. H.,


FOR THE


Fiscal Year Ending January 31, 1919.


NEWMARK


N.H.


0


8


E


INCO


1721


R


NEWMARKET, N. H .: THE NEWMARKET ADVERTISER PRESS, 1919.


1


REPORTS


OF THE


TOWN OFFICERS


OF


NEWMARKET, N. H.,


FOR THE


Fiscal Year Ending January 31, 1919.


ARKI


N.H.


0


8


0


INCO


27.


R


NEWMARKET, N. H. : THE NEWMARKET ADVERTISER PRESS, 1919.


STATE OF NEW HAMPSHIRE.


To the inhabitants of the Town of Newmarket qualified to vote in town affairs:


You are hereby notified to meet at the town house in said town, on the second Tuesday of March next, at ten of the clock in the forenoon, to vote upon the fol- lowing subjects:


Art. 1. To choose all necessary town officers and agents for the ensuing year.


Art. 2. To-elect by ballot one trustee, as required by Chapter 162 of the Laws of 1915, being an act in relation to trust funds held by cities and towns.


Art. 3. To see what sum of money the town will vote to raise and appro- priate to sprinkle, oil, re-surface or repair the macadamized streets.


Art. 4. To raise such sums of money as may be necessary for the payment of the state and county taxes, for building and repairing bridges, for laying out and repairing highways, for extinguishing fires, for the maintenance of the public library, for the care of the cemetery, for lighting the streets and public buildings, for paying town officers, for the support of the poor, for the payment of bonds and interest on the town debt, and for other necessary charges arising within the town ..


Art. 5 To see if the town will vote to pay each member of the fire companies twenty-two dollars in addition to that amount required by law.


Art. 6. To see if the town will vote to raise and appropriate the sum of five hundred dollars to build a concrete walk on Prescott street,from the corner of Main street to the residence of Stephen H. Davis.


Art. 7. To see what sum of money the town will vote to raise and appro- priate to help control the white pine blister rust.


Art. 8. To see what sum of money the town will vote to raise and appro- priate for the purchase of the land and buildings known as the Newmarket House property.


Art. 9. To see what sum of money the town will vote to raise and appro- priate for the support of band concerts during the coming summer.


Art. 10. To hear reports of agents, auditors, committees or officers here- tofore chosen and pass any vote relating thereto.


Given under our hands and seal this twenty-first day of February, A.D. 1919.


MATTHEW T. KENNEDY, - Selectmen FRED E. DOE, of


PHILIP LABRANCHE, Jr., New


Newmarket.


3


TOWN OFFICERS.


Moderator, GEORGE H. TOWLE, Jr.


Selectmen, MATTHEW T. KENNEDY, FRED E. DOE, PHILIP LABRANCHE, jr.


Town Clerk, ALBERT F. PRIEST.


Town Treasurer, JOSEPH O. TURCOTTE.


Collector of Taxes. CHARLES M. O'CONNOR.


Highway Agents, FRED E. SANBORN, ALPHONSE ROY.


Supervisors of Check List, FREDERICK NEAL, JONATHAN WALKER, OVIAS RODIER.


Auditors,


ERNEST BOISVERT,


HERBERT H. KNOWLTON.


Representatives, GEORGE M. MATHES, GEORGE H. WILLEY, ADELARD ROUSSEAU.


Police Officer, GEORGE M. MATHES.


Fire Engineers, MICHAEL BARRETT, J. EDMUND SHARPLES, JOHN B. HEVEY, ALBERT F. PRIEST.


Board of Health, DR. GEORGE H. TOWLE, Jr. MATTHEW T. KENNEDY, FRED E. DOE, PHILIP LABRANCHE, Jr.


4 .


Water Commissioners,


FRANK H. DURGIN, JEAN B. LAPORTE,


GEORGE H. WILLEY,


WILLIAM L. CASWELL,


CHARLES H. PEPLER, GEORGE O. WOOD,


CHARLES A. MORSE, WALTER B. GALLANT, JOHN D. LONG.


Superintendent of Water Works, WILLIAM J. O'CONNOR.


School Board, DR. GEORGE H. TOWLE, Jr. GEORGE H. WILLEY, PERCY H. BURROWES.


Treasurer of School District, FRANK H. PINKHAM.


Superintendent of Schools, EDWARD H. LEONARD. .


Truant Officer, RICHARD A. STARLING.


Trustees of Public Library, MICHAEL B. GRIFFIN, LOUIS P. BEAUDET, MRS. A. C. HAINES, MRS. WALTER M. GALLANT, CHARLES A. MORSE. MRS. MARY B. MATHES, Librarian.


Trustees of John Webster Hall, ALANSON C. HAINES, CHARLES WALCOTT, WALTER M. GALLANT, D. L. PICKMAN.


5


REPORT OF SELECTMEN.


TO THE CITIZENS OF THE TOWN OF NEWMARKET :


The Board of Selectmen hereby submits its annual report, for the fiscal year ending Jan. 31, 1919:


. INVENTORY, APRIL 1, 1918.


Real estate,


$872,730 00


Horses,


29,205 00


Mules,


300 00


Cows,


25,500 00


Oxen,


200 00


Other neat stock,


4,255 00


Sheep,


314 00


Hogs,


250 00


Fowls,


308 00


Vehicles, including automobiles,


26,825 00


Boats and launches,


1,450 00


Public funds,


1,090 00


Portable mills,


4,650 00


Stock in banks,


11,612 50


Money on hand,


9,925 00


Stock in trade,


514,300 00


Mills and machinery,


661,400 00


Wood and lumber,


11,200 00


750 polls, $1,500.00.


$2,175,514 50


6


APPROPRIATIONS MADE AT THE ANNUAL TOWN MEETING, MARCH 12, 1918.


State tax, $3,160 00


County tax, 4,102 41


Permanent and other highways,


5,500 00


Fire department,


2,000 00


Public library,


· 500 00


To decorate graves of soldiers,


200 00


To maintain and improve cemetery


300 00


Lighting streets,


2,500 00


Town officers, salaries


1,200 00


To maintain poor


400 00


Interest on town debt,


1,000 00


Water works bonds,


2,000 00


Police department,


1,700 00


To maintain sewers,


400 00


Insect pests on trees,


100 00


Board of Health, 200 00


Sprinkling streets,


400 00


Band concerts,


200 00


Hydrant service and fountains, 2,500 00


Extension of sewers, 200 00


Pine blister rust work,


200 00


SCHOOL MEETING APPROPRIATIONS, MADE AT THE ANNUAL MEETING, MARCH 30, 1918.


School money required by law, 2,962 50


School money in addition to that required by law, 10,500 00


Salaries of district officers,


214 00


Text books and supplies, 700 00


Total appropriations,


$43,138 91


Tax rate on $100.00, $1.92.


-


7


EXPENDITURES.


General Government, including


Town officers' salaries,


$ 895 00


Town officers' expenses,


328 35


Election and registration, Town hall, 497 01


Protection of persons and property, including


Police department,


1,540 10


Fire department, 1,795 03


Moth extermination,


66 00


Pine blister rust work,


200 00


Damage by dogs,


31 75


Health and Sanitation, including


Health department,


343 60


Vital statistics,


48 75


Sewer maintenance,


145 00


Highways and bridges, including


State aid and maintenance,


33 50


Town maintenance,


3,562 50


Street lighting,


2,328 39


General expense,


1,284 85


Public library,


500 00


Town poor,


489 14


Decorating soldiers' graves,


200 00


Band concerts,


200 00


Public service enterprises, including


Water utility,


2,608 00


Cemeteries,


888 50


Legal services,


65 25


Interest,


1,465 40


State aid construction,


1,510 73


Water works bonds,


4,000 00


Payments to other Governmental Divisions,


including County tax,


4,102 41


School district,


16,316 95


Newfields school tax,


57 34


Total expenditures,


$45,690 19


State tax, 3,160 00


186 64


8


FINANCIAL STATEMENT. LIABILITIES.


Water Works bonds, $15,000 00


Loans at 312 per cent,


Mary J. Birmingham, 800 00


William M. Simpson,


1,400 00


William A. Tasker, 500 00


Loans, at 4 per cent,


Herbert R. Haines, 1,000 00


William M. Simpson, 1,000 00


New sewer bonds, at 372 per cent,


10,000 00


Loans for new sewer, at 5 per cent, Newmarket National Bank, 6,000 00


Temporary loan, Newmarket


Water Works


6,000 00


Total liabilities, $41,700 00


ASSETS.


Balance in treasury, $13,092 55


Due from Boston & Maine R. R., 150 00


H. C. George, uncollected taxes, 644 73


C. M. O'Connor, uncollected taxes, '17, 352 03


C. M. O'Connor, uncollected taxes,'18, 1,446 03


Total assets,


$15,685 34


Net liabilities, Jan. 31, 1919,


26,014 66


Net liabilities, Jan. 31, 1918,


30,303 10


Reduction of debt. $4,288.44


1


9


EXPENDITURES CLASSIFIED


GENERAL GOVERNMENT. TOWN OFFICERS' SALARIES.


1918.


Mar. 5, Herbert H. Knowlton, Auditor, $10 00 Michael B. Griffin, Auditor, 10 00


May 7, Charles M. O'Connor, Bal. due on salary on 1915 book, 50 00 Nov. 19, Charles M. O'Connor, part of salary, 200 00


1


1919.


.


Jan. 21, Joseph O. Turcotte, salary as town treasurer, 100 00


Matthew T. Kennedy, salary as selectman, 150 00


Fred E. Doe, salary as select- man, 150 00


Philip Labranche, Jr., salary as selectman, 100 00


Fred E. Sanborn, salary as · road agent,. 50 00


Alphonse Roy, salary as road agent, 50 00


Albert F. Priest, salary as town clerk, 75 00


Total expenditures, $ 895 00


Appropriation, 1,200 00


Balance on hand, $305 00


10


TOWN OFFICERS' EXPENSES.


1918.


Mar. 5, Joseph O. Turcotte, stamps, $ 1 00 19, Frank H. Pinkham, printing town reports, etc. 203 00


Apr. 2, M. T. Kennedy, stamps,


5 00


New England Tel. & Tel. Co., telephone service, 2 00


May 21, New England Tel. & Tel. Co., telephone service, 2 25


June 18, New England Tel. & Tel. Co., telephone service, 1 60


July 16, New England Tel. & Tel. Co., telephone service, 90


Aug. 6, New England Tel. & Tel. Co., telephone service, 40


20, Henry W. Anderson, bond for tax collector, 30 00


Alma J. Morse, copy work, 15 00


Oct. 15, New England Tel. & Tel. Co., telephone service, 30


Nov. 19, F. H. Pinkham, printing, etc. 45 61


19, New England Tel. & Tel. Co., telephone service, 1 15


Dec. 3, Edson C. Eastman, record and tax book, 11 19


17, J. E. Kent, team, 7 00


New England Tel. & Tel. Co., telephone service, 1 05


1919.


Jan. 7, New England Tel. & Tel. Co.,


telephone service, 90


Total expenditures, $328 35


From miscellaneous fund, 328 35


11


ELECTION AND REGISTRATION.


1918.


Mar. 19, Geo. M. Mathes, putting up voting booths, and supplies, $ 5 35 John Shepley, services as bal- lot clerk, 5 00


George Labelle, services as bal- lot clerk, 5 00


True E. Smith, services as bal- lot clerk, 5 00


Harry Varney, services as elec- tion officer, 5 00


Apr. 2, Wm. J. O'Connor, services as election officer (2 elections), 10 00


Frederick Neal, services as


supervisor of check-list, 10 00


Ovias Rodier, services as super- visor of check-list, 10 00


Jonathan Walker, services as supervisor of check-list, 10 00


Sept. 3, Geo. M. Mathes, putting up voting booths, 5 00


17, Ovias Rodier, services as super- visor of check-list, 10 00


Oct. 1, Jonathan Walker, services as supervisor of check-list, 10 00


. 15, John Shepley, services as bal- lot clerk, 5 00


Nov. 5, George Labelle, services as bal- lot clerk, 5 00


19, Geo. M. Mathes, labor on vot- ing booths, 5 00


I. Beauchaine, services as elec- tion officer, 5 00


Frederick Neal, services as supervisor (two elections), 20 00


12


Dec. 3, Ovias Rodier, services as super- visor of check-list, $10 00 Jonathan Walker, services as supervisor of check-list, 10 00


1919.


Jan. 7, True E. Smith, services as bal- lot clerk (3 elections), 15 00.


21, Newmarket Exchange, lumber, 1 29


31, Dr. G. H. Towle, Jr., services as moderator (2 elections), 20 00


Total expenditures,


$186 64


From miscellaneous fund, 186 64


1


TOWN HALL.


1918.


Feb. 19, A. L. Turcotte, oil heater, $6 75


Grover Keniston, cleaning hall, 4 00


Mar. 19, Newmarket Electric Co., lamps, 1 93 John H. Griffin, insurance, 33 00


Apr. 2, Israel Beauchaine, wood, 15 00


Philip Labranche, Jr., supplies 11 30


16, Israel Beauchaine, wood,


5 00


May 7, Newmarket Electric Co., lights and supplies, 28 55


Israel Beauchaine, wood, 10 00


21, Newmarket Electric Co., lamps, 10 73


July 16, Newmarket Electric Co., sup- plies, 3 87 1


Aug. 6, A. F. Priest, flags, 60 00


Newmarket Electric Co., lights, 1 79


20, C. A. Clement, labor and material, fixing roof, 50 00


Oct. 1, Newmarket Electric Co., lights, etc. 9 74


13


Nov. 19, Israel Beauchaine, wood, $ 9 50


Dec. 3, Newmarket Electric Co., lighting, 20 52


17, J. E. Kent, coal, 117 19


Israel Beauchaine, wood, 4 00


1919.


Jan. 7, A. J. Turcotte, supplies as per bill 51 60


1 Israel Beauchaine, wood, 4 00


21, Newmarket Electric Co., lighting, 21 39


Philip Labranche, Jr., oil and brooms, 13 65


31, M. H. London, table, 3 50


Total expenditures, $497 01


From miscellaneous fund, 497 01


PROTECTION OF PERSONS AND PROPERTY.


POLICE DEPARTMENT.


1918.


Feb. 19, John A. Gordon, services, $30.00


Frank A. Brackett, services, 16 20


1 George M. Mathes, services, 31 75


Mar. 5, John A. Gordon, services, 30 00


Frank A. Brackett, services, 15 70


George M. Mathes, services, 30 00


19, George M. Mathes, services, 30 00


Apr. 2, Frank A. Brackett, services, George M. Mathes, services, 40 00 John A. Gordon, services, 45 00


40 00


16, George M. Mathes, services, 45 00 Frank A. Brackett, services, 30 00


May 7, George M. Mathes, services, 45 00


14


May 7, Frank A. Brackett, services, $30 00


21, Frank A. Brackett, services, 30 00 Israel Beauchaine, hauling rubbish from police station 7.00


Cyprien Grandmaison, feed- ing prisoners, 11 00


George M. Mathes, services, 45 00


June 4, George M. Mathes, services, 45 00 Frank A. Brackett, services, 30 00


30 00


18, Frank A. Brackett, services, George M. Mathes, services,


45 75


July 2, George M. Mathes, services, 45 70 Frank A. Brackett, services, 30 00


30 00


16, Frank A. Brackett, services, George M. Mathes, services, 47 00


45 00


Aug. 6, George M. Mathes, services, Frank A. Brackett, services,


30 00


20, Frank A. Brackett, services, 30 00 George M. Mathes, services, 45 00


Sept. 3, George M. Mathes, services,


45 00


Sept. 17, George M. Mathes, services, 45 00


Oct. 1, George M. Mathes, services,


45 00


Oct. 15, George M. Mathes, services,


50 00


Nov. 5, George M. Mathes, services, 75 00


Nov. 19, George M. Mathes, services, 50 00


Dec. 3, George M. Mathes, services, 50 00


Dec. 17, George M. Mathes, services, 1919.


50 00


Jan. 7, George M. Mathes, services, 75 00


21, George M. Mathes, services, 50 00


Total expenditures, $1,540 10


Appropriation, 1,700 00


Balance on hand, $159 90


-


15


FIRE DEPARTMENT.


1918.


Mar. 19, Newmarket Electric Co., supplies, $ 8 73


John H. Griffin, insurance, 25 86


Apr. 2, Joshua Shepley, services Gran- ite Hose Co., 200 00


H. G. Philbrick, services Fire Engineers, 82 00


George M. Mathes, services


Hook and Ladder Co.,


150 00


Charles M. O'Connor, services as clerk of Tiger Hose Co., 200 00 16, R. W. Scott, work on fire alarm, 4 00


May 8, William L. Caswell, services steward Tiger Hose Co., 17 00


Newmarkett Electric Co., labor and lights, 6 20


21, Newmarket Electric Co., bolts and lags, 1 40


M. T. Kennedy, eleven men to brush fire, 15 00


R. W. Scott, repairs, etc. 3 75


July 2, John H. Edgerley, fighting fire, 2 50


16, R. W. Scott, labor, 3 75


Newmarket


Electric


Co.,


lighting hose houses, 2 50


A. F. Priest, ladder, 7 75


Aug .. 6, Newmarket Electric Co., lighting, 2 50


Sept. 17, Albert Pinkham, painting fire alarm, 3 50


Oct. 1, George M. Mathes, services Hook and Ladder Co., 150 00


16


Oct. 1, Joshua Shepley, services Gran- ite Hose Co., $200 00


Newmarket


Electric


Co.,


lights and fixtures,


52 29


Michael Barrett, salary and expense, 80 00


15, Charles M. O'Connor, clerk Tiger Hose Co., 200 00


Gamewell Fire Alarm Co., vitriol and zinc 94 23


Newmarket National Bank, as per bill, 21 60


Nov. 19, Frank Atherton, steward Gran- ite Hose Co., 12 00


Herbert Smart, driver Hook , and Ladder Co., 25 00


Dec. 3, Newmarket


Electric Co.,


lighting,


5 00


A. N. Dearborn, care of fire alarm batteries, 50 00


J. E. Kent, coal, 23 72


J. E. Kent, use of horses, 50 00


1919.


Jan. 21, Newmarket Electric Co., lighting hose houses, 2 50


Frank E. Lang, labor, 6 00


31, Fred W. Knight, automobile


service attending fires, 85 00


Albert


Pinkham, watching


fire,


1 25


Total expenditures, 1,795 03


Appropriation, 2,000 00


Balance on hand, $204 97


17


MOTH EXTERMINATION:


1918.


Aug. 6, Richard Clay, spraying trees, Appropriation, 100 00


$ 66 00


Balance on hand, $44 00


PINE BLISTER RUST


-


1918.


Aug. 20, A. B. Hastings, acting State Forester, for labor, -


$200 00


Appropriation,


200 00


DAMAGE BY DOGS


1918.


Mar. 5, J. A. Edgerley, hens killed by dogs, $ 6 75


Nov. 19, Perley Young, sheep killed, 25 00


Total expenditures, $31 75


HEALTH AND SANITATION. HEALTH DEPARTMENT.


1918.


Feb. 19, M. T. Kennedy, supplies fur- nished R. Magnan (diph- theria case), $ 23 52


Apr. 2, Edward Dyer, killing and burying dog, 2 00


May 7, Estate of C. E. Tasker, ser- vices as health officer and disinfecting 136 00


20, Willard N. Munroe, transpor-' tation of N. Rodier, 10 00


20, Dr. L. P. Beaudett, medical attendance, (diphtheria case), 15 00


18


Oct. 1, W. F. Richards, burying dog, $ 1 00 1919.


Jan. 31, Dr. Geo. H. Towle, Jr., health officer and disinfecting 144 45 F. H. Durgin, supplies fur- nished (diphtheria case) 11 63


Total expenditures, $343 60 Appropriation, $200 00


From miscellaneous fund, 143 60


$343 60


1918. VITAL STATISTICS. Mar. 5, Dr. L. P. Beaudett, vital stat- istics, $ 3 50


19, Dr. J. D. Butler, vital statistics 31 50


Sept. 3, Dr. A. J. Monge, vital statis- tics, 3 75


Nov. 5, Dr. L. P. Beaudett, vital stat- istics, 10 001


Total expenditures, $48.75


From miscellaneous fund,


48 75


1918. SEWER MAINTENANCE.


Apr. 16, William L. Caswell, labor, $81 50


July 2, William L. Caswell, labor, 18 00


Sept. 3, William L. Caswell, labor, 13 50


Dec. 3, William L. Caswell, labor,


7 00


1919. Jan. 31, Willey and Towle, land damage, 25 00


Total expenditures, $145 00


Appropriation, 400 00


Balance on hand, $255 00


19


HIGHWAYS AND BRIDGES.


TOWN MAINTENANCE, (WINTER).


1918.


Feb. 19, Alphonse Roy, labor, (snow bills), $ 60 48


Mar. 5, George A. Bennett, labor, (snow bills), 104 25


Alphonse Roy, labor, 19 15


19, George A. Bennett, labor, 27 25


1919.


Jan. 21, Alphonse Roy, labor, 40 39


Fred E. Sanborn, labor, 18 34


$269 86


TOWN MAINTENANCE (SUMMER).


1918.


Feb. 19, George A. Bennett, labor and


planks, $147 00


Mar. 19, Alphonse Roy, labor, 56 49


Apr. 2, Alphonse Roy, labor, · 53 86


16, Alphonse Roy, labor, 23 50.


May 7, Alphonse Roy, labor,


57 10


21, Alphonse Roy, labor, 199 13


28, Fred E. Sanborn, labor, 28 00


June 4, Alphonse Roy, labor, 99 85 Fred E. Sanborn, labor, 31 00


18, Alphonse Roy, labor,


41 30


131 95


July 2, Alphonse Roy, labor, Fred E. Sanborn, labor,


201 30


16, Fred E. Sanborn, labor, 116 40


. Alphonse Roy, labor, 73 65


Aug. 6, Alphonse Roy, labor, 28 68


Fred E. Sanborn, labor, 17 35


20, Alphonse Roy, labor, 94 75


20


Sept. 3, Alphonse Roy, labor, $ 99 87


Fred E. Sanborn, labor, 118 20


17, Fred E. Sanborn, labor, 229 80


Alphonse Roy, labor, 96 75


Oct. 1, Alphonse Roy, labor, 155 79


Albert Pinkham, painting bridge, 9 25


15, Alphonse Roy, labor, 91 48


Nov. 5, Alphonse Roy, labor, 106 60


Fred E. Sanborn, labor, 86 00


19, Fred E. Sanborn, labor, 234 00


Alphonse Roy, labor, 30 17


Dec. 3, Alphonse Roy, labor, 124 75


Fred E. Sanborn, labor, 219 80


17, Fred E. Sanborn, labor, 102 07


Alphonse Roy, labor, 64 98


1919.


Jan. 7, Alphonse Roy, labor, 53 53


Fred E. Sanborn, labor, 68 29


Total expenditures, $3,292 64 1


1918. STREET LIGHTING.


Mar. 19, Newmarket Electric Co., $204 50


Apr. 2, Newmarket Electric Co., 204 50


May 7, Newmarket Electric Co., 211 08


June 18, Newmarket Electric Co., 229 50


July 16, Newmarket Electric Co., 211 08


Aug. 6, Newmarket Electric Co., 212 33


Oct. 1, Newmarket Electric Co., 422 16


Dec. 3, Newmarket Electric Co.,


422 16


1919.


Jan. 7, Newmarket Electric Co., 211 08


Total expenditures, $2,328 39


Appropriation, 2,500 00


Balance on hand, $171 61


21


GENERAL EXPENSE OF DEPARTMENT.


1918.


Mar. 5, D. J. Brady, labor and sup- plies, $ 88 25


Apr. 16, Boston & Maine R. R., freight on grader, 6 60


May


7, J. N. Carpenter, bridge plank, 100 00


July 2, Dyar Supply Co., road grader, 515 00


Dec. 3, The Good Roads Machinery Co., snow plow, 75 00


17, George H. Willey, paid on sprinkling streets, 500 00


Total expenditures, $1,284 85


Appropriation for sprinkling streets, 400 00


From miscellaneous fund, 884 85


1


$1,284 85


EDUCATION.


LIBRARY.


1918.


Aug. 6, Mrs. A. C. Haines, Treasurer, $200 00


Dec. 3, Mrs. A. C. Haines, Treasurer, 200 00


1919.


Jan. 31, Mrs. A. C. Haines, Treasurer, 100 00


Total expenditures, $500 00 Appropriation, 500 00


22


-


CHARITIES.


1918. TOWN POOR.


· Feb. 19, Wm. E. Ritchie, rent for Thomas Bresnahan $14 00


Apr. 16, Wm. E. Ritchie, rent for Thomas Bresnahan 12 60


May 7, Rockingham County Farm, board of Charles French, 38 00


Rockingham County Farm, board of Alphonso White- horn, 50 00


21, Estate of C. E. Tasker, burial, expense of Alphonso White- horn, 35 00


July 2, Rock. Co. Farm, board of Chas. A. French, 36 00


Rock. Co. Farm, board of Thomas Bresnahan, 48 00


Nov. 19, F. H. Durgin, groceries fur- nished Joseph Demers, 65 29


F. H. Durgin, rent of tene- ment to Joseph Demers, 32 00


Dec.' 3, Rock. Co. 'Farm, board of Thomas Bresnehan, 84 00


1919.


Jan. 7, Philip Labranche, Jr., grocer- ies furnished Mrs: Thomas Levesque, 10 25


C. E. Tasker Estate, burial expense of Thomas Levesque, 64 00


Total expenditures, $489 14


Appropriation, $400 00


From miscellaneous fund,


89 14


$489 14


.


1


23


PATRIOTIC PURPOSES. MEMORIAL DAY EXERCISES.


1918.


June 18, A. C. Haines,


$200 00


Appropriation,


200 00


RECREATION.


1918. BAND CONCERTS.


Sept. 17, Joseph Vanderhole,


$200 00


Appropriation, 200 00


PUBLIC SERVICE ENTERPRISES.


1918.


WATER UTILITY.


Dec. 17, Newmarket Water Works,


$2,608 00


Appropriation,


$2,500 00


From miscellaneous fund,


108 00


$2,608 00


CEMETERY.


1918.


May 7, Estate of C. E. Tasker, care of


Cemetery, 1917, $441 00


1919.


Jan.


7, Albert H. Brown, care of


Cemetery,


447 50


Total expenditures,


$888 50


Appropriation,


$300 00


From miscellaneous fund,


588 50


$888 50


LEGAL SERVICES.


1918.


Dec. 3, I. T. George, Esq.,


$65 25


From miscellaneous fund, 65 25


24


INTEREST.


1918.


Feb. 19, William A. Tasker, interest on note, $ 17 50


Apr. 2, Mary J. Birmingham, interest . on note, 28 00


May 7, Newmarket National Bank, interest on water bonds, 35 00


-


Newmarket National Bank, interest on sewer bonds, 96 25


Newmarket National Bank, interest on note, 151 50


21, Newmarket National Bank, interest on sewer bonds, 19 25 Newmarket National Bank, interest on water bonds, 87 50


June 18, Newmarket National Bank, interest on water bonds, 175 00


July 2, Newmarket National Bank, interest on water bonds, 35 00


16, Newmarket National Bank, interest on sewer bonds, 21 00


Aug. 20, Herbert R. Haines, interest on note, 40 00


Oct. 15, William M. Simpson, interest on note, 94 00


Nov. 5, Newmarket National Bank, interest on sewer bonds, 8 75


19, Newmarket National Bank, interest on note, 151 20


Newmarket National Bank, interest on water bonds, 35 00 5 Newmarket National Bank, interest on sewer bonds, 52 50 Dec. 3, Newmarket National Bank, interest on sewer bonds, 63 00


25


Dec. 3, Newmarket National Bank, interest on water bonds, $ 52 50 1919.


Jan. 7, William A. Tasker, interest on note, 17 50


21, Newmarket National Bank, interest on sewer bonds, 19 25 Newmarket National Bank, interest on water bonds, 245 00


31, Newmarket National Bank, interest on sewer bonds, 21 00


Total expenditures, $1,444 40


Appropriation, $1,000 00


From miscellaneous fund,


444 40


1


$1,444 40


NEW CONSTRUCTION AND IMPROVEMENTS.


STATE AID CONSTRUCTION. .


1918.


Mar. 5, D. J. Brady, labor and sup- plies, $ 31 50


Apr. 2, Fred E. Sanborn, as per bill, 116 33


16, Frank Morin, labor, 18 00


16, Fred E. Sanborn, as per bill, Fred E. Sanborn, as per bill,


156 00


May 7, Fred E. Sanborn, as per bill,


229 50


May 8, Fred E. Sanborn, as per bill, 423 00 21, Fred E. Sanborn, as per bill, 59 50 June 4, Fred E. Sanborn, as per bill, 30 50 18, Fred E. Sanborn, as per bill, 175 50


Aug. 6, Fred E. Sanborn, as per bill, 31 90 Nov. 5, Fred E. Sanborn, as per bill, 66 50


Total expenditures,


$1,510 73


172 50


26


1918. INDEBTEDNESS PAYMENTS. Nov. 19, Newmarket National Bank, water works bonds,


$4,000 00


Appropriation,


$2,000 00


From miscellaneous fund,


2,000 00


$4,000 00


PAYMENTS TO OTHER GOVERNMENTAL DIVISIONS.


1918. COUNTY.


Dec. 3, Stewart Everett Rowe, Treas., county tax, $4,102 41


Appropriation, 4,102 41


1918.


SCHOOL DISTRICT.


Mar. 19, Frank H. Pinkham, Treas. 1,000 00


Apr. 16, Frank H. Pinkham, Treas. 1,000 00


May 21, Frank H. Pinkham, Treas. 1,500 00


Aug. 20, Frank H. Pinkham, Treas. 3,000 00


Oct. 1, Frank H. Pinkham, Treas. 2,000 00


Nov. 19, Frank H. Pinkham, Treas. 2,000 00


1919.


Jan. 31, Frank H. Pinkham, Treas. 5,748 50


Frank H. Pinkham, Treas., dog licenses, less damage, 68 45


Total expenditures, $16,316 95


1918.


NEWFIELDS SCHOOL TAX.


Nov. 19, H. G. Burley estate, $30 50


1919.


Jan. 7, John F. Sanborn, 26 84


Total expenditures, $57 34


Respectfully submitted, MATTHEW T. KENNEDY, Selectmen FRED E. DOE, of


PHILIP LABRANCHE, JR. Newmarket.


27


MUNICIPAL COURT.


REPORT OF JOHN F. BROWN, Judge of the Municipal Court of Newmarket, N. H.


NEWMARKET, N. H., Feb. 6, 1919.


TO THE TOWN OF NEWMARKET:


The undersigned presents the following report:


To the income from fines and fees from


January 31st, 1918, to February 6th, 1919 $132 00


Received for service as Justice,


100 00


Paid for transportation of prisoners to the County Farm 6 00


Paid for drawing twelve Complaints and


Warrants, at $1.50 each 18 00


Total expenditures


$124 00


Paid Town Treasurer, February 6th, 1919, 8 00


$132.00


Respectfully submitted,


JOHN. F. BROWN.


28


REPORT OF CHAS. M. O'CONNOR, Collector of Taxes. NEWMARKET, N. H., Jan. 31, 1919.


TO THE TOWN OF NEWMARKET:


The undersigned presents the following report:


Rate list of 1916, $407 41


Interest, 17 50.


$424 91


Abatements, $ 24 00


Paid Joseph O. Turcotte, Treasurer,


400 91


$424 91


Respectfully submitted,


CHARLES M. O'CONNOR, Collector of Taxes.


We, the undersigned, Auditors of the Town of New- market, have examined the foregoing account, and found it correctly cast, with corresponding vouchers.




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