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52.07 

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967 


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Annual  Report 


of 
THE  TOWN  OF 


NEWMARKET 


NEW  HAMPSHIRE 


For  The  Year  Ending 

DECEMBER  51st,  1967 


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1883  -  1965 


We,  the  Selectmen  of  the  Town  of  Newmarket, 
respectfully  dedicate  this  Town  Report  to  the 
fond  memory  of  Frank  E.  Willey,  Sr.  more  com- 
monly known  as  "HANK  WILLET'. 

Mr.  Willey  spent  81  years  of  his  life  as  a  devoted 
citizen  of  the  Town  of  Newmarket.  He  was  an 
active  member  of  the  Newmarket  Fire  Depart- 
ment for  66  years.  His  memory  will  always  be 
cherished  by  the  people  of  Newmarket. 

Frank  M.  Schanda,  Chairman 
Robert  L.  Filion 
Nicholas  Zuk 

Selectmen 


YOUR  NEWMARKET  TAX  DOLLAR  FOR  1967 


SCHOOL  BUDGET $285,961.49 

TOWN  BUDGET  149,405.60 

COUNTY  TAXES 19,461.54 

TOTAL  RAISED  BY  TAXES  $454,828.63 

*  *  * 

TAX  RATE  —  TOWN  $  2.33 

SCHOOL    4.47 

COUNTY  .30 

$  7.10 


ANNUAL  REPORT 


of  th( 


OWN  OF  NEWMARKET 


NEW  HAMPSHIRE 


by  the 


Selectmen,  Town  Clerk,  Tax  Collector, 

Town  Treasurer,  Water  Works,  Public  Library, 

Trustees  of  Trust  Funds,  Planning   Board 

For  The  Year  Ending 
DECEMBER  31,   1967 

with  the 
VITAL  STATISTICS   FOR   1967 


^52.07 
N556 


TOWN  OFFICERS 

MODERATOR 
Frank  M.  Schanda 

SELECTMEN 
Frank  Schanda  Ternn  Expires  March  1968 

Robert  L.  Filion  Term  Expires  March  1969 

Nicholas  Zuk  Term  Expires  March  1970 

TOWN  CLERK  TOWN  TREASURER 

Yvonne  B.  Rousseau  Severine  R.  Neal 

TAX  COLLECTOR 
Albert  W.  Caswell,  Sr. 

SUPERVISORS  OF  THE  CHECK  LIST 
Arthur  LaBonte  Richard  Schanda  Richard  Atherton 

REPRESENTATIVES 
John  Twardus  F.  Albert  Sewall 

TRUSTEES  OF  THE  TRUST  FUNDS 
Beatrice  Morin  Term  Expires  AAarch  1968 

Eli  Grandmaison  Term  Expires  March  1969 

Roy  E.  Kent  Term  Expires  March  1970 

TRUSTEES  OF  THE  PUBLIC  LIBRARY 
Velma  Szacik  Elizabth  Gowen  Philip  Hendrickx 

POLICE  CHIEF  FIRE  CHIEF 

Paul  T.  Gahan  Robert  Keller 

SUPERINTENDENT  OF  PUBLIC  WORKS 
Richard  G.  Walker 

PLANNING   BOARD 

Frank  Schanda        George  Hauschel        Wilbur  Sharpies,  Jr. 

George  Griswold  Robert  Stevens 

Fred  Grochmal 


WARRANT 

STATE  OF  NEW  HAMPSHIRE 
Town  of  Newmarket 


To  the  Inhabitants  of  the  Town  of  Newmarket  in  the 
County  of  Rockingham  in  said  State,  qualified  to  vote  in 
town  affairs. 

You  are  hereby  notified  to  meet  at  the  Town  Hall  in 
said  town  on  Tuesday,  the  12th  day  of  March,  to  act  on  the 
following  subjects: 

(POLLS  V^/iLL  BE  OPEN  FROM  10:00  A.M.  to  6:00  P.M.) 

1.  To  choose  all  necessary  Town  Officers  for  the  ensu- 
ing year. 

2.  To  raise  such  sums  of  money  as  may  be  necessary 
to  defray  town  charges  for  the  ensuing  year;  as  may  be 
necessary  for  General  Government  including  Town  Officers' 
salaries  and  expenses,  election  and  registration,  town  build- 
ings, for  the  protection  of  persons  and  property,  including 
the  Police  Department,  for  health  and  sanitation,  vital  statis- 
tics, general  expenses  of  the  departments,  for  education  and 
the  public  library,  for  charities,  including  the  decoration  of 
soldiers'  graves,  for  recreation,  for  cemeteries,  for  indebted- 
ness to  other  governmental  divisions  and  to  pay  all  other 
necessary  charges  arising  v^/ithin  said  Town. 

3.  To  see  if  the  Town  will  vote  to  authorize  and  em- 
power the  Selectmen  to  borrovy  money  for  necessary  expendi- 
tures,- in  anticipation  of  the  collection  of  taxes. 


4.  To  see  if  the  Town  will  vote  to  allow  a  discount 
of  two  percent  (2%)  on  all  taxes  except  poll  and  head  taxes, 
if  paid  within  fifteen  days  after  receipt  of  bill. 

5.  To  see  if  the  Town  will  vote  to  accept  the  budget 
as  submitted  by  the  Budget  Committee. 

6.  To  see  if  the  Town  will  vote  to  pay  members  of  the 
Fire  Department  $97.00  in  addition  to  that  required  by  law. 
(Recommended  by  the  Budget  Committee) 

7.  To  see  if  the  Town  will  vote  to  raise  and  appro- 
priate the  sum  of  Three  Thousand  Dollars  ($3,000.00)  to  be 
used  as  part  payment  for  a  comprehensive  plan,  the  balance 
to  be  raised  next  year  by  vote  of  the  people.  (Recommended 
by  the  Budget  Committee) 

8.  To  see  if  the  Town  of  Newmarket  will  adopt  the 
following  resolution: 

Whereas,  there  is  determined  to  be  a  need  for  a  hous- 
ing authority  in  the  town. 

Wherefore,  in  accordance  with  Section  4  of  Chapter  203 
of  New  Hampshire  Revised  Statutes  Annotated,  and  in 
accord  with  the  foregoing  finding  of  need,  there  is  here- 
by created  a  municipal  housing  authority  for  the  Town 
of  Newmarket,  with  all  the  pov/ers  and  authority 
granted  by  said  Chapter  203. 

This  resolution  to  take  effect  upon  its  passage. 

9.  To  see  if  the  voters  will  appropriate  the  sum  of  One 
Thousand  Three  Hundred  Dollars  ($1,300.00),  as  the  town's 
share  of  the  cost  of  repairing  the  Steeple  that  houses  the 
Town  Clock. 


10.  To  see  if  the  Town  will  vote  to  authorize  the  select- 
men to  sell  tax  acquired  property,  now  held  by  the  Town 
of  Newmarket,  to  the  highest  bidder. 

11.  To  see  if  the  Town  will  authorize  the  Board  of 
Selectmen  to  appoint  a  committee  which  will  help  the  town 
participate  in  a  state-wide  contest  to  improve  the  appear- 
ance of  New  Hampshire. 

Given  under  our  hands  and  seals  this  26th  day  of 
February,  in  the  year  of  our  Lord,  nineteen  hundred  and 
sixty-eight. 

FRANK  M.  SCHANDA 
ROBERT  L.  FILION 
NICHOLAS  ZUK 

Selectmen  of  Newmarket,  N.H. 


We  hereby  certify  that  v^e  gave  notice  to  the  inhabitants 
within  named,  to  meet  at  the  time  and  place  and  for  the 
purpose  within  mentioned  by  posting  an  attested  copy  of 
the  Warrant  at  the  place  of  meeting  within  named,  and  a 
like  copy  at  the  Post  Office.  Being  a  public  place  in  said 
tovyn,  on  the  26th  day  of  February,  1968. 

FRANK  AA.  SCHANDA 
ROBERT  L.  FILION 
NICHOLAS  ZUK 

Selectmen  of  Newmarket,  N.H. 


REPORT  OF  SELECTMEN 

To  the  citizens  of  the  Town  of  Newmarket: 

The  Board  of  Selectmen  submit  its  annual  report  for  the 
fiscal  year  ending  December  31,1  967. 

INVENTORY  APRIL   1 

1 966  -  50  %         1 967  -  50  % 
Land  &  buildings  $4,491,065.00   $4,564,200.00 

Factory  buildings  and  land 
Factory  machinery 
Electric  plants 
Trailers,  mobile  homes 
Stock-in-trade  merchants 
Stock-in-trade  manufacturers 
Boats 
Cows 

Other  cattle 
Poultry 

Gasoline  pumps  and  tanks 
Road  machinery 
Wood  and  lumber 
Snow  Traveling  Vehicles  and  Golf  Cars 

TOTAL  GROSS  VALUATION 

Less  Veterans'  Exemptions 

Less  Neatstock  Exemptions 

Less  Poultry  Exemptions 

Less  Blind  Exemptions 
NET  VALUATION 
FOR  TAX  RATE  $6,277,051.00   $6,405,337.00 

1966  TAX  RATE:  $71.00 


339,775.00 

339,775.00 

518,015.00 

540,645.00 

177,000.00 

175,500.00 

33,005.00 

46,365.00 

156,531.00 

154,360.00 

738,095.00 

759,150.00 

6,525.00 

3,050.00 

18,900.00 

18,750.00 

825.00 

1,187.00 

2,209.00 

2,478.00 

8,895.00 

8,895.00 

6,125.00 

13,835.00 

745.00 

560.00 

^olfCars           0 

1 ,420.00 

$6,497,710.00 

$6,630,170.00 

213,325.00 

215,530.00 

6,975.00 

7,950.00 

359.00 

353.00 

0 

1,000.00 

BUDGET  OF  THE  TOWN  OF 
NEWMARKET,  NEW  HAMPSHIRE 

Estimates  of  Revenue  and  Expenditures  of  the  Ensuing  Year  January  1,  1968 
to  Decennber  31,  1968  compared  with  Estimated  and  Actual  Revenue, 
Appropriations  and  Expenditures  of  the  Previous  Year  January  1 ,  1 967  to 
December  31 ,    1967. 

SOURCES  OF  REVENUE 


From  State: 

Interest  and  Dividends  Tax 

Railroad  Tax 

Savings  Bank  Tax 

Reimb.  a/c  Old  Age  Assistance 

From  Local  Sources  Except  Taxes: 

Dog   Licenses 

Bus.  Licenses,  Permits  &  Filing  Fees 

Fines  &  Forfeits,  Municipal  Court 

Rent  of  Town  Hall  &  Other  Buildings 

Interest  Received  on  Taxes  &  Deposits 

Income  of  Departments: 

Highway,   inci.   rental  of  equip. 

Parking  Meters 

Cemetery 
Income  from  Municipally  owned  Utilities: 

Water  Departments 

Water  Deportment  -   Note 
Motor  Vehicle   Permit   Fees 
Withdrawals  from  Cap.  Reserve  Funds 
Telephone  Commission 
Road  Toll  Refund 
Head  Tax 
Ambulance 

Amount  Raised  by  Issue  of  Bonds  or  Notes: 
Added  Taxes 

Interest  from  Sewer  Bonds 
Interest  -   Reinvestment  Temp.   Loan 
Taxes  In  Excess  of  Budget 
From  Local  Taxes  Other  Than 

Property  Taxes: 
Yield  Taxes  560.33  136.45 

TOTAL  REVENUES  FROM  ALL  SOURCES 


Estimated 

Actual 

Estimated 

Revenue 

Revenue 

Revenue 

Previous 

Previous 

Ensuing 

Year 

Year 

Year 

1967 

1967 

1968 

$    1,313.59 

$    1,313.59 

$    1,313.00 

220.40 

220.40 

220.00 

1,490.81 

1,490.81 

1,490.00 

5,000.00 

6,108.85 

2,000.00 

350.00 

479.20 

400.00 

200.00 

130.00 

150.00 

1,000.00 

815.13 

800.00 

600.00 

600.00 

600.00 

1,000.00 

1,897.02 

1,000.00 
250.00 

3,600.00 

3,666.20 

3,600.00 

400.00 

530.00 

400.00 

S: 

*32,000.00 

*32,688.96 

*33,600.00 

0 

0 

2,378.00 

20,500.00 

22,091.93 

21,000.00 

5,500.00 

5,500.00 

0 

75.00 

231.91 

150.00 

550.00 

650.98 

550.00 

300.00 

697.65 

500.00 

250.00 

534.00 

200.00 

>tes: 

0 

1,250.91 

0 

14,709.50 

14,709.50 

14,213.50 

2,098.61 

2,098.61 
11,742.75 

2,000.00 

EXCEPT  PROPERTY  TAXES  $59,718.24   $76,895.89   $53,214.50 

•■Water  Works  -  Not  added  in  totals 


BUDGET  OF  THE  TOWN  OF 
NEWMARKET,  NEW  HAMPSHIRE 


PURPOSES  OF  EXPENDITURES 


Actual 

Estimated 

Expendi- 

Expendi- 

Approp. 

tures 

tures 

Previous 

Previous 

Ensuing 

Year 

Year 

Year 

1967 

1967 

1968 

General  Government: 

Town  OfFicers'  Salaries 

$ 

2,750.00   $ 

2,702.72    $ 

2,750.00 

Town  Officers'    Expenses 

4,500.00 

4,947.63 

5,000.00 

Election   &   Registration   Expenses 

250.00 

215.97 

450.00 

Municipal  &  District  Court  Expenses 

300.00 

300.00 

300.00 

Expenses  Town  Hall  and 

Other  Town  Bldgs. 

3,500.00 

3,481.43 

4,200.00 

Reappraisal  of  Property 

206.00 

205.02 

250.00 

Employees'  Retirement  &  S.  S. 

3,600.00 

3,809.58 

4,000.00 

Purchase  of  School 

1.00 

1.00 

0 

Protection  of  Persons  and  Property: 

Committee  Actions 

157.65 

157.65 

157.65 

Police  Department 

26,900.00 

26,900.06 

30,612.36 

Fire  Department 

7,400.00 

7,424.15 

7,400.00 

Blister  Rust  &  Care  of  Trees 

400.00 

129.40 

400.00 

Town  Clock  (Steeple) 

310.00 

311.36 

1,650.00 

Planning 

500.00 

0 

3,000.00 

Visiting  Nurse  Program 

0 

0 

600.00 

Damages  &  Legal   Expenses 

750.00 

645.00 

750.00 

Civil  Defense 

800.00 

864.85 

800.00 

Christmas  Lights 

450.00 

463.74 

500.00 

Health: 

Insurance  Program 

950.00 

851.02 

950.00 

Health  Department,  Inci.  Hosp 

itals 

180.00 

178.80 

200.00 

Vital  Statistics 

150.00 

90.00 

150.00 

Sewer  Maintenance 

1,500.00 

1,419.16 

1,500.00 

Town  Dump  &  Garbage  Removal 

6,500.00 

7,559.57 

7,000.00 

Highways  and  Bridges: 

Town  Maintenance  -  Summer 

24,000.00 

26,139.47 

26,000.00 

Town  Maintenance  -  Tarring 

5,500.00 

4,722.45 

5,500.00 

Street  Lighting 

6,200.00 

6,079.28 

6,300.00 

General  Expenses  of  Highway 

Dept. 

6,500.00 

7,484.36 

7,500.00 

Town  Road  Aid 

370.00 

369.29 

41  1.32 

Libraries 

5,444.00 

5,444.00 

5,340.00 

Public  Welfare: 

1,000.00 

6,125.34 

1,500.00 

Town    Poor 

4,000.00 

3,539.67 

4,000.00 

Old  Age  Assistance 

13,000.00 

9,708.09 

1  1,000.00 

Ambulance 

5,000.00 

5,000.00 

5,000.00 

Armed  Services  Com. 

300.00 

300.00 

300.00 

10 


Patriotic  Purposes: 

Memorial  Day  &  Veterans'  Assoc. 
Aid  to  Soldiers  &  Their  Families 

Recreation: 

Little  League 
—-'Parks  &  Playgrounds 
Auto   Permits 

Municipally  Owned  Water  Utilities 
Cemeteries 

Public  Service  Enterprises: 

State  Audit 

Seacoast    Regional   Assoc. 

Trust  Funds 

Interest: 

On  Temp.  Loans 

On   Bonded  Debt  -  ** 

Sewer  &  Water 
Census 
Maintencnce  -  Town  Dump 

Highways  and  Bridges: 

State  Aid  Construction  -  Town's  Share 
Land  Purchase 
Sidewalk  Construction 
New  Equipment 
Plow  and  Cruiser 

Payment  on  Principal  of  Debt: 

Bonds   -   Sewer 

Long  Term  Notes  -  Water  Dept. 
Payment  to  Cap.  Reserve  Funds 
Bond  Debt  &  Ret.  Tax 


500.00 
500.00 

500.00 
60.38 

500.00 
500.00 

500.00 

1,300.00 

1,000.00 

*32,000.00 

1,000.00 

500.00 

1,300.00 

951.02 

*31,356.22 

4,782.67 

500.00 

1,300.00 

1,000.00 

*33,600.00 

1,000.00 

400.00 
613.00 
225.00 

443.67 
613.00 
250.00 

450.00 
613.00 
250.00 

5,417.00 

5,493.05 

5,500.00 

14,709.50 
0 
0 

14,709.50 
0 
0 

14,591.50 
150.00 
700.00 

;  2,500.00 

12,500.00 

500.00 

2,500.00 

12,500.00 

351.78 

2,500.00 

0 

2,500.00 

5,500.00 


6,500.00 
0 


5,590.32 


15,000.00         15,000.00 


6,500.00 
0 


2,700.00 


17,000.00 

2,000.00 

9,500.00 

213.80 


TOTAL  EXPENDITURES 


$202,033.15   $209,615.55    $208,939.63 


BUDGET    COMMITTEE 


CLARENCE   S.    HODSDON 
HENRY   B.   HALEY 

FRANK  M.  SCHANDA 
DANIEL   DZIEDZIC 
LEO  FILION 

ELIZABETH  C. 


EDWARD   ZICK 
L.  FORBES  GETCHELL 
EDMUND    PORTYRATA 

GEORGE   E.   GRISWOLD 

H.  HAUSCHEL 
PHILBRICK 


11 


ANNUAL  PROGRESS  REPORT  OF  THE  SELECTMEN 

It  is  our  pleasure  to  present  this  annual  report  for  the 
year  1967.  We  wish  to  take  this  opportunity  to  thank  all  the 
department  heads,  employees  and  fellow  citizens  of  New- 
market, who  have  made  our  jobs  pleasant  throughout  the 
year. 

The  reconstruction  of  South  Main  Street  has  been  a 
State-Town  financial  undertaking.  The  storm  drainage  for 
this  area  has  been  completed.  This  project  is  expected  to  be 
completed  in  1968,  with  the  extension  of  the  curbing,  side- 
walks and  resurfacing  of  the  roadway,  to  the  end  of  the 
school  property. 

The  Town  Road  Aid  money  available  to  Newmarket  was 
used  on  Langs  Lane.  In  1968,  Langs  Lanes  will  be  continued 
and  approximately  one  thousand  dollars  will  be  used  on 
Bay  Road  to  remove  the  most  serious  hazards;  we  plan  to 
vyork  on  Bay  Road  until  all  hazards  have  been  removed. 

Riverside  Cemetery  expenses  were  above  normal  due  to 
the  extreme  wet  weather  conditions  which  caused  extra 
mowing  to  be  done.  Cedar  Avenue  was  re-graveled  and 
graded. 

Work  was  continued  on  the  Town  Hall.  The  heating 
system  has  been  changed  from  steam  to  circulating  hot 
water.  The  hall  is  now  being  used  two  or  three  times  a  week 
by  the  Girl  Scouts,  Boy  Scouts  and  different  church  and  non- 
profit organizations. 

Bids  were  sent  out  and  the  low  bidders  were  as  follows: 
Dump  Truck,  Great  Bay  Motor  Co.,  Inc.;  Fuel  Oil,  Robinson- 
Rudd  Oil  Service;  Gasoline,  H.  R.  Haines  Co.,  Inc.  and  Tem- 
porary Loan,  Durham  Trust  Co. 

The  town  parking  lot  will  be  worked  on  in   1968.  We 
12 


intend   to   put  an   exit  on   to  Spring   Street  and   nnake   the 
entrance  to  this  lot  on  Main  Street. 

We  want  to  thank  two  of  our  fine  industries  for  their 
help  and  cooperation  in  beautifying  our  Main  Street.  Smith 
Shoe  Corporation  paid  to  have  a  new  fence  installed  in  front 
of  their  mill  and  the  town  removed  the  old  fence  for  them. 
Gallant  Manufacturing  Company  paid  to  have  a  new  side- 
walk and  small  park  in  front  of  their  mill  and  the  town 
helped  with  some  of  the  work. 

The  selectmen's  meetings  are  the  first  and  third  Tues- 
days of  each  month.  We  welcome  anyone  v/ho  wishes  to 
attend  these  meetings. 

Respectfully  submitted, 

FRANK  M.  SCHANDA,  Chairman 
ROBERT  L.  FILION 
NICHOLAS  ZUK 

Board  of  Selectmen 


13 


DIVISION  OF  MUNICIPAL  ACCOUNTING 
STATE  TAX  COMMISSION 
Concord,  New  Hampshire 

Summary  of  Findings  and  Recommendations 

January  29,  1968 

Board  of  Selectmen 
Newmarket,  New  Hampshire 

Gentlemen: 

Submitted  herewith  is  the  report  of  an  examination  and 
audit  of  the  accounts  of  the  Town  of  Newmarket  for  the 
fiscal  year  ended  December  31,  1967,  which  was  made  by 
this  Division  in  accordance  with  the  vote  of  the  Town.  Ex- 
hibits as  hereafter  listed  are  included  as  part  of  the  report. 

SCOPE  OF  AUDIT 

Included  in  the  examination  and  audit  were  the  ac- 
counts and  records  of  the  Board  of  Selectmen,  Treasurer,  Tax 
Collector,  Town  Clerk,  Public  Library,  District  Court,  Trustees 
of  Trust  Funds  and  Special  Sewer  Fund  Construction  Account. 

FINANCIAL  STATEMENTS 

Comparative  Balance  Sheets: 
December  31,  1966  —  Decembar  31,  1967: 

(Exhibit  A-1) 

Comparative  Balance  Sheets  as  of  December  31,  1966 
and  December  31,  1967,  are  presented  in  Exhibit  A-1.  As 
indicated  therein,  the  Net  Debt  decreased  by  $22,357.29  in 
1967. 


14 


Analysts  of  Change  in  Financial  Condition:     (Exhibit  A-2) 

An  analysis  of  the  change  in  financial  condition  of  the 
Town  during  the  year  is  made  in  Exhibit  A-2,  with  the  factors 
which  caused  the  change  indicated  therein. 


Comparative  Statements  of  Appropriations  and  Expenditures 
Estimated  and  Actual  Revenues: 

(Exhibits  A-3  &  A-4) 

Comparative  statements  of  appropriations  and  expend- 
itures, estimated  and  actual  revenues  for  the  fiscal  year 
ended  December  31,1 967,  are  presented  in  Exhibits  A-3  and 
A-4.  As  indicated  by  the  budget  summary  (Exhibit  A-4),  a 
net  unexpended  balance  of  appropriations  of  $759.81,  plus 
a  revenue  surplus  of  $17,177.65,  resulted  in  a  net  budget 
of  $17,937.46. 

Summary  Statement  of  Receipts  and  Expenditures: 

(Exhibit  B-1) 

A  summary  statement  of  receipts  and  expenditures  for 
the  fiscal  year  ended  December  31,  1967,  made  up  in  ac- 
cordance with  the  uniform  classification  of  accounts,  is  pre- 
sented in  Exhibit  B-1.  Proof  of  the  Treasurer's  balance  as  of 
December  31,  1967,  is  indicated  in  Exhibit  B-2. 

Special  Sewer  Fund  Ccnstruct'on  Account:     (Exhibit  H) 

A  statement  of  the  activity  in  the  special  sewer  fund 
construction  account  during  the  year  is  indicated  in  Exhibit  H. 

Statement  of  Long  Term  Indebtedness:     (Exhibit  I) 

A  statement  of  outstanding  long  term  indebtedness  as 
of  December  31,  1967,  showing  annual  debt  service  require- 
ments, is  contained  in  Exhibit  I. 


15 


AUDIT  PROCEDURE 

The  accounts  and  records  of  all  town  officials  charged 
with  the  custody,  receipt  and  disbursement  of  public  funds 
were  examined  and  audited.  Vouchers  and  cancelled  checks 
were  compared  with  supporting  invoices  and  payrolls  as 
well  as  entries  in  the  books  of  record.  Receipts  were  checked 
by  source  insofar  as  possible  and  totals  of  receipts  and 
expenditures  verified.  Book  balances  were  verified  by  com- 
parison with  reconciled  bank  balances  made  from  state- 
ments submitted  from  depository  banks.  Verification  of  un- 
collected taxes  was  made  by  mailing  notices  to  delinquent 
taxpayers  as  indicated  by  the  Collector's  records.  The 
amounts  of  uncollected  and  unredeemed  taxes  as  indicated 
in  this  report  are  therefore  subject  to  any  changes  which  may 
be  necessitated  by  the  return  of  verification  notices. 

GENERAL  COMMENTS 

Current  Surplus: 

The  current  surplus  (excess  of  total  assets  over  current 
liabilities)  increased  from  $20,177.14  to  $38,034.53  in  1967 
as  shown  herewith: 

Dec.  31,1966   Dec.  31,1967 

Total  Assets  $632,130.11  $659,818.98 

Current  Liabilities  611,952.97  621,784.45 


Current  Surplus  $   20,177.14  $   38,034.53 

Note,  Bond  and  Coupon  Register: 

The  Town  Treasurer  is  required  under  the  provisions  of 
R.S.A.  33:12  to  maintain  a  Note,  Bond  and  Coupon  Register, 
in  which  all  note  and  bond  issues  must  be  recorded. 


16 


Uncollected  Taxes: 

As  of  December  31,  1967,  delinquent  property,  poll, 
yield  and  state  head  taxes  amounting  to  $14,191.71  on 
account  of  tax  levies  of  1966  and  prior  years  remained  out- 
standing on  the  tax  collector's  warrants,  as  detailed  below: 

Levy  of  1966  $   8,578.78 

Levy  of  1965  3,284.88 

Levy  of  1964  1,208.75 

Levy  of  1963  490.30 

Levy  of  1962  121.00 

Levy  of  1961  138.00 

Levy  of  1960  168.00 

Levy  of  1959  202.00 


$14,191.71 


Examination  of  the  various  warrants  revealed  a  number 
of  instances  v/here  taxpayers  are  deceased,  have  moved 
from  the  Town,  were  erroneously  assessed,  etc.  The  lists  of 
uncollected  taxes  should  be  reviewed  and  where  required, 
abatements  should  be  issued  by  the  selectmen.  The  Tax 
Collector  should  take  the  necessary  steps  required  to  enforce 
collection  of  the  remainder  of  these  delinquent  taxes.  Chapter 
80  of  R.S.A.  provides  the  Collector  with  ample  powers  of 
enforcement. 

Unredeemed  Taxes: 

There  were,  as  of  December  31,  1967,  unredeemed 
taxes  from  the  tax  sales  of  the  levies  of  1 964  and  prior  years 
as  follows: 

Levy  of  1962  $    1,138.81 

Levy  of  1961  152.40 

$    1,291.21 

17 


Inasmuch  as  the  two  year  period  provided  by  law  in 
which  redemption  from  tax  sales  may  be  made  has  expired 
on  these  unredeemed  taxes,  the  Tax  Collector  should  deed 
all  of  the  properties  involved  to  the  Town  at  once. 

Library: 

We  recommend  the  use  of  columnar  journals  with  ap- 
propriate classifications  of  receipts  and  expenditures  be 
adopted  by  the  Library  treasurer. 

Conclusion: 

The  provisions  of  Chapter  184  of  the  Lows  of  1955, 
require  that  this  report  or  the  summary  of  findings  and 
recommendations  (letter  of  transmittal)  should  be  published 
in  the  next  annual  report  of  the  Town. 

We  extend  our  thanks  to  the  officials  of  the  Town  of 
Newmarket  for  their  assistance  during  the  course  of  the 
audit. 

Yours  very  truly, 

O.  MAURICE  OLESON,  Director 
DIVISION  OF  MUNICIPAL  ACCOUNTING 
STATE  TAX  COMMISSION 

Frederick  E.  Laplante,  Auditor 
Laurence  M.  Bean,  Accountant 


18 


DIVISION  OF  MUNICIPAL  ACCOUNTING 
STATE  TAX  COMMISSION 
Concord,  New  Hampshire 

January  29,  1968 

CERTIFICATE  OF  AUDIT 

This  is  to  certify  that  we  have  examined  and  audited 
the  accounts  and  records  of  the  Town  of  Newmarket  for  the 
fiscal  year  ended  December  31,  1967.  In  our  opinion,  the 
Exhibits  included  herewith  present  fairly  the  financial  condi- 
tion of  the  Town  of  Newmarket  on  December  31,  1967,  to- 
gether with  the  results  of  operations  for  the  fiscal  year  ended 
on  that  date. 

Respectfully  submitted, 

O.  MAURICE  OLESON,  Director 

DIVISION  OF  MUNICIPAL  ACCOUNTING 
STATE  TAX  COMMISSION 

Frederick  E.  Laplante,  Auditor 
Laurence  M.  Bean,  Accountant 


19 


TOWN   OF  NEWMARKET 
INDEX 


EXHIBITS: 


Financial  information: 

A-1  -  Comparative  Balance  Sheets  —  As  of  December  31, 
1966  and  December  31,  1967 

A-2  -  Analysis  of  Change  in  Financial  Condition 

A-3  -  Comparative  Statement  of  Appropriations  and  Ex- 
penditures 

A-4  -  Comparative  Statement  of  Estimated  and  Actual 
Revenues  and  Budget  Summary 

Treasurer: 

B-1  -  Classified  Statement  of  Receipts  and  Expenditures 
B-2  -  Summary  of  Treasurer's  Account  &  Proof  of  Balance 

Tox  Collector: 

C-1  -  Summary  of  Warrants 

C-2  -  Summary  of  Tax  Sale  Accounts 

C-3  -  State  Head  Taxes  —  Summary  of  Warrants 
Town  Clerk: 

D  -  Statement  of  Town  Clerk's  Accounts 
Public  Library: 

E  -  Statement  of  Receipts,  Expenditures  &  Proof  of  Balance 
District  Court: 

F  -  Statement  of  Receipts,  Expenditures  &  Proof  of  Balance 

Trust  Funds: 

G  -  Summary  of  Trust  Fund  Principal,  Income  and  Invest- 
ments 
Special  Sewer  Fund  Construction  Account: 

H  -  Statement  of  Receipts,  Expenditures  &  Proof  of  Balance 
Long  Term  Indebtedness: 

I  -  Statement  of  Long  Term  Indebtedness,  Showing  Annual 
Maturities  of  Principal  and  Interest 
Surety  Bonds: 

J  -  Town  Officers'  Surety  Bonds 

20 


EXHIBIT  A-1 

TOWN  OF  NEWMARKET 

Comparative  Balance  Sheets 

As  of  December  31,  1966  and  December  31,  1967 

Assets  Decembers],  1966  December  31 ,  1967 

Cash  on  Hand: 

Town  Treasurer  $    68,347.46  $    48,310.73 

Water  Dept.    (Contra)         1,156.06  2,488.80 

Special  Sewer  Fund 

Construction  Account 
(Contra)  430,867.81  432,202.51 

Petty  Cash  -  Police  Dept.        20.00  20.00 

In  Hands  of  Tax  Collector 

(Net)  19.08 


$ 

500,391.33 

$ 

483,041.12 

Accounts  Due  Town: 

Water  Dept.  Loan         $ 

4,500.00 

$ 

4,500.00 

Water  Accts.  Receivable 

(Contra) 

1,880.07 

1,902.24 

From  Capital  Reserve  Fi 

jnds 

5,500.00 

6,380.07 

11,902.24 

Capital  Reserve  Funds 

(Contra) 

36,568.01 

44,855.05 

Unredeemed  Taxes: 

Levy  of  1  966                 $ 

$ 

4,912.58 

Levy  of  1  965 

2,347.17 

725.37 

Prior  Years 

1,980.89 

1,291.21 

4,328.06 

6,929.16 

Uncollscted  Taxes: 

Levy  of  1  967                 $ 

$ 

96,999.70 

Levy  of  1  966 

75,507.24 

8,413.78 

Levy  of  1  965 

3,328.10 

3,124.88 

Prior  Years 

2,697.30 

1,498.05 

81,532.64 

110,036.41 

Uncollected  State  Head  Taxes: 

State  Account 

(Contra)                        $ 

1,780.00 

$ 

1,900.00 

Town  Account 

1,150.00 

1,155.00 

2,930.00  3,055.00 


Total  Assets  $     632,130.11  $     659,818.98 

Net  Debt  461,822.86  439,465.47 


Total  Assets 
&  Net  Debt  $1,093,952.97  $1,099,284.45 


21 


EXHIBIT  A-1  Continued) 

TOWN  OF  NEWMARKET 

Comparative  Balance  Sheets 

As  of  December  31,  1966  and  December  31,  1967 

Liabilities  December  31,  1966  December  31,  1967 

Appropriations  Forwarded: 

Lamprey  River 

Industrial  Park  $       1,148.18  $       1,148.18 

Planning  &  Zoning  500.00 


Accounts  Owed  by  Town: 

Excess  Credit  Tax  Sale 
Account  -  a/c  1963 


Levy 
Excess  Remittance  Di 
Tax  Collector  (Net) 

$ 
je 

226.17 
2.94 

Due  State  of  N 

ew  Hampsh 

ire: 

State  Head  Taxes: 

Uncollected 
(Contra) 
Collected  - 
Remitted 

Not 

$      1 

,780.00 
254.00 

1,148.18  $  1,648.18 

$  226.17 

2.94 


229.11  229.11 

$      1,900.00 
485.00 


2,034.00  2,385.00 


2  %  Bond  &  Debt  Tax: 

Uncollected  $  $  16.96 

Collected  -  Not 
Remitted  84.77  95.11 


84.77  112.07 


Special  Funds:  (Contra) 

Water  Dept.  -  Cash     $       1,156.06  $       2,488.80 

Water  Dept.  - 

Accts.  Receivable  1,880.07  1,902.24 

Special  Sev/er  Fund 

Construction  Acct.        430,867.81  432,202.51 


433,903.94  436,593.55 

Capitol  Reserve  Funds  36,568.01  44,855.05 

School  District  Tax 

Payable  137,984.96  135,961.49 

Water  Works  Notes 

Outstanding  10,500.00 

Sewer  Bonds 


Total   Liabilities  $1,093,952.97  $1,099,284.45 

22 


EXHIBIT  A-2 
TOWN  OF  NEWMARKET 

Analysis  of  Change  in  Financial  Condition 
Fiscal  Year  Ended  December  31,  1967 


Net  Debt  -  December  31,1  966  $461 ,822.86 

Net  Debt  -  December  31 ,  1  967  439,465.47 


Decrease  in  Net  Debt  $22,357.39 


ANALYSIS  OF  CHANGE 


Decreases  in  Net  Debt: 

Net  Budget  Surplus  $17,937.46 

Bonds  Paid  During  Year  15,000.00 

Water  Notes  Paid  During  Year  2,000.00 


$   34,937.46 


Increases  in  Net  Debt: 

Long  Term  Notes  Issued  During  Year 

(Waterworks)  12,500.00 

Tax  Liens  Transferred  to  Deeds  80.07 


12,580.07 
Net  Decrease  $22,357.39 


23 


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1/1 

EXHIBIT  A-4 

TOWN  OF  NEWMARKET 

Comparative  Statement  of  Estimated  and  Actual  Revenues 

and  Budget  Summary 

Fiscal  Year  Ended  December  31,  1967 


Re\ 

/enues 

Estimated 

Actual 

Excess 

Deficit 

Interest  &  Dividends  Tax            $ 

1,313.59 

$    1,313.59 

$ 

$ 

Railroad  Tax 

220.40 

220.40 

Savings  Bank  Tax 

1,490.81 

1,490.81 

Anribulance 

250.00 

534.00 

284.00 

Interest  on  Sewer  Bond 

Investments 

14,709.50 

14,709.50 

Interest  From  Temporary 

Loan   Investment 

2,098.61 

2,098.61 

Interest  on  Taxes 

1,000.00 

1,897.02 

897.02 

Business  Licenses,  Permits  & 

Filing  Fees 

200.00 

130.00 

70.00 

Dog  Licenses 

350.00 

479.20 

129.20 

Motor  Vehicle  Permit  Fees 

20,500.00 

22,091.93 

1,591.93 

Rent  of  Town  Property  -  Dump 

600.00 

600.00 

Fines  &  Forfeits  -  Dist.  Court 

1,000.00 

815.13 

184.87 

Parking   Meter   Income 

3,600.00 

3,666.20 

66.20 

Cemetery 

400.00 

530.00 

130.00 

Telephone  Commissions 

75.00 

231.91 

156.91 

Road   Toll    Refunds 

550.00 

650.98 

100.98 

State  Head  Tax  Commissions 

300.00 

697.65 

397.65 

Withdrawals  From  Capital 

Reserve   Funds 

5,500.00 

5,500.00* 

Reimbursement  -  Town 

Property  -  Lien 

5,000.00 

6,108.85 

1,108.85 

Revenue  From  Yield  Tax  Sources     560.33 

136.45 

423.88 

Taxes  Committed  in  Excess  of 

Budgetary    Requirements 

1  1,742.75 

11,742.75 

Added  Taxes 

1,250.91 

1,250.91 

$59,718.24    $76,895.89   $17,856.40   $678.75 
*  Accounts   Receivable  at  December  31,    1967 

BUDGET  SUMMARY 

Unexpended   Balances   of  Approp.  $    8,415.59 

Overdrafts  of  Appropriations  7,655.78 


Net  Unexpended  Balance  of 

Appropriations  $       759.81 

Actual    Revenues  $76,895.89 

Estimated  Revenues  59,718.24 


Revenue  Surplus  17,177.65 


Net  Budget  Surplus  $17,937.46 

27 


EXHIBIT  B-1 
TOWN  OF  NEWMARKET 

Classified  Statement  of  Receipts  and  Expenditures 
Fiscal  Year  Ended  December  31,  1967 

RECEIPTS 


Current  Revenue: 

Local  Taxes: 

Current  Year: 

Property  Taxes 

$351,728.12 

Poll  Taxes 

1,614.00 

National  Bonk  Stock  Taxes 

74.00 

Yield  Taxes 

62.02 

State  Head  Taxes 

5,390.00 

$358,868.14 

Prior  Years: 

Property  Taxes 

$    67,701.62 

Poll  Taxes 

498.00 

State  Head  Taxes 

1,690.00 

69,889.62 

interest  on  Taxes 

1,896.76 

Penalties  on  State  Head  Taxes 

176.00 

Tax  Soles  Redeemed 

4,688.96 

$435,519.48 

State  of  New  Hampshire 

Interest  &  Dividends  Tax 

$ 

1,313.59 

Railroad  Tax 

220.40 

Savings  Bank  Tax 

1,490.81 

Road  Toll   Refunds 

650.98 

Reimbursennent  a/c  Old  Age  Assistance 

469.99 

Reimbursements  a/c  Head  Tax  Expenses 

34.65 

$      4,180.42 

Local  Sources,  Except  Taxes: 

Dog  Licenses 

$ 

479.20 

Business  Licenses,  Permits  &  Filing 

Fees 

130.00 

Fines  &  Forfeits  -   District  Court 

815.13 

Rent  of  Town  Property  -  Dump 

600.00 

Motor  Vehicle  Permit  Fees 

22,104.07 

Income  From  Parking   Meters 

3,666.20 

Interest  Received  on  Investments: 

Temporary    Loans 

$      2,098.61 

Bond  Funds 

14,709.50 

$ 

16,808.11 

Cemetery   Interments 

$ 

530.00 

Telephone  Commissions 

231.91 

28 


EXHIBIT  B-1   (Continued) 
TOWN  OF  NEWMARKET 


Income  From  Trust  Funds 
Rent  of  Ambulance 
Appropriation  Credits: 

Town  Officers'  Expenses 

Christmos  Lights 

Public  Welfare 

Town   Poor 

Tax  Commission  Audit 

Cemetery 


TOTAL  CURRENT  REVENUE  RECEIPTS 

Receipts  Other  Than  Current  Revenue: 

Temporary  Loans 

Long  Term  Notes  Issued 

(a/c  Water  Construction) 
Refunds  -  Town  Property  -  a/c  Liens 


TOTAL  RECEIPTS  FROM  ALL  SOURCES 
BALANCE  —  JANUARY  1 ,  1  967 

GRAND  TOTAL 


2,700.00 
534.00 


5.00 

23.41 

3,126.08 

95.00 

1  15.74 

509.00 


3,874.23 


$   52,472.85 
$492,172.75 


$240,000.00 

12,500.00 
6,108.85 


258,608.85 

$750,781.60 
68,347.46 

$819,129.06 


EXPENDITURES 


General  Government: 

Town  Officers'  Salaries 

AAotor  Vehicle  Permit  Fees 

Town  Officers'  Expenses 

Tax  Commission  Audit 

Election  &  Registration 

District  Court 

Town  Hall  &   Buildings  Maintenance 

Town  Clock 

Trust  Fund  Expenses 

Reassessment 


Protection  of  Persons  &  Property: 

Police  Department 

Fire  Department 

Blister  Rust  &  Care  of  Trees 


2,702.72 
951.02 

4,947.63 
443.67 
215.97 
300.00 

3,481.43 
311.36 
250.00 
205.02 


$    13,808.82 


26,900.06 

7,424.15 

129.40 


29 


EXHIBIT  B-1   (Continued) 
TOWN  OF  NEWMARKET 


Civilian  Defense 

864.85 

Ambulance 

5,000.00 

$ 

40,318.46 

Health  &  Sanitation: 

Health  Department 

$ 

178.80 

Vital  Statistics 

90.00 

Sewer  Maintenance 

1,419.16 

Town  Dump  &  Garbage 

Removal 

7,559.67 

$ 

9,247.63 

Highways  &  Bridges: 

Town  Road  Aid 

$ 

369.29 

Town  Maintenance 

26,139.47 

Tarring   Roads 

4,722.45 

Street  Lighting 

6,079.28 

General  Expenses  of  H 

ighwoy  Department 

7,484.36 

$ 

44,794.85 

Libraries 

$ 

5,444.00 

Public  Welfare: 

Old  Age  Assistance 

$ 

9,708.09 

Town  Poor 

3,539.67 

Public  Welfare 

6,125.34 

$ 

19,373.10 

Patriotic  Purposes: 

Memorial  Day 

$ 

500.00 

Christmas  Lights 

463.74 

Soldiers'  Aid 

60.38 

$ 

1,024.12 

Recreation: 

Parks  &  Playgrounds 

$ 

1,300.00 

Little  League 

500.00 

$ 

1,800.00 

Public  Service  Enterprises: 

Cemeteries 

$ 

4,782.67 

Unclassified: 

Damage  &  Legal 

$ 

645.00 

Advertising  &  Regional 

Associations 

613.00 

Taxes  Bought  by  Town 

7,370.13 

Discounts,  Abatements  &  Refunds: 

Property  Taxes  &  Interest                     $             23. 

,16 

Motor   Vehicle   Permit 

Fees                              1 2. 

.14 

35.30 


30 


EXHIBIT  B-1   (Continued) 
TOWN  OF  NEWMARKET 


Social  Security  &   Retirement 
Health  Insurance  Program 
Community  Actions 
Armed  Services 
Purchase  of  School 


Interesf  Paid: 

On  Temporary  Loans 
On  Bonded   Indebtedness 


Nsw   Construction,    Equipment   &   Improvements: 

State  Aid  Construction 
Sidewalk   Construction 
New  Equipment  -  Highway 
Water  Works  Construction 


indebtedness  Payments: 

On  Temporary  Loons 

On   Bonded  Debt 

Payments  to  Capita!   Reserve  Funds 


Payments  to  Otl^er  Governmental  Divisions: 


State  of  New  Hampshire: 

Staet  Head  Taxes  —  1  966 
State  Head  Taxes  —  1  967 


County  Tax 

School  District  Tax: 

1966-67  School  Tax 
1967-68  School  Tax 


3,809.58 

851.02 

157.65 

300.00 

1.00 


$ 

$      5,493.05 
14,709.50 

13,782.68 

$ 

$      2,500.00 

351.78 

5,590.32 

12,500.00 

20,202.55 

$ 

$240,000.00 

15,000.00 

6,500.00 

20,942.10 

$261,500.00 


1,898.00 
4,452.85 


;i  37,984.96 
150,000.00 


6,350.85 
19,461.54 


287,984.96 


TOTAL  EXPENDITURES  FOR  ALL  PURPOSES 
BALANCE  —  DECEMBER  31,    1967 

GRAND  TOTAL 


$313,797.35 

$770,818.33 
48,310.73 

$819,129.06 


31 


EXHIBIT  B-2 
TOWN  OF  NEWMARKET 

Summary  of  Treasurer's  Account  and  Proof  of  Balance 
Fiscal  Year  Ended  December  31,  1967 


Balance  -  January    1,    1967  $    68,347.46 

Receipts  During  Year  750,781.60 


$819,129.06 
Expenditures  During  Year  770,818.33 


Balance  -  Decennber  31,   1967  $    48,310.73 


PROOF  OF  BALANCE 

Balance  in  The  Rockingham  National 

Bank,  Newmarket  -   Per  Statement 

December  29,    1967  $    58,895.63 

Add:  Deposits  of: 

January      3,    1968  $1,471.40 

January   12,    1968  8,061.30 


9,532.70 

$   68,428.33 
Less:  Outstanding  Checks  20,123.60 


$   48,304.73 
Add:  Bank  Credit  Memo  -  Jan.  1  0,  1  968  6.00 


Reconciled  Balance  -  Dec.   31,   1967  $    48,310.73 


32 


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EXHIBIT  C-2 
TOWN  OF  NEWMARKET 

Summery  of  Tax  Sale  Accounts 
Fiscal  Year  Ended  December  31,  1967 


—     Levies  of     — 
DEBITS  1966  1965  1964  1962  1961 

Unredeemed  Taxes  - 

Jan.    1,    1967  $  $2,347.17    $689.68    $1,138.81    $152.40 

Tax  Sole  of 

Sept.  8,   1967  7,370.13 

Interest  &  Costs  Collected 

After  Sale  16.39  67.44         68.72 

$7,386.52   $2,414.61    $758.40   $1,138.81    $152.40 


CREDIT 


Remittances  to  Treasurer: 

Redemptions  $2,426.65  $1,596.78    $665.53    $  $ 

Interest  &  Costs  16.39  67.44         68.72 

Deeded   to  Town  30.90  25.02         24.15 

Unredeemed  Taxes  - 

Dec.   31,   1967  44,912.58         725.37  1,138.81       152.40 

$7,386.52  $2,414.61    $758.40   $1,138.81    $152.40 


35 


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EXHIBIT  D 
TOWN  OF  NEWMARKET 

Statement  of  Town  Clerk's  Accounts 
Fiscal  Year  Ended  December  31,  1967 


DEBITS 


Motor  Vehicle  Permits  Issued: 


1966  -  Nos.  188123  -  188170      $   377.56 
1  967  -  Nos.  492035  -  492400) 


-  Nos.  186301  -  187777) 
1968  -  Nos.  343201  -  343229 

21 

,360.25 
366.26 

Dog  Licenses  Issued: 

182  at  $2.00 
22  at  S5.00 

$ 

$ 

364.00 
1  10.00 

22,104.07 

Less:  204  Fees  at  $0.20 

$ 

474.00 
40.80 

Add:  46  Penalties  at  $1 .00 

$ 

433.20 
46.00 

Filing  Fees 

$ 

479.20 
5.00 

$    22,588.27 

CREDIT 

Remittances  to  Treasurer: 

Motor  Vehicle  Permits  $    22,104.07 

Dog  Licenses  &  Penalties  479.20 

Filing   Fees  5.00 


$   22,588.27 


37 


EXHIBIT  E 
TOWN  OF  NEWMARKET 

Statement  of  Receipts,   Expenditures  and   Proof  of   Balance 
Fiscal  Year  Ended  December  31,  1967 

Balance  -   January    1,    1967  $  411.16 

Receipts: 

Town  Appropriation  $      5,442.01 

Rent  of  Building  50.00 

Donation  5.00 


5,497.01 

$      5,908.17 
Expenditures  During  Year  5,738.44 


Balance  -  December  31,  1967  $  169.73 


PROOF  OF  BALANCE 

Balance  in  The  Rockingham  National 
Bank,  Exeter  -  Per  Statement 

December  19,  1967  $  799.37 

Less.-  Outstanding  Checks  629.64 


Reconciled  Balance  -  Dec.  31,  1967  $  169.73 


38 


EXHIBIT  F 
District  Court 

Statement  of  Receipts,  Expenditures  and  Proof  of  Balance 
Fiscal  Year  Ended  December  31,  1967 


Balance  -  January  1,  1967 

$       65.25 

Receipts: 

Fines  &  Forfeits 

$1 

,570.00 

Bail 

580.00 

Small  Claims 

40.50 

Bail  Refunded  by  Superior  Court 

50.00 

Non-Support  Collection 

5.00 

2,245.50 

$2,310.75 

Expenditures: 

N.H.  Dept.  of  Safety 

$ 

688.00 

N.H.  Fish  &  Game  Dept. 

32.00 

Bail  Transferred  to  Superior  Court 

580.00 

Supplies,  Forms,  Etc. 

24.62 

Court  Clerk's  Bond 

10.00 

Town  of  Newmarket 

815.13 

Peace  Bond   Returned 

25.00 

Small  Claims 

36.00 

2,210.75 

Balance   -   December  31,    1967 


$100.00 


PROOF    OF    BALANCE 


Balance  in  The  Rockingham  National  Bank,  Exeter 

Per  Statement  December  14,  1967 
Less:    Outstanding   Check    #1018 

Reconciled   Balance  -   December   31,    1967 

Criminal   Cases  94 

Civil  Cases  1 

Small  Claims  2 

Juvenile  Cases  4 


Total  Cases 


101 


915.13 
85.13 


$100.00 


39 


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INVESTMENTS  &  DEPOSITS: 

Rockingham  National  Bank  — 

Savings  Account  #TDN-84  $        544.54 
Amoskeag  Savings  Bank  — 

(Special   Notice  Account)  11,968.26 
Capital   Reserve  Fund   #801641 
Amoskeag  Savings  Bank  — 

Capital  Reserve  Fund  #302527  4,1  14.67 
Amoskeag  Savings  Bank — 

(Special   Notice  Account) 

Capital  Reserve  Fund   #801640  19,023.87 

iQ  M  -  Southwestorn  Bell  Telephone  Co.  Bonds  10,157.68 
Amoskeag  Savings  Bank  — 

(Special  Notice  Account)   #801642  10,000.00 
Manchester  Savings   Bank  — 

(Special  Notice  Account)   #701452  10.000.00 
Rockingham  National  Bank  — 

Savings  Account  -  #TDE-620  4,393.29 

Portsmouth  Trust  Company  #200350  10,000.00 

Portsmouth  Savings  Bank  #N-821  10,000.00 

Portsmouth  Savings  Bank  #B-1  02288  412.99 

5  M  U.S.  Treasury  Bond   #6078  5,027.90 

714  Shares  -  Nev\/  England  Fund  7,393.65 

862  Shares  -  Whitehall   Balanced  Fund  9,990.50 

1325  Shares  -   Puritan  Fund,   Inc.  9,993.56 

781   Shares  -  Eaton  &  Hov^ard  Balonced  Fund  7,696.34 

5  M  -  American  Telephone  &  Telegraph  Bonds  5,069.83 

784  Shares  -   Broad  St.   Investing  Corp.  9,987.16 

595  Shares  -  Nationwide  Securities  Co.,  Inc.  6,384.44 

Strafford  Savings  Bank  #544  PDO  10,000.00 

AAanchester  Savings  Bank  #707-934  7,362.92 

Rockingham  National  Bank  #N-10510  392.42 
Cash  on  Hand  — 

(Undeposited  Capital  Reserve  Funds  )  6,500.00 


$176,414.02 


41 


EXHIBIT  H 
TOWN   OF  NEWMARKET 

Special  Sewer  Construction  Account 

Statement  of  Receipts,  Expenditures  and  Proof  of  Balance 

Fiscal  Year  Ended  December  31,  1967 

Balance  -  January   1,   1967  $430,867.81 

Reciepts: 

Interest  on  invested  Funds  21,976.62 


$452,844.43 


Expenditures: 

Engineering  &  Design  Fees                   $  5,582.42 

Legal  Fees  250.00 

Town  of  Newmarket  -  a/c  Interest  14,709.50 


20,541.92 
Balance  -  December  31,  1967  $432,302.51 


PROOF  OF  BALANCE 

Balance  in  the  Rockingham  National  Bank,  Exeter  — 

Per  Statement  December  29,  1  967  $    16,768.75 

Less:    Outstanding  Check  (#39)  250.00 


$16,518.75 
Add:      Certificatas  of  Deposits: 

Indian  Head  National   Bank 

#B-2493  $330,783.76 

The  Rockingham  National   Bank 

#8-266  85,000.00 


415,783.76 
Reconciled  Balance  -  December  31,  1967  $432,302.51 


42 


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EXHIBIT  J 
TOWN   OF  NEWMARKET 

Town  Officers'  Surety  Bonds 
1967 


Number 
To>vn  Treasurer: 

Severine  R.  Neal 

Fireman's  Fund  Insurance  Co. 

Town  Clerk: 

Yvonne  B.  Rousseau 
Fireman's  Fund  Insurance  Co. 

Tax  Collector: 

Albert  W.  Caswell,  Sr. 

Fireman's  Fund  Insurance  Co.    8033431 

Trustees  of  Trust  Funds: 

Beatrice  Morin 

Fireman's  Fund  Insurance  Co. 

Eli  Grandmaison 

Fireman's  Fund  Insurance  Co.    8026650 

Roy  E.  Kent 

Fireman's  Fund  Insurance  Co.    8033433 


Amount  Term  Beginning 

25,000.00  March  14,1967 

$    5,000.00  March  14,  1967 

$24,000.00  March  14,  1967 

$16,000.00  March     9,1965 

$20,000.00  March     8,1966 

$22,000.00  March  14,  1967 


45 


ITEMIZED  EXPENDITURES  OF  TOWN  DEPARTMENTS 
1967 


TOWN  OFFICERS  SALARIES 


Nicholas  Zuk 
Frank  Schando 
Robert  Filion 
Severine  Neal 
Albert  Caswell,  Sr. 
Yvonne  Rousseau 
Internal  Revenue 
Treasurer,  State  of  N.H. 


302.40 
382.40 
382.40 
239.60 
959.05 
189.00 
130.00 
117.87 


$     2,702.72 


TOWN  OFFICERS  EXPENSES 


Yvonne  Rousseau 

Albert  Caswell,  Sr. 

Connor  &  Durgin 

Eileen  Szeliga 

Internal  Revenue 

N.H.-Vt.  Hospitalization  Service 

Treasurer,  State  of  N.H. 

Association  of  N.H.  Assessors 

Edson  C.  Eastman  Co. 

Batchelder's  Bookstore 

Bo  Chaines,  Inc. 

N.H.  Retirement  System 

N.H.  Tax  Collector's  Association 

Petty  Cash 

Newmarket  Press 

Newmarket  Times 

Genevra  R.  Laugher 

Wheeler  &  Clark 

U.S.  Post  Office 


105.96 

150.60 

25.00 

1,928.24 

477.00 

48.00 

131.10 

5.00 

49.46 

12.58 

473.98 

101.70 

5.00 

28.45 

625.50 

60.00 

6.00 

42.55 

298.85 


46 


Brown  &  Saltmarsh,  Inc.  31.70 

Rebecca  Walker  86.40 

Burroughs  Corp.  58.05 

LaBranch's  Drug  5.75 

Exeter  Hospital  25.00 

Edward  H.  Quimby  Co.  123.00 

American  Photocopy  Equipment  17.25 

Pitney-Bowes,  Inc.  5.20 

John  B.  Carpenter  15.00 

3-M  Business  Products  5.31 


$     4,947.63 


ELECTION  &  REGISTRATION 


Frank  Schanda 
Richard  Schanda 
Richard  Atherton 
Arthur  LaBonte 
Yvonne  Rousseau 
Fred  Beale 
Martha  Schanda 
Rhea  La  France 
John's  Restaurant 
Newmarket  Press 
Newmarket  Times 
LaBranch's  Drug 


$           10.00 

20.00 

27.50 

27.50 

20.00 

7.50 

7.50 

7.50 

1.00 

53.50 

20.00 

13.97 

MUNICIPAL  COURT 


215.97 


Russell  H.  McGuirk  286.80 

Treasurer,  State  of  N.H.  13.20 

$  300.00 

47 


TOWN  HALL 

Wilfred  Beaulieu 

$         241.72 

N.E,  Telephone  Co, 

1 ,080.40 

Public  Service  Co. 

482.74 

Robinson-Rudd  Oil  Service 

107.19 

Internal  Revenue 

59.00 

Treasurer,  State  of  N.H. 

19.08 

Bo  Chaines,  Inc. 

97.48 

Herbert  J.  Philbrick 

32.20 

R.  H.  Filion 

346.68 

Portsmouth  Paper  Co. 

30.25 

Griffin  Hardware  Corp. 

78.28 

Robbins  Auto  Supply 

213.60 

Certified  Laboratories 

31.95 

University  of  N.H. 

14.44 

Edward  H.  Quimby  Co. 

47.24 

Pitney-Bowes,  Inc. 

289.78 

Albert  Gilbert 

42.12 

Adam  Semple 

44.46 

General  Electric  Co. 

180.00 

Adam  Maiek 

11.76 

Warren  Sawyer,  Jr. 

17.06 

Adelard  Babineau 

14.00 

$     3,481.43 

POLICE  DEPARTMENT 

Normand  Hamel  $      1,011.80 

Paul  Gahan  4,084.32 

Donald  Howcroft  4,742.82 

Robert  Pratt  4,582.23 

Owen  Russell  4,583.74 

Albert  Gilbert  250.94 

John  Sklarski  40.12 

John  Morse  944.90 

Edward  Zick  36.69 


48 


Warren  Jenkins  28.78 

N.H.-Vt.  Hospitalization  Service  358.40 

Internal  Revenue  2,141.52 

H.  R.  Haines  Co.,  Inc.  1,404.89 

Great  Bay  Motor  Co.  439.79 

Dover  Auto  Supply  1 30.08 

Newmarket  Press  1 08. 1 0 

Treasurer,  State  of  N.H.  39.84 

LaBranch's  Drug  10.73 

Griffin  Hardware  Corp.  5.49 

Public  Service  Co.  12.04 

Thomas  J.  Connelly  (Ins.)  163.00 

Bo  Chaines,  Inc.  223.42 

N.H.  Police  Retirement  436.13 

Petty  Cash  21.25 

Rices,  Inc.  92.54 

Yvonne  Rousseau  206.56 

Woodbury  Avenue  Car  Wash  12.50 

Exeter  Hospital  16.50 

Hovey's  Camera  Shop  68.70 

Eddie's  Service  Station  36.90 

Ma rel I i's  Fruit  Store  1.82 

Dollars  for  Schollars  10.00 

Batchelder's  Bookstore  1 .45 

Sargent-Sowell,  Inc.  29.40 

Donald  S.  Lavigne  45.30 

Rockwell  Mfg.  Co.  4.65 

Eastern  Fire  Equipment  5.43 

American  Safety  18.00 

General  Electric  Co.  436.82 

Shelton's  Auto  Body  Shop  29.75 

Karl  Gilbert  8.67 

Del  Chemical  Corp.  62.05 

U.S.  Post  Office  6.00 

Newmarket  Times  6.00 

$  26,900.06 
49 


FIRE  DEPARTMENT 

Griffin  Hardware  Corp.                                              $  34.94 

N.E.  Telephone  Co.  309.90 

H.  R.  Haines  Co.,  Inc.  61.22 

Robert  S.  Keller  340.00 

BoChaines,  Inc.  419.91 

Thomas  J.  Connelly,  Ins.  601.00 

Raymond  Ripley,  Clerk  2,877.09 

Wilfred  L.  Beaulieu  81.39 

Beaulieu's  Garage  71.25 

Smith  Fire  Equipment  42.28 

Certified  Laboratories  62.55 

Charles  H.  Clougherty  1 ,1 32.93 

Dover  Auto  Supply  60.95 

Edward  Wasiewski  23.00 

Robinson-Rudd  Oil  Service  83.45 

Great  Bay  Motor  Co.,  Inc.  24.60 

Ma  rcotte'  s  Ma  rket  13.63 

Public  Service  Co.  129.41 

Eddie's  Service  Station  21.24 

Strafford  County  Soil  290.40 

Mobile  Electronics  109.85 

Perkins  Agency  Insurance  51.00 

R.  H.  Filion  279.85 

Hopey's  Garage  82.15 

Herbert  Philbrick  75.00 

W.  A.  Gazda  22.75 

Robbins  Auto  Supply  1  22.41 

$     7,424.15 

TREE  CARE 
V.  H.  Cogswell,  Inc.  $         129.40 

129.40 
50 


TOWN  CLOCK 

Public  Service  Co  .  108.65 

W.  A.  Gazda  200.00 

Griffin  Hardware  Corp.  2.71 


AUTO  PERMITS 


SEWER  DEPARTMENT 


311.36 


Yvonne  Rousseau 

$         731.06 

Treasurer,  State  of  N.H. 

39.66 

Internal  Revenue 

180.30 

951.02 

CIVIL  DEFENSE 

N.E.  Telephone  Co. 

$         193.65 

Treasurer,  State  of  N.H. 

9.75 

Mobile  Electronics 

261.45 

General  Electric  Co. 

400.00 

$        864.85 

HEALTH  DEPARTMENT 

N.H.-Vt.  Hospitalization  Service  $         178.80 

VITAL  STATISTICS 

Yvonne  Rousseau  $           68.03 

Treasurer,  State  of  N.H.  3.97 

Internal  Revenue  18.00 


90.00 


Adam  Maiek  $  62.14 

Richman  Walker  109.93 


51 


Dover  Auto  Supply  25.99 

Albert  Gilbert  142.03 

R.  H.  Filion  81.01 

Warren  Sawyer,  Jr.  55.63 

Hermenegilde  Cote  1  1 .08 

Wilfred  Beaulieu  129.76 

Adam  Semple  57.39 

Griffin  Hardware  Corp.  145.70 

Bo  Chaines,  Inc.  44.65 

E.  K.  Willard,  Inc.  274.44 

Adam  Semple  70.40 

Tom  Sawyer  180.00 

J.  F.  McDermott  19.76 

R.  H.  Filion  3.50 

N.  A.  Nichols  Co.  5.75 


$      1,419.16 

TOWN  DUMP  &  GARBAGE  REMOVAL 

Adam  Maiek  $         973.87 

Albert  Gilbert  982.10 

Warren  Sawyer,  Jr.  983.56 

Wilfred  Beaulieu  980.99 

Adam  Semple  893.70 

Hermenegilde  Cote  415.74 

Dale  Filion  20.81 

Gary  Grochmal  20.81 

Robert  Pa quette  10.71 

Robert  Mazur  13.50 

Leo  Laplume  165.61 

Robert  Laroche  194.30 

John  Gammon  196.00 

Bo  Chaines,  Inc.  31.36 

H.  R.  Haines,  Co.,  Inc.  277.33 

Bell  &  Flynn,  Inc.  706.00 

Gover  Smith  38.24 


52 


James  Whitemore  15.12 

Paul  St.  Pierre  22.20 

Ronald  Bloom  17.70 

Great  Bay  Motor  Co.,  Inc.  1 97.04 

Agenor  Bissonnette  202.82 

Duane  Walker  11.10 

Stephen  Kleczek  10.20 

Griffin  Hardware  Corp.  3.56 

Rices  Inc.  75.90 

George  Hauschel  71.40 

Floyd  E.  Spaulding  28.00 


TOWN  MAINTENANCE 


$     7,559.67 


Richman  Walker  $     2,384.58 

Adam  MaIek  2,728.09 

Albert  Gilbert  2,950.79 

Warren  Sawyer,  Jr.  2,575.14 

Wilfred  Beaulieu  2,902.45 

Adam  Semple  2,499.40 

Robert  La roche  145.47 

Charles  Clark  11.60 

Robert  Gazda  1  1.60 

Hermenegilde  Cote  304.70 

Stephen  Kleczek  122.18 

Dale  Filion  23.05 

Gary  Grochmal  21.54 

N.H.-Vt.  Hospitalization  Service  396.60 

Robbins  Auto  Parts  56.27 

Employees'  Retirement  System  1,018.50 

Treasurer,  State  of  N.H.  1,402.20 

Bo  Chaines,  Inc.  542.88 

H.  R.  Haines  Co.,  Inc.  724.05 

Edwin  I.  Kimball  18.47 

Griffin  Hardware  Corp.  83.59 


53 


Great  Bay  Motors  Co.,  Inc.  239.80 

Paul  Petit  32.95 

Seacoast  Tractor  &  Euipment  1  17.28 

John  Szacik  9.07 

Atlantic  Equipment  &  Supply  45.90 

Nanco,  Inc.  14.76 

Dover  Auto  Supply  23.14 

Internal  Revenue  3,704.63 

Sandard  Uniform  317.30 

Bruce  Hauschel  91.00 

Exeter  Tire  Mart  27.12 

Ri la  Precast  Concrete  28.80 

Rice's  Inc.  80.36 

Vincent  Bateman  24.03 

Raymond  Barringer  20.14 

Leo  Laplume  95.46 

George  Hauschel  54.92 

Agenor  Bissonnette  49.66 

Walter  Hendzel  60.00 

Marion  Walker  180.00 


$  26,139.47 

TARRING 

lafolla  Construction  Co. 

$ 

277.62 

Atlantic  Equipment  &  Supply 

869.40 

Mystic  Bituminous 

1,917.83 

Richman  Walker 

329.79 

Adam  Maiek 

210.18 

Albert  Gilbert 

229.72 

Warren  Sawyer,  Jr. 

222.52 

Wilfred  Beaulieu 

230.61 

Adam  Semple 

198.69 

Hermenegilde  Cote 

55.59 

R.  H.  Filion 

12.00 

Filion  Construction  Co. 

168.50 

$     4,722.45 
54 


T.  R.  A. 

State  of  N.H.                                                                $  369.29 

$  369.29 
STREET  LIGHTING 

Public  Service  Co.                                                       $  5,945.72 

Great  Bay  Motor  Co.,  Inc.  133.56 


$     6,079.28 

GENERAL  EXPENSES  OF  THE  HIGHWAYS 

Bruce  Hauschel  $      1,036.00 

H.  R.  Haines  Co.,  Inc.  1,354.24 

Nanco,  Inc.  52.86 

Great  Bay  Motor  Co.,  Inc.  251.81 

R.  H.  Filion  282.01 

New  England  Metal  Culvert  142.80 

Griffin  Hardware  Corp.  321.49 

N.  E.  Telephone  Co.  238.85 

Robbins  Auto  Supply  821.06 

Seacoast  Tractor  &  Equipment  62.38 

International  Salt  262.53 

Beaulieu's  Garage  41.85 

Edwin  I.  Kimball  228.98 

E.  K.  Willard,  Inc.  20.00 

Robinson-Rudd  Oil  Service  112.02 

Standard  Uniform  527.95 

Mobile  Electronics  31.70 

Dover  Auto  Supply  4^4.13 

R.  C.  Hazelton  105.48 

N.  H.  Explosives  40.00 

The  Chemical  Corp.  465.64 

White's  Welding  100.54 

V.  H.  Cogswell,  Inc.  29.54 

Thomas  J.  Connelly,  Ins.  368.00 


55 


Rice's  Inc. 

147.05 

lafolla  Construction  Co. 

30.30 

Granite  State  Minerals 

262.15 

George  Hauschel 

103.00 

$ 

7,484.36 

LIBRARY 

Velma  Szacik,  Treasurer 

$ 

5,442.01 

Bo  Chaines,  Inc. 

1.99 

$ 

5,440.00 

OLD  AGE  ASSISTANCE 

State  of  N.H. 

$ 

9,702.07 

N.H.  Division  of  Welfare  (OASI  Fund) 

6.02 

$ 

9,708.09 

TOWN   POOR 

Medical  Aid 

$ 

109.29 

Clothing 

108.26 

Rent 

131.00 

Food 

142.55 

Fuel 

20.00 

Rockingham  County  Home 

1,454.92 

N.H.  Catholic  Charities 

294.66 

Misc. 

41.78 

Board  &  Care 

1,237.21 

$ 

3,539.67 

MEMORIAL  DAY 

American    Legion   -    Post  67 

$ 

500.00 

SOLDIER'S  AID 

Medical  Aid 

$ 

6.00 

Food 

40.00 

Clothing 

14.3.8 

$  60.38 

56 


PARKS  &  PLAYGROUNDS 

Little  League  Baseball 

Newmarket  Women's  Club  (Civics  Dept) 


$         500.00 
1,300.00 

$      1,800.00 


CEMETERIES 


BoChaines,  Inc. 
Internal   Revenue 
H.  R.  Haines  Co.,  Inc. 
Agenor  Bissonnette 
Dale  Filion 
Gary  Grochmal 
John  Carpenter 
Lloyd  Walker 
Filion  Construction  Co. 
Treasurer,  State  of  N.H. 
Adam  Maiek 
Albert  Gilbert 
Warren  Sawyer,  Jr. 
Wilfred  Beaulieu 
Griffin   Hardware  Corp. 
Charles  Hobbs 
Adam  Semple 
Hermenegilde  Cote 
Greenlands  Corporation 
Certified  Laboratories 


$  24.47 

209.00 

56.26 

1,869.69 

299.95 

336.38 

126.00 

150.00 

156.00 

151.61 

94.97 

124.00 

74.83 

105.87 

770.04 

44.00 

86.73 

37.32 

29.95 

35.60 

$     4,782.67 


DAMAGES  &  LEGAL  EXPENSES  (INCLUDING  DOG  DAMAGE) 


Edith  Holland 
Newmarket  Times 
Exeter  Veterinary  Hospital 
Dover  Veterinary  Hospital 


32.00 
12.00 
19.00 
30.00 


57 


Owen  Russell,  Dog  Of 

ficer 

150.00 

Russell  H.  AAcGuirk 

402.00 

$ 

645.00 

TRUST  FUNDS 

Rockingham  National 

Bank 

$ 

5.00 

Beatrice  Morin 

75.00 

Roy  E.  Kent 

85.00 

Eli  Grandmaison 

85.00 

$         250.00 
ADVT.  &  REGIONAL  ASSOCIATIONS 
N.  H.  Seacoast  Regional  Assoc.  $         613.00 


$         613.00 

TAXES  BOUGHT   BY  THE  TOWN 
Albert  W.  Caswell,  Sr.,  Tax  Collector  $     7,370.13 


$ 

7,370.13 

DISCOUNTS,  ABATEMENTS  &  REFUNDS 

Ronald  Sklarski                                                             $ 

8.24 

N.H.  Electric  Corp. 

19.60 

Robert  D.  Willey 

3.90 

Helen  Silver 

1.G7 

Helen  Dodds 

2.49 

$  35.30 
RETIREMENT  &  SOCIAL  SECURITY 

Treasurer,  State  of  N.H.                                             $  2,000.78 

Employees'   Retirement  System  1,426.63 

N.  H.  Police  Retirement  382.17 

$  3,809.58 

58 


MISCELLANEOUS 

Christmas  Lights  -  Public  Service  Co. 

Christmas  Lights  -  Griffin  Hardware  Corp. 

Reassessment  -  N.  H.  State  Treasurer 

Ambulance  -  Brisson  &  Kent 

Armed  Services 

Rockingham  County  Community  Actions 


$  132.79 
330.95 
205.02 
5,000.00 
300.00 
157.65 

$     6,126.41 


INTEREST 

Durham  Trust  Co. 
Rockingham  National   Bank 
First  National   Bank  of  Boston 


$     5,326.38 

166.67 

14,709.50 

$  20,202.55 


HEALTH  INSURANCE  PROGRAM 

Hartford  Accident  &  Indemnity 
N.H.-Vt.  Hospitalization  Service 


$  36.18 

814.84 

$         851.02 


STATE  AUDIT 


State  Tax  Commission 


$         443.67 


$         443.67 

WATER  WORKS  &  SEWER  CONSTRUCTION 
Robert  G.  Bennett  (Land)  $    12,500.00 

$    12,500.00 


59 


SIDEWALK  CONSTRUCTION 

lafolla  Construction  Co.  $         231 .98 

Rila  Precast  Concrete  85.80 

Roger  Harvey,  Contractor  24.00 

George  Hauschel  10.00 


$  351.78 

LAND,  BUILDINGS  &  NEW  EQUIPMENT 

Great  Bay  Motor  Co.,  Inc.                                      $  4,470.00 

R.  C  .Hazelton  Co.  1,020.32 

Mobile  Electronics  100.00 

Newmarket  School  District  (Central  School)  1.00 


$     5,591.32 


TEMPORARY  LOANS 


Rockingham  National  Bank  $  40,000.00 

Durham  Trust  Co.  200,000.00 


$240,000.00 


BONDS,  NOTES,  TERM  NOTES  AND  CAPITAL  RESERVE 

First  National   Bank  of  Boston  $    15,000.00 

Rockingham  National  Bank  160,000.00 

Capital  Reserve  Fund  3,500.00 

Tov^n  of  Newmarket  -  Trust  Fund  3,000.00 


$181,500.00 


STATE  &  COUNTY 

State  Treasurer                                                            $  8,850.85 

W.  H.  Lothrop,  Treasurer  19,461.54 

$  28,312.39 


60 


PUBLIC  WELFARE 

Rockingham  County  Home  $     5,654.03 

N.  H.  Hospital  233.61 

Portsmouth  Hospital  237.70 


$     6,125.34 


SCHOOL  DISTRICT 

David  Moore  $202,984.96 

John  Fitzgibbon  85,000.00 


$287,984.96 


61 


ANNUAL  REPORT  OF  THE 
BOARD  OF  WATER  COMMISSIONERS 

Physical  progress  in  the  direction  of  the  newly  pur- 
chased Well  site  was  practically  non-existant  during  the  past 
year  due  to  budget  restrictions;  which  included  the  item  to 
purchase  the  land  ($12,500.00). 

A  critical  safety  hazard  will  be  eliminated  in  the  near 
future  as  a  result  of  a  combined  effort  on  behalf  of  the  Indus- 
trial Protection  Water  Corp.  and  the  Water  Board  and  their 
decision  to  cross  connect  the  sprinkler  system  of  the  entire 
industrial  complex  of  the  community  to  the  town  water 
system.  This  improvement  will  permit  the  eventual  razing 
of  the  water  storage  tank  located  off  Main  St.,  adjacent  to 
the  Polish  Club  parking  lot.  Removal  of  this  tank  will  elimi- 
nate need  for  repairs  to  the  tank  and  its  supporting  members; 
failures  to  which  could  result  in  serious  damage  and  loss  of 
life. 

The  request  of  a  building  contractor  for  improved  water 
service  facilitated  the  extension  of  the  six  inch  main  on  No. 
Main  St.  another  325  feet  at  practically  no  expense  to  the 
town.  Our  efforts  in  this  area  should  be  complete  since  we 
have  reached  the  Durham  town  line. 

Two  hydrants  will  be  relocated  to  accommodate  a  new 
sidewalk  on  So.  Main  St.;  either  to  the  delight  or  dismay  of 
our  student  population  on  their  way  to  and  from  school. 

In  order  to  establish  a  firm  base  for  future  planning, 
sensible  direction  and  expenditure  priorities  the  Commis- 
sioners have  voted  to  engage  an  engineering  firm  to  deter- 
mine the  life  expectancy  of  the  Standpipe  on  Great  Hill  and 
establish  the  requirements,  type  and  location  of  a  new  tank; 
giving  consideration  to  our  changing  requirements,  current 

62 


and  future  sources  of  water,  value  of  current  water  source, 
required  improvements  to  increase  the  capacity  of  our  pres- 
ent plant  and  to  evaluate  the  adequacy  of  our  distribution 
system  in  respect  to  extensiveness,  flows  and  size. 

We  thank  one  and  all,  including  the  various  municipal 
departments,  for  your  cooperation  during   1967  — 

Respectfully  submitted. 

Board  of  Water  Commissioners 


63 


WATER  WORKS  EXPENSES 

Public  Service  Co.  $  2,821.07 

New  England  Telephone  495.21 

N.H.-Vt.  Hospitalization  356.52 

Intenral  Revenue  1,400.90 

Newmarket  Press  101.00 

New  Hampshire  Retirement  System  605.14 

Nyanza  Inc.  1,262.01 

Greenlands  10.10 

Flynn,  Powell  &  AAcGuirk  103.50 

Richman  Walker  3,252.73 

Daniel  McDonald  3,124.79 

Warren  Sawyer,  Sr.  1,247.72 

Bo  Chaines  Inc.  181.33 

Thomas  J.  Connelly,  Insurance  101.00 

State  Treasurer  1,201.63 

Griffin  Hardware  Corp.  482.31 

Griffin  Insurance  Agency  233.64 

Eileen  Szeliga  1,829.30 

H.  R.  Haines  Co.,  Inc.  28.12 

Robinson-Rudd  Oil  Service  135.77 

U.S.  Post  Office  97.40 

Edwin  Kimball  1,066.49 

Public  Works  Supply  581.04 

H.  R.  Prescott  &  Sons,  Inc.  250.60 

E.  &  F.  King  &  Co.,  Inc.  133.20 

Albert  Gilbert  362.80 

Wilfred  Beaulieu  359.50 

N.H.  Div.  of  Welfare  (OASI  FUND)  1.52 

Petty  Cash  67.73 

Agenor  Bissonnette  64.23 

John  F.  Conway  110.00 

The  Foxboro  Co.  9.97 

Holmes  Trans.  Co.  44.88 

Taylor  Chemicals  ,lnc.  2.99 


64 


Robert  G.  Bennett  60.00 

Frederick  Beale  266.61 

R.  H.  Filion  509.98 

Rockingham  National  Bank                             .  .  2,262.63 

B.I.F.  136.85 

Great  Bay  Motor  Co.,  Inc.  1,380.49 

Ralph  Pill  Electric  10.15 

Red  Hed  Mfg.  Co.  204.63 

Dearborn's  Motor  Express  3.10 

Adam  Maiek  291.30 

Warren  Sawyer,  Jr.  299.13 

Adam  Semple  268.54 

DeLaval  Turbine  Inc.  384.40 

Tri-Sales,  Inc.  335.26 

Pitney-Bowes  Inc.  167.74 

Town  of  Newmarket  1 15.74 

Quinn  Frt.  Lines  41.00 

Mobile  Electronics  281.00 

Vincent  Bateman  72.50 

Badger  Meter  Mfg.  Co.  810.03 

Lamprey  Plumbing  &  Heating  107.19 

Shahmoon  Industries,  Inc.  712.80 

Filion  Construction  Inc.  144.00 

N.  H  .Water  Works  Assoc.  10.00 

John  Carpenter  50.00 

Gcrnrd  Mongeon  ■ 

Chester  Kruczek  60.00 

John  Nesbitt  60.00 

Harry  Bassett  50.00 

Wilbur  Sharpies,  Jr.  75.00 

$31,356.22 


65 


1967  TOWN  CLERK  ACCOUNT 

Total  Auto  Permit  Receipts  $22,104.07 

Total  Dog  Licenses  Receipts  479.20 

Total  Filing  Fees  Receipts  5.00 

Total  Motor  Vehicle  Junk  Dealers  License  Receipts  25.00 

Total  Bowling  Alley  License  Receipts  100.00 


Total  Receipts  $22,713.27 

Total  Remitted  to  Town  Treasurer  $22,713.27 

Respectfully  submitted, 

YVONNE  B.  ROUSSEAU 
Town  Clerk 


1967  PARKING  METER  ACCOUNT 

Total  Parking  Meter  Receipts  $2,831.70 

Total  Fine  Receipts  824.50 


Total  Receipts  $3,656.20 

Total  Remitted  to  Town  Treasurer  $3,656.20 

Respectfully  submitted, 

YVONNE  B.  ROUSSEAU 
Town  Clerk 


66 


TOWN   OF  NEWMARKET 

PUBLIC  LIBRARY 

Statement  of  Receipts,  Expenditures  and  Proof  of  Balance 

Fiscal  Year  Ended  December  31,  1967 


Balance  —  January  1,  1967 

$    411.16 

Receipts  During   Year 

Town  of  Newmarket 

5,442.01 

Rent  of  Tower  Room 

50.00 

Gift 

5.00 

$5,908.17 

Expenditures  during  Year 

Librarian 

$2,071.00 

Janitor 

497.09 

Social  Security 

257.80 

Internal  Revenue 

164.60 

Books,  Periodicals, 

Library  Supplies 

1 ,247.73 

Fuel 

629.34 

Electricity 

139.20 

Telephone 

177.05 

Insurance 

195.60 

Safe  Deposit  Box 

5.00 

Postage 

9.88 

Repairs,  Supplies 

344.15 

$5,738.44 

Balance  December  31,  1967 

$     169.73 

Balance  in  Rockingham  National  Bank  as 

per  statement,  December  31,  1967        $    799.37 

Less  Checks  Outstanding:  #2194 

#2195 
#2196 


67 


#2197 
#2198 
#2199 
#2200 
#2201 
#2202 


$    629.64 
$     169.73 


Respectfully  submitted, 

VELMA  SZACIK 
Secreta  ry-Trea  su  rer 


LIBRARIAN'S  REPORT 


Book  Circulation  for  1967 

Adult  Fiction 

4,489 

Adult  Non-fiction 

1,139 

Juvenile  Fiction 

1,601 

Juvenile  Non-fiction 

690 

TOTAL 

7,919 

Fines  collected  for  1967 

$60.71 

Balance  as  of  1966 

18.19 

Paid  for  small  items 
Balance  for  1967 


$78.90 
58.79 


$20.11 
Respectfully  submitted, 

MARY  GORDON 
Librarian 

68 


7919 


REPORT  OF  THE  POLICE   DEPARTMENT 


Newmarket  citizens  may  be  justly  proud  of  the  fact  that 
they  successfully  bucked  the  state  and  national  trend  and 
reduced  their  motor  vehicle  accidents  by  the  enviable  margin 
of  30%  over  the  previous  year. 

It  goes  without  saying  that  good  law  enforcement  is  a 
contributing  factor  to  such  a  result,  but  all  the  law  enforce- 
ment in  the  world  will  not  prevent  accidents,  unless  the 
motorists  themselves  give  their  cooperation  to  their  law 
enforcement  agencies  —  state  and  local,  this,  the  citizens  of 
Newmarket  have  done.  Our  sincerest  thanks. 

It  has  been  an  extremely  busy  year  as  far  as  your  police 
department  goes.  Complaints,  larcenies,  breaking  and  enter- 
ing, assault  with  deadly  weapons,  and  even  murder  has 
been  handled  by  your  department. 

We,  of  the  department,  have  often  wondered  how 
would  be  the  best  way  to  get  the  citizens  of  this  town  to 
show  more  of  an  interest  at  what  goes  on  as  far  as  law 
enforcement  is  concerned.  Far  too  many  citizens  have  no 
contact  at  all  with  their  department  until  they  are  the 
unhappy  recipient  of  a  warning  or  a  summons  to  appear  in 
court  for  an  infraction  of  the  law.  This  obviously  does  not 
form  the  best  relationship  to  all  concerned. 

We  cannot  go  from  door  to  door  selling  law  enforce- 
ment, but  we  have  an  extremely  important  product  to  sell. 
More  important  at  this  time  in  our  history  than  ever  before. 
Not  important  to  some  person,  unknown,  or  some  strange 
group,  but  important  to  every  single  citizen  of  this  town. 

Within  the  next  365  days,  surely,  some  of  you  must  be 
able  to  find  a  few  minutes  to  drop  by  and  get  to  know  your 


69 


department  and  the  men  in  it  a  little  better.  I  am  sure  we 
both  will  benefit  by  it. 

We  are  here  to  serve  you.  Your  department  is  only  as 
good  as  the  people  who  back  it. 


Respectfully  submitted, 

PAUL  T.  GAHAN 
Chief  of  Police 


70 


DAILY  LOG  ENTRIES 
MADE  IN  1967 

Assistance  rendered  66 

Messages  delivered  52 

Assists  at  fires  11 

Escort  or  transport  to  hospital  19 

Aid  to  other  departments 118 

Dog  complaints  (37  dog  bites)  134 

La  rcen y    18 

Stolen  cars  3 

Recovered  stolen  cars 5 

Murders   1 

Missing  persons  7 

Missing  persons  found 7 

Cat  complaints 7 

Horse  complaints  9 

Cow  complaints  6 

Accidents  73 

Fatal  accidents  2 

Complaints 526 

Telephone  calls  -  approximately  3270 


Respectfully  submitted, 

PAUL  T.  GAHAN,  Chief 
Newmarket  Police  Department 


71 


FIRE  DEPARTMENT  REPORT 
1967  Fire  Report 

Building  2 

Chimney 2 

Brush   13 

Car 3 

Car  accidents  5 

Miscellaneous    12 

Requests  for  assistance  from  other  towns  6 

The  year  just  past  has  been  a  rather  uneventful  one 
with  no  spectacular  fires,  we'll  be  able  to  keep  things  that 
v/ay  with  your  cooperation.  Have  you  some  area  of  possible 
trouble  that  needs  attention  but  that  you've  been  putting  ofF 
doing  anything  about?  Waste  paper  and  debris  in  the  cellar 
or  attic?  Fuses  sized  too  large?  Oil  burner  defective?  If  you 
have  any  problems  contact  the  fire  department  and  let's  work 
together  to  prevent  trouble.  A  few  minutes  of  your  time  now 
may  prevent  many  hours  of  heartbreak  later. 

Your  department  is  steadily  progressing  to  be  more 
efficient.  Many  new  items  have  been  purchased  to  achieve 
this.  Among  them  —  a  Water  Vac;  a  vacuum  cleaner  type 
device  to  cut  down  on  water  damage.  A  mist  vaporizer  to 
eliminate  the  lingering  smoke  smell  after  a  fire.  Protective 
equipment  for  fire  fighting  personnel.  Other  fire  fighting  tools 
such  as  a  fog  nozzle,  floodlights,  etc.  One  dry  hydrant  was 
installed  last  year  with  other  planned. 

Manpower  during  week  day  daylight  hours  is  a  prob- 
lem both  in  this  town  and  other  towns  of  its  size.  For  this  and 
other  practical  reasons  we  again  request  no  outside  burning 
between  9  a.m.  and  5  p.m.,  a  permit  is  necessary,  call 
659-3286  or  659-3216  for  permits. 

The  trend  is  now  toward  electronic  alarm  systems.  We 
72 


plan  to  purchase  a  few  monitor  sets  annually  and  to  even- 
tually have  a  supplementary  system  for  alerting  men.  Due  to 
our  call  man  set-up  an  audible  horn  is  a  necessity,  the  radio 
set-up  would  be  in  addition  to  that. 

A  change  in  the  mutual  aid  set-up  with  surrounding 
towns  has  been  made.  Durham  is  now  the  dispatch  head- 
quarters. This  simplifies  the  organization  and  should  make 
the  practice  of  giving  help  when  needed  a  more  efficient  one. 

The  fire  department  capital  reserve  fund  is  growing,  a 
new  pumper  engine  will  be  necessary  in  the  near  future.  The 
present  pumper  is  now  26  years  old  and  one  of  the  other 
trucks  even  older  than  that. 

This  is  your  fire  department,  feel  free  to  visit  the  fire 
station,  let  us  know  your  feelings  on  how  it  is  operated  — 
constructive  criticism  is  welcomed. 


Respectfully  submitted, 

ROBERT  S.  KELLER,  Chief 

HERBERT  J.  PHILBRICK,  Deputy  Chief 

RICHARD  J.  BUTLER,  Deputy  Chief 


73 


REPORT  OF  THE  PLANNING  BOARD 

Your  Planning  Board  has  used  the  last  year  meeting 
with  representatives  of  your  State  Department  of  Resources 
and  Economic  Development  and  a  number  of  Planning  Con- 
sultants. In  this  way  we  have  gained  considerable  knowl- 
edge of  the  functions  of  a  comprehensive  plan. 

The  following  questions  and  answers  have  been  com- 
piled for  a  better  understanding. 

What  is  a  Comprehensive  Plan? 

A  comprehensive  plan  will  tell  us  what  should  be  done 
and  how  to  do  it.  This  plan  will  not  be  a  hard  and  fast 
set  of  rules  but  a  flexible  tool  to  be  used  in  shaping  the 
future  of  Newmarket. 

Who  is  in  Back  of  the  Project? 

Your  local  Government  (Town  Officials) 
Your  State  Government 
Your  Federal  Government 
And  we  hope  "YOU". 

Specifically  What  Will  be  Covered  by  the  Plan? 

PHYSICAL  CHANGES 

A  comprehensive  plan  of  our  town  will  deal  with  such 
vital  subjects  as  housing,  streets,  and  landscape.  Empha- 
sis especially  on  our  Main  Street  and  Business  area. 

PUBLIC  WORKS  STUDY 

Water,  sewage.  Fire  and  Police  Departments. 

ECONOMIC  STUDY 

Government  Structure,  Economic  Base,  Resources  and  Fi- 
nancial considerations. 


74 


RECREATION 

Water  front  areas,  Parks  and  Recreational  Facilities 

When  will  the  Project  Get  Started  and  How  Long  will  it  Take? 

We  may  not  get  started  until  1969  as  there  is  a  long  wait- 
ing period  after  application  due  to  the  shortage  of  State 
and  Federal  funds.  The  plan  will  take  18  months  to  com- 
plete. 

How  will  this  Benefit  the  Taxpayers? 

Planned  progress  leads  to  fewer  mistakes,  as  we  plan,  we 
progress  and  beautify  our  town  at  the  same  time.  A  plan 
will  provide  guide  lines  for  efficient  Government  and 
services,  this  plan  will  help  solve  the  problems  and  make 
the  most  of  the  opportunities. 

Does  a  Comprehensive  Plan  Mean  Zoning? 

A  plan  does  not  set  up  zoning.  It  may  recommend  it  but 
the  ultimate  choice  is  in  the  hands  of  the  voters. 

How  Much  Will  It  Cost? 

We  have  had  one  estimate  of  Eighteen  thousand  dollars 
of  which  the  towns  share  is  one  third  or  six  thousand.  We 
are  asking  in  this  years  budget  a  sum  of  $3,000  dollars 
to  implement  this  plan. 

Benefits  and  Costs 

Housing  for  the  elderly,  urban  renewal,  recreation  areas 
and  facilities  Pollution  control  and  water  expansion 
projects. 

Some  projects  cost  the  town  nothing.  Other  projects  are 
1/3  Town  1/3  State  and  1/3  Federal  Government  and 
others  are  on  a  50-50  basis. 


IS 


Why  Now  —  Why  Not  Walt? 

The  state  and  federal  government  have  set  up  these  pro- 
grams on  a  contributing  basis  and  v^e  can  benefit  from 
them  now  while  they  are  available.  We  also  feel  that 
Newmarket  desperately  needs  this  help  now  and  that  it 
will  be  the  most  significant  project  ever  undertaken  and 
will  affect  our  progress  for  generations  to  come. 

GEORGE  E.  GRISWOLD 
Chairman  of  the  Planning  Board 


76 


REPORT  OF  VISITING  NURSE 

On  August  1,  1967  the  Association  began  service  to 
Durham,  Lee  and  Madbury,  later  including  Newmarket  on  a 
temporary  basis.  In  the  early  spring  of  1968  at  the  annual 
meeting  of  the  Association  by-laws  will  be  adjusted  to  allow 
the  Town  of  Newmarket  to  join  as  a  participating  member, 
with  equal  representation  on  the  Board  of  Directors. 

The  visiting  nurse  does  not  replace  the  doctor;  she  works 
with  him  and  under  his  directions.  She  gives  home  nursing 
care  to  people  of  all  ages,  the  new  mother  and  baby,  the 
convalescent  returning  home  from  the  hospital,  sick  children 
and  the  Medicare  patient.  Payment  of  the  visiting  nurse  is 
included  in  Medicare  benefits. 


Health  Promotion 
Disease  Control 
Physical  Therapy        — 
Other 


TOTALS  164  71  15  13 

If  any  further  information  is  desired  you  may  either  call 
or  drop  in  to  the  Selectmen's  Office. 


New- 

Durham 

Lee 

Madbury 

market 

81 

47 

13 

1 

63 

17 
2 
5 

2 

12 

20 

— 

— 

17 


VITAL  STATISTICS 


BIRTHS 


Registered  in  the  Town  of  Newmarket,  N.H. 
For  tlie  year  ending  December  31,  1967 


Date  of 
Birth 


Name  of  Child 


January 

1  Christian  David  Gladu 

17  Joseph  Scott  Pelletier 

23  Michelle  Marie  Tatro 

25  Pamela  Jean  Fields 

27  David  Coulson  Blair 

28  Lisa  Fisk 

February 

1     Lisa  Lynn  Sewall 
7     Andrea  Joan  Bocker 
10     Louis  Carl  Johnson,  Jr. 


March 
3 
4 
17 
21 
21 
24 
25 
30 
31 

April 
28 

May 

9 

9 

16 
17 
26 

June 
9 

17 


Claire  Marie  Baillargeon 
Jeffrey  David  MacDonald 
KeUy  Lynn  Pelletier 
Sherry  Ann  House 
Pamela  Marie  Femane 
Lisa  Marie  Kleczek 
Jerome  Thomas  Mitchell 
Tracey  Lee  Brooks 
Emma  Anne  Poisson 


Mark  Jeffrey  Pease 

Wanda  Marlene  Newman 
Todd  Francis  Newman 
Gregory  John  Merrill 
Susan  Laporte 
Tracy  Ann  Behan 


Donna  Jean  Gagne 
James  Henry  Wandland 


Place  of  Birth 

Dover,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Dover,N.H. 
Exeter,  N.H. 
Exeter,  N.H. 

Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 

Exeter,  N.H. 

Exeter,  N.H. 

Exeter,  N.H. 

Exeter,  N.H. 

Exeter,  N.H. 
Kittery,  Maine 

Exeter,  N.H. 

Exeter,  N.JL 
Kittery,  Maine 

Exeter,  N.H. 


Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 


Exeter,  N.H. 
Portsmouth  N.H. 


79 


20     Tammy  Lynn  Byron 

25  Luanne  Kathleen  Loranger 

26  Chad  Michael  Hill 


July 

6 

7 

18 

19 


Carlton  George  Wilkinson 
Andre  Conrad  Pelletier 
Baby  Girl  Fortier 
Philip  Joseph  Marquis,  Jr. 


August 

18  Kim  Isabel  Zwiercan 
30  Kevin  Brian  Mailhot 
30     Stephen  Matthew  Hart 

September 

1  Judy  Ann  Hoyt 

1  Debbie  Jane  Gilbert 

8  Paula  Rae  Brousseau 

11  Ricky  Gilbert  Pinette 

17  James  Daniel  King 

24  Jeffrey  Wyatt  Brooks 

October 

24     Walter  Albert  Witham,  Jr. 

27  John  Michael  Ryder 

28  Bruce  Aaron  Charest 

30  Tracy  Lynn  Dow 

November 

4  Shawn  Barton  Howcroft 

5  Eric  Loughlin  Burbank 

29  Shawn  Gerard  Gardner 

December 

3  Dean  Jarosz 

3  Norman  Gerard  Baillargeon,  Jr. 

4  Susan  Marie  Keller 

5  Lynn  Anne  Bosinger 
23  Jeffrey  Vincent  Criss 
27  John  Matthew  Dutka 

27  Greta  Mae  Hauschel 

28  Karen  Lynn  Gorski 

31  Christine  Lillian  Zwiercan 


Exeter,  N.H. 
Exeter,  N.H. 
Dover,  N.H. 

Exeter,  N.H. 
Exeter,  N.H. 
Dover,  N.H. 
Exeter,  N.H. 


Exeter,  N.H. 

Newburyport,  Mass. 

Kittery,  Maine 


Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 


Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 


Exeter,  N.H. 
Exeter,  N.H. 
Exeter,   N.H. 


Exeter,  N.H. 
Exeter,  N.H. 
Dover,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Portsmouth,  N.H. 
Exeter,  N.H. 
Exeter,  N.H. 
Dover,  N.H. 


80 


MARRIAGES 

Registered  in  the  Town  of  Newmarket,  N.H. 
For  the  year  ending  December  31,  1967 


Date  of         Place  of 
Marriage        Marriage 

January 

20         Newmarket,  N.H. 

February 

3  Hampton,  N.H. 

8  Newmarket,  N.H. 
11  Newmarket,  N.H. 
18         Stratham,  N.H. 

March 

4  Stratham,  N.H. 

26         Dover,  N.H. 

April 

1         Newmarket,  N.H. 

8  Newmarket,  N.H. 

22  Exeter,  N.H. 

23  Stratham,  N.H. 
29  Newmarket,  N.H. 


Name  and  Surname  of 
Groom  and  Bride 


Wilfred  J.  Blanchette 
Irene  L.  Blanchette 


Robert  Earl  Melansori 

Judith  Rae  St.  Laurent 

Michael  Gerard  Bennett 

Karen  Lee  Wood 

James  Willard  Meredith 

Deborah  Ann  Chipman 

Joseph  Alfred  Benoit  Powers 

Alma  Mae  Silver 


Henry  Clinton  George 

Doris  Mildred  George 

Albert  Rudolph  St.  Laurent 

Georgia  Eva  Elhott 


Charles  Robert  Parent 

Elaine  Mary  Kleczek 

Richard  Raymond  Morin 

Irene  Janet  Renaud 

George  Milton  Wilkinson 

Doris  M.  L.  Winn 

Kenneth  Peter  Willey 

Claire  Louise  Ross 

Robert  Mongeon 

Marjorie  Ruth  Call 


81 


Date  of 

Place  of 

Marriage 

;        Marriage 

May 

6 

Newmarket,  N.H. 

13 

Newmarket,  N.H. 

June 

17 

Laconia,  N.H. 

24 

Newmarket,  N.H, 

24 

Stratham,  N.H. 

Name  and  Surname  of 
Groom  and  Bride 


George  Raymond  Watson 

Marie  Ann  Perron 

Joseph  George  Biello 

Pamela  Ann  Marcoux 


John  Christopher  Mumey 

Anne  Kidder 

Richard  Gorski 

Donna  Helen  Bukowski 

Dennis  Frank  Abbott 

Evelyn  Rosemarie  Hamel 


July 


1 

Durham,  N.H. 

1 

Stratham,  N.H. 

1 

Rochester,  N.H. 

4 

Newmarket,  N.H. 

8 

Rye,  N.H. 

15 

Newmarket,  N.H. 

22 

Newmarket,  N.H. 

29 

Durham,  N.H. 

August 

5 

Newmarket,  N.H. 

12         Exeter,  N.H. 


Golin  Leslie  Glark 

Mary  Rosalie  Geoffrion 

Louis  Joseph  Bouchard 

Kathleen  Mary  Blanchette 

Leon  D.  Dennett 

Drusilla  R.  Adams 

Larry  LeRoy  Riley 

Dorothy  May  Bitomski 

Robert  Maslin  Spry 

Meri  Diane  Jule 

Richard  Robert  Beaudette 

Edith  Alice  Cashman 

Steven  Allan  Richmond 

Carol  Anne  Comeau 

Frank  Webber  Poland  HI 

Jean  Arthur  Cissell 


Paul  William  Turner 

Maurine  Norma  Edgerly 

Obie  Edwin  Philpot,  Jr. 

Dorothy  Esther  Buttny 


82 


Date  of         Place  of 
Marriage        Marriage 

13  Newmarket,  N.H. 

19  Newmarket,  N.H. 

22  Durham,  N.H. 

26  Newmarket,  N.H. 

September 

2         Newmarket,  N.H. 

2  Newmarket,  N.H. 

2  Newmarket,  N.H. 

2  Kingston,  N.H. 

2  Portsmouth,  N.H. 

2  Newmarket,  N.H. 

2  RoUinsford,  N.H. 

9  Derry,  N.H. 

15  Newmarket,  N.H. 

September 

16  Newmarket,  N.H. 

22         Newmarket,  N.H. 
25         Durham,  N.H. 

October 

1         Newmarket,  N.H. 


Name  and  Surname  of 
Groom  and  Bride 

James  Philip  Thibeault 

Nancy  Howcroft 

Ernst  Jan  Ketel 

Elayne  Jeannette  Baillargeon 

Darryl  Ray  Hamson 

Barbara  F.  Teague 

Richard  Norman  Thomas 

Margaret  Ryan  Shorey 


Stanley  A.  Pepek 

Anna  V.  Wajda 

William  James  McCullough 

Leslie  Gail  Sargent 

Chester  N.  Jones,  Jr. 

Cynthia  Marylyn  Sewall 

Michael  Joseph  McPhee 

Marjorie  Arm  Merrick 

Terry  Wayn  Zych 

Pamela  Jean  Bowles 

Robert  Earl  Jordan 

Linda  Jane  LaBranche 

Ronald  Richard  Wilson 

Lorraine  Evelyn  Bouchard 

Charles  Joseph  Plante 

Hilda  Viola  Eagan 

Ronald  Mitchell  Markis 

Sheila  Lois  Gordon 


Robert  Corey  Mello 

Judith  Aileen  Hoik 

Frederick  B.  LaFramboise 

Jeanette  V.  Morrissey 

Kenneth  David  Millovsky 

Ruth  Estelle  Whittemore 


Kurt  George  Schindler 
Ethel  May  Bradford 


83 


Date  of         Place  of 
Marriage        Marriage 

12  Newmarket,  N.H. 

14  Newmarket,  N.H. 

14  Raymond,  N.H. 

28  Newmarket,  N.H. 


Name  and  Surname  of 
Groom  and  Bride 

David  George  Bergeron 

Andrea  Lenore  Giardiiri 

James  Harold  Lindley 

Mildred  Agnes  Wild 

George  Herbert  Smart 

Eleanor  Louise  Frye 

Gerald  Walter  Preston 

Carol  Ann  Byron 


November 

4         Newmarket,  N.H. 

18         Newmarket,  N.H. 


Richard  Roger  Blouin 

Lorraine  May  Davey 

Daniel  Mitchell 

Gail  Patricia  Hackney 


December 

2  Newmarket,  N.H. 

18  Newmarket,  N.H. 

21  Newmarket,  N.H. 

21  Newmarket,  N.H. 

23  Durham,  N.H. 

29  Newmarket,  N.H. 


Thomas  Joseph  Byron 

Trudy  Lee  Payne 

Edward  Charles  Bernier 

Janice  Eileen  Call 

Glenn  Richard  Perkins 

Linda  Soley  Swalm 

Paul  Roger  Beaulieu 

Janice  Ann  Doe 

Bernard  Grochmal,  Jr. 

Susan  Blake  Martin 

Paul  LeRoy  Clark,  Jr. 

Linda  Irene  Brownlow 


84 


DEATHS 

Registered  in  the  Town  of  Newmarket,  N.H. 
For  the  year  ending  December  31,  1967 


Date  of 

Place  of 

Name  and  Surname 

Death 

Death 

of  Deceased 

January 

4 

Exeter,  N.H. 

Helen  Caswell 

19 

Newar.arket,  N.H. 

Helena  Maryanna  Zwiercan 

20 

Brentwood,  N.H. 

Lydia  Grandmaison 

23 

Newmarket,  N.H. 

Rena  Young 

25 

Exeter,  N.H. 

Catherine  J.   McEvoy 

February 

20 

Newmarket,  N.H. 

Joseph  Wilfred  Bolduc 

20 

Lowell,  Mass. 

Vera  R.  Reynolds 

March 

12 

Exeter,  N.H. 

Ulderic  LaFlamme 

28 

Rochester,  N.H. 

Harold  Brette  Pinkham 

April 

3 

22 


Exeter,  N.H. 
Newmarket,  N.H. 


Hazel  Patriquin 
Alfred  Joseph  Baillargeon 


May 


4 

Mason,   N.H. 

Charles   Dube 

7 

Exeter,   N.H. 

Florida   CMalley 

8 

Concord,  N.H. 

Grover  C.  Kenniston 

12 

Newmarket,  N.H. 

Alexander  Hanford  Terrill 

15 

Newmarket,  N.H. 

Gladys  Agnes  Dennett 

15 

Newmarket,  N.H. 

Lew  Grover  Sargent 

15 

Concord,  N.H. 

Ruth  Thompson 

23 

Newmarket,    N.H. 

Luigi    Zocchi 

85 


Date  of 

Place  of 

Death 

Death 

June 

3 

Lee,  N.H. 

3 

Lee,  N.H. 

16 

Exeter,  N.H. 

July 

8 

Manchester,  N.H. 

17 

Dover,  N.H. 

20 

Exeter,  N.H. 

21 

Newmarket,  N.H. 

21 

Brentwood,  N.H. 

August 

9 

Dover,  N.H  . 

September 

10 

Exeter,  N.H. 

27 

Exeter,  N.H. 

29 

Exeter,  N.H, 

October 

2 

Newmarket,  N.H, 

8 

Exeter,  N.H. 

18 

Exeter,  N.H. 

20 

Brentwood,  N.H. 

21 

Exeter,  N.H. 

25 

Portsmouth,  N.H. 

November 

3 

Newmarket,  N.H, 

16 

Newmarket,  N.H. 

30 

Exeter,  N.H. 

17 

Derry,  N.H. 

December 

15 

Exeter,  N.H. 

19 

Exeter,  N.H. 

19 

Concord,  N.H. 

31 

Dover,  N.H. 

Name  and  Siuname 
of  Deceased 


Mark  Owen  Hazeltine 

Wayne  Charles  Piecuch 

Lucie  Alma  Labrecque 


Josephine  Marie  Towle 

Baby  Girl  Fortier 

Victoria  M.  Perron 

Agnes  Edith  Martel 

John  Gillis 


Elmer  Joseph  Bailey 


Marion  Marie  Broderick 

Katherine  Wasilewicz 

John  Jordan 


Bryan  Martinus  Newman 

Mary  Alice  Foster 

Leda  Brisson 

James  R.  Thomas 

Clara  Martel 

Daniel  Mullen 


Herbert  E.  Laskey 

Helen  Hunt  Wiggin 

John  Gammon 

Irving  Harold  Stevens 


Bartli  Joseph  LeBlanc 

Rose  Hanscom  Duncklee 

George  F.  Carmichael 

Helen  Ruth  Saunders 


86 


INTERNMENTS 

Names  of  persons  brought  from  other  Cities  and  Towns 
for  Internment  in  Newmarket,  N.H. 
For  the  year  ending  December  31,  1967 


Date  of 

Place  of 

Name  and  Surname 

Death 

Death 

of  Deceased 

Febrnary 

10 

Pawtucket,  R.I. 

Eva  Cadbois 

March 

13 

Exeter,  N.H. 

George  McGregor 

18 

Dover,  N.H. 

Thomas  D.  Reilly 

18 

North  Syracuse,  N.Y. 

Beatrice  Lillian  LaPointe  Puchlopek 

22 

Brentwood,  N.H. 

Spencer  Irving 

26 

Ft.  Lauderdale,  Florida 

Thomas  J.  Filion 

26 

Boston,  Mass. 

Amy  Brousseau 

30 

Exeter,  N.H. 

Marguerite  Clifford 

May 

6 

Portsmouth,  N.H. 

John  J.  Szabo 

July 

8 

St.  Johnsbury,  Vermont 

Onesime  P.  Leblanc 

16 

Dover,  N.H. 

Harriet  Randall 

27 

Medford,  Mass. 

Nora  H.  Manning 

September 

27 

Sanford,  Maine 

Victoria  Dora  Male 

October 

20 

Milford,  Conn. 

William  C.  Boucher 

87