Dover-Foxcroft 1928 - University of Maine
Dover-Foxcroft 1928 - University of Maine Dover-Foxcroft 1928 - University of Maine
TOWN OF DOVER-FOXCROFT 31 Thompson Free Library REPORT OF LIBRARIANS Books and Periodicals Issued to Homes from Feb. 1, 1928 to Feb. 1, 1929 General works, adult and juvenile, 2296 Fiction, adult and juvenile, 22,440 Natural Science, adult and juvenile, ' 97 Geog. and Travel, adult and juvenile, 276 Biography, adult and juvenile, 679 History, adult and juvenile, 231 Fine Arts, adult and juvenile, 81 Useful Arts, adult and juvenile, 211 Poetry, adult and juvenile, 316 Miscellaneous Literature, adult and juvenile, 612 Sociology, adult and juvenile, 460 Religion, adult and juvenile, 105 Philosophy, adult and juvenile, 78 Philology, adult and juvenile, 2 Total issue for year 27,884 BOOKS ACCESSIONED FROM FEB. 1, 1928, TO FEB. 1, 1929 General works, adult and juvenile, 13 Fiction, adult and juvenile, 527 Natural Science, adult and juvenile, 5 Geog. and Travel, adult and juvenile, 18 Biography, adult and juvenile, 40 History, adult and juvenile, 16 Useful Arts, adult and juvenile, 14 Fine Arts, adult and juvenile, 5 Poetry, adult and juvenile, 24 Miscellaneous Literature, adult and juvenile, 49 Sociology, adult and juvenile, 37 Philosophy, adult and juvenile, " Philology, adult and juvenile, 1 Total Accessioned for year 762 b Religion, adult and juvenile,
32 ANNUAL REPORT Received from Maine State Library as gifts and accessioned 7 Library cards issued during year (exclusive of visitors' cards) 192 Visitors' cards issued during year 50 Library cards now in circulation 3909 Spent from cash box during year for books and periodicals $82.29 Paid for repairs from cash box 1.25 SUMMARY OF ITEMIZED ACCOUNT OF CASH BOX RECORD FROM FEB. 1, 1928 TO FEB. 1, 1929 Cash as Received Cash on hand Feb. 1, 1928 $67.05 Cash received in February 13.36 Cash received in March 18.30 Cash received in April 12.78 Cash received in May 16.35 Cash received in June 21.29 Cash received in July 12.53 Cash received in August 20.00 Cash received in September 17.98 Cash received in October 19.47 Cash received in November 24.83 Cash received in December 19.83 Cash received in January, 1929 20.29 Total receipts for year $284.06 Disbursements Disbursed in February, 1928 $10.32 Disbursed in March 19.64 Disbursed in April 17.34 Disbursed in May 15.33 Disbursed in June 17.54 Disbursed in July ll.»l Disbursed in August 14.61 Disbursed in September 8.10 Disbursed in October 22.72
- Page 1 and 2: Annual Report OF THE Town of Dover-
- Page 3 and 4: Town Officers, 1928-1929 Municipal
- Page 5 and 6: 4 ANNUAL REPORT Report of Assessors
- Page 7 and 8: 6 ANNUAL REPORT Report of the Overs
- Page 9 and 10: ANNUAL REPORT Report of Park Commit
- Page 11 and 12: 10 ANNUAL REPORT L. M. Hathorn 8.00
- Page 13 and 14: 12 ANNUAL REPORT C. Preble, largest
- Page 15 and 16: 14 ANNUAL REPORT In the early part
- Page 17 and 18: 16 ANNUAL REPORT Board of Health Th
- Page 19 and 20: 18 ANNUAL REPORT Gould, I. S., erro
- Page 21 and 22: 20 ANNUAL REPORT Herring, Ora L. 22
- Page 23 and 24: 22 ANNUAL REPORT Aug. 5, Chester J.
- Page 25 and 26: 24 ANNUAL REPORT Apr. 21, to Archie
- Page 27 and 28: 26 ANNUAL REPORT 1929 Jan. 2, to Me
- Page 29 and 30: 28 ANNUAL REPORT Jan. 6, George W.
- Page 31: 30 ANNUAL REPORT BABSON FUND Receip
- Page 35 and 36: 34 ANNUAL REPORT Treasurer's Report
- Page 37 and 38: 36 ANNUAL REPORT Walter J. Rideout,
- Page 39 and 40: 38 ANNUAL REPORT A. P. Buck, 15871
- Page 41 and 42: 40 ANNUAL REPORT Samuel C. Greeley,
- Page 43 and 44: 42 ANNUAL REPORT REPORT OF THE GEO.
- Page 45 and 46: Dog Tax Constables Survey Garland L
- Page 47 and 48: Material State Patrolled Roads 1,20
- Page 49 and 50: Howard Atkinson P. Nicholas Robert
- Page 51 and 52: 50 ANNUAL REPORT 3 Snow Plows 150.0
- Page 53 and 54: 52 ANNUAL REPORT Report of Superint
- Page 55 and 56: 54 ANNUAL REPORT is a registered nu
- Page 57 and 58: 56 ANNUAL REPORT The above record i
- Page 59 and 60: 58 ANNUAL REPORT has helped markedl
- Page 61 and 62: 60 ANNUAL REPORT ly fitted to enter
- Page 63 and 64: 62 ANNUAL REPORT Music appreciation
- Page 65 and 66: 64 ANNUAL REPORT tainments of fifte
- Page 67 and 68: 66 ANNUAL REPORT The work covered t
- Page 69 and 70: 68 ANNUAL REPORT time in January, f
- Page 71 and 72: 70 ANNUAL REPORT tion of Academy wo
- Page 73 and 74: 72 ANNUAL REPORT CLASS OF 1931 (SOP
- Page 75 and 76: 74 ANNUAL REPORT paratus as paralle
- Page 77 and 78: 76 ANNUAL REPORT REPAIRS Balance $8
- Page 79 and 80: 78 ANNUAL REPORT Annual Town Warran
- Page 81 and 82: 80 ANNUAL REPORT Art. 25. To see ho
32 ANNUAL REPORT<br />
Received from <strong>Maine</strong> State Library as gifts<br />
and accessioned 7<br />
Library cards issued during year (exclusive<br />
<strong>of</strong> visitors' cards) 192<br />
Visitors' cards issued during year 50<br />
Library cards now in circulation 3909<br />
Spent from cash box during year for books<br />
and periodicals $82.29<br />
Paid for repairs from cash box 1.25<br />
SUMMARY OF ITEMIZED ACCOUNT OF CASH<br />
BOX RECORD FROM FEB. 1, <strong>1928</strong> TO FEB. 1, 1929<br />
Cash as Received<br />
Cash on hand Feb. 1, <strong>1928</strong> $67.05<br />
Cash received in February 13.36<br />
Cash received in March 18.30<br />
Cash received in April 12.78<br />
Cash received in May 16.35<br />
Cash received in June 21.29<br />
Cash received in July 12.53<br />
Cash received in August 20.00<br />
Cash received in September 17.98<br />
Cash received in October 19.47<br />
Cash received in November 24.83<br />
Cash received in December 19.83<br />
Cash received in January, 1929 20.29<br />
Total receipts for year $284.06<br />
Disbursements<br />
Disbursed in February, <strong>1928</strong> $10.32<br />
Disbursed in March 19.64<br />
Disbursed in April 17.34<br />
Disbursed in May 15.33<br />
Disbursed in June 17.54<br />
Disbursed in July<br />
ll.»l<br />
Disbursed in August 14.61<br />
Disbursed in September 8.10<br />
Disbursed in October 22.72