Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To...

16
TOWN OF SUDBURY ONTARIO Financial Statement From December 16, 1926 To November 15, 1927 (Printed by The Sudbury Star)

Transcript of Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To...

Page 1: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

TOWN OF SUDBURY ONTARIO

Financial Statement

From December 16, 1926 To November 15, 1927

(Printed by The Sudbury Star)

Page 2: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

,

..........

P

ER

CA

PIT

A C

OM

PA

RIS

ON

OF

AS

SE

SS

ME

NT

, T

AX

LE

VY

AN

D A

RR

EA

RS

OF

TA

XE

S

'Tow

ns a

nd C

itie

s P

opul

atio

n P

er C

apit

a A

sses

smen

t qq

Per

Cap

ita

Tax

Lev

y P

er C

apit

a A

rrea

rs o

f Tax

es

----

----

----

---

----

----

----------------------------

----

----

--19

24

1925

19

26

1924

19

25

1926

19

24

1925

19

26

1924

19

25

1926

--

----

----

-----

----

----

----

----

----

----

----

----

----

----

----

--B

arri

e ....

......

......

......

......

......

....

7,2

16

7,42

9 7

,339

$

561.

00$

548.

00$

610.

00 $

24

.41

24.4

6 26

.55

$ 7.

30$

6.74

$ 5.

23'

Cob

alt .

......

......

......

......

......

.....

4,38

4 4,

678

4,67

8 4

19.0

0 28

7.0

0 29

3.00

.

18.3

4 18

.84

22.0

3 7.

04

4.41

4.

41

Cop

per

Clif

f ...

......

......

......

.....

2,58

9 2,

605

2,63

8 1,

303.

00 1

,298

.00

1,27

4.00

21

-13

22.0

4 21

.65

.76

.40

.33

Mid

land

......

......

......

' ... : .

......

.....

7,34

6 8,

060

8,0

85

673

.00

625.

00

646

.00

26.2

2 24

.94

27.2

0 5.

46

5.5

8 6

.15

Ori

llia

......

......

......

......

......

......

:.

8,04

7 8,

000

8,14

7 58

3.0

0 58

5.0

0 58

2.0

0 29

.36

30.6

8 31

.18

4.62

5

.60

7.1

2 P

embr

oke .

......

.....

......

......

......

9,

214

9,2

14

9,01

0 51

4.00

64

5.00

65

1.00

29

.83

31.7

2 36

.19

13.4

1 13

.65

16.6

5 S

turg

eon

Fal

ls ..

......

......

... , ..

.. 4,

418

4,

903

5,04

4 59

2.00

44

7.00

43

4.0

0 24

.88

22.5

6 22

.65

5.24

6.

61

6.96

S

andw

ich

......

......

......

......

......

.. 6,

059

7,03

5 8,

077

1,17

2.00

1,2

43.0

0 1,

161.

00

60.7

0 58

.12

54.9

4 25

.98

23.1

5 19

.70

q N

orth

Bay

.....

.....

......

......

.....

. 13

,011

13

,007

14

,648

56

4.00

56

3.00

53

6.0

0 29

.07

28.1

1 32

.08

2.61

2.

85

2.72

q

Sau

lt S

te. M

arie

......

......

......

.. 22

,063

22

,003

21

,766

1,

037.

00 1

,057

.00.

1,04

6.00

32

.82

34.3

8'

35.1

3 22

.25

22.4

9 23

.41

Tim

min

s ....

......

......

..... ,

......

....

12,2

93

13,0

11

13,0

11

420.

00

447

.00

450.

00

23.7

6 27

.77

26.0

0 5.

41

7.21

10

.38

q T

oro

nto

......

......

......

......

......

....

542,

417

549

,429

55

6,69

1 1,

565.

00 1

,590

.00

1,58

9.0

0 49

.27

49.2

8 48

.85

11.8

2 11

.10

10.4

1 q

Po

rt A

rth

ur .

....

......

......

.....

....

17,0

21

17,0

21

17,4

13

1,19

1.00

1,2

66 .. 0

0 1,

295

.00

48.2

7 53

.42

56.0

3 70

.72

73.2

4 59

.73

qF

ort

Wil

liam

......

......

.... ! .

....

....

22

,220

22

,339

22

,518

1,

257.

00 1

,334

.00

1,36

3.0

0 47

.93

51.3

8 51

.08

24.9

8 26

.12

25.6

6 q

Su

db

ury

......

......

......

......

.....

.....

9,56

7 9,

607

9,74

8 65

4.0

0 6,

78.0

0 67

1.00

33

.36

32.5

2 3 1

.21

19.5

2 17

.75

14.3

0 --------

----

Ass

essm

ent,

192

7 .. $

64

2.0

0 P

er

Cap

ita

Tax

'P

er C

apit

a A

rrea

rs

q S

udbu

ry,

1927

-P

opul

atio

n 10

,300

L

evy,

192

7 ....

,.$

29.7

2 of

T

axes

, N

ov.

15,

1927

......

......

",,$

14.

39

q A

rrea

rs o

f T

axes

Inc

lude

Lan

ds h

eld

on a

ccou

nt

of T

ax S

ales

.

qqP

er

Cap

ita

Tax

Lev

y in

clud

es P

rop~rty

Ow

ners

sh

are

of

Loc

al

Impr

ovem

ents

.

Page 3: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

,.

The Town of Sudbury Ontario

November 22nd, 1927.

His Worship the Mayor and Town Council, The Town of Sudbury, Ontario.

Gentlemen :-

I beg to present the Financial Statement for the period from December 16th, 1926, to November 15th, 1927.

There has been a steady growth in population and building in Sudbury for the past three years and more particularly in 1927, the Assessor this year showing the population as more than 10,000 for the first time. It is therefore only natural to point out that the costs of the operation of all of the Town's services are also growing proportionately, this will be particularly noticeable in the Public Utilities services, our accoUnt for power for 1928 will be $60,840.00 at the present rate of consumption. This is $13,000.00 more than cost for 1927 and $24,000.00 more than cost for 1926. To offset this, of course, our Revenue from this source is increasing proportionately.

During the year an important adjustment was made in the books of the Town to carry out the recommendations of our Auditors.

Prior to December 31st, 1922, the Revenue account and General Fund were credited with Debenture Installments paid, to offset which arbitrary Depreciation was written off the Capital Assets.

In order to correct this Debenture Installments paid, amounting to $349,986.00, were charged to the General Fund and credited to the Capital Asset Reserve and Depreciation amounting to $249,401.43 which had been written off was charged to our Capital Assets and credited to the General Fund.

On pages 3, 4 and 5 of this Report are charts showing the division of the Tax Rate for 1927 and comparisons with other years, and on page 6 I have prepared a chart showing the population, the per capita assessment, the per capita Tax Levy and the per capita Arrears of Taxes on December 31st, of each year for a number of towns and cities in Ontario, in order that comparison may be made with the Town of Sudbury for the years 1924, 1925 and 1926.

During the year Debentures to the amount of $135,775.00 were sold, the Town receiving the best price ever obtained for the sale of its bonds.

In conclusion I may say that the Town of Sudbury .at this date finds itself in a very prosperous condition, ready to meet the great expansion and prosperity which the future will bring.

Yours very truly, H. R. GRANT,

Town Treasurer.

Page 4: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

Town of Sudbury l i:§2 '7

A. J. SAMSON, Mayor

STANDING COMMITTEES

FIRE, WATER AND LIGHT

D. Drybrough, Chairman D. W. Jessup A. Lafrance

ROAD, STREETS AND BRIDGES

D. W. Jessup, Chairman C. Bibby J. L. Robert

FIN kNCE

C. Bibby, Chairman A. Lafrance G. M. Miller

RELIEF

A. Lafrance, Chairman D. Drybrough G. M. Miller '

PROPERTY AND ASSESSMENT

G. M. Miller, Chairman C. Bibby J. L. Robert

MARKET

J. L. Robert, Chairman D. Drybrough D. W. Jessup

The Mayor is Ex-Officio a Member of All Committees

Page 5: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

DIVISION OF T;t?X R,qre­/927

TtJTIfL 41) MILLS P~BLIC

SCHOOL JVPPOIfTLR.5

TomL 49 Alii-iS SEP;9RI'?T£ SCHOOL

.5I1PP()KTENS

Page 6: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

1" ..• .

i TaX LEVY /327 POP(,/~,.qT/ON /o~oo

ron · GENER/I~

P(.//i' P 005£ oS --t~11mI-

r-OR SCHOOL

PURPOSES

p~" CII~/rA

8//9,/69.85- '11.57

165.341.88 - /6.05

TOT,;t1L LEVy-·-t28~511.73 127.62

O/VI.:5/0N or ~8S.e.5'8M£Nr /927

~ t\i SEPR/?/ln N tri 6ClltJo~ C\I t\l'

" J\. ~ ~ 0\ '" '<)

~ ~ ~' ~' <\l <\l . ()j PI/.I!.LIC ~ . \() \0

~ oCIlO()~ \0

~ \D' " 19 ~ ~' ~: ~ ~

GEN£RAL. H/fSN SCHOOL $CHODL SCHOOL PURPOS£S T&C/(HIC"'~ OEB£NTVR~.s /YfAINT..FNRNCI

PPHHS SCHOOL -t,/SRRRY

Page 7: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

COMPRR/SON OF TRX flRre.s 1921-192 7 r---

r-

I--,.--

I--

1--10-,...... I--t--

I--., ,,22 192~ 1924- /121; 1!/26 11927 1921 /922 /923 /924 V9~ 1926 ~D '

~ • ., V) W) W) II)

~ ... ... .... '" .... .... ~ ~ ~ ~ ~ ~

~ ~ ~ ~ ~ ~ ~ It ~ ~ ~ ~ . ~ ~ N N '0 't' ~ ~ ~ 't 't ~ ~ \t ~

11'1 II) W) II) I/) II) In -4 ... ... " " " " ...

~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~ ~

S) .

~ ~ ~ ~ ~ ~ !"i ~ 0\ ~ \(\ ~ ~ 'q \(:\ ~

PUBLIC c.fCH~L RA'T£c5 6'EPRR/'lTL ~CHOt:U. /?/lTLS

COMPRRISON OF 7'#X£,s Ot/TSr/1NOIN6 DZC. /5

1~24

t /8aS/().I1J

Dec. /5

/92.5

DEC. /S

/sa6

NOV 15

/92.7

,z/S.s:39199 ' 11120.239.36 §f12a511J.3Z

Page 8: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

SUMMARY OF EXPENDITURES AND RECEIPTS

. December 16th, 1926, to November 15th, 1927

RECEIPTS Taxation-

General Taxes ... ... .. ................................... .............. .................. .. ..... $

Public Utilities-Light, Heat and Power Rates ...... ................... .. ..... $ 124,846.24 Water Rates....... ................................ ... ... .... ........... .. 40,639.54 Sundry Accounts Receiva ble..... ............................. . 4,166.80

Law Enforcement-Police Court Fines and Fees .. .. ............................ . . Licenses ...................................... .. ................... ........ .. .

Treasurer's Department Sundry Receipts-Miscellaneous Revenue ....................................... .... . Board of Health ......................... .......... .................... . lVlarket ... ............. , .......................................... .......... .. . Sale of Debentures ................................................. .

Treasurer's Department, Sundry Refunds, Etc.-Tax Sales Redempt ion .. ............ ....................... ...... . Dishonored Cheques .......... ..................... ................ . Refunds of Maint. Accounts ........ ............. ............ .

Housing Commission-Prov~n.cial Hous~ng Comm~ss~on ........ .................... $ MUDlclpal Housmg CommIssIOn ........................... .

11 ,212.50 5,110.50

871.50 2,684.15 1,370.75

134,884.40

1,100.76 267.39 631 .44

10,633.19 14,582.08

Total General Receipts................... ........................................... .............. $ Adva nces from Bank on Demand Notes .... ............ ........ ..................... .

\ Reconciliation of Cash Book-Cash on hand December 16th, 1926 ..................... $ 2,508.03 Receipts., ................................................... .... ....... ...... 1,126,210.95

$1,128,718.98 Deposits ........... .......... ............ ................................... 1,127,361 .'12

Cash on Hand November 15th, 1927 .................... $ 1,357.56

Page 9: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

SUMMARY OF EXPENDITURES AND RECEIPTS December 16th, 1926, to November 15th, 1927

EXPENDITURES Admlnlstration-

~~nell, Town Hall Maintenance, Market, Law Insurance, Audit, Postage, Etc ....... ...... $

_~ ..... ___ ' on Demand Notes .. .. .............................. .. 24,453.02 6,448.55

------ $ Light Department Maintenance .. .... .. .. ..

ectric Light Department Power .... : ... , ............. ..

aterworks Department Maintenance ................ $ aterworks Department Power .......................... ..

23,433.39 37,775.00

16,569.71 5,775.00

wer Department Maintenance............................ 7,394.64 Roads, Streets and Bridges...... ...................... ........ 44,207.77

.. Stores Department Maintenance.................... ...... 2,558.64 Stores Department Purchases................................ 24,188.49

....... n-

~:~: g:~~~~.~~.~ .. ~ ..... ::::::::::::::::::::::::::::::::::::::::::::::$ 1~:~~g:g6 Fin! Department...................................................... 13,957.15

reet Railway Crossings.................. ................ ...... 1,433.18 Welfare- --_.

Public Health Department .. .. .. : ....................... ...... $ 3,660.53 Garbage and Night SoiL..... .................... ... ........... 8,186.88

Maintenance of Inmates in Hospitals and Homes $ 6,133.50 Maintenance of Destitute Families...... ......... ....... 3,324.59

Grants to Children's Aid Society .......................... $ Grants to Victorian Order of Nurses ........... ....... .. Miscellaneous Grants .. ............. ............................. ..

Parks and Recreation ........................ .................... .. $ Public Library .. .. .... ................ ... ............................. ..

1,658.00 1,000.00 2,585.00

3,648.65 2,600.00

f SdIooIs-Public School Board ................................................ $ 49,500.00 Separate School Board.............. .............................. 55,390.86 High School Board.. .... .......... ................................ .. 35,000.00

...., Rerunds and Payments- ------Tax Redemption and Taxes .................................... $ 2,213.68

~!i~~rc~~~i;~~~::~~.·.::::: :: : : ::::::::: : : : : : :: : ::: ::::: ::: :: :: : 15:g~:~5 Debenture Instalments....... ...... .............. ............... .. 78,632.90 Debenture Interest.. .. .............................................. 53,076.97 Miscellaneous Refunds... ............ .... ........... .............. 494.10 Deposits and Holdbacks.......................................... 822,75

c.,ItaJ Expenditure- ------Paving ........... .. ......................... ...................... ............ $ 14,346.93 Cement Walks .... .......................... ............................ 9,360.05 Waterworks ...... .. ............................ .......................... 17,707.99 Sewers ...... ............. ... ............ ... ................ _.... .............. 17,768.64 Electric Light Department............................. ....... 38,499.76 Bridges ...... .. .... .......................... ............................... 17,680.58 Ml'morial Park..... ............... ..................... ........ .... ..... 7,035.24 Sundry CapitaL ...... :.................. .... .......................... 1,414.68

------ $ Total General Expenditure ..................................................... ........... .... $ Demand Notes Repaid .............. ........................................ ............... ..... ..

30,901.57

61,208.39

22,344.71

51,602.41

26,747.13

33,354.87

11,847.41

.5,243.00

6,248.65

139,890.86

150,742.25

123,813.87 673,403.21 445,000.00

$1 ,118,403.21 9 For Maintenance only of High School and

Public School Boards. Payments of Interest and Principal on Debentures are included in amount shown as Debenture Interest and Insta.lments.

IN Stores Depa.rtment Purchases distribu ted to Sundry Accounts by Journal Entry.

Page 10: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

CURRENT BALANCE SHEET As at November 15th, 1927

CURRENT ASSETS Cash on Hand and in Bank____________________ __________________ ____ __ _________ __ __ __________ $ 14,834.70

5,328.39 10,308.22 1,906.71

120,518.32 9,134.30

27,750.42

Accounts Receivable ______ ____ ______ __________ ____ ______ __ __ _____ _____ _____________ _________ __ ___ __ _ Accounts Receivable Public Utilities ___ ____ ____ ----------- -- ---------------------__ __ __ _ Dishonored Cheques (Paid November 16th, 1927) ___ ______________________ __ _

~~~~:g Tc~:~i~~i~~::~_-_-_~ ::::::::: ::::::: : :::: : ::::::::: : ::::: :::: : : :::::::::::::: :::::::: :: :: ::: Lands held on acc. Tax Sales ________ _______________ ___ _____ ___ __ ___ __ _____ __ ______ __ _______ _

Inventories of Merchandise and Stores General Stores __ ___ ____ _____ ___________________________ ___ __ _______ ___ _____ ___ __ $ 20,512.92 Roads, Streets and Bridges __ _________ ___ __ ______ _____ ____ . ________ .___ 8,352.61

28,865.53

Expenditures on Capital Improvements not Debentured Concrete Walks __ _______ ____________________________________ __ _________ ____ ____ $ 10,044.56 Bridges __ __ __ ______ _________ ___________ _____________ ___ ____________________ __________ 17,987.59 Electric Light Department ___ ________________ ___ ___ _________ ______ ____ 31,308.77 Paving______ _____ __ ___ ____________ ________ __________________________ ___ _______________ ·· 16,888.77 Sewers __ ___________ ._____ ___________ __ ____ __ ________________________________ _______ ___ 7,744.48 Water Mains ______ _____ _____ __ ________ __ ___ ____ ____ 0__ _______ ______ ___ __ ____ ____ 25,244.93 Miscellaneous ___ __________ __ __ _____ __ __ _________ _____ ______ ______ ____________ "__ _ 4,175.69

CAPITAL BALANCE SHEET As at November 15th, 1927

CAPITAL ASSETS Electric Light Department. _______ __ ___ ___ ___________ ___________ _____ _ $ Municipal Buildings, Fire Hall and Site __ ______ ___ __ ___ ___ __ _ Fire Hall Equipment, Horses and Alarm System _____ __ _ Roads, Streets and Bridges ______ ____ _________ ____ ______ ________ ______ _ Sewers, Sewage, Pumping Station, etc. ______ _____ __ __________ _ Sidewalks ____ __ ___ ___ _________ ___ ___ __ __ _______________________ ____________ __ _____ _ Waterworks System ____ ___ _______ ____ __ ___________________________________ 0

Parks Department.. _________________ ______ ___ ___________ _______ __ ___________ _ Sundry Capital Assets _____ ____ ____________________ _______ ______ ____ _____ _

Less Capital Expenditure to be Recovered by De-benture Issues (see Current Balance Sheet) ___ _

273,429.45 90,807.33 30,647.81

451,210.81 292,687.24 174,198.76 441,451.84 49,953.58 25,125.78

Public School Property _____________________ ___________________ _________ ___ $ 125,768.04 High School Property____ ___ ______ ___________ _____________________ __ ______ _ 93,479.04

Municipal Housing Commission ___ ___ _________ ___ ______ ____________ $ Provincial Housing Commission ___ __ ___ ___ ____ ____ ____ _____ ___ ____ _

Sinking Funds-Parks Commission ________ __ ______________ _________ ________________ ___ $ Municipal Housing Commission __ ___________________ ______ _ Local Improvements ___ _____________ __ ____ _________________________ _

117,699.50 103,104.60

7,024.94 2,197.79 4,833.94

Assets from Current Balance Sheet ______ ___________ __ _____ ___ _____ ____ . ___________ ____ _ _

113,394.79

$ 332,041.40

$1,829,512.60

113,394.79

$1,716,117. 1

219,247.08

220,804.10

14,056.67

$2,170,225.68 332,041.40

$2,502,267.08

Page 11: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

CURRENT BALANCE SHEET As at November 15th, 1927

CURRENT LIABILITIES Advances from Bank for Capital Expenditures .......... $ 115,000.00 Advances from Bank for Current Expenditures.......... 60,000.00

UDealled for Cheques ..................................................... .

Aaraed Charges-Wages ........................................................................ $ Accounts Payable ................................................... . Power Service ........................................................... . Reserve for Undisclosed Liabilities ....................... .

5,745.40 7,768.47 4,305.38 3,000.00

Unpaid Levies ................................................................................. . Relerve for Debenture Interest Maturing in 1928 collected in 1927

(includes due and unpresented Coupons November 15th, 1927) ............................................................................................. .

Relerve for Debenture Principal (as above) .......................................•

Excess of Current Assets over Current Liabilities ............................. .

CAPITAL BALANCE 'SHEET As at November 15th, 1927

CAPITAL LIABILITIES

Debenture Liability (exclusive of Housing Com-mission Debentures) ............................................ $1,057,740.52

las Amount Levied in 1927 to meet Debentures accruing due in 1928 (see Current Liabilities) 31,643.67

Debenture Liability re Municipal Housing Commission ... _ .............. . Liability to Province of Ontario re Housing Commission ................. . Sinking Fund Reserve ............................................................................. . Reserve for Housing Commission Deficits ................................ _ .......... . General Fund as at November 15th, 1927 .. ....................................... . Capital Asset Reserve ............................................................................. .

Liabilities from Current Balance Sheet ............................................... .

$ 175,000.00 455.09

20,819.25 69,199.53

31,643.67 30,722.84

$ 327,840.38 4,201.02

$ 332,041.40

$1,026,096.85 117,699.50 103,104.60 14,056.67 2,000.00

236,293.21 675,175.85

$2,174,426.68 327,840.38

$2,502,267.06

Page 12: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

ABSTRACT OF RECEIPTS AND DISBURSEMENTS, CAPITAL LIABILITIES, UNPAID DEBENTURES

As at November 15th, 1927

B~ ~~ Law Years GENERAL Payment Amount 268 20 Fire Hall, Fire Alarm_ ................ :_ .... : .. __ 1931 270 20 Street Improvement ____ ._ ................. __ ... __ 1931 272 30 Sewage System .. ____ .......................... _ ... _. __ 1941 324 20 Sewer Extension_._. __ . ___ ... _ ....... _ ... _ ... _. ___ . ___ 1933 350 20 Fire Hall Completion ........ :: ... __ ____ :. ___ . __ :1933 356 20 Trunk Sewer Extension .. _. ____ ... _. ___ . _______ 1933 352 20 Sewer Extension ...... _ .. ______ .. ______ ._ .. __________ .1933 386 20 Bridges .. .... _____ . ___ ._ .. ________ .. ____ . ___ .. ________ ._._.1934 391 20 Completing Trunk Sewer. __ ....... ___ .. _ ...... 1934 389 20 Completing Sewer Extension .. ___ ._ ......... 1934 393 20 Sewer ExtensioIl_. ______ ._ .... _ ....... _ .. c._._ ........ 1934 398 20 Ornamental Street Lighting. ___ .............. 1934 400 20 Floating DebL_ .............. _ ... _ ... _ .... _ .... _ ..... 1934 451 20 Sewer Extension and Bridge ____ ._ .......... 1936 545 20 Patriotic Fund ........ __ ._. ____ . __ ... 1937 555 10 Lake Sewer Pumping StatioIl __ -__ ... ____ .. _1929 596 20 Water, Light, Sewer Pumping Sta .... ___ 1938 665 20 Fire Hall ExtensioIl ........ _____________ __ . __ ._._._1940 84:3 5 Sewage Disposal Site __________ .................. _.1930 904 5 Fire Truck .... ______ .............................. :. __ ._1931 949 20 College St. Bridge .. .. _ .... _ ...... _ ........... ____ ... 1947

657 410 454

/'4- 3 1()o+j 549 I 7"" t,/!; 550

595 597 659 733 736 738 763 764 802 80:3 842 844 845 846 847 888 894 895 957 958 959 960 961

Local Improvements 20 Waterworks Extension_._ ......... _._ ........... 1940 20 Street Paving __ ._._ ... _ ................ _ ... _ ......... _.1935 20 Street Paving and Sewer Extension ... _1936 20 Street Paving __ ... _ .... _ ........... _ ........... _ ....... 1937 20 Sanitary Sewers_ ........................ _ ............ 1937 20 Sewer and Water Extension_ .. __ _ ... _ ...... _. 1938 10 Concrete Walks __ ........... _ ... __ ... ___ ........ _ .... 1928 20 Sanitary Sewers .......... __ .. ___ . __ .. ___ .. _ .. _._._ .. _1940 20 Storm Sewers __ .......... _. ___ . __ _ . ___ . ________ ........ 1942 10 Concrete Walks_ .. _. ___ ._ .... ____ .. _c •• __ • ________ • __ 1932 20 Sanitary Sewers .. _________ . ______ .. __ .. _. ___ . _______ .1942 10 Concrete Walks_. ___ . ___ . ____ . ___ ._._. ___ .. __ . _______ 19:3:3 5 Tar MacAdam Pavements_ .... __ .. __ ... __ . ___ 1928

10 Concrete Walks .. ____ . ___ ... __ . __ .. _ ... __ ._ ....... ___ 1934 5 Tar MacAdam Pavements ... ______ . __________ 1929

20 Sanitary Sewers .. ___ . __________________ .. ____ ._._. __ .1945 20 Waterworks Extension .... _. ___ . _____________ ._.1945 10 Concrete Walks _____ . ___ . ____ . ___ .. ___ . __________ . __ .1935 5 Tar MacAdam Pavements .... _. ___ . __ ._. ____ .1930

20 Storm Sewers_. ___________ ._. __ ._. _____ . __________ _____ 1945 20 West End Sanitary Sewer .. ...... ____ .... ___ .1945

5 Tar MacAdam Pavements .... ___________ . ____ 1931 10 Concrete Walks . ________ . ____ . __ . ____ . _____ ._. ___ .... 1936 5 Paving_ ..... _ ... _._. ______ . _________________ . ________ ___ .... 1932 5 Water Mains __ ........ _______ .. ___ . __ . ___ . ___ . ___ ..... 1932

10 Concrete Walks .. ___ .. _._. ___ . ___ . ___ ._._._. __ . ______ 1937 20 Sanitary Sewers __ .. _ .... _ .. _ ........ _ ....... _. __ . ____ 1947 20 Water Mains_ ....... _ ... __ .. __ . ___ ._. _____ ._ .. ________ 1947

Electric Light Department 637 10 Electric Light Extension .......... ___ ._ ... _ ... 1929 208 20 Electric Light Extension ..... _ ........ _._ ..... 1928 269 20 Power House, Auxiliary Plant. __ . ___ ._. __ 1931 354 20 Electric Light Extension ........... _ .......... 1933

$ 5,558.52. ,J. 17,&7Q. ~.g I If ~ U -II gg,7eQ.Sg ~ 1.. I'll. '!.

2,228.56 lQ,867.119 B,QH.4i' £!.,13"'~ l~

1';,688.11 6,742.14 3,889.68 5,186.23

10,372.52 2;385.67

13,688.40 1,239.23 ...

602.00 5,438.88

20,839.11 4,422.54 3,931.32

13,000.00

$ 2,911.09 59,959.77 26,032.91 39,897.12, 10,673.49, 6,621.19

607.54 19,223.92 11,202.61 6,301.72

15,930.25 1,190.66 2,156.99 4,897.06 7,174.25 3,041.91 6,081.29 7,759042 5,983.05

969.69 29,092.72 6,585.44

12,219.39 12,050.00

625.00 16,775.00 42,150.00 -8,325.00

3,852.85 944.96

1,737.03 4,570.92

$ 188,350.20

367,048.08

11,105.76

$ 566,510.04

Page 13: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

ABSTRACT OF RECEIPTS AND DISBURSEMENTS (Continued) Electric Light Department (Continued)

Brought forward .... .......................................... $ 566,510.04 By· Last Law Years ff'EN'ER:i\L Payment Amount 389 20 Completing Light Extension ................ 1934 $ 1,296.57 400 20 Floating Debt .......................................... 1934 2,385.67 451 20 Light Extension ...................................... 1936 2,851.76 545 20 Light Extension ...................... _ ............... 1937 4,337.30 ... 596 20 Water, Light, Sewer, Pumping Sta-

tion, Etc .......................................... , .... 1938 9,518.04 729 10 Electric Light Extension .. .. .................. 1932 24,037.73 900 10 Electric Light Extension ...................... 1937 15,000.00 951 20 Power House .......................................... 1947 25,000.00

Waterworks Department 208 20 Waterworks .... ........................................ 1928 $ 1,889.90

1,761.57 3,474.07 5,211.10 4,046.26 7,056.34 3,995.85 1,296.57 5,186.23 2,385.66 9,125.60 7,435.33 ...

226 20 Waterworks ............................................ 1929 269 20 Power House, Auxiliary Plant .. .... .... .. 1931 271 20 Water Extension .. .................................. 1931 275 20 Water Extension .. .................................. 1931 325 20 Water Extension .................................... 1933 348 20 Power House Pumping Plant .... .. ........ 1933 389 20 Completing Water Extension ... ~ .. ........ 1934 395 20 Water Extension .................................... 1934 400 20 Floating Debt .. ...................................... 1934 451 20 Water Extension .................................... 1936

'545 20 Water Extension .................................... 1937 596 20 Water, Light, Sewer, Pumping Sta-

tion, Etc ............................................... 1938 553 20 Standpipe ................................................ 1939 667 20 Waterworks Extension .......................... 1940 734 20 Waterworks Extension .......................... 1942 952 20 Waterworks Extension .......................... 1947

Public School Board 329 30 Ryan Ward SchooL ............ ~ ................ 1943 61S 10 New SchooL .. _._ ...................................... 1929 673 20 Public School Addition, Elm St ........... 1940 772 20 Addition to College St. SchooL ... ...... 1943 473 20 College St. SchooL ............................... 1936

,,, High School Board

209 30 High School ............................................ 1938 669 10 Mining and Technical High SchooL.1930 674 20 Mining and Technical High School....1940 745 20 Technical High SchooL ........................ 1942

Miscellaneous 590 30 Parks Funds._ ...................................... __ .. 1948 901 20 Parks Funds Memorial Park. ... ___ . ___ ..... 1946._

672 20 Housing Commission .. __ .. ____ __ .... _._. __ .... _ .. 1940 694 20 Housing Commission .......... __ .. _._. ___ ._ ....... 1941

12,237.46 32,715.69 20,839.11 14,781.78 2,850.00

$ 24,675.43 4,982.02

40,906.45 32,390.12 22,814.02

$ 20,179.90 2,179.07

47,189.71 25,198.17

$ 30,000.00 20,000.00

$ 77,181.00 40,518.50

84,427.07

136,288.52

125,768.04

94,746.85

50,000.00

117,699.50

$1,175,440.02

Page 14: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

MEMORANDUM OF COLLECTOR'S ROLL ASSESSMENT 1927

General Purpose ........................................ ~ ........................... $ High School ............................................ ............................. . Public School Debenture .. ................................................ .. Public School Maintenance ............................................... . Separate School Debenture .............. ................................. . Separate School Maintenance .......................................... ..

TAX RATE 1927 Division~ Mil

General Rate ......................... 8 .. ............... .............. . Public School.......................... .. ............ ...... ............ .. Separate SchooL ................. 2 ................................ . High SchooL. .......................... 7 ............................ ..... .

Total General Taxes ........ :.: ................................ . Owners' Share of Local Improvements .... .............. .. Sanitary Cans ............................................................... . Coal Chutes ................................................................. .

ARREARS OF TAXES .. ........................................ ..

Public School Rate .... ..................... .40.00 Mills. Separate School Rate .. ................... .49.00 Mills. _

6,620,547 6,620,547 4,368,289 4,465,034 2,252,258 2,155,513

$119,169.85 66,685.27 52,312.78 46,343.83

$ 20,842.61 533.00

17.74

$284,511.73

21,393.35 68,085.32

$373,900.40

H. R. GRANT, Treasurer.

A. J. SAMSON, Mayor.

Page 15: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,
Page 16: Financial Statement of the Town of Sudbury From … › uploads › r › city-of-greater...To November 15, 1927 (Printed by The Sudbury Star) , ..... PER CAPITA COMPARISON OF ASSESSMENT,

1\ 7 I