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352.07 
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1979 


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THE  TOWN  OF 


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NEW  HAMPSHIRE 


For  The  Year  Ending 


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NOTICE  TO  PROPERTY  OWNERS 

Every  spring  you  receive  an  inventory  to  be  filled  out  and 
returned  to  the  Selectmen  by  April  15th. 

The  1977  General  Court  Passed  RSA  74:7A  making  it 
mandatory  that  the  inventory  be  filled  out  and  returned  by 
April  15th  each  year.  The  penalty  for  failure  to  comply  shall 
be  one  percent  of  the  property  tax  bill.  In  no  case  will  the 
penalty  be  less  than  ten  dollars  ($10.00)  or  more  than  fifty 
dollars  ($50.00). 

The  penalty  will  be  added  to  the  current  year's  tax  bill. 

It  is  also  mandatory  that  you  file  your  inventory  each  year 
in  order  to  receive  your  veterans  exemption  even  if  the 
permanent  application  is  on  file. 

These  forms  are  very  important  and  must  be  completely 
filled  out  and  signed  in  the  proper  places,  otherwise,  you 
will  be  liable  for  the  penalty. 

Signed, 


BOARD  OF  SELECTMEN 


tew  Hamps. 


Frank  M.  Schanda,  Chairman 
Albert  W.  Caswell,  Jr. 
Ronald  C.  Bird 


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The  Board  of  Selectmen  are  dedicating  the  1979  Town 
Report  to  Richman  G.  Walker,  who  was  the  Superinten- 
dent of  Public  Works  for  the  Town  of  Newmarket  for  over 
twenty-four  years  before  his  retirement  in  July  1978. 

Dick,  we  appreciate  the  long  years  of  service  you  gave  to 
the  town  of  Newmarket  and  wish  to  publicly  say  "thank 
you"  for  a  job  well  done. 

Wishing  you  the  best  of  luck  in  your  years  of  retirement, 
we  are, 

Sincerely, 


BOARD  OF  SELECTMEN 

Frank  M.  Schanda,  Chairman 
Albert  W.  Caswell,  Jr. 
Ronald  C.  Bird 


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Selectmen,  Town  Clerk,  Tax  Collector, 
Town  Treasurer,  Water  Works,  Public  Library, 

Trustees  of  Trust  Funds,  Planning  Board 

For  The  Year  Ending 

DECEMBER  31,  1979 

with  the 

VITAL  STATISTICS  FOR  1979 


printed  and  bound  by 
NEWMARKET  PRESS,  INC. 

newmarket,  n.h. 


TABLE  OF  CONTENTS 

Your  Tax  Dollar  For  1979    5 

Town  Officers    6 

Report  of  Selectmen  11 

Progress  Report  of  Selectmen   12 

Itemized  Expenditures  of  Town  Department   14 

Town  Employees  Gross  Salaries    45 

Report  of  Town  Clerk    49 

Report  of  Tax  Collector 50 

Report  of  Water  Commissioners    53 

Waterworks  Expenses  55 

Report  of  Sewer  Commissioners    58 

Sewer  Department  Expenses    60 

Report  of  the  Budget  Committee    63 

Report  of  Librarian    65 

Report  of  Library  Financial    67 

Report  of  1979  Town  Audit  (Yellow)  Insert 

Town  Warrant  and  Budget  (White) Insert 

Report  of  Library  Trustees     69 

Report  of  Chief  of  Police    72 

Report  of  Fire  Department 77 

Report  of  Civil  Defense  Director    80 

Report  of  Housing  Authority    82 

Report  of  Building  Inspector 84 

Report  of  Ambulance  Corps    86 

Report  of  the  Dispatch  Center    88 

Report  of  the  Industrial  Commission   90 

Report  of  Recreation  &  Parks  Dept 91 

Report  of  Service  Club    94 

Report  of  Animal  Control  Officer    97 

Report  of  Conservation  Commission    99 

Report  of  Oyster  River  Home  Health  Association    100 

Report  of  Newmarket  Regional  Health  Center    103 

Report  of  the  Zoning  Board  of  Adjustment    104 

Report  of  Mosquito  Control  Commission    105 

Report  of  Health  Officer  106 

Vital  Statistics 107 


YOUR  NEWMARKET  TAX  DOLLAR  FOR  1979 


100 
90 
80 
70 
60 
50 
40 
30 
20 
10 


SCHOOL         TOWN         COUNTY 

64.27%  32.28%  3.45% 

—  1979  — 

School    $2.23 

Town  1.12 

County 12 

$3.47 


TOWN  OFFICERS 

Term  Expires 
MODERATOR 

Ronald  L.  Lemieux* March  1980 

SELECTMEN 

Frank  M.  Schanda*   March  1980 

Albert  W.  Caswell,  Jr.*   March  1981 

Ronald  C.  Bird*    March  1982 

TOWN  CLERK 

Eileen  A.  Szeliga*  March  1982 

Donna  H.  Gorski,  Deputy** March  1982 

TAX  COLLECTOR 

Eileen  A.  Szehga* March  1982 

Judith  M.  Harvey**   March  1982 

TREASURER 
Evelyn  H.  Abbott*    March  1980 

SUPERVISORS  OF  THE  CHECKLIST 

Patricia  Fecteau*    March  1980 

Richard  Schanda*    March  1982 

Richard  Gilbert*    March  1984 

TRUSTEE  OF  TRUST  FUNDS 

John  B.  Carpenter*    March  1980 

Margaret  S.  Stone*     March  1981 

Roy  E.  Kent*    March  1982 

CHIEF  OF  POLICE 
Paul  T.  Gahan**  PERMANENT 


♦Elected 
**Appointed  6 


DIRECTOR  OF  PUBLIC  WORKS 
Earl  E.  Brill**    September  1983 

FIRE  CHIEF 
Wilfred  L.  Beaulieu** December  1980 

ASSISTANT  FIRE  CHIEF 
Richard  J.  Butler**    December  1980 

DEPUTY  FIRE  CHIEF 
Robert  A.  Pratt**    December  1980 

RECYCLING  COMMITTEE 

Earl  E.  Brill**    March  1980 

Patti  Blanchette**    March  1980 

Philip  Hendrickx** March  1980 

BUDGET  COMMITTEE 

Clifford  N.  Abbott*    March  1980 

Theodore  Puchlopek* March  1980 

Edna  Dean**    March  1980 

Raymond  Bernard*    March  1981 

Leo  Fihon*    March  1981 

Patti  Blanchette,  Chairman*    March  1981 

George  Hauschel*  March  1982 

Edward  Wojnowski*    March  1982 

Dennis  Abbott*   March  1982 

MOSQUITO  CONTROL  COMMISSION 

George  Hauschel**  December  1980 

Sharon  Jackson**    December  1980 

Doris  Gilbert** December  1980 

STRAFFORD  REGIONAL  PLANNING  COMMISSION 

Charles  E.  Dearborn**    March  1980 

Elizabeth  Popov**    March  1980 

*Elected 
**  Appointed  7 


PLANNING  BOARD 

Wilfrid  G.  LaPorte,  Chairman**    December  1980 

Deborah  Webster**     December  1980 

Chester  Jablonski**  December  1981 

Arthur  Beauchesne**     December  1982 

Charies  Clark,  Sr.**  December  1982 

Elizabeth  Popov**    December  1984 

Ronald  C.  Bird,  Selectman 

FAIR  HEARING  AUTHORITY 

Stella  Cilley**    December  1980 

Janet  Hendrickx**   December  1981 

Timothy  Russell**    December  1982 

(ALTERNATES) 

Sophie  Pohopek**  December  1980 

Sandra  Bailey**    December  1981 

Philip  Hendrickx** December  1982 

RECREATION  COMMISSION 

Muriel  Campbell**    December  1980 

Melvin  Cross**    December  1980 

Paul  Berry**    December  1980 

Sandra  Allen**    December  1980 

Leo  Filion**    December  1980 

SEWER  COMMISSIONERS 

Walter  P.  Schultz*    March  1980 

John  E.  Ward*    March  1981 

Nicholas  Zuk*    March  1982 

WATER  COMMISSIONERS 

John  W.  Nesbitt,  Chairman**    January  1981 

Ralph  Larrivee**    January  1981 

Stanley  Pitman,  Clerk**    January  1981 

John  Carpenter**   January  1982 

Harry  Bassett**    January  1982 

*Elected 
**Appointed  ^ 


Vincent  Jarosz** January  1982 

George  Merrill**    January  1983 

Edward  Zick** January  1983 

Leo  Filion**    January  1983 

BUILDING  INSPECTOR 
Fred  Grochmal**    December  1980 

TRUSTEES  OF  PUBLIC  LIBRARY 

Philip  Hendrickx** December  1980 

Jo  Anne  Hauschel**    December  1981 

Robert  Sewall** December  1982 

HOUSING  AUTHORITY 

Clifford  N.  Abbott**    December  1980 

Walter  P.  Schultz**    December  1981 

Edith  Beaudet**    December  1982 

Mario  Zocchi**    , December  1983 

Irene  Buttny**  December  1984 

ANIMAL  CONTROL  OFFICER 

George  Hauschell**    December  1980 

Robert  Parry,  Assistant**    December  1980 

ZONING  BOARD  OF  ADJUSTMENT 

Arthur  Duquette**    March  1980 

Charles  E.  Dearborn,  Chairman**    March  1981 

Albert  Marcoux**   March  1982 

Jo  Anne  Hauschel,  Secretary**    March  1983 

Harry  Haley**  March  1984 

(ALTERNATES  TO  ZONING  BOARD) 

Frederick  Beale**    March  1981 

Harry  Haley**   March  1982 

Charles  Clough**    March  1981 


♦Elected 
**  Appointed 


HEALTH  OFFICER 
George  Hauschel**  July  1981 

CIVIL  DEFENSE  DIRECTOR 
George  Hauschel**  December  1980 

CONSERVATION  COMMISSION 

Gregory  Thayer**  March  1980 

John  Havey**    March  1981 

Michael  Provost**    March  1981 

WELFARE  OFFICER 
Jo  Anne  Hauschell**  March  1980 


*Elected 
**Appointed  ^q 


REPORT  OF  THE  SELECTMEN 

To  the  Citizens  of  the 
Town  of  NEWMARKET,  NEW  HAMPSHIRE: 

The  Board  of  Selectmen  submits  its  Annual  Report 
for  the  Fiscal  Year  ending  December  31,  1979. 

INVENTORY  APRIL  1,  1979 

1978  1979 

Land  $10,212,269.00  $10,813,865.00 

Buildings  22,628,540.00  25,757,985.00 

Factory  Buildings  1,351,350.00  1,043,250.00 

Electric  Plants  1,158,500.00  1,158,500.00 

Water  Line  &  Hydrants  32,600.00  32,600.00 
House  Trailers/ 

Mobile  Homes  397,895.00  405,660.00 

Boats  6,750.00 

Vehicles  2,400.00 


TOTAL  VALUATION 

before  exemptions  allowed  $35,787,904.00  $39,214,260.00 

Blind  Exemptions  20,000.00  20,000.00 

Elderly  Exemptions  740,000.00  635,000.00 


NET  VALUATION  for 

TAX  RATE  $35,037,904.00  $38,559,260.00 

1978  TAX  RATE         $2.97/HUNDRED 

1979  TAX  RATE         $3.47/HUNDRED 


11 


ANNUAL  PROGRESS  REPORT 
OF  THE  SELECTMEN  -  1979 

The  Selectmen  respectfully  submit  to  the  citizens  of  the 
Town  of  Newmarket  a  summary  of  projects  undertaken 
by  the  town  during  the  1979  fiscal  year. 

The  Public  Works  Building  was  accepted  by  the  town 
and  is  now  in  full  use. 

The  Betterment  Project  for  the  Packers  Falls  Road  was 
started  and  drainage  for  the  initial  part  of  this  road  has 
been  installed. 

The  Gerry  Avenue  Garage  was  purchased  £uid  is  now 
in  use  as  the  Ambulance  Headquarters,  one  bay  for 
police  car  storage,  and  the  fourth  bay  is  used  by  other 
town  departments. 

The  town  has  applied  for  Grant  Funds  to  help  revi- 
talize some  of  the  downtown  area  and  is  now  waiting  for 
the  Federal  Government  to  decide  if  Newmarket  will  be 
given  such  a  grant. 

The  town  voted  to  sell  the  old  school  on  Zion's  Hill  and 
to  have  the  buyers  make  it  into  housing  for  the  elderly. 
This  project  will  probably  be  completed  in  1980. 

Bay  Road  was  used  as  the  T.R.A.  Project  in  1979  and 
will  be  allocated  the  T.R.A.  Funds  in  1980. 

In  1980  we  look  forward  to  greater  citizen  participation 
on  the  various  boards  and  commissions,  and  we  take  this 
opportunity  to  urge  all  interested  citizens  to  stop  at  the 
Town  Hall  and  add  your  name  to  the  list  of  people  who 
would  volunteer  to  work  on  a  committee  or  board  that 
interests  them. 


12 


The  Board  of  Selectmen  meet  every  other  Wednesday 
at  7:00  p.m.  at  the  Town  Office.  The  dates  for  all  meetings 
are  posted  at  the  Town  Hall.  We  welcome  your  interest 
and  support  and  hope  to  see  you  attend  some  or  all  of  our 
meetings. 

Respectfully  submitted, 


Frank  M.  Schanda,  Chairman 
Albert  W.  Caswell,  Jr. 
Ronald  C.  Bird 

Selectmen  of  Newmarket,  N.H. 


13 


ITEMIZED  EXPENDITURES  OF 
TOWN  DEPARTMENTS 

TOWN  OFFICERS'  SALARIES 

Frank  M.  Schanda  $  565.68 

Ronald  C.  Bird    573.88 

Albert  W.  Caswell,  Jr 440.91 

Evelyn  Abbott   629.76 

Indian  Head  National  Bank  (W.T.)    347.70 

State  Treasurer  (S.S.) 167.07 

TOTAL  EXPENSES   $2,725.00 


TOWN  OFFICERS'  EXPENSES 

Eileen  A.  Szeliga $  10,048.98 

Donna  Gorski    5,246.49 

Judith  Harvey   4,752.62 

Madeleine  St.  Hilaire 1,879.12 

Indian  Head  National  Bank  (W.T.)    4,382.26 

State  Treasurer  (S.S.) 1,768.51 

N.H.  Retirement  System 1,224.32 

Newmarket  Press,  Inc 3,245.10 

N.H.  City  &  Town  Clerks  Association   . . .  10.00 

New  England  Assoc,  of  City  &  Town  Clerks  20.00 
Batchelders  Bookstore /Batchelders 

Office  Equipment    378.09 

Branham  Publishing  Company  62.35 

Xerox  Corporation    1,283.56 

Equity  Publishing  Corporation    52.00 

Petty  Cash    443.86 

State  of  N.H.  State  Liquor  Commission    .  2.00 

Tri-Town  Transcript    76.92 

U.S.  Post  Office/Postmaster 1,109.20 

Brown  &  Saltmarsh,  Inc 196.39 

Secretary  of  State  30.00 

KiHon,  Plodzik  &  Sanderson  (Audit)    ....  3,525.00 

Wheeler  &  Clark   102.01 

Edward  H.  Quimby  Co.,  Inc 107.00 


14 


David  Pierce 16.50 

John  B.  Carpenter    25.00 

State  of  N.H 1.00 

Perkins  Agency,  Inc 20.00 

Lamprey  River  Nominee  Trust 290.00 

Foster's  Daily  Democrat 9.00 

Portsmouth  Herald    13.75 

N.H.  Tax  Collectors  Association    18.00 

Amsterdam  Printing  &  Litho  Corp 104.70 

Mastin's  Catering  Service    45.50 

N.H.  Seacoast  Region  Association    100.00 

Earl  Brill  277.59 

Frank  Schanda   20.84 

Dept.  of  Revenue  Administration 

(Revaluation)    4,091.41 

John  E.  O'Donnell  &  Assoc.  (Tax  Mapping)  280.66 

New  Hampshire  Secretary  &  Clerks  Assoc.  10.00 

N.H.  Municipal  Association  (Dues)  546.29 

Edith  E.  Holland    1.15 

BoChaines,  Inc 275.00 

U.S.  Dept.  of  Commerce/Bureau  of  Census  31.00 

Clerk  of  Courts    28.00 

Griffin  Hardware  Corp 2.00 

Portsmouth  Kittery  Armed  Services 

Committee,  Inc 300.00 

Strafford  Regional  Planning  Commission  58.02 

Ed  Wojnowski    42.60 

TOTAL  EXPENSES   $46,553.79 

ELECTION  &  REGISTRATION 

Richard  Schanda    $  42.50 

Richard  Gilbert   42.50 

Patricia  Fecteau    42.50 

Ronald  Lemieux    40.00 

Donna  Gorski    20.00 

Hilda  Wilson    30.00 

Dorothy  Hilton    25.00 

JoAnne  Hauschel  5.00 


15 


Wilfred  LaPorte 5.00 

Mike's  Place  14.84 

Richard  LaBranche   11.55 

Newmarket  Press,  Inc 242.30 

Kingman's  Store  5.20 

Rhea  LaFrance   7.50 

SeverineNeal 22.50 

Fred  Beale 15.00 

Nellie  Anderson    15.00 

Yvonne  Rousseau   15.00 

Constance  Bentley   5.00 

R.H.  Filion    4.97 

Exeter  News  Letter    21.41 

TOTAL  EXPENSES   $632.77 


MUNICIPAL  COURT  EXPENSES 

Russell  H.  McGuirk    $1,971.27 

Kathy  Filion     450.58 

State  Treasurer    158.15 

TOTAL  EXPENSES   $2,580.00 


TOWN  HALL  AND  OTHER  BUILDINGS 

Andy  R.  Bishop $  5,081.06 

Raymond  Archambeault    37.13 

Indian  Head  National  Bank  (W.T.)    678.52 

State  Treasurer  (S.S.)  395.49 

N.H.  Retirement  System 304.43 

Griffin  Hardware  Co 230.79 

New  England  Barricade 34.75 

PubHc  Service  Co.  of  N.H 1,543.35 

Wentworth  Lumber  Co.,  Inc 110.00 

New  England  Telephone    1,941.14 

R.H.  Filion    L85 

Al  Loranger    1,123.00 

CM.  Dining,  Inc 484.33 


16 


Port  Oil  Corp 1,837.99 

Robinson  Rudd  -  H.R.  Haines  Co 685.95 

Albert  "Jake"  Tremblay  50.50 

Marcotte's  Market    12.86 

Portsmouth  Paper  Co 203.25 

Portland  Glass     128.00 

Paul  D.  Comtois,  Jr 24.00 

Robert  H.  Albee 52.80 

Weatherwise  Heating  Co , .  40.00 

Petty  Cash    6.65 

TOTAL  EXPENSES   $15,007.84 


POUCE  DEPARTMENT 

Paul  Gahan    $  8,808.21 

Timothy  Russell    8,782.49 

Donald  Howcroft    4,459.61 

David  Paquette    1,737.56 

James  Tuttle    1,601.34 

Kevin  Cyr  7,507.88 

Richard  Donovan   6,096.86 

James  Szeliga    3,944.73 

Kathleen  T.  Filion    1,284.41 

Cindy  Mastin  1,540.85 

Christopher  Jackson    5,336.56 

Robert  Jordan    973.64 

Albert  Marcoux   799.45 

C.  Robert  Parry  1,798.55 

Dennis  Pratte 858.36 

Richard  Keller   1,664.12 

Nathaniel  Sawyer    825.65 

David  Emond    305.30 

David  Pierce 1,365.05 

John  Monroe    104.48 

Priscilla  Hamel    88.60 

George  Hauschel  35.23 

Mitzi  Meares    19.73 


17 


Lynda  Lang   85.49 

Indian  Head  National  Bank  (W.T.)    12,656.78 

State  Treasurer  (S.S.) 804.73 

Colonial  Life  &  Accident  Co 112.00 

Petty  Cash    70.74 

New  Hampshire  Retirement  System     5,884.12 

B.C.  B.S.  of  N.H.-VT 345.58 

Eddie's  Service  Station   70.80 

Ben's  Foto  Shop  -  Studio    517.89 

Dover  Auto  Supply  Co 219.21 

Equity  Publishing  Corp 66.00 

Agway  Petroleum  Corp 5,739.70 

N.H.  Assoc,  of  Chiefs  of  Police    10.00 

BeauHeu's  Garage    237.68 

State  of  N.H.  -  M.V 184.62 

Newmarket  Getty   379.05 

Kingman's  Store,  Inc 15.50 

Nancy  C.  MacKenzie 30.00 

Ben's  Uniforms,  Inc 101.65 

New  England  Telephone    730.12 

Municipal  Pohce  Institute,  Inc 16.26 

McCoy's  Alignment  344.75 

Griffin  Hardware  Corp 64.35 

Marelli's  Fruit  Store 2.29 

Great  Bay  Motor  Co.,  Inc 46.33 

Xerox  Corp 57.35 

Newmarket  Press,  Inc 527.45 

Batchelders  Bookstore 257.93 

Ernie's  Garage    227.45 

Lamprey  River  Nominee  Trust 110.00 

Techmar,  Inc 63.00 

Car-Go  221.08 

Drivers  License  Guide  Co 25.00 

3M  Business  Products  Sales,  Inc 354.77 

Richard  A.  Sherburne,  Inc 60.00 

Foss  Motors,  Inc 378.65 

Kustra's  Auto  Body   45.00 

Janice  Casey    15.00 

Tulley  Buick-Pontiac  Co.,  Inc 5,713.78 


18 


Ashmont  Electronics  Inc 91.00 

Dick  MHls  Signs   60.00 

Portsmouth  Herald    92.34 

Robbins  Auto  Parts    18.38 

Foster's  Daily  Democrat 104.03 

Atlantic  Signs    120.00 

Transcript  11.52 

Sanel  Auto  Parts,  Inc 10.92 

Newfields  Country  Store    17.15 

R.H.  Filion    13.11 

Drener-Holloway    97.55 

Robert  D.  Rousseau    32.00 

Larry  S.  Pressman,  M.D 30.00 

Exeter  Radiology  Associates  12.50 

Rice's  Tire  Center  251.76 

Edward  Quimby  Co.,  Inc 517.35 

Exeter  Hospital   19.00 

TOTAL  EXPENSES   $98,229.37 


TOWN  CLOCK 

Public  Service  Co.  of  N.H 233.01 

W.A.  Gazda    560.00 

Griffin  Hardwsire  Co 5.06 

TOTAL  EXPENSES   $798.07 


FIRE  DEPARTMENT 

Wilfred  L.  Beaulieu    $  506.79 

Richard  J.  Butler    312.98 

Robert  J.  Pratt 278.26 

Albert  Gilbert 207.86 

Richard  Homiak   193.46 

Richard  Keller   193.46 

John  Willey    328.46 

Kenneth  Anderson  175.00 

Roderick  MacDougal   175.00 


19 


John  E.  Harclerode    170.00 

Charles  A.  Clark 170.00 

Fred  J.  Harclerode    175.00 

George  A.  Pierce   175.00 

Robert  S.  Keller  175.00 

John  W.  Mitchell    170.00 

James  F.  Nisbet    175.00 

Herbert  PhUbrick    175.00 

Louis  Record    120.00 

Edmund  Wasiewski   170.00 

Edward  Zick 170.00 

George  Hauschel 175.00 

Ronald  Bloom    175.00 

Gary  House    175.00 

Ronald  Hayes    170.00 

Richard  Harclerode    175.00 

Michael  Malasky    456.62 

John  Carpenter  170.00 

Robert  Hetrick  170.00 

Dennis  Pratte 170.00 

Lawrence  Yeaton    170.00 

Brian  Beers    475.62 

David  M.  Bentley   170.00 

Michael  Howcroft  103.77 

John  E.  Ward    127.50 

Steven  E.  Duffy,  Sr 127.50 

Norman  Howcroft    127.50 

David  Duquette   132.50 

Larry  Pratt  127.50 

Bruce  R.  Willey    132.50 

David  Pierce 188.82 

Robert  Jordan    127.50 

Everett  Bascom 65.00 

Larry  Averill    60.00 

Peter  Lamie    60.00 

Donald  Dubbs    71.50 

George  Laney    10.00 

John  SzeHga    10.00 


20 


Warren  D.  Sawyer,  Jr 10.00 

Louis  Record    ? 

Richard  Gilbert   27.50 

William  Robinson,  Jr 27.50 

Priscilla  Hamel   110.06 

Mary  Jane  Keller    50.00 

Carol  Lavoie    5.49 

Indian  Head  National  Bank  13.10 

Treasurer,  State  of  N.H 128.84 

Nsinco,  Inc 145.50 

CM.  Dining,  Inc 762.21 

State  of  N.H.  -  M.V 14.00 

Smith's  Fire  Equipment,  Inc 176.75 

Newmarket,  Board  of  Engineers    25.00 

Newmarket  Getty   600.62 

2  Way  Comm.  Service,  Inc 12.50 

Dover  Auto  Supply 131.23 

Alert- All  Co 88.00 

Griffin  Hardware  Co 300.57 

Agway  Petroleum  Corp 182.35 

New  England  Telephone    510.56 

Pubhc  Service  Co.  of  N.H 1,193.68 

Mobile  Electronics    2,044.19 

Marcotte's  Market    122.98 

Kustra's  Auto  Body    180.00 

Ralph  Pill  Electric  Supply  Co 34.29 

R.H.  Filion    202.92 

R.L.  Service,  Inc 243.66 

Batchelders  Bookstore 138.71 

Ocean  &  Forest  Products,  Co 7.92 

Conway  Associates    3,195.00 

Robbins  Auto  Parts   526.88 

Port  on  Corp 1,201.32 

Hearne  Brothers   127.50 

New  England  Barricade 240.27 

Norbert  Osburn. 35.00 

Firehouse  Magazine 12.60 

Fire  Chief  Magazine    15.00 

Leonard  K.  Freeman    150.00 


21 


International  Society  of  Fire  Service 

Instructors    255.00 

N.H.M.S.A 18.00 

Interstate  Emergency  Unit  Fire 

Mutual  Aide,  Inc 23.00 

Newmarket  Press,  Inc 129.05 

Beaulieu's  Garage    46.30 

Great  Bay  Motor  Co.,  Inc 86.85 

Gilbert,  Inc 22.35 

Cablevision  Service  Co.,  Inc 232.85 

Kruczek's  Garage   30.00 

Portsmouth  Paper    158.20 

Gorham  Fire  Equipment  Co.,  Inc 432.93 

Ye  Olde  English  Greenhouse  & 

Flower  Shop   5.00 

Certified  Lab    72.03 

Associates  Cap.  Services    330.06 

N.H.  State  Firemen's  Association   250.00 

Rockingham  Electrical  Supply  Co.,  Inc.    .  24.60 

Leen  Co ? 

R.B.Allen  Co.,  Inc 413.73 

Hampton  Motor  Co 178.13 

S.B.  Painting  Contractors    94.30 

State  Chemical  Mfg.  Co 261.18 

Benoit  Medical  Supply  Co 32.50 

National  Fire  Protection  Assoc 31.92 

Petty  Cash    49.79 

Marelli's 5.67 

J.H.  Butler,  Co 67.70 

Gail  Roulo 50.00 

Associates  Capital  Services  660.12 

TOTAL  EXPENSES   $25,295.06 


22 


AMBULANCE 

Priscilla  Hamel   177.89 

Lynda  Lang   45.16 

Indian  Head  National  Bank  22.10 

State  Treasurer    16.01 

Public  Service  Co.  of  N.H 389.73 

New  England  Telephone    613.08 

CM.  Dining,  Inc 122.90 

Griffin  Hardware  Co 82.67 

Benoit  Medical  Supply    2,164.51 

Nanco,  Inc 186.00 

Newmarket  Getty   500.15 

EdWasiewski    35.00 

Gail  Wasiewski    37.00 

Rice's  Tire  Center  66.91 

State  of  N.H.  -  M.V 4.00 

State  of  N.H 70.00 

2  Way  Communication  Service,  Inc 150.09 

Robinson-Rudd  -  H.R.  Haines,  Co 39.00 

Port  Oil  Corp 312.10 

N.H.  Assoc,  of  Emergency  Med.  Tech.  . . .  45.00 

Kathy  Andry    15.00 

Mobile  Electronic    1,802.40 

Vince  Jarosz    35.00 

Great  Bay  Motor  Co.,  Inc 257.71 

McFarland  Ford  Sales,  Inc 63.65 

Smith's  Fire  Equipment,  Inc 115.25 

N.H.A.E.M.T 226.00 

Newmarket  Press,  Inc 43.75 

Kustra's  Auto  Body   98.00 

Sears,  Roebuck  and  Co 154.99 

Gary  Dossett    434.13 

Brendy  Rowell  25.00 

Brenda  Harclerode  25.00 

Richard  Bajger    25.00 

Darlene  Bryant   25.00 

Richard  Lamie 25.00 


23 


Candy  Merrill    25.00 

Tom  Stilwell  25.00 

Weatherwise  Heating  Co 32.50 


TOTAL  EXPENSES  $8,532.68 


INSURANCE 

Perkins  Agency,  Inc $35,481.30 

Newmarket  Water  Works   161.00 

N.H.M.A 9,106.36 

Concord  General  Life    720.00 

State  of  N.H.  -  U.C.  Fund    629.77 

TOTAL  EXPENSES    $46,098.43 


CIVIL  DEFENSE 

New  England  Telephone    $  749.90 

Dover  Auto  Supply 12.24 

State  of  N.H.  -  M.V 4.00 

Beaulieu's  Ggirage    187.30 

Petty  Cash    6.30 

Signal  Auto  Supply  Co.,  Inc 81.00 

Mike's  Place  8.40 

Marcotte's  Mkt 3.79 

Newmarket  Getty   106.00 

Merrimack  Farmer's  Exchamge  Inc 52.80 

Stratham  Hardware  &  Lumber  Co 20.48 

Micro-Gen.  Equipment  Corp 4.96 


TOTAL  EXPENSES    $1,237.17 


24 


HEALTH  DEPARTMENT 

George  Hauschel/Health  Officer  $  503.20 

Newmarket  Regional  Health  Center,  Inc.  5,000.00 

Indian  Head  National  Bank  (W.T.)    60.00 

State  Treasurer  (S.S.) 36.80 

Griffin  Hardware  Co 19.18 

Ben's  Foto  44.00 

Petty  Cash    3.75 

Ben's  Uniforms   46.46 

TOTAL  EXPENSES  $5,713.39 


HEALTH  INSURANCE  PROGRAM 

Concord  General  Life  Ins.  Co.,  Inc $1,445.40 

B.C./B.S.  of  N.H.  -VT 7,036.56 

TOTAL  EXPENSES   $8,481.96 


MANPOWER  -  S.Y.E.P. 

Todd  Allen    $    560.80 

Richard  Macintosh    450.54 

Lincoln  Ramsey    500.90 

Charles  Reeves    543.10 

Leila  Lemere    568.96 

Michael  Nichols    422.63 

John  Reeves  362.75 

Todd  Russell    490.02 

John  Boisvert    490.02 

Tom  Davis    571.69 

John  Cail    539.02 

Diane  Emond 571.69 

Don  Archambeault 384.53 

Gail  Roulo 2,116.48 

Mitzi  Meares    2,114.74 

Kristin  Hawkins   1,158.79 


25 


Mary  Jane  Keller    1,394.11 

Lynda  Criss    1,771.81 

Indian  Head  National  Bank  (W.T.)    1,300.98 

State  Treasurer  (S.S.) 1,095.33 

B.C./B.S.  of  N.H.  -VT 335.94 

Raymond  Parker    352.26 


TOTAL  EXPENSES   $18,097.09 


TOWN  DUMP  AND  GARBAGE  REMOVAL 

Adam  Semple    $  7,488.91 

George  Chapman    1,521.14 

Raymond  Archambeault    1,209.07 

Ivan  Fogarty    1,378.15 

Leo  Laplume    2,037.92 

Robert  Murray  180.66 

Monroe  Tinker 312.39 

Thomas  Barr   258.98 

Wayne  Paul    66.68 

Marcus  Brookins 303.07 

Raymond  Chapmem    1,265.60 

Michael  Toland  147.31 

Scott  Russell 508.27 

Scott  Dostie    173.73 

Robert  Olson    2,279.64 

WilHam  Getchell   1,641.60 

Patrick  Butler    935.09 

Indian  Head  National  Bank  (W.T.)    3,634.50 

State  Treasurer  (S.S.) 1,725.50 

New  Hamp.  Retirement  System 916.90 

B.C./B.S.  of  NH  -  VT 74.40 

Hampton  Motor  Co 164.40 

Agway  Petroleum  Corp 6,243.17 

Kost  Tire  Sales    32.25 

Newmarket  Getty   588.30 

Chemserve  Inc 396.00 

Oxford  Chemicals,  Inc 73.90 


26 


White's  Welding  Co 10.00 

E.  W.  Sleeper 896.24 

Donnett's  Garage  &  Machine  Shop    25.00 

Yudy's  Auto  Centers    884.17 

New  England  Barricade 35.75 

Dover  Auto  Radiator  Repair  Co 332.97 

Newmarket  Health  Center,  Inc 11.50 

Merrill  Machine  Works  60.00 

Truck  Sales  &  Service,  Inc 125.91 

Stratham  Tire,  Inc 768.16 

Solid  Waste  Equipment  Co.,  Inc 53.00 

Alan  Marston's  Auto  Body  Specialists    . .  489.00 

C.N.  Wood  Co.,  Inc 110.25 

Robbins  Auto  Parts,  Inc 844.71 

Ralph's  Truck  Sales,  Inc 35.00 

Sanel    198.37 

J.F.  Brown  &  Sons,  Inc 123.75 

lafolla  Serv.  &  Supply  Co.,  Inc 29.20 

Newmarket  Press   24.85 

TOTAL  EXPENSES   $40,615.36 


TOWN  MAINTENANCE 

Earl  E.  Brill    $  6,498.01 

Wilfred  L.  Beaulieu    1,740.83 

Warren  D.  Sawyer,  Jr 1,625.57 

Robert  Daigle 2,173.51 

Ronald  Bloom    5,994.27 

Norman  Howcroft    981.47 

Priscilla  Hamel   106.08 

Raymond  Chapman    1,875.04 

Douglas  Barringer    444.68 

Monroe  Tinker 182.76 

Robert  L.  Olson  1,040.14 

Raymond  Archambeault    5,153.07 

James  Bogan,  III    5,207.06 

AdamSemple    226.41 


27 


Ivan  Fogarty    2,488.98 

Chester  Kruczek    1,281.73 

Stephen  Duffy,  Sr 149.25 

Michael  Toland  479.37 

James  Ricard  3,994.08 

Robert  Murray 24.46 

Donald  Dubbs    108.15 

George  Chapman    269.16 

George  Laney    240.15 

JohnSzeliga    119.15 

Todd  McMillen    1,247.84 

William  Getchell   96.97 

Indian  Head  National  Bank.  (W.T.)   7,133.94 

State  Treasurer  (S.S.) 3,521.44 

Colonial  Life  &  Accident  Co 56.00 

B.C./B.S.  ofN.H. -VT 1,367.10 

New  Hampshire  Retirement  System    2,343.82 

Patrick  Butler    66.66 

TOTAL  EXPENSES   $58,237.15 


HOT  TOPPING  AND  DRAINAGE 

The  John  lafolla  Co.,  Inc $5,213.55 

Warren  Brothers  Co 1,163.11 

American  Lubricants  Co 421.30 

Paul  Fitzgerald    224.00 

W.F.  Goodrich,  Inc 38.81 

Filion  Construction    444.50 

lafolla  Service  &  Supply  Co.,  Inc 64.61 

R.H.  Filion    56.87 

Tilcon-Warren  Quarries,  Inc 2,672.63 

Bell  &  Flynn,  Inc 34,799.49 

Franklin  Paint  Co.,  Inc 153.17 

New  England  Barricade 59.50 

Penn  Culvert  Co 1,519.72 

Petty  Cash    6.73 


28 


Ron's  Lawn  Mower  Repair    12.15 

Mystic  Bituminous  Products  Co.,  Inc.    . . ,  889.30 

Rockingham  Gas  Co 30.70 

Hinds  &  Coon  Co 17.24 

Tamarack  Tree  Service  46.25 

Griffin  Hardware  Co 12.31 

T.S.T 110.93 

TOTAL  EXPENSES   $47,956.87 


TOWN  ROAD  AID 

Treasurer  -  St.  of  N.H.  (S.S.)    $  738.41 

Indian  Head  National  Bank  (W.T.)    413.85 

New  Hampshire  Ret.  System    155.18 

Robert  Daigle 876.38 

Raymond  Archambeault    241.09 

James  F.  Bogan,  III    354.65 

Ivan  Fogarty,  Jr 22.85 

Patrick  Butler    29.85 

Chester  Kruczek    416.29 

Adam  Semple    36.08 

Robert  L.  Olson  196.86 

Raymond  Chapman    381.53 

WilUam  Getchell   12.78 

Ronald  Bloom    40.70 

Stephen  Duffy,  Sr 289.42 

Russell  Simpson    342.40 

TOTAL  EXPENSES   $4,548.32 


STREET  LIGHTS  &  XMAS  LIGHTS 

Public  Service  Co.  of  N.H $15,269.41 

John  B.  Carpenter    17.00 

Marcus  Display  Co.,  Inc 618.65 

TOTAL  EXPENSES    $15,905.06 


29 


GENERAL  EXPENSES  OF  THE  HIGHWAY 

Standard  Uniform  Rental  Service,  Inc.   . .  $  2,828.11 

State  of  N.H.  -  M.V 26.00 

Kost  Tire  Sales    380.44 

Beaulieu's  Garage    172.60 

Dover  Auto  Supply  Co 1,451.45 

Barrett  Equipment,  Inc 5.40 

Share  Corp 448.78 

Granite  State  Minerals,  Inc 4,927.72 

R.H.  Filion    341.58 

Port  Oil  Corp 500.30 

Ken  Smith  Tractor  Co.,  Inc 326.08 

New  England  Barricade 858.70 

The  Merrimack  Farmers  Exchange    44.80 

Nanco,  Inc 295.88 

PubHc  Service  Co.  of  N.H 1,789.30 

Ross  Express,  Inc 14.90 

New  England  Telephone    926.53 

Georgia  St.  Laurent   24.00 

Robbins  Auto  Parts,  Inc 1,730.01 

Stratham  Tire,  Inc 418.99 

R.C.  Hazelton  Co.,  Inc 193.90 

Mobile  Electronics    280.85 

B.B.  Chain  Co 311.40 

Littlefield  Lumber  Co.,  Inc 14.65 

CM.  Dining,  Inc 223.16 

Agway  Petroleum  Corp 10,507.80 

E.W.  Sleeper  Co 630.04 

Newmarket  Getty   1,610.37 

Griffin  Hardware  Co 343.36 

McFarland  Ford  Sales,  Inc 695.12 

N.H.  Explosives  &  Machinery  Corp 13.36 

Batchelders  Office  Equipment/ 

Batchelders  Bookstore 71.36 

John  B.  Carpenter/Ye  Olde 

English  Greenhouse 12.50 

Petty  Cash    79.99 

Woodward  Lumber 33.33 


30 


The  Portsmouth  Herald    14.90 

Alretta  Truck  Parts,  Inc 1,130.61 

lafolla  Service  &  Supply  Co 126.14 

David  Pierce 16.50 

Earl  E.  Brill    281.20 

Dover  Auto  Radiator  Repair  Co 25.00 

Ralph's  Truck  Sales,  Inc 275.00 

Mastin's  Catering  Service    39.95 

Employees  Soda  Fund    3.15 

Eddie's  Service  Station,  Inc 11.65 

New  Hampshire  Fence  Co 340.00 

N.H.  Public  Works  Assoc 30.00 

ReseEirch  &  Education  Assoc 9.75 

Sanel  Auto  Parts,  Inc 407.43 

Great  Bay  Motor  Co.,  Inc 29.65 

Shelton  Body  Shop    850.00 

Edwin  I.  Kimball    373.62 

Dennett's  Garage  &  Machine  Shop    237.40 

Kruczek's  Garage   262.57 

NewmEirket  Regionsd  Health  Center,  Inc.  31.00 

King  Chevrolet    26.44 

Ocean  &  Forest  Products,  Co 133.20 

Donel  Supply  Co.,  Inc 119.35 

C.A.  Turner  Co.,  Inc 71.99 

TST  Equipment,  Inc 192.12 

Rockingham  Electrical  Supply  Co 30.03 

R.E.A 10.00 

Oxford  Chemicals,  Inc 228.45 

State  Chemical  Mfg.  Co 277.65 

Hinds  &  Coon  Co 2.02 

Yudy's    420.54 

Seacoast  N.H.  Septic  Service    30.00 

Smith's  Fire  Equipment  Inc 31.50 

Alan  Marston's  Auto  Body  Specialists    . .  45.00 

Donovan  Spring  &  Equipment  Co.,  Inc.    .  256.22 

Bob's  Plumbing  Service    12.00 

Filion  Construction,  Inc 35.05 

W.S.  Nickerson  Auto  Parts,  Inc 13.44 

Mateo  Tools    108.59 


31 


Merrill  Machine  Works  90.00 

Sanel  Industrial    73.13 

Knight's  Garage  &  Auto  Body   10.00 

Wentworth  Motor  Co.,  Inc 3.47 

Tilcon  Warren  Quarries,  Inc 183.15 

Corriveau-Routhier,  Inc 10.95 

Newmarket  Press,  Inc 36.40 

TOTAL  EXPENSES   $39,478.97 


LIBRARIES 

Robert  Sewall,  Treasurer    $14,560.00 

A.W.  Therrien  Co.,  Inc 24,699.40 

TOTAL  EXPENSES   $39,259.40 


OLD  AGE  ASSISTANCE 

Treasurer,  State  of  N.H $4,064.59 

TOTAL  EXPENSES   $4,064.59 


TOWN  POOR 

Food    $    658.50 

Rent    782.50 

Medicine    10.00 

Fuel  37.35 

Board  &  Care 2,075.80 

Legal  Fees 15.00 

TOTAL  EXPENSES   $3,579.15 


32 


PUBLIC  WELFARE 

JoAnne  Hauschel,  Welfare  Officer    $    774.45 

Indian  Head  National  Bank  — 

Internal  Revenue    60.00 

State  Treasurer,  S.S 36.80 

State  Treasurer,  OAA   2,158.45 

Electric 177.26 

Board    789.40 

Food    85.99 

TOTAL  EXPENSES   $4,082.35 


MEMORIAL  DAY  &  OLD  HOME  WEEKEND 

American  Legion  Post  67  $    700.00 

Old  Home  Weekend  Committee   1,200.00 

TOTAL  EXPENSES   $1,900.00 


SOLDIERS  AID 

Food   $50.00 

TOTAL  EXPENSES   $50.00 

RECREATION 

Leslie  A.  Smith    $  7,416.18 

Jeff  Monroe    2,525.43 

Indian  Head  National  Bank  (W.T.)    1,785.50 

State  Treasurer  (S.S.) 805.55 

B.C./B.S.  of  N.H.  - VT 424.65 

N.H.  Retirement  System 456.88 

Joshua  Norton 50.00 

Vanguard  Crafts,  Inc 28.13 

Marcotte's  Market    4.64 

Beaulieu's  Garage    56.00 

Dover  Auto  Supply 62.81 


33 


Swank  Motion  Pictures,  Inc 90.50 

Ralph  Pill  Electric  Supply  Co 14.75 

Batchelders  Bookstore 117.46 

Xerox  Corp 87.92 

N.H.  Distributing  Agency    25.00 

Penny  Labrsinche  30.00 

N.H.R.P.S 16.00 

GaUaghers  Sport  Center 138.80 

Tony's  Radio  Shop  60.00 

Petty  Cash    142.06 

Sue  Hirshberg    53.00 

Sue  Hill    5.25 

State  of  N.H.  -  M.V 3.00 

Bret  Miller    31.75 

Robert  Parry    15.00 

Griffin  Hardware  Co 210.34 

N.E.  Camp  &  School  Purchasing 

Group,  Inc 30.09 

S.S.  Arts  and  Crafts    231.92 

Bob  &  Mary's  Sport  Center  12.00 

Louise's  Sport  Shop   159.55 

Merrimack  K.  Farmers  Exchange,  Inc.    . .  581.90 

R.H.  Filion    244.31 

J.  &  A.  Handy  -  Crafts,  Inc 67.04 

Transcript  8.00 

Corriveau  -  Routhier,  Inc 46.95 

Getty 293.05 

Moreau  Electric  Co 410.00 

Game  Time  1,049.04 

M.  &  E.  O'Brien  &  Sons,  Inc 1,924.60 

PubHc  Service  Co.  of  N.H 1,477.22 

Bob's  Plumbing  Service    155.90 

Kruczek's  Garage   70.36 

Re-Run  Equipment  Co 469.05 

Theatre  Resources  for  Youth 50.00 

N.H.  Recreation  &  Park  Society    12.00 

Golden  Shamrock  16.58 

Rockingham  Electrical  Supply  Co.,  Inc.    .  206.35 

Allen  R.  Shuffleboard  Co.,  Inc 52.66 


34 


Pepsi-Cola  Bottling  Co 439.30 

Robert  Keasko   40.00 

Hovey's  Audio  Visual    149.76 

U.N.H.  Cashiers    1,192.20 

Berry's  Transportation  Co.,  Inc 565.00 

Mastin's  Catering  Service    7.40 

Daisy  Mfg.  Co 76.00 

U.S.  Games,  Inc 75.55 

Barbara  Palmer    5.00 

Kelly  Pelletier    5.00 

Sophie  Homiak    5.00 

Seavey  Hardware  Corp 5.37 

N.H.  Plate  Glass  Corp 350.00 

Jakari/US,  Inc 22.66 

Newmarket  Getty   18.30 

Newmarket  Press,  Inc 74.35 

New  England  Gym  Supply,  Inc 171.70 

N.H.  Municipal  Association    5.50 

Newmarket  Boys  Little  League    500.00 

Newmarket  Girls  Softball  League 500.00 

Lamprey  Village  Players  Rubies 

Costume  Co.,  Inc 349.70 

N.E.  Camp  &  School  Purchasing 

Group,  Inc 216.46 

N.H.  Fence  Co.,  Inc 2,110.00 

New  Englgind  Business  Service,  Inc 25.39 

TOTAL  EXPENSES   $29,134.81 


BUILDING  INSPECTOR 

Fred  Grochmal    $1,299.69 

Indian  Head  National  Bank  (W.T.)    435.49 

State  Treasurer  (S.S.) 106.78 

National  Fire  Protection  Assoc 15.50 

Sect.  -  Treasurer  N.H.B.O.A 0 

Boca  Co 21.00 

TOTAL  EXPENSES   $1,878.46 


35 


CEMETERIES  AND  TRUST  FUND 

Share  Corp $  206.00 

Newmarket  Press,  Inc 146.80 

Lionel  Robin    2,949.91 

William  Getchell   39.52 

Scott  Russell 95.60 

Chester  Kruczek    130.33 

Earl  E.  Brill    124.99 

Raymond  Archambeault    369.06 

Stephen  Duffy    75.79 

Ronald  Bloom    347.43 

Raymond  Chapman    414.97 

Robert  Daigle  189.54 

Adam  Semple    167.49 

Robert  Olson    54.70 

Leo  Laplume    53.62 

James  F.  Bogan,  III    88.18 

Indian  Head  National  Bank  (W.T.)    467.50 

B.C./B.S.  of  N.H.  -  VT 9.30 

State  Treasurer  (S.S.) 361.98 

N.H.  Retirement  System 84.81 

Ron's  Lawn  Mower  Repair    220.51 

Wentworth  Douglas  Hosp 11.00 

Dover  -  Rochester  Associates    7.00 

R.H.  Filion    2.30 

Tamarack  Tree  Service  111.00 

Standard  Plumbing  &  Heating  Supply  Co.  32.24 

Griffin  Hardware    13.00 

Roy  E.  Kent    600.00 

John  Carpenter  25.00 

Margaret  Stone   90.00 

Madeline  Homiak  55.00 

Brown  &  Saltmarsh,  Inc 19.85 

Indian  Head  National  Bank  of  Exeter 

(Rent  of  Safety  Deposit)    8.00 

Filion  Construction    2,175.00 

TOTAL  EXPENSES    $9,747.42 


36 


DAMAGES  AND  LEGAL  EXPENSES 

Edith  E.  Holland,  Register  of  Deeds  $  144.45 

Newmarket  Court  42.00 

Treasurer,  State  of  N.H 62.85 

Sheriffs  Dept.  Rock.  County  12.00 

Holland,  Donovan,  Beckett  &  Welch    . . .  4,788.75 

TOTAL  EXPENSES   $5,050.05 


ANIMAL  CONTROL 

Indian  Head  National  Bank  (W.T.)    $    120.00 

State  Treasurer  (S.S.) 73.56 

George  Hauschel  1,256.44 

Dover  Auto  Supply 11,40 

Dave's  Grocery    124.73 

Newmarket  Getty   358.86 

Eddie's  Service  Station   101.15 

Ben's  Uniforms  Inc 67.47 

Beaulieu's  Garage    66.00 

Shelton's  Auto  Body    18.00 

Griffin  Hardware  Co 1.35 

Kingston  Animal  Hospital    10.00 

S.P.C.A 165.00 

Marcotte's  Market    56.01 

Petty  Cash    6A2 

TOTAL  EXPENSES   $2,436.39 

TAXES  BOUGHT  BY  TOWN 

Newmarket  Sewer  Dept $  1,354.65 

Town  of  Newmarket    25,806.75 

TOTAL  EXPENSES   $27,161.40 


37 


DISCOUNTS  -  REFUNDS  -  ABATEMENTS 

Rockingham /Strafford  Employment 

and  Training  Consortium    $  471.00 

Octave  Cote    7.00 

George  &  Dorothy  Hilton  4.50 

Robert  Shaw  &  Arthur  Beauchesne    800.00 

George  &  Lynne  Hilton    20.00 

Henry  C.  George  6.50 

Donald  G.  Dube    7.50 

David  W.  Urann   12.50 

Mark  Karmin 4.00 

Paul  LaRoche    30.00 

Donald  J.  Porter   5.24 

Larry  M.  Pratt  8.50 

Sandra  J.  Zwiercan    4.00 

Robert  Webb 232.37 

John  D.  Murray    20.00 

John  &  Barbara  Boland 46.04 

WilUam  Ernest    10.00 

Arthur  &  Doris  Duquette    18.22 

Allan  &  Joyce  Cohen    10.10 

Edward  &  Beatrice  Jablonski 10.97 

S.  Arthur  Peterson,  Inc 14.85 

Ralph  &  Dorothy  Hoyt   5.17 

Nicholas  Dagones,  Patricia  Kaufman, 

Robert  Mullen,  Karen  Mullen   13.43 

Town  of  Durham    96.10 

Thomas  &  Patricia  Bernier   16.24 

TOTAL  EXPENSES   $1,874.23 


RETIREMENT  &  SOCIAL  SECURITY 

State  Treasurer    $13,105.19 

New  Hampshire  Retirement  System    9,870.90 

TOTAL  EXPENSES    $22,976.09 


38 


INTEREST  ON  L.T.N.  BONDS  -  LOANS,  ETC. 

The  First  National  Bank  of  Boston    $29,913.75 

Indian  Head  National  Bank  3,549.56 

Exeter  Banking  Co 2,767.50 

Hampton  National  Bank   12,73L92 

John  &  Barbara  Boland 2.48 

Thomas  &  Patricia  Bernier   .84 

TOTAL  EXPENSES   $48,966.05 


STATE  AID  CONSTRUCTION 

Robert  Daigle $  881.06 

Ronald  Bloom    25.91 

Raymond  Archambeault    209.88 

James  Bogan,  III    256.09 

James  Ricard  7.48 

Chester  Kruczek,  Jr 262.94 

Raymond  ChapmEin    271.91 

Robert  Olson    57.67 

WilUam  Getchell   50.52 

Adam  Semple    48.28 

Patrick  Butler    419.53 

Stephen  Duffy    126.99 

Indian  Head  National  Bank  (W.T.)     404.20 

State  Treasurer  (S.S.) 211.24 

N.H.  Retirement  System 151.68 

Tamarack  Tree  Service  37.00 

Russell  Simpson    85.60 

B.C.  -  B.S.  of  N.H.  -  VT 9.30 

TOTAL  EXPENSES    $3,517.28 


NEW  TOWN  GARAGE 

R.H.  Filion    $  262.92 

Share  Corp 209.25 

CM.  Dining,  Inc 46.10 


39 


George  Jabre    15.00 

Earl  Brill  9.16 

Ralph  Pill  Electric  Supply  Co 145.44 

Brentwood  Machine  Sales,  Inc 176.36 

N.H.  Distributing  Agency    49.00 

Batchelders  Office  Equipment/ 

Batchelders  Bookstore 137.00 

Griffin  Hardware  Co 242.83 

Pemall  Fire  Extinguisher  Corp 84.95 

Woodward  Lumber 81.13 

Robert  H.  Albee,  Electrical  Cont 159.92 

Rockingham  Gas  Co 92.00 

Newmarket  Fire  Dept 11.50 

Nanco,  Inc 94.75 

United  Plumbing  &  Heating 20.00 

Corriveau  -  Routhier,  Inc 92,50 

New  England  Barricade 65.00 

Rand  Lumber  Co.,  Inc 38.64 

Marcotte's  Market    4.26 

Sanel  Auto  Parts,  Inc 18.55 

Peter  Leavenworth  192.00 

Michael  Weed    192.00 

Palmer  &  Sicard,  Inc 16.65 

Washburn   106.72 

TOTAL  EXPENSES   $2,563.63 


ARTICLES  IN  THE  WARRANT 

Article  #7 

Wilfred  L.  Saunders,  Jr./Atty. 

H.R.  Haines,  Inc $20,000.00 

Perkins,  Holland,  Donovan  &  Beckett  . . .  406.00 

Article  #8 

R.H.  Filion    340.10 

Corriveau  -  Routhier,  Inc 280.85 

Wentworth  Lumber  Co.,  Inc 1,310.51 

Sam  Prescott    717.78 


40 


Sanel  Auto  Parts    107.57 

Batchelders  Bookstore 54.04 

Griffin  Hardware  Co 56.95 

Washburn   111.08 

Robert  A.  Miller,  II 330.00 

Josco  Associates   750.00 

Earl  E.  Brill    39.84 

Robbins  Auto  Parts,  Inc 89.07 

Mateo  Tools    131.97 

Kar  Products,  Inc 258.61 

Robert  H.  Albee 414.35 

Northern  Petroleum  &  Chem.  Equip.  Co.  1,943.00 

Wentworth  Lumber  Co.,  Inc 741.28 

Kenick  &  Tomilson  Inc 3,428.00 

Paul  D.  Comtois,  Jr 849.00 

City  Concrete  Co.,  Inc 687.00 

Article  ni2 

Leen  Co 4,755.00 

Article  #13 

R.B.  Alien  Co.,  Inc 3,209.00 

Article  U16 

Batchelders  Bookstore 318.74 

Newmarket  Press   62.00 

Mobile  Electronics    600.00 

Overhead  Door  Co.  of  Manchester,  Inc.  . .  225.00 

Article  #24 

R.H.  FiHon    1,739.00 

N.H.  Fence  Co.,  Inc 481.00 

Article  #25 

Griffin  Hardware    9.65 

R.H.  Filion    13.51 

New  England  Barricade 15.00 

Edwin  I.  Kimball    750.00 

Paul  D.  Comtois,  Jr 66.00 

Wentworth  Lumber  Co.,  Inc 1,607.07 

Corriveau  -  Routhier,  Inc 54.55 

City  Concrete  Co.,  Inc 625.00 

TOTAL  EXPENSES    $47,577.52 

41 


DISPATCH  CENTER 

Lynda  Criss    $  3,546.46 

Priscilla  Hamel   1,964.49 

Lynda  Lang   1,285.45 

Carol  Lavoie    3,349.86 

Shirley  Gooch    1,157.57 

Sharon  Jackson    2,917.97 

David  Bentley    191.19 

Cathy  Andry    550.86 

Brenda  Harclerode  1,914.52 

Gail  Roulo  459.74 

Mitzi  Meares    744.59 

Kathy  Filion    20.68 

Indian  Head  National  Bank  (W.T.)     2,711.93 

N.H.  Ret.  System    630.50 

State  Treasurer  (S.S.) 1,418.87 

B.C.  -  B.S.  of  N.H.  -  VT 120.90 

Batchelders  Bookstore 64.81 

Edward  H.  Quimby  Co.,  Inc 111.10 

Mobile  Electronics    42.90 

Xerox  Corp 175.20 

Foster's  Daily  Democrat 5.40 

David  Bryce   103.11 

Jacqueline  Rozumek    22.86 

TOTAL  EXPENSES   $23,510.96 


PRINCIPAL  &  LONG  TERM  NOTES  &  BONDS 
CAPITAL  RESERVE 

Town  of  Durham    $      598.61 

The  First  National  Bank  of  Boston    75,000.00 

Exeter  Banking  Co 7,500.00 

Indian  Head  National  Bank   65,000.00 

Lamprey  Regional  Solid  Waste  Cooperative  27,003.00 

Trustee  of  Trust  Fund   15,000.00 

Hampton  National  Bank   500,000.00 

TOTAL  EXPENSES    $690,101.61 

42 


PAYMENTS  TO  STATE  &  COUNTY 

State  Treasurer    $     190.54 

State  of  N.H.,  State  Liquor  Commission   .  2.00 

Clarke  R.  Chandler,  County  Treasurer    .  55,496.00 

TOTAL  EXPENSES   $55,688.54 


PLANNING  &  ZONING 

JoAnne  Hauschel  419.36 

Indian  Head  National  Bank  (W.T.)    50.00 

State  Treasurer  (S.S.) 30.64 

Petty  Cash    516.85 

John  E.  O'Donnell  &  Association    47.23 

Foster's  Daily  Democrat 42.00 

Xerox  Corp 216.09 

NewmEirket  Press,  Inc 79.75 

Smith  Office  Equipment  Co.,  Inc 688.50 

Tetler  &  Holmes    150.00 

Strafford  Regional  Planning  Comm 2,645.00 

Radio  Shack  46.00 

Ye  Olde  English  Greenhouse    15.00 

Portsmouth  Herald    16.50 

Griffin  Hardware  Co 1.50 

Batchelders  Bookstore 28.42 

TOTAL  EXPENSES   $4,992.84 


MISCELLANEOUS 

Budget  Committee    $      23.60 

Hold  Overs  from  1978   1,593.97 

Newmarket  Sewer  Study  Fund    2,084.00 

Revenue  Sharing  Fund  2,666.00 

Conservation  Commission  196.08 

Newmarket  Community  Action  Council   .  1,000.00 


43 


Seacoast  Regional  Counseling 

Center,  Inc 3,000.00 

Senior  Citizens  Group   500.00 

Oyster  River  Home  Health  Association  . .  4,150.00 

Rockingham  Child  &  Family  Services  . . .  529.00 
Friends  of  Area  Homemaker  -  Home  Health 

Aide  Service   2,000.00 

Mosquito  Control  Commission   3,981.53 

Sidewalks    798.44 

TOTAL  EXPENSES   $22,522.62 


SCHOOLS 
Elmer  Bailey,  Treasurer   $899,902.28 

TOTAL  EXPENSES    $899,902.28 


44 


1979 

TOTAL  GROSS  WAGES  OF 
ALL  TOWN  EMPLOYEES 

Ronald  C.  Bird    $        700.00 

Frank  M.  Schanda  700.00 

Albert  W.  Caswell,  Jr 525.00 

Evelyn  Abbott  1,200.00 

Lesley  Smith 9,931.16 

Jeffrey  Monroe    3,210.79 

Richard  Schanda    42.50 

Richard  Gilbert   42.50 

Patricia  M.  Fecteau   42.50 

Ronald  L.  Lemieux 40.00 

Hilda  Wilson    30.00 

Dorothy  Hilton    25.00 

Severine  R.  Neal  22.50 

Rhea  LaFrance   7.50 

Wilfrid  G.  LaPorte    5.00 

JoAnne  L.  Hauschel    1,105.00 

Fred  Beale 15.00 

Nellie  Anderson    15.00 

Yvonne  Rousseau   15.00 

Constance  Bentley   5.00 

Todd  Allen    597.40 

Don  Archambeault 409.63 

John  J.  Boisvert    522.00 

John  A.  Cail 574.20 

Thomas  J.  Davis    609.00 

Diane  T.  Emond   609.00 

Leila  L.  Lemere  606.10 

Richard  K.  Macintosh    479.95 

Michael  W.  Nichols    450.23 

Lincoln  A.  Ramsey    533.60 

Charles  D.  Reeves    578.55 

John  B.  Reeves    386.43 

Todd  R.  Russell  522.00 

Gail  A.  Roulo  3238.22 

Lynda  A.  Criss    6832.04 


45 


Carol  J.  LaVoie 4,382.00 

Sharon  Jackson    3,595.39 

Shirley  M.  Gooch    1,372.53 

David  M.  Bentley   4,111.84 

Brenda  Harclerode  2,375.10 

Catherine  A.  Andry   636.32 

David  Bryce   121.16 

Eileen  A.  Szeliga 13,690.00 

Donna  H.  Gorski    6,812.27 

Judith  M.  Harvey  6,130.61 

Madeleine  M.  St.  Hilaire    2,242.24 

Jacqueline  Rozumek    26.48 

Fred  R.  Grochmal 1,741.96 

Russell  H.  McGuirk    2,100.00 

Kristin  A.  Hawkins    1,446.32 

Mary  Jane  Keller   1,790.66 

Raymond  A.  Parker 420.00 

George  F.  Chapman,  Sr 2,378.66 

Warren  D.  Sawyer,  Jr 2,462.37 

Douglas  D.  Barringer    565.25 

Norman  Howcroft    1,222.86 

Robert  C.  Murray   245.25 

Donald  Dubbs 127.34 

Monroe  Tinker 660.84 

James  T.  McMillan    1,598.03 

Raymond  Chapman,  Jr 5,564.41 

Stephen  E.  Duffy,  Sr 892.00 

WilUam  F.  Getchell    2,461.98 

Patrick  Butler    2,114.94 

Thomas  M.  Barr,  Jr 315.25 

Marcus  A.  Brookins  366.00 

Wayne  B.  Paul    79.50 

Leo  LaPlume    2,614.82 

Scott  A.  Russell  801.00 

Scott  E.  Dostie 242.13 

Lionel  Robbin    3,408.00 

Andy  R.  Bishop 6,451.97 

Paul  T.  Gahan 13,040.00 

Timothy  Russell    11,398.50 

Donald  Howcroft    5,549.60 


46 


Christopher  Jackson   7,161.05 

Kevin  Cyr   9,258.10 

Richard  Donovan   8,006.65 

Kathleen  T.  Filion    2,005.85 

Cindy  Sue  Mastin 1,714.10 

Albert  T.  Marcoux    834.00 

Robert  E.  Jordan    1,041.75 

C.  Robert  Parry  2,019.25 

Dennis  S.  Pratte    904.25 

Richard  Keller 1,890.00 

Nathaniel  Sawyer,  Jr 934.13 

Lynda  Lan    2,045.33 

Mitzi  A.  Meares 3,522.68 

Priscilla  Hamel   2,878.31 

John  E.  Munroe    65.00 

David  A.  Paquette    2,214.80 

David  Pierce 1,875.80 

James  F.  Szeliga 4,928.90 

James  A.  Tuttle 2,092.80 

David  Emond    364.00 

George  Hauschel 1,842.00 

Wilfred  L.  Beaulieu    2,732.00 

Richard  Butler 147.00 

Robert  Pratt   110.00 

Albert  Gilbert 35.00 

Richard  Homiak   25.00 

John  D.  Willey 25.00 

Michal  Malasky    300.00 

Brian  Beers    300.00 

Michael  Howcroft  20.00 

Earl  E.  Brill    15,209.92 

Robert  Daigle 6,167.32 

Ronald  L.  Bloom 14,501.09 

James  F.  Bogan  III    8,604.02 

Ivan  P.  Fogarty    5,379.54 

Michael  K.  Toland   778.50 

John  Ward    65.00 

Nicholas  Zuk    70.00 

Thomas  Blanchette    29.60 

Harry  Bassett    140.00 


47 


John  Carpenter  100.00 

Leo  Filion    140.00 

Vincent  Jarosz    120.00 

Ralph  Larrivee    100.00 

George  Merrill   140.00 

John  Nesbitt    110.00 

Edward  Zick 120.00 

Stanley  Pitman  260.00 

Dave  O.  Dodge    589.60 

John  P.  Szeliga   10,719.12 

George  F.  Laney   14,127.56 

Robert  L.  Hogue    297.60 

Royce  Carpenter   639.45 

Robert  Sewall 5,713.55 

Barry  H.Cook  12.00 

Robert  L.  Olson  4,852.00 

Raymond  F.  Archambeault 11,186.26 

James  P.  Ricard    5,205.75 

Chester  A.  Kruczek,  Jr 2,984.28 

Adam  J.  Semple    10,575.61 

$332,413.90 


48 


1979  TOWN  CLERK'S  ACCOUNT 

1979  Auto  Permits    $81,980.50 

Trailer  Park  Licenses    100.00 

Beano  Licenses   30.00 

Bowling  ADey  License  &  Fee    101.00 

Motor  Vehicle  Junk  Dealer  License    25.00 

1978  Dog  Licenses    3.40 

1979  Dog  Licenses    1,328.65 

Filing  Fees    11.00 

Title  Fees 993.00 

UCC  Statements  575.00 

Vital  Statistics 753.00 

Miscellaneous 

Resident  Voter  Cards    3.00 

Bad  Check  Fees    10.00 

Majority  Cards    6.00 

Recording  Petition  and  Pole  Licenses    .  12.00 

Recording  Tax  Liens   12.00 

Agreements    10.00 

Total  Receipts    $85,953.55 

Total  Remitted  to  Town  Treasurer    $85,953.55 

Respectfully  Submitted, 

EILEEN  A.  SZELIGA 
Town  Clerk 
Newmarket,  N.H.  03857 


49 


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52 


REPORT  OF  THE  WATER  COMMISSIONERS 

In  1979  the  Water  Department  produced  136,363,715 
ggdlons  of  water,  an  increase  of  8,508,255  gallons  over 
last  year.  The  main  pumping  station  operated  255  days 
in  1979,  on  an  average  of  6.7  hours  per  day,  pumping  and 
processing  63,406,715  gallons.  The  pump  in  Bennett's 
Well  on  the  plains  is  automatically  controlled  by  the 
water  level  in  the  stand  pipe,  and  operated  an  average  of 
16.74  hours  per  day,  producing  73,317,600  gallons. 

The  plan  to  install  a  new  pump  in  Follett's  Brook  Well 
in  1978  to  replace  the  long  inoperative  one  there  did  not 
materialize,  but  funds  were  carried  over  and  the  work 
accomplished  this  past  summer.  The  new  pump  is 
capable  of  adding  fifty  gallons  per  minute  to  Follett's 
Brook  to  augment  the  supply  during  dry  seasons.  Be- 
cause of  frequent  rains  during  the  summer  of  '79,  use  of 
the  pump  was  not  required. 

Renewal  of  the  sand  intake  filter  in  Follett's  Brook  and 
cleanup  of  the  brook  and  its  banks,  scheduled  for  1979, 
was  prevented  by  the  high  water  level  resulting  from  fre- 
quent rains.  This  project  will  be  carried  over  to  1980. 

A  ten  inch  water  main  was  installed  through  Great 
Hill  Estates  to  Hersey  Lane.  It  is  anticipated  that  this 
main  will  be  extended  from  Hersey  Lane  through  the 
Swago  Development  uo  Route  #108  by  next  spring.  This 
main  will  not  only  serve  Great  Hill  Estates  and  the 
Swago  Development,  but  also  the  Industrial  Park  and 
the  southeastern  corner  of  Newmarket.  Hopefully  its 
connection  to  the  main  in  Route  #108  will  improve  the 
flow  of  water  to  homes  in  that  area. 

Regretfully  1979  has  brought  the  resignation  of  Robert 
Sewall,  who  has  reluctantly  retired  from  his  position  as 
operator  of  the  Water  Works  because  of  illness.  His  work 
is  being  taken  over  by  David  Bentley,  who  has  recently 
completed  a  course  in  water  works  design  and  operation 
together  with  Superintendent  Brill  and  Ronald  Bloom. 

53 


In  1980  we  hope  to  get  into  full  swing  on  our  meter 
replacement  program.  The  goal  is  to  replace  old  meters 
with  100  new  remote  reading  meters  per  year  for  a  period 
of  five  years.  This  will  greatly  reduce  the  time  and  labor 
required  to  read  meters,  and  will  eliminate  the  intrusion 
of  the  meter  reader  into  homes  and  business  establish- 
ments. 

Funds  have  been  earmarked  in  the  1980  budget  for  the 
exploration  for  ground  water  supplies.  The  location, 
acquisition,  and  development  of  ground  water  areas  will 
provide  a  future  supply  of  high  quality  water  at 
minimum  expense. 

Respectfully  submitted, 


NEWMARKET  BOARD  OF 
WATER  COMMISSIONERS 

Harry  Bassett  George  Merrill 

John  Carpenter  John  Nesbitt 

Leo  Filion  Stanley  Pitme 

Vincent  Jarosz  Edward  Zick 
Ralph  Larrivee 


54 


TOWN  OF  NEWMARKET 
WATER  WORKS  EXPENSES  -  1979 

Earl  E.  Brill    $  3,800.49 

Robert  SewaU 4,246.78 

David  Bentley    3,051.11 

Ronald  Bloom  3,806.42 

Wilfred  Beaulieu    116.92 

Adam  Semple    8.70 

Royce  Carpenter   600.24 

Warren  Sawyer,  Jr 83.71 

Chester  Kruczek,  Jr 14.75 

George  Chapman   20.55 

Thomas  M.  Barr  7.75 

Robert  Daigle 168.13 

James  Bogan,  III    247.85 

Greorge  Laney    18.52 

Patrick  Butler    112.19 

John  Szeliga    248.98 

Monroe  Tinker 20.19 

Ivan  Fogarty    371.20 

Stephen  Du%   3.25 

Raymond  Archambeault    681.65 

David  Pierce 136.62 

Raymond  Chapmein    157.42 

Michael  Toland  28.49 

James  McMillan  38.84 

PubUc  Service  Co.  of  N.H 11,907.67 

N.E.  Telephone    706.26 

Concord  General  Life  Ins.  Co.,  Inc 112.80 

Indian  Head  National  Bank  2,446.69 

N.H.  Retirement  System 1,763.08 

Blue  Cross/Blue  Shield  of  N.H.-VT 1,663.15 

Postmaster    241.90 

State  Treasurer   3,135.30 

Edward  H.  Quimby,  Co.,  Inc 34.67 

Beaulieu's  Garage    10.00 

H.R.  Prescott  &  Sons,  Inc 14,358.13 


55 


Ernest  F.  Currier    910.50 

Griffin  Hardware  Co 201.59 

Marelli's  Fruit  Store 5.66 

R.H.  Filion    226.76 

Newmarket  Getty  466.19 

CM.  Dining,  Inc 547.37 

E.J.  Prescott,  Inc 2,913.16 

City  of  Portsmouth-Water  Dept 276.00 

George  A.  Caldwell  Co 376.09 

Petty  Cash    143.19 

New  England  Barricade 662.85 

Port  Oil  Corp 1,619.18 

Bruce  &  Carbies    225.00 

Rockingham  Electrical  Supply  Co.,  Inc.    .  2.64 
New  England  Chemical/ 

Merrimack  Coating  &  Chemical    2,761.76 

Dover  Auto  Supply 5.09 

Alco  Engineering,  Inc 865.93 

Perkins  Agency,  Inc 1,318.00 

Xerox  Corp 114.52 

Robert  Hogue  135.79 

Batchelders  Bookstore 236.32 

Research  &  Education  Association   10.00 

Exeter  Banking  Co 20,261.20 

New  England  &  N.H.  Water  Works  Assoc.  25.50 

Newmarket  Press,  Inc 596.32 

Pitney  Bowes   36.67 

Town  of  Newmarket    5,233.63 

Edwin  I.  Kimball    545.46 

TI  Sales,  Inc 1,233.28 

Scott  Russell 35.21 

Trustee  of  Trust  Funds   3,000.00 

Fisher  Scientific  Co 79.78 

The  Durham  Bank  &  Trust  Co 7,355.76 

American  Water  Works  Association  41.50 

Tech  Products  Co 26.96 

Thomas  R.  Blanchette    13.90 

Scott  Dostie    28.16 

Agway  Petroleum  Corp 247.20 


56 


Dave  D.  Dodge    256.93 

R.E.  Prescott  Co.,  Inc 2,219.30 

Ross  Express,  Inc 7.75 

Corriveau-Routhier,  Inc 12.05 

Tippecanoe  Press,  Inc 26.50 

Filion  Construction,  Inc 2,116.30 

State  of  N.H.  Water  Supply  & 

Pollution  Control    45.00 

Municipal  Services,  Inc 120.00 

WilUam  Getchell   43.97 

Mobile  Electronics    35.00 

Badger,  Meter,  Inc 9.65 

Washburn  Plumbing  &  Heating 

Supply  Co 12.12 

Hach  Chemical  Co 33.75 

Weatherwise  Heating  Co 40.00 

James  R.  Rosencrantz  &  Sons,  Inc 15.20 

Evelyn  Abbott  171.94 

Harry  Bassett    131.42 

John  Carpenter  93.87 

Leo  FiHon    131.42 

Vincent  Jarosz 112.64 

Ralph  Larrivee    93.87 

George  Merrill   131.42 

John  Nesbitt    103.26 

Edward  Zick 112.64 

Stanley  Pitman  244.06 

Kost  Tire  Sales    135.80 

Nick  Zuk   346.78 

Robert  Albee,  Contractor    8.00 

Town  of  Durham,  N.H 164.74 

Public  Works  Supply  Co.,  Inc 511.70 

Robbins  Auto  Parts,  Inc 10.95 

Skyline  Roofing  &  Sheet  Metal,  Inc 5,240.00 

B  I  F  76.01 

Electric  Motor  Service  Center  85.25 

Water  Works  Supply  Corp 50.00 

TOTAL  EXPENSES    $120,103.81 


57 


REPORT  OF  THE 
NEWMARKET  SEWER  COMMISSIONERS 

During  1979  no  major  problems  were  encountered  at 
the  treatment  plant  or  associated  facilities.  Plans  and 
Specifications  have  been  approved  by  the  N.H.  Water 
Supply  and  Pollution  Control  Commission  as  follows: 

•  Exeter  Road  Improvements  and  B  &  M  Interceptor 

•  B  &  M  Sewer 

•  High  School  Sewer 

•  Elm  Street  Sewer 

•  Bay  Road  Pumping  Station  and  Lamprey  Street 
Sewer 

•  Secondary  Wastewater  Treatment  Plant 

Also,  funds  have  been  requested  to  design  and  construct 
improvement  to  the  North  Main  Street  sewer  and  Creigh- 
ton  Road  Pumping  Station. 

Plans  and  Specifications  were  approved  for  providing 
sewer  tie-ins  for  buildings  on  Main  Street  not  presently 
sewered.  Construction  of  the  above  improvements  will 
begin  as  soon  as  State  and  Federal  Funds  become  avail- 
able. A  request  for  accellerating  this  funding  has  been 
made  to  the  N.H.  State  Water  Supply  and  Pollution 
Control  Commission  and  U.S.  State  Representatives. 


58 


TOWN  OF  NEWMARKET 

FINANCIAL  STATEMENTS 

December  31,  1979 


Audit  1 


TOWN  OF  NEWMARKET 

TABLE  OF  CONTENTS 
December  31,  1979 


PAGE(S) 


AUDITORS'  OPINION 

LETTER  OF  TRANSMITTAL 


FINANCIAL  STATEMENTS 

EXHIBIT 

A         Combined  Balance  Sheet  —  All  Fund 
Types  and  Account  Groups 


GENERAL  FUND 

A-1     Balance  Sheet    

A-2     Statement  of  Changes  in  Fund  Balance    

A-3    Statement  of  Estimated  and  Actual  Revenues 
A-4     Statement  of  Appropriations,  Expenditures, 
and  Encumbrances    

ALL  SPECIAL  REVENUE  FUNDS 

B-1     Combining  Balance  Sheet 

B-2     Combining  Statement  of  Revenues, 
Expenditures  and  Changes  in 
Fund  Balances 

ALL  CAPITAL  PROJECTS  FUNDS 

C-1     Combining  Balance  Sheet 

C-2     Combining  Statement  of  Revenues, 
Expenditures  and  Changes  in 
Fund  Balances 


Audit  3 


CONTENTS  (Continued) 

ENTERPRISE  FUNDS 
WATER  DEPARTMENT  FUND 

D-1     Balance  Sheet 

D-2     Statement  of  Revenues,  Expenditures  and 

Changes  in  Retained  Earnings 

D-3     Statement  of  Changes  in  Financial  Position 

SEWER  DEPARTMENT  FUND 

E-1     Balance  Sheet 

E-2     Statement  of  Revenues,  Expenditures  and 

Changes  in  Retained  Earnings 

E-3     Statement  of  Changes  in  Financial  Position 

ALL  TRUST  AND  AGENCY  FUNDS 

F-1     Combining  Balance  Sheet 

F-2     Combining  Statement  of  Revenues, 
Expenditures  and  Changes  in 
Fund  Balances 

GENERAL  LONG-TERM  DEBT  GROUP 
OF  ACCOUNTS 

G-1     Balance  Sheet 

G-2     Statement  of  Town  Debt  

NOTES  TO  THE  FINANCIAL  STATEMENTS 


SUPPLEMENTAL  SCHEDULE 

SCHEDULE 

1     Federal  Revenue  Sharing  Fund  —  Statement  of 
Revenues,  Expenditures  and  Changes  in 
Fund  Balance  


Audit  5 


KILLION,  PLODZIK  &  SANDERSON 

ACCOUNTANTS  AND  AUDITORS 

TOWN  OF  NEWMARKET 

-AUDITOR  S'      OPINION- 

We  have  examined  the  financial  statements  of  the 
various  funds  and  groups  of  accounts  of  the  Town  of 
Newmarket,  New  Hampshire  for  the  year  ended  De- 
cember 31,  1979,  Hsted  in  the  foregoing  table  of  con- 
tents. Our  examination  was  made  in  accordance  with 
generally  accepted  auditing  standards  and  accordingly, 
included  such  tests  of  the  accounting  records  as  we  con- 
sidered necessary  in  the  circumstances. 

As  is  the  practice  with  most  New  Hampshire  com- 
munities, the  Town  of  Newmarket  has  not  maintained 
a  record  of  its  general  fixed  assets  and  accordingly,  a 
statement  of  general  fixed  assets,  required  by  gen- 
erally accepted  accounting  principles,  is  not  included 
in  these  financial  statements. 

In  addition,  the  Town  has  not  capitalized  the  cost  of 
property  and  equipment  purchased  by  the  Enterprise 
Funds  (Sewer  and  Water  Departments).  Likewise,  no 
depreciation  expense  is  recorded  on  these  funds.  Gen- 
erally accepted  accounting  principles  require  that  prop- 
erty and  equipment  of  enterprise  funds  be  capitalized 
and  depreciated  over  the  useful  lives  of  the  assets.  The 
Town's  records  do  not  permit  the  application  of  ade- 
quate procedures  to  enable  us  to  determine  the  cost 
value  of  capital  assets  or  related  depreciation  expense 
on  them. 

Because  of  the  material  effect  of  the  omission  of 
fixed  assets  and  related  depreciation  on  the  financial 
position,  we  do  not  express  an  opinion  on  the  financial 
statements  of  these  Enterprise  Funds. 

Audit  6 


In  our  opinion,  the  financial  statements  listed  in  the 
aforementioned  table  of  contents,  other  than  the  finan- 
cial statements  of  the  Enterprise  Funds  (Sewer  and 
Water  Departments),  present  fairly  the  financial  posi- 
tion of  the  various  funds  and  groups  of  accounts  of  the 
Town  of  Newmarket,  New  Hampshire  at  December  31, 
1979,  and  the  results  of  operations  of  such  funds  for 
the  year  then  ended  in  conformity  with  generally 
accepted  accounting  principles  applied  on  a  basis 
consistent  with  that  of  the  preceding  year. 

The  supplemental  schedule  included  in  this  report, 
although  not  considered  necessary  for  a  fair  presen- 
tation of  the  financial  position  and  results  of  opera- 
tions of  such  fund  and  group  of  accounts,  is  presented  pri- 
marily for  supplemental  analysis  purposes.  This  addi- 
tional information  has  been  subjected  to  the  audit  proced- 
ures applied  in  the  aforementioned  examination  of  the 
basic  financial  statements  and  is,  in  our  opinion, 
fairly  stated  in  all  material  respects  in  relation  to  the 
basic  financial  statements  taken  as  a  whole. 

In  connection  with  our  examination  we  also  (1) 
made  a  study  and  evaluation  of  the  Town's  system  of 
internal  accounting  control,  (2)  performed  tests  of 
compliance  with  the  Revenue  Sharing  Act  and  regula- 
tions as  required  by  Sections  II. C. 3  and  III.C.3  of 
the"Audit  Guide  and  Standards  for  Revenue  Sharing 
and  Antirecession  Fiscal  Assistance  Fund  Recipients" 
(guide)  issued  by  the  Office  of  Revenue  Sharing,  U.S. 
Department  of  the  Treasury  and  (3)  compared  the  data 
on  the  Bureau  of  Census  Form  RS-8  to  records  of  the 
Town  of  Newmarket  as  required  by  Section  II. C. 4  of 
the  "Guide".  Our  findings  are  set  forth  under  the 
heading  "Comments"  in  this  report. 

Based  on  these  procedures  we  noticed  no  material 
differences  between  Census  data  on  Form  RS-8  and 
the  records  of  the  Town  of  Newmarket  for  the  year 
ended  December  31,  1979.  KILLION, 

PLODZIK 
Audit  7  &  SANDERSON 


KILLION,  PLODZIK  &  SANDERSON 

ACCOUNTS  AND  AUDITORS 

TOWN  OF  NEWMARKET 

-LETTER    OF    TRANSMITTAL- 

Members  of  the  Board  of  Selectmen 
Town  of  Newmarket 
Newmarket,  New  Hampshire 

Members  of  the  Board: 

Submitted  herewith  is  the  report  of  our  examination 
of  the  fiancial  statements  of  the  Town  of  Newmarket, 
New  Hampshire  for  the  year  ended  December  31,  1979. 
Exhibits  as  hereafter  listed  are  included  as  part  of  this 
report. 

FINANCIAL  STATEMENTS 

Combined  Balance  Sheet  —  All  Fund  Types  and 
Account  Groups  Exhibit  A 

A  combined  balance  sheet  —  all  fund  types  and 
account  groups  is  contained  in  Exhibit  A. 

General  Fund 

Balance  Sheet Exhibit  A-1 

Statement  of  Changes  in  Fund  Balance  Exhibit  A-2 
Statement  of  Estimated  and  Actual 

Revenues Exhibit  A-3 

Statement  of  Appropriations,  Expenditures 

and  Encumbrances Exhibit  A-4 

A  balance  sheet  disclosing  the  financial  condition  of 
the  general  fund  is  presented  in  Exhibit  A-1.  As  Indi- 
cated therein,  the  unreserved  fund  balance  amounted 
to  $103,481  at  December  31,  1979.  A  statement  of  the 
changes  in  fund  balance  is  shown  in  Exhibit  A-2. 

Audit  8 


Statements  of  estimated  and  actual  revenues,  appro- 
priations, expenditures  and  encumbrances  are  included 
in  Exhibits  A-3  and  A-4,  respectively.  Revenues  less 
than  estimates  amounted  to  $34,244,  while  appropria- 
tions exceeded  expenditures  and  encumbrances  by 
$85,149,  resulting  in  a  1979  budget  surplus  of  $50,905. 

All  Special  Revenue  Funds 

Combining  Balance  Sheet Exhibit  B-1 

Combining  Statement  of  Revenues, 

Expenditures  and  Changes  in 

Fund  Balances Exhibit  B-2 

A  combining  balance  sheet  of  all  the  special  revenue 
funds  is  presented  in  Exhibit  B-1.  The  unreserved  fund 
balances  totaled  $453,740  at  December  31,  1979.  A 
combining  statement  of  revenues,  expenditures  and 
changes  in  fund  balances  is  contained  in  Exhibit  B-2. 

All  Capital  Projects  Funds 

Combining  Balance  Sheet Exhibit  C-1 

Combining  Statement  of  Revenues, 

Expenditures  and  Changes  in 

Fund  Balances Exhibit  C-2 

A  combining  balance  sheet  of  all  the  capital  projects 
funds  is  presented  in  Exhibit  C-1.  A  combining  state- 
ment of  revenues,  expenditures  and  changes  in  fund 
balances  is  contained  in  Exhibit  C-2.  The  unreserved 
fund  balances  totaled  $704,132  at  December  31,  1979. 

Enterprise  Funds 

Water  Department  Fund 

Balance  Sheet Exhibit  D-1 

Statement  of  Revenues, 

Expenditures  and  Changes  in 

Retained  Earnings. Exhibit  D-2 

Statement  of  Changes  in 

Financial  Position Exhibit  D-3 

Audit  9 


Sewer  Department  Fund 

Balance  Sheet Exhibit  E-1 

Statement  of  Revenues, 

Expenditures  and  Changes  in 

Retained  Earnings Exhibit  E-2 

Statement  of  Changes  in 

Financial  Position Exhibit  E-3 

Balance  sheets,  statements  of  revenues,  expendi- 
tures and  changes  in  retained  earnings  and  state- 
ments of  changes  in  financial  position  covering  the 
enterprise  funds,  are  presented  in  the  aforementioned 
exhibits.  As  noted  in  the  Auditors'  Opinion,  because  of 
the  material  effect  of  the  omission  of  fixed  assets  and 
related  depreciation  on  the  financial  position,  we  are 
unable  to  express  an  opinion  as  to  the  fairness  of  the 
enterprise  funds'  financial  statements. 

All  Trust  and  Agency  Funds 

Combining  Balance  Sheet Exhibit  F-1 

Combining  Statement  of  Revenues, 

Expenditures  and  Changes  in 

Fund  Balances Exhibit  F-2 

A  balance  sheet  of  all  the  trust  and  agency  funds  is 
presented  in  Exhibit  F-1.  A  statement  of  revenues, 
expenditures  and  changes  in  fund  balances  is  included 
in  Exhibit  F-2.  The  total  fund  balances  amounted  to 
$364,543  at  December  31,  1979. 

General  Long-Term  Debt  Group  of  Accounts 

Balance  Sheet Exhibit  G-1 

Statement  of  Town  Debt Exhibit  G-2 

A  balance  sheet  of  the  general  long-term  debt  of  the 
Town  is  contained  in  Exhibit  G-1.  The  long-term  debt 
amounted  to  $838,400  at  December  31,  1979.  A  statement 
of  Town  debt  is  shown  in  Exhibit  G-2. 


Audit  10 


COMMENTS 

Procuring  Some  Type  of  Mechanical 
Accounting  System 

In  our  previous  audit  reports,  we  have  recommended 
that  the  Town  consider  the  acquisition  of  some  type  of 
mechanical  accounting  system  which  would  perform 
multile  accounting  functions  in  a  single  operation, 
thereby  eliminating  duplicate  record-keeping  and  facil- 
itate monthly  and  year-end  reporting.  We  understand 
our  recommendation  will  be  acted  on  at  the  1980  Town 
Meeting.  We  hope  the  Town  Meeting  will  act  favorably 
to  procure  the  accounting  system  so  immensely  needed 
to  improve  the  bookkeeping  and  financial  reporting 
for  the  Town. 

Antirecession  Fiscal  Assistance  Funds  (ARFA) 

As  part  of  our  compliance  audit  of  the  Antirecession 
Fiscal  Assistance  Funds  (ARFA),  we  checked  to  see  if 
all  of  the  ARFA  funds  had  been  expended,  appropri- 
ated or  obligated  within  six  (6)  months  of  receipt, 
according  to  the  regulations.  We  found  that  $632.00  of 
ARFA  funds  received  in  1978  had  not  been  expended, 
appropriated  or  obligated  as  of  December  31,  1979. 

Therefore,  the  Town  has  not  complied  with  the 
regulations  regarding  the  expending  of  Antirecession 
Fiscal  Assistance  Funds  (ARFA)  that  it  has  received. 

Very  truly  yours, 

KILLION,  PLODZIK  &  SANDERSON 


Audit  1 1 


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EXHIBIT  A-I 

TOWN  OF  NP]WMARKET 

General  F'und 

Balance  Sheet 

December  31,  1979 


ASSETS 


Cash 

In  Checking $387,661 

In  Savings 10,323 

Change  Funds 200 

Total  Cash    $398,184 

Accounts  Receivable 

Due  From  State  of  New  Hampshire 

Town  Road  Aid $        354 

Department  of  Resources  and 

Economic  Development 2,542 

Due  From  Other  Funds 

Capital  Projects  Fund 

Secondary  Sewer  Construction  Fund  .  66,198 

Special  Revenue  Funds 

CETA  Fund  447 

Municipal  Court  Fund  295 

Enterprise  Funds 

Water  Department  Fund    845 

Sewer  Department  Fund 1,271 

Due  From  Others 

Town  of  Newfields 525 

Total  Accounts  Receivable 72,477 

Taxes  Receivable 

Property $173,183 

Resident 4,676 

Tax  Liens   22,818 

Total  Taxes  Receivable  200,677 

TOTAL  ASSETS   $671,338 

Audit  14 


LIABILITIES  AND  FUND  BALANCE 

Liabilities 

Accounts  Payable $     1,260 

Due  To  State  of  New  Hampshire 74 

Yield  Tax  Security 144 

School  District  Assessment  Payable  . .  537,781 
Due  To  Other  Funds 
Special  Revenue  Funds 

Revenue  Sharing  Fund 210 

Antirecession  Fund 632 

Total  Liabilities $540,101 

Fund  Balance 

Reserved  For  Encumbrances $  27,756 

Unreserved 103,481 

Total  Fund  Balance 131,237 

TOTAL  LIABILITIES  AND 

FUND  BALANCE $671,338 

The  accompanying  notes  are  an  integral  part  of  these  financial  statements. 


Audit  15 


EXHIBIT  A-2 
TOWN  OF  NEWMARKET 

General  Fund 
Statement  of  Changes  in  Fund  Balance 
For  The  Year  Ended  December  31,  1979 

Unreserved  Fund  Balance 

— Junuary  1,  1979  $102,576 

Add 

1979  Budget  Surplus 

Estimated  Revenues  $1,941,111 

Actual  Revenues 1,906,867 

Revenue  Deficit $34,244 

Appropriations   $1,991,111 

Expenditures  and  Encumbrances 1,905,962 

Appropriations  in  Excess  of 

Expenditures  and  Encumbrances  . . .  85,149 

1979  Budget  Surplus 50,905 

Total  Unreserved  Fund  Balance 

and  Additions $153,481 

Deduct 

1978  Unreserved  Fund  Balance 
Used  To  Reduce  Tax  Rate 50,000 

Unreserved  Fund  Balance 

—December  31,  1979  $103,481 

The  accompanying  notes  are  an  integral  part  of  these  financial  statements. 


Audit  16 


EXHIBIT  A-3 

TOWN  OF  NEWMARKET 

General  Fund 

Statement  of  Estimated  and  Actual  Revenues 

For  The  Year  Ended  December  31,  1979 


REVENUES  Estimated  Actual 

Taxes 

Property $1,318,126  $1,324,778 

Resident 25,010  27,560 

Yield   300 

National  Bank  Stock  50  46 

Interest  and  Penalties   3,000  6,797 

TOTAL  TAXES    

State  of  New  Hampshire 
Interest  and  Dividends  Tax  . . 

Savings  Bank  Tax   

Meals  and  Rooms  Tax    

Business  Profits  Tax    

Highway  Subsidy   

Gas  Tax  Refunds    

State  Aid  For  Water  Pollution 

Projects    

Town  Road  Aid   

State  Aid  Construction    

Other  Miscellaneous  Revenue 

TOTAL  STATE  OF  N.H 399,384  329,166 

Local  Sources 

Motor  Vehicle  Permit  Fees 

Dog  Licenses    

Business  Licenses,  Permits  &  Fees 
Rent  of  Town  Property    .... 

Interest  on  Deposits  

Housing  Authority   

Parking  Tickets  

Income  From  Departments 
Miscellaneous  Income   

TOTAL  LOCAL  SOURCES    . .  $  99,591  $120,856 


OviT 

(Under) 
Budget 


$    6,652 

2,550 

(300) 

(4) 

3,797 


$  1,346,486 

$  1,359,181 

$  12,695 

23,646 

23,646 

10,332 

10,332 

31,988 

31,988 

176,908 

176,908 

24,273 

24,287 

14 

1,500 

795 

(705) 

117,737 

51,929 

((i5,808) 

1,000 

1,000 

12,000 

6,551 

(5,449) 

1,730 

1,730 

(70.2181 


$  60,000 

$81,981 

$  21,981 

1,200 

1,206 

6 

3       4,000 

4,331 

331 

6,000 

6,300 

300 

9,000 

10,132 

1,132 

2,000 

2,101 

101 

2,000 

2,716 

716 

15,391 

9,963 

(5,428) 

2,126 

2,126 

$  21,265 


Audit  17 


Inlrrfund  Transfers 

CAl'ri'AI.  PKOeJKCTS  KlINI) 
I'rimary  Sewer  Construction 

J'roject    i;i,r)()()  i:i,9:i7  4;i7 

SPKCIAL  KKVKNLIK  FUNDS 

Revenue  SharinK     51,400  51,215  (185) 

Municipal  Court    4,000  5,;i57  1,;{57 

TRUST  AN!)  AGKNCY  FLINDS 

Endowment  Income  6,700  7,;i:}«  6:iH 

Capital  Reserve  Funds    20,050 19,817 (233) 

TOTAL  INTKRFLINl) 
TRANSFERS $  95,(S5()  $  97,«(i4  $  2,014 

TOTAL  RKVFNUP:S    $1,941,111         $1,906,867  ($34,244) 

UNRESERVED  FUND  BALANCE 
USED  TO  REDUCE  TAX  RATE        $    5(),()()0 

TOTAL  REVENUES  AND  USE  OF 

FUND  BALANCE  $1,991,111 

The  accompanying  notes  are  an  integral  part  of  these  financial  statements. 


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Audit  24 


1980  -  1981 

NEWMARKET 

TOWN 

BUDGET 


Insert  1 


BUDGET  OF  THE  TOWN  OF 
NEWMARKET,  NEW  HAMPSHIRE 

Appropriations  and  Estimates  of  Revenue  for  the  Ensuing  Year 
January  1,  1980  to  December  31,  1981  or  for  Fiscal  Year  From  January 
1,  1980  to  December  31,  1980. 


Purposes  of  Appropriation  (RSA  31 :4) 


General  Government: 

Town  officers'  salaries    

Town  officers'  expenses   

Election  and  Registration  expenses  . . . 
Municipal  and  District  court  expenses 
Expenses  town  hall  and  other  buildings 

Health  Insurance    

Articles  in  the  Warrant   

Protection  of  Persons  and  Property: 

Police  Department   

Fire  department,  inc.  forest  fires  

Planning  and  Zoning    

Animal  Control  

Insurance    

Civil  Defense  

Conservation  Commission    

Dispatch    

Building  Inspector    

Health  Department: 

Health  Dept.  -  Hospital  &  Ambulance   . 
Town  Dump  and  Garbage  Removal  . . . 

Recycling  

Mosquito  Control   

Regional  Health  Services    

Highways  &  Bridges: 

Town  road  aid    

Town  Maintenance    

Street  Lighting    

General  expenses  of  highway  dept     . . 

State  Aid  Construction    

Hot  Topping  &  Drainage   


Appropriations 

1979 

11979-801 

BUDGET  COMMITTEE 

Selectmens            Rewmmended 

Budget  1980                       1980 

I1980BII                  11980-811 

$  2,900.00 

$  3,100.00 

$  3,100.00 

45,23200 

58,704.00 

56,854.00 

600.00 

1,700.00 

1,700.00 

3,400.00 

7,560.00 

7,560.00 

14,300.00 

15,835.00 

15,835.00 

12,490,00 

10,850.00 

10,850.00 

988,970.00 

137,100.00 

112,100.00 

98,575.00 

111,381.00 

107,482.00 

25,060.00 

26,800.00 

26,800.00 

4,000.00 

24,985.00 

24,985.00 

2,350.00 

8,715.00 

5,000.00 

29,470.00 

41,160.00 

38,374.00 

1,400.00 

1,400.00 

1,400.00 

500.00 

500.00 

500.00 

31,846.00 

33.390.00 

33,390.00 
1,850.00 

13,475.00 

13,685.00 

11.885.00 

39,040.00 

56.952.00 

57,564.00 

3,300.00 

5,100.00 

4,795.00 

10,000.00 

9,679.00 

511.00 

504.00 

504.00 

77,900.00 

73,176.00 

69,676.00 

17,000.00 

18,000.00 

17,600.00 

36,900.00 

41,800.00 

34,100  00 

2,500.00 

2,500.00 

2,500.00 

46.200.00 

49,240.00 

49,240  00 

Insert  3 


Libraries: 

Library  14,560  00  18,252,00  18,252  00 

Public  Welfare: 

Town  poor    4,000,00  4,000.00  4,000.00 

Old  age  assistance  6,000,00  6,000  00  6,000.00 

Aid  to  permanently  and  totally  disabled  7,000.00  7,000.00  5,000.00 

Soldiers' aid    1,000.00  1,000.00  500.00 

Oyster  River  Home  Health    4,150.00  4,150.00  4,150.00 

Area  Homemaker  Health  Service 2,000.00  2,000.00  2,000.00 

Seacoast  Regional  Counseling  Center  .  3,000.00  3,000.00 

Child  and  Family  Services    550.00  550.00 

Patriotic  Purposes: 

Memorial  Day  -  Old  Home  Day    1,900  00  2,500.00  2,500.00 

Recreation: 

Parks  &  Playground,  inc.  band  concerts  27,165.00  35,170.00  30,000.00 

Public  Services  Enterprises: 

Municipal  Sewer  Dept 84,105.00  89,050.00  89,050.00 

Municipal  Water  Dept 113,500.00  119,500.00  113,500.00 

Cemeteries  and  Trust  Fund  Expenses  .  9,100  00  8,700.00  8,700.00 

Unclassified: 

Damages  and  Legal  expenses    4,000.00  6,000.00  6,000.00 

Employees  retirement  -  Social  Security  28,390.00  28,390.00  26,927.00 

Senior  Citizens  500.00  600  00  600.00 

Daycare   1,000.00  1,000  00  1,000  00 

CETA    75,000.00 

Debt  Service: 

Principal  -  long  term  notes  &  bonds   . .  196,845.00  109,443.00  109,443.00 

Interest  -  long  term  notes  &  bonds   . . .  41,929.00  29,307.00  29,307.00 

Interest  on  temporary  loans  16,875.00  15,000.00  15,000.00 

Capital  Outlay: 

Truck   17,500.00 

Police  Cruiser   6,000.00 

Snow  Plow    9,500.00  9.500.00 

Payment  to  Capital  Reserve  Fund   15.000.00  17,275.00  17.275.00 

TOTAL  APPROPRIATIONS  $2,189,912.00    $1,271,624.00    5  1,193,103.00 


Patti  Blanchette 
Theodore  Puchlopek 
Clifford  Abbott 
Leo  Filion 


Budget  Committee 


Albert  Caswell,  Jr. 
Edward  J.  Wojnowski 
Edna  I  Dean 
Karl  Gilbert 


Insert  4 


Sources  of  Revenue 


Estimaled 

Revenues 

1979 

11979  801 

From  Local  Taxes: 

Resident  Taxes  S  20,000,00 

National  Bank  Stock  Taxes    50.00 

Yield  Taxes  300  00 

Interest  on  Delinquent  Taxes    3,000.00 

Resident  Tax  Penalties    

Boat  Tax    

Current  Land  Use  Penalties    

From  State 

Meals  and  Rooms  Tax    28,000  00 

Interest  and  Dividends  Tax  16,000.00 

Savings  Bank  Tax    8,000.00 

Highway  Subsidy  24,725.00 

Town  Road  Aid  1,000.00 

State  Aid  Construction    12,000.00 

Class  V  Highway  Maintenance    

State  Aid  Water  Pollution  Projects    . . .  45,929.00 

Reimb.  a/c  Road  Toll  Refund  1,500.00 

Business  Profits  Tax   47,182.00 

From  Local  Sources.  Except  Taxes 

Motor  Vehicle  Permits  Fees    60,000.00 

Dog  Licenses    1,200.00 

Business  Licenses.  Permits  &  Filing  Fees  4,000  00 
Fines  &  Forfeits.  Municipal  & 

District  Court    4,000  00 

Rent  of  Town  Property    6,000.00 

Interest  Received  on  Deposits    9,000.00 

Income  From  Trust  Funds 10,000.00 

Income  from  Departments    10,000.00 

Income  from  Sewer  Department    84,105.00 

Income  from  Water  Department  113,500.00 

Surplus    50,000  00 

Parking  Tickets    2,000.00 

Housing  Authority    2,000.00 

Sale  of  Town  Property    

Income  from  Recreational  Dept 

Receipts  Other  Than  Current  Revenue: 

Withdrawal  From  Capital  Reserve  ....  13.400.00 

Revenue  Sharing  Fund    51,410.00 

CETA    75.000.00 

TOTAL  REVENUES  AND  CREDITS   . 

Insert  5 


Actual  Selectmen's 

Revenues  Budget 

1979  1980 

1197980)  II98081I 


22,920.00 
46.00 


50.000.00 


S  22,000  00 

50.00 

100.00 

3,000.00 

100.00 


31,000.00 
23,000.00 
10,000.00 
14.963.00 
3,355.00 
7.500  00 
12,582.00 
44,263.00 


58,200.00 
50,000.00 


Estimated 

Revenues 

1980 

1198081) 


S  22,000.00 

50.00 

100.00 

3,000.00 

100.00 

200  00 

1,000.00 


31,000.00 
23,000.00 
10,000.00 
14,963.00 
3.355.00 
7,500.00 
12,582.00 
44.263.00 

48,650.00 


70.000.00 

70,000.00 

1,300.00 

1,300.00 

2,600.00 

2,600  00 

7.500.00 

7,500  00 

6,000.00 

6.000.00 

8,500.00 

8.500  00 

6,400.00 

6,400  00 

10,000.00 

14,000.00 

89,050.00 

89,050.00 

119,500.00 

113,500.00 

50,000.00 

50,000.00 

2,000.00 

2.000.00 

600.00 

600.00 

49,000.00 

49,000.00 

7,240.00 

7,240.00 

58,200  00 
25,000.00 


$  709,803.00    $  732,653.00 


1980 

NEWMARKET 

TOWN 

WARRANT 


Insert  7 


-  WARRANT  - 

STATE  OF  NEW  HAMPSHIRE 

TOWN  OF  NEWMARKET 

To  the  Inhabitants  of  the  Town  of  Newmarket  in  the 
County  of  Rockingham  in  said  State,  quahfied  to  vote  in 
Town  Affairs: 

YOU  ARE  HEREBY  NOTIFIED  TO  MEET  AT  THE 
TOWN  HALL  IN  SAID  TOWN  ON  TUESDAY,  THE 
nth  DAY  OF  MARCH  AT  10:00  A.M.  TO  ACT  ON  THE 
FOLLOWING  BALLOT  ARTICLES: 

Article  Number  1,  18  and  21 

The  polls  will  close  and  action  by  balloting  on  the  ar- 
ticles referred  to  above  will  cease  at  6:00  p.m.  The  ballots 
will  then  be  counted  and  the  results  announced. 

Further,  in  compliance  with  action  provided  by  the 
Town  Meeting,  March  8,  1977,  Article  12,  you  are  hereby 
notified  to  meet  at  the  Newmarket  High  School  on  Satur- 
day, March  15,  1980,  at  1:00  P.M.  to  act  on  all  other  ar- 
ticles in  the  Warrant. 

Polls  Open  —  March  11,  1980  —  10:00  a.m.  to  6:00  p.m. 

1.  To  choose  all  necessary  Town  Officers  for  the  ensuing 
year. 

2.  To  raise  such  sums  of  money  as  may  be  necessary  to 
defray  town  charges  for  the  ensuing  year;  as  may  be  nec- 
essary for  general  government  including  town  officers' 
salaries  and  expenses,  election  and  registration,  town 
buildings,  for  the  protection  of  persons  and  property, 
including  the  poHce  department,  for  health  and  sanita- 
tion, vital  statistics,  general  expenses  of  the  depart- 
ments, for  education  and  the  public  library,  for  charities, 
including  decoration  of  soldiers'  graves,  for  recreation, 
for  indebtedness  to  other  governmental  divisions,  and  to 
pay  all  other  necessary  charges  arising  within  said 
town. 

Insert  9 


3.  To  see  if  the  town  will  vote  to  authorize  and  empower 
the  Selectmen  to  borrow  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  property  taxes,  if  paid  within  fifteen 
(15)  days.  Deadline  for  allowance  of  discount  to  be 
printed  on  tax  bills. 

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  appropriate  and  author- 
ize the  withdrawal  from  Revenue  Sharing  Fund  estab- 
lished under  the  provisions  of  the  State  and  Local  Assis- 
tance Act  of  1972,  as  amended  1976  for  use  as  set-offs 
against  budgeted  appropriations  for  the  following  speci- 
fic purposes  and  in  amounts  indicated  herewith  or  take 
any  other  action  hereon: 

Appropriation  Amount 

Old  Age  Assistance    $  3,800.00 

General  Expenses  of  Highway  Department  $  10,000.00 
Purchase  of  New  Snow  Plow    $  9,500.00 

TOTAL    $  23,300.00 

RECOMMENDED  BY  BUDGET  COMMITTEE 

7.  To  see  if  the  town  will  vote  to  authorize  the  Selectmen 
to  install  a  mechanical  system  for  Town  Tax  Bills  and  to 
computerize  all  tax  information:  and  authorize  the 
Selectmen  to  withdraw  $25,000.00  from  the  Revenue 
Sharing  Fund,  established  under  the  provisions  of  the 
State  and  Local  Assistance  Act  of  1975,  as  amended  in 
1976,  for  this  purpose. 

RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

8.  To  see  if  the  Town  will  authorize  the  Selectmen  to 
deed  a  portion  of  the  land  acquired  for  the  Elm  Street 
Little  League  Park  to  the  Newmarket  Senior  Citizens 
Group,  Inc.  for  use  as  a  site  for  a  proposed  center. 

9.  To  see  if  the  Town  will  vote  to  put  forty  thousand 

Insert  10 


dollars  ($40,000.00)  of  the  proceeds  from  the  sale  of  the 

Old  School  House  on  Zion's  Hill  into  a  Capital  Reserve 

Fund  for  the  future  building  of  a  public  safety  building. 

RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

10.  To  see  if  the  Town  will  vote  to  authorize  the  Select- 
men to  use  up  to  ten  thousand  dollars  ($10,000.00)  from 
the  proceeds  of  the  sale  of  the  Old  School  Building  on 
Zion's  Hill  for  the  design  of  a  public  safety  building  for 
the  Town  of  Newmarket. 

RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

1 1.  To  see  if  the  Town  will  authorize  the  Board  of  Select- 
men to  make  application  for  and  to  receive  and  spend  up 
to  twenty-five  thousand  dollars  ($25,000.00)  of  funds  that 
may  become  available  to  the  Town  under  "The  Compre- 
hensive Employment  and  Training  Act  of  1972,"  as 
amended  for  the  purpose  of  providing  federally  subsi- 
dized training  and  employment  opportunities  to  benefit 
both  residents  of  the  community  and  the  community  at 
large. 

RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

12.  To  see  if  the  voters  of  the  Town  of  Newmarket  will 
authorize  the  Selectmen  to  negotiate  a  price  for  the  sale 
of  waterfront  property  now  owned  by  Richard  Gallant 
and /or  Gallant  Mfg.  Co.  and  to  present  this  proposal  to 
be  voted  on  at  the  fall  elections. 

13.  To  see  if  the  Town  will  vote  to  raise  and  appropriate 
the  sum  of  two  thousand,  one  hundred  dollars  ($2,100.00) 
for  the  Town's  Participation  in  the  expenses  of  the 
Exeter  Area  Youth  Group  Home. 

SUBMITTED  BY  PETITION. 
RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

14.  To  see  if  the  voters  of  the  Town  of  Newmarket  will 
vote  to  authorize  the  Selectmen  to  set  up  a  Recreation 
Commission  consisting  of  five  members,  said  members 
are  to  be  appointed  by  the  Selectmen. 


Insert  1 1 


15.  To  see  if  the  Town  will  vote  to  authorize  the  Select- 
men to  purchase  a  new  fire  horn  system  for  the  Town  of 
Newmarket  and  to  authorize  the  Selectmen  to  withdraw 
the  sum  of  three  thousand  dollars  ($3,000.00)  from  the 
Revenue  Sharing  Fund:  established  under  the  pro- 
visions of  the  State  and  Local  Assistance  Act  of  1975,  as 
amended  in  1976,  for  this  purpose. 

RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

16.  To  see  if  the  Town  will  vote  to  authorize  the  Select- 
men to  purchase  a  new  heating  system  for  the  public 
library  and  to  authorize  the  Selectmen  to  withdraw  the 
sum  of  three  thousand  dollars  ($3,000.00)  from  the  Reve- 
nue Sharing  Fund,  established  under  the  provisions  of 
the  State  and  Local  Assistance  Act  of  1972,  as  amended 
in  1976,  for  this  purpose. 

RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

17.  To  see  if  the  Town  will  vote  to  authorize  the  Select- 
men to  contract  out  the  rewiring  of  the  Town  Hall  and  to 
authorize  the  Selectmen  to  withdraw  the  sum  of  four 
thousand  dollars  ($4,000.00)  from  the  Revenue  Sharing 
Fund,  estabhshed  under  the  provisions  of  the  State  and 
Local  Assistance  Act  of  1972,  as  amended  in  1976,  for 
this  purpose. 

RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

18.  To  see  if  the  Town  will  vote  to  adopt  the  provisions  of 
RSA  654: 32 A  permitting  applications  for  changes  in 
party  affihation  to  be  made  with  the  Town  Clerk. 
SUBMITTED  BY  PETITION. 

19.  To  see  if  the  Town  will  vote  to  change  the  use  of 
eleven  thousand,  six  hundred  dollars  ($11,600.00)  voted 
in  Article  Number  8  at  the  Town  Meeting  in  March  1979, 
to  read:  "Said  Revenue  Sharing  Funds  to  be  used  to  pur- 
chase equipment  for  the  Town  Garage  and  for  the  com- 
pletion of  the  hot  topping  of  the  area  around  the  Town 
Garage." 

RECOMMENDED  BY  THE  BUDGET  COMMITTEE 

Insert  12 


20.  To  see  if  the  Town  will  vote  to  use  the  six  hundred 
and  thirty-two  dollars  ($632.00)  from  the  Antirecession 
Fiscal  Assistance  Program  Funds  for  the  following 
purpose.  "To  be  used  as  an  offset  against  the  budgeted 
appropriations  for  the  Police  Department." 


21.  To  see  if  the  voters  of  the  Town  of  Newmarket  will 
vote  to  approve  the  interim  growth  management  regu- 
lation. 

Pursuant  to  New  Hampshire  RSA  31:62-b  (Ch.  139, 
1979),  the  Town  of  Newmarket,  because  of  unusual  cir- 
cumstances requiring  prompt  attention  and  for  the  pur- 
pose of  developing  a  Master  Plan,  adopts  the  following 
Interim  Growth  Management  Regulation. 

DEFINITIONS: 

1.1)  The   following   definitions   shall  be   used  in   the 

interpretation  of  this  regulation: 

(a)  "SINGLE  FAMILY  DWELLING"  means  a  building 
designed  to  be  used  exclusively  as  one  residence  for  one 
family. 

(b)  "DWELLING  UNIT"  means  one  or  more  rooms 
within  a  building  designed  as  a  unit  to  be  used  exclu- 
sively as  one  separate  residence  for  one  family. 

(c)  "PERSON"  means  any  individual,  trust,  firm,  joint 
stock  company,  corporation,  partnership,  association,  or 
developer. 

(d)  "MINOR  SUBDIVISION"  means  the  subdivision  of 
land  into  four  or  fewer  lots,  with  no  potential  for  re-sub- 
division. 

(e)  "BUSINESS"  means  a  use  of  property  for  the  pur- 
pose of  earning  a  livelihood  or  profit  in  a  retail,  indus- 
trial, or  other  commercial  enterprise. 

BUILDING  PERMITS: 

2.1)  No  building  permit  shall  be  issued  for  any  construc- 

Insert  13 


tion  of  any  kind  in  the  Town  of  Newmarket  except  as 
permitted  under  this  Article  2. 

2.2)  No  more  than  twenty-five  building  permits  for  new 
single  family  dwellings  shall  be  issued  prior  to  the  expir- 
ation of  this  regulation.  The  twenty-five  building  permits 
shall  be  issued  to  the  first  twenty-five  persons  to  submit 
completed  applications  to  the  Newmarket  Building  In- 
spector whose  applications  are  subsequently  approved 
by  the  Newmarket  Building  Inspector.  The  date  and  time 
of  filing  of  the  completed  application,  not  the  date  of 
approval,  shall  determine  which  twenty-five  persons  are 
entitled  to  permits. 

2.3)  Building  permits  for  new  single  family  dwellings 
shall  be  issued  only  to  the  owner  of  the  land  upon  which 
the  single  family  dwelling  is  to  be  built,  and  shall  be 
limited  to  one  permit  per  person. 

2.4)  Building  permits  may  be  issued  for  reconstruction, 
remodeling,  and /or  alteration  of  existing  buildings 
except  that  no  building  permits  shall  be  issued  if  the  re- 
construction, remodeling  and /or  alteration  would  create 
any  additional  dwelling  units  in  said  building. 

SUBDIVISION: 

3.1)  No  subdivision  other  than  a  minor  subdivision 
shall  be  approved  by  the  Newmarket  Planning  Board 
prior  to  the  expiration  of  this  regulation  and  no  such 
minor  subdivision  shall  be  approved  unless  the  person 
applying  for  the  minor  subdivision  agrees,  as  a  condition 
of  such  approval,  that  only  single  family  dwellings  shall 
be  constructed  on  the  property  contained  in  the  minor 
subdivision. 

EXCEPTIONS: 

4.1)  This  Interim  Growth  Management  Regulation 
shall  not  apply  to  any  property  now  owned  or  hereafter 
acquired  by  the  Town  of  Newmarket. 

4.2)  This  Interim  Growth  Management  Regulation 
shall  not  apply  to  any  property  now  owned  or  leased  or 

Insert  14 


hereafter  acquired  or  leased  by  the  Newmarket  Indus- 
trial Commission,  its  successors,  assigns,  or  any  person 
whose  right,  title,  or  interest  is  derived  from  the  New- 
market Industrial  Commission  with  respect  to  any 
property  used  or  to  be  used  for  commercial  and /or  in- 
dustrial purposes. 

4.3)  This  Interim  Growth  Management  Regulation 
shall  not  apply  to  land  located  within  any  subdivision 
plat  which  has  been  both  approved  by  the  Newmarket 
Planning  Board  and  recorded  in  the  Rockingham 
County  Registry  of  Deeds  before  the  date  of  adoption  of 
this  regulation. 

4.4)  This  Interim  Growth  Management  Regulation 
shall  not  apply  to  any  new  construction  or  to  any  recon- 
struction, remodeling,  or  alteration  of  any  existing  build- 
ing financed  by  the  United  States  Department  of 
Housing  and  Urban  Development  or  privately  financed 
as  part  of  the  "Community  Development  Block  Grant  — 
Small  Cities  Program  B-80-33-0014." 

4.5)  This  Interim  Growth  Management  Regulation 
shall  not  apply  to  any  new  construction,  reconstruction, 
remodeling,  or  alteration  of  any  building  in  accordance 
with  a  site  plan  which  has  been  approved  by  the  New- 
market Planning  Board  before  the  date  of  adoption  of 
this  ordinance. 

4.6)  This  Interim  Growth  Management  Regulation 
shall  not  apply  to  any  land  acquired  after  the  effective 
date  of  this  ordinance  by  a  person  engaged  in  business  in 
the  Town  of  Newmarket  on  the  effective  date  of  this  ordi- 
nance, provided  said  land  is  used  by  said  person  in  relo- 
cation of  said  existing  business. 

EXPIRATION: 

5.1)  This  Regulation  shall  expire  at  the  earlier  of  the 
following  occurrences:  one  year  after  the  date,  of  its 
adoption;  or  the  effective  date  of  the  adoption  of  a  perma- 
nent Growth  Control  Ordinance  by  the  Town  of  New- 
market pursuant  to  RSA  31:62-a  (Ch.  139:1,  1979). 

Insert  15 


SAVING  CLAUSE: 

5.2)  The  invalidity  of  any  provision  of  this  Regulation 
shall  not  affect  the  validity  of  any  other  provision. 

GIVEN  UNDER  OUR  HANDS  AND  SEALS  THIS  20th 
DAY  OF  FEBRUARY,  1980. 

Frank  M.  Schanda,  Chairman 
Albert  W.  Caswell,  Jr. 
Ronald  C.  Bird 

SELECTMEN 

Newmarket,  New  Hampshire 

WE  HEREBY  CERTIFY  THAT  WE  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  TOWN,  ON  THE  20th  DAY  OF  FEBRUARY,  1980. 

Frank  M.  Schanda,  Chairman 

Albert  W.  Caswell,  Jr. 

Ronald  C.  Bird 

SELECTMEN  OF  NEWMARKET,  NEW  HAMPSHIRE 


Insert  16 


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EXHIBIT  D-1 
TOWN  OF  NEWMARKET 

Enterprise  Funds 

Water  Department  F'und 

Balance  Sheet 

December  31,  1979 

Assets 

Cash 

In  Bank   $  13,652 

Change  Fund   75 

TOTAL  CASH  $  13,727 

Accounts  Receivable 

Water  Rents    $  10,040 

Job  Work  408 

TOTAL  ACCOUNTS  RECEIVABLE  $  10,448 

Inventory    13,146 

Container  Deposits 32 

TOTAL  ASSETS    $  37,353 

Liabilities  and  Retained  Earnings 

Liabilities 

CURRENT  LIABILITIES 

Notes  Payable  -  Current  Portion    $  14,800 

LONG-TERM  LIABILITIES 

Long-Term  Notes  Payable  $  118,400 

Less  Current  Portion    14,800 

TOTAL  Long-Term  Uabihties    . . .  103,600 

TOTAL  LIABILITIES    $118,400 

Retained  Earnings  (Deficit)  (81,047) 

TOTAL  LIABILITIES  AND 
RETAINED  EARNINGS  (DEFICIT)  $  37,353 

The  accompanying  notes  are  an  integral  part  of  these 
financial  statements. 

Audit  29 


EXHIBIT  D-2 
TOWN  OF  NEWMARKET 

Enterprise  P^'unds 

Water  Department  F'und 

Statement  of  Revenues,  Expenditures  and 

Changes  in  Retained  Earnings 
For  The  Year  Ended  December  31,  1979 

Revenues 

Water  Rents    $  85,402 

Job  Work  8,233 

Entrance  Fees    4,200 

TOTAL  OPERATING  REVENUES  $  97,835 

Operating  Expenses 

Salaries  and  Wages    $  25,404 

Maintenance  and  Repairs    26,220 

Utilities    13,432 

Supplies   7,369 

Insurance    3,871 

Office  Expenses 3,544 

Payroll  Taxes  and  Retirement    2,515 

Vehicle  Expense    658 

TOTAL  OPERATING  EXPENSES    .  $  83,013 

Net  Operating  Revenues     $  14,822 

Non-operating  Revenues  (Expenses) 

Interest  Income   $  1,067 

Miscellaneous  Income   30 

Uncollectible  Accounts    (460) 

Interest  Expense   (5,817) 

TOTAL  NON-OPERATING 

REVENUES  (EXPENSES)  ($5,180) 


Audit  30 


Net  Income  Before  Capital  Reserve 

Provision   $  9,642 

Transferred  to  Capital  Reserve  Fund  .... 3,000 

Net  Income  For  The  Year    $  6,642 

Retained  Earnings  (Deficit)  - 
January  1,  1979 ($87,689) 

Retained  Earnings  (Deficit)  - 

December  31,  1979    ($81,047) 

The  accompanying  notes  are  an  integral  part  of  these 
financial  statements. 


Audit  31 


EXHIBIT  D-3 
TOWN  OF  NEWMARKET 

Enterprise  Funds 

Water  Department  Fund 

Statement  of  Changes  in  Financial  Position 

For  The  Year  Ended  December  31,  1979 

Working  Capital  Provided  By 

Net  Income  $  6,642 

Working  Capital  Applied  To 
Decrease  in  Long-Term  Debt    $  21,800 

Decrease  In  Working  Capital    $  15,158 

Changes  in  Working  Capital 

(Decrease)  In  Current  Assets 

Cash   ($11,027) 

Accounts  Receivable    ($5,274) 

($16,301) 

Decrease  In  Current  Liabilities 

Accounts  Payable  $  1,143 

Decrease  In  Working  Capital    $15,158 

The  accompanying  notes  are  an  integral  part  of  these 
financial  statements. 


Audit  32 


EXHIBIT  E-1 

TOWN  OP"  NEWMARKET 

Enterprise  Funds 

Sewer  Department  Fund 

Balance  Sheet 

December  31,  1979 

ASSETS 

Cash    

$  14  929 

Accounts  Receivable 

Sewer  Rents 

$  11,420 

Job  Work  

10 

Total  Accounts  Receivable 

$  11,430 

Container  Deposits 

600 

TOTAL  ASSETS    

$  26,959 

RETAINED  EARNINGS 

Retained  Earnings   

$  26,959 

The  accompanying  notes  are  an  integral  part  of  these 
financial  statements. 


Audit  33 


EXHIBIT  E-2 
TOWN  OF  NEWMARKET 

Enterprise  Funds 

Sewer  Department  Fund 

Statement  of  Revenues,  Expenditures  and 

Changes  in  Retained  Earnings 
For  The  Year  Ended  December  31,  1979 

Revenues 

Sewer  Rents    $  71,537 

Job  Work  97 

Entrance  Fees    11,700 

TOTAL  REVENUES    $  83,334 

Operating  Expenses 
Salaries  and  Wages    $  32,191 

Operating  Services  and  Supplies 

Parts  and  Repairs     2,760 

Chemicals    3,234 

Materials  and  Supplies   3,941 

Main  Line  Repairs    "  622 

Lateral  Repairs    3,354 

Fuel  8,258 

Electricity    11,102 

Telephone  Alarm    1,366 

Vehicle  Expense    658 

Insurance    5,212 

Office  Supplies 450 

Courses    190 

Payroll  Taxes 2,098 

Retirement    1,093 

$  44,338 

TOTAL  OPERATING  EXPENSES  $  76,529 


Audit  34 


Net  Operating  Revenue    $  6,805 

Non-Operating  Revenues  (Expenditures) 

Miscellaneous  Income   $        5 

New  Equipment    (1,770) 

Uncollectible  Accounts    (172) 

Net  Non-Operating  Expenditures    . . .  ($1,937) 

Net  Income  Before  Capital  Reserve 

Provision   $  4,868 

Transferred  to  Capital  Reserve  Fund  .... $  7,200 

Net  Income  (Loss)  For  The  Year   ($2,332) 

Retained  Earnings  -  January  1,  1979  . . . . $  29,291 

Retained  Earnings  -  December  31,  1979    . $  26,959 

The  accompanying  notes  are  an  integral  part  of  these 
financial  statements. 


Audit  35 


EXHIBIT  E-3 
TOWN  OF  NEWMARKET 

Enterprise  Funds 

Sewer  Department  Fund 

Statement  of  Changes  in  Financial  Position 

For  The  Year  Ended  December  31,  1979 

Working  Capital  Applied  To 
Net  Loss    ($2,332) 

Changes  in  Working  Capital 

Increase  (Decrease)  In  Current  Assets 

Cash   $    899 

Accounts  Receivable    (3,642) 

($2,743) 

Decrease  In  Current  Liabilities    411 

(Decrease)  In  Working  Capital  ($2,332) 

The  accompanying  notes  are  an  integral  part  of  these 
financial  statements. 


Audit  36 


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EXHIBIT  G-1 

TOWN  OF  NEWMARKET 

General  Long-Term  Debt  Group  of  Accounts 

Balance  Sheet 

December  31,  1979 

AMOUNT  TO  BE  PROVIDED  FOR  THE 
PAYMENT  OF  GENERAL  LONG-TERM  DEBT 

Amount  To  Be  Provided  For 

Retiremelit  of  Long-Term  Notes 
and  Bonds     $  838,400 

GENERAL  LONG-TERM  DEBT  PAYABLE 

Notes  Payable    $  178,400 

Bonds  Payable  $  660,000 

TOTAL    $  838,400 

The  accompanying  notes  are  an  integral  part  of  these 
financial  statements. 


Audit  39 


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TOWN  OF  np:wmarket 


NOTES  TO  THE  FINANCIAL  STATEMENTS 

Note  1  -  Summary  of  Significant  Accounting 
Policies 

The  following  is  a  summary  of  significant  accounting 
policies  employed  in  the  preparation  of  these  financial 
statements. 

A.  Basis  of  Presentation 

The  accounts  of  the  Town  are  organized  on  the  basis  of 
funds  or  accounts  groups,  each  of  which  is  considered  a 
separate  accounting  entity.  The  operations  of  each  fund 
are  accounted  for  with  a  separate  set  of  self-balancing 
accounts  that  comprise  its  assets,  liabilities,  equities, 
revenues,  and  expenditures  or  expenses.  The  various 
funds  are  grouped  by  type  in  the  financial  statements. 
The  following  fund  types  and  account  groups  are  used  by 
the  Town: 

GOVERNMENTAL  FUNDS 

General  Fund  -  The  General  Fund  is  the  general  oper- 
ating fund  of  the  Town.  All  general  tax  revenues  and 
other  receipts  that  are  not  allocated  by  law  or  contractual 
agreement  to  another  fund  are  accounted  for  in  this  fund. 
From  the  fund  are  paid  the  general  operating  expendi- 
tures, the  fixed  charges,  and  the  capital  improvement 
costs  that  are  not  paid  through  other  funds. 

Special  Revenue  Funds  -  Special  Revenue  Funds  are 
used  to  account  for  the  proceeds  of  specific  revenue 
sources  (other  than  expendable  trust  or  major  capital 
projects)  requiring  separate  accounting  because  of  legal 
or  regulatory  provisions  or  administrative  action. 

Capital  Projects  Funds  -  The  Capital  Projects  Funds 
are  used  to  account  for  financial  resources  segregated  for 
the  acquisition  or  construction  of  major  capital  facilities 
other  than  those  financed  by  enterprise  operations. 

Audit  41 


PROPRIETARY  FUNDS 

Enterprise  Funds  -  Enterprise  Funds  are  used  to 
account  for  operations  that  provide  a  service  to  citizens 
financed  primarily  by  a  user  charge  for  the  provision  of 
that  service  and  activity. 

FIDUCIARY  FUNDS 

Trust  and  Agency  Funds  -  Trust  and  Agency  Funds 
are  used  to  account  for  the  assets  held  in  trust  or  as  an 
agent  by  the  Town  for  others. 

ACCOUNT  GROUPS 

General  Long-Term  Debt  Account  Group  -  This 
account  group  is  established  to  account  for  the  long-term 
debt  that  is  backed  by  the  Town's  full  faith  and  credit. 

B.  Basis  of  Accounting 

The  Governmental,  Proprietary  and  Fiduciary  Funds 
are  presented  on  the  accrual  method  of  accounting. 
General  governmental  liabilities  for  the  retirement  of 
long-term  debt  are  accounted  for  on  the  cash  basis  in  the 
General  Long-Term  Debt  Account  Group.  Amounts  due 
in  future  periods  are  provided  by  appropriation  and  be- 
come part  of  the  funds  rsiised  through  taxes. 

C.  Budgetary  Accounting  and  Encumbrances 

General  governmental  revenues  and  expenditures 
accounted  for  in  budgetary  funds  are  controlled  by  a  for- 
mal integrated  budgetary  accounting  system  in  accor- 
dance with  various  legal  requirements  which  govern  the 
Town's  operations. 

Encumbrance  accounting,  under  which  purchase 
orders,  contracts,  and  other  commitments  for  the  ex- 
penditure of  funds  are  recorded  in  order  to  reserve  that 
portion  of  the  applicable  appropriation,  is  employed  in 
the  governmental  funds.  Encumbrances  are  not  the 
equivalent  of  expenditures;  therefore,  the  reserve  for  en- 
cumbrances is  reported  as  part  of  the  fund  balance,  al- 
though the  transaction  is  accounted  for  as  a  reduction  of 
budgeted  appropriation  in  the  year  the  commitment  is 

made. 

Audit  42 


D.  Investments 

Investments  in  all  instances  are  stated  at  cost,  or  in  the 
case  of  donated  investments,  at  market  value  at  the  time 
of  bequest  or  receipt. 

E.  Inventories 

Inventory  in  the  general  fund  consists  of  expendable 
supplies  held  for  consumption.  The  cost  thereof  has  been 
recorded  as  an  expenditure  at  the  time  individual  inven- 
tory items  were  purchased. 

F.  Fixed  Assets  -  Enterprise  Funds 

The  enterprise  funds  follow  the  practice  of  charging 
the  purchase  of  property  and  equipment  against  oper- 
ating expenses  in  the  year  purchased  which  is  not  in 
accordance  with  generally  accepted  accounting  prin- 
ciples. Consequently,  no  related  depreciation  expense 
has  been  reflected  on  the  financial  statements. 

G.  General  Fixed  Assets 

General  fixed  assets  have  been  acquired  for  general 
governmental  purpose  and  have  been  recorded  as  expen- 
ditures in  the  fund  making  the  expenditure.  These  ex- 
penditures are  required  to  be  capitalized  at  historical  cost 
in  a  General  Fixed  Asset  Group  of  Accounts  for  account- 
ability purposes.  In  accordance  with  the  practices  fol- 
lowed by  other  municipal  entities  in  the  State,  the  Town 
does  not  maintain  a  record  of  its  general  fixed  assets  and 
accordingly,  a  statement  of  general  fixed  assets,  required 
by  generally  accepted  accounting  principles,  is  not  in- 
cluded in  this  financial  report. 

Note  2  -  Pension  Plan 

The  full-time  police  and  certain  employees  are  covered 
under  the  State  of  New  Hampshire  Retirement  System. 
Contributions  are  deducted  at  rates  according  to  employ- 
ment compensation.  The  Town's  contribution  for  normal 
cost  of  the  plan  is  based  upon  an  actuarial  valuation  of 


Audit  43 


the  entire  State  plan  and  has  been  set  at  various  rates  of 
the  employees'  annual  compensation.  Since  the  actu- 
arial valuation  is  performed  on  the  entire  State  plan,  the 
amount,  if  any,  of  the  excess  of  vested  benefits  over  pen- 
sion fund  assets  for  the  Town  of  Newmarket  is  not  avail- 
able. The  Town  does  not  have  an  accrued  liability  for 
past  service  costs.  The  expense  for  1979  was  $  9,870.90. 

Note  3  -  Vacation  and  Sick  Pay 

Employees  may  accumulate  12  days  sick  leave  a  year 
at  a  rate  of  one  day  per  month.  Vacation  is  granted  in 
varying  amounts  based  on  length  of  service.  The  Town's 
policy  is  to  recognize  cost  of  sick  and  vacation  leave  only 
at  the  time  payments  are  made.  Any  accumulated  leave 
is  immaterial. 

Note  4  -  Litigation 

According  to  legal  counsel  for  the  Town  of  Newmarket, 
the  following  is  a  list  of  litigation  involving  claims  for 
money  damages  against  the  Town  of  Newmarket  at 
December  31,  1979. 

1.  "Peter  H.  Arahelian  &  Son,  Inc.  v.  Town  of 
Newmarket  -  Rockingham  County  Superior  Court 
C718-78.  This  action  was  filed  by  Peter  H.  Arahelian 
&  Son,  Inc.,  on  May  31,  1978,  claiming  damages  in  the 
total  sum  of  $12,018  arising  out  of  the  alleged  breach 
of  a  construction  contract  by  the  Town  of  Newmarket. 
The  case  relates  to  certain  work  performed  by  Peter 
H.  Arahelian  &  Son,  Inc.,  primarily  landscaping,  in 
the  Newmarket  Recreation  Park.  Peter  H.  Arhelian  & 
Son,  Inc.,  claims  it  was  not  paid  $12,018  for  work  per- 
formed pursuant  to  the  contract  and  certain  "extras" 
requested  by  the  Town. 

The  Town  of  Newmarket  has  counter-claimed  against 
Peter  H.  Arahelian  &  Son,  Inc.,  alleging  that  Peter  H. 
Arahelian  &  Son,  Inc.  improperly  performed  its  duties 
pursuant  to  the  contract.  The  amount  claimed  in  the 
counter-claim  is  $10,000. 

Audit  44 


Attempts  to  settle  the  case  have  heen  fruitless.  The 
Town  of  Newmarket  is  presently  holding  $l},()()()  of  the 
contract  price  which  was  never  paid  to  Peter  H. 
Arahelian  &  Son,  Inc.  because  of  the  defects  in  their 
performance  of  the  contract.  On  the  basis  of  our  know- 
ledge of  this  case  at  this  time,  it  is  not  expected  that 
Peter  H.  Arahelian  &  Son,  Inc.  will  recover  more  than 
that  $3,000,  in  the  event  it  recovers  anything  at  all." 

Public  Service  Company  of  New  Hampshire  v.  Town 
of  Newmarket  -  New  Hampshire  Board  of  Taxation 
Appeals.  "The  Public  Service  Company  of  New 
Hampshire  has  appealed  to  the  New  Hampshire 
Board  of  Taxation  from  decisions  of  the  Town  of  New- 
market refusing  to  abate  property  taxes  assessed 
against  utility  equipment  located  in  the  Town  of  New- 
market for  the  years  1976  and  1978.  In  both  1976  and 
1978  the  Town  of  Newmarket,  on  the  basis  of  an 
assessment  made  by  the  New  Hampshire  Depart- 
ment of  Revenue  Administration,  assessed  the 
taxable  properties  of  the  Public  Service  Company  of 
New  Hampshire  located  in  the  Town  of  Newmarket 
for  $1,158,500.  On  the  basis  of  this  assessed  value  the 
Town  of  Newmarket  assessed  taxes  against  the 
Public  Service  Company  of  New  Hampshire  in  the 
amounts  of  $30,086.24  and  $33,719.30  for  years  1976 
and  1978,  respectively. 

In  its  Application  for  Abatement  of  Taxes  filed  with 
the  New  Hampshire  Board  of  Taxation,  the  Public 
Service  Company  of  New  Hampshire  claims  that  the 
actual  value  of  its  property  located  in  the  Town  of 
Newmarket  was  $604,700  and  $651,300  for  tax  years 
1976  and  1978,  respectively.  In  the  event  the  Public 
Service  Company  of  New  Hampshire  prevails  with 
each  of  its  applications  for  abatement  of  these  taxes, 
it  would  be  entitled  to  a  return  of  $29,277.90,  as  well  as 
interest  and  lawful  court  costs. 


Audit  45 


The  Public  Service  Company  of  New  Hampshire  has 
filed  similar  suits  for  many  years  against  many  other 
towns  in  New  Hampshire.  In  the  past  the  Public  Ser- 
vice Company  of  New  Hampshire  has  failed  to  prove 
the  disproportionality  of  the  tax  burden  imposed  on  it. 
Because  the  law  is  unclear  on  the  issues  presented  in 
the  tax  abatement  cases  and  because  of  the  complex- 
ity of  evaluation  of  the  Public  Service  Company  of 
New  Hampshire's  property,  it  is  impossible  now  to 
predict  with  any  degree  of  certainty  the  outcome  of 
these  cases." 


Audit  46 


SCHEDULE  1 

TOWN  OF  NEWMARKET 

Federal  Revenue  Sharing  Fund 

Statement  of  Revenues,  Expenditures  and 

Changes  in  Fund  Balance 
For  The  Year  Ended  December  31,  1979 

Revenues  and  Additions 

Entitlement  Payments    $  53,363 

Interest  on  Investments    2,489 

Reduction  in  Prior  Year  Encumbrance  25 

Total  Revenues  and  Additions     $  55,877 

Expenditures 

Purchase  of  Land    $  20,406 

Maintenance  Equipment    11,600 

Gas  Driven  Generator  7,000 

Greneral  Expense  of  Highway   6,000 

Fire  Detection  System   3,209 

Old  Age  Assistance    2,500 

Public  Library    500 

Total  Expenditures    $  51,215 

Excess  of  Revenues  Over  Expenditures  $  4,662 

Fund  Balance  -  January  1,  1979    $  31,713 

Fund  Balance  -  December  31,  1979    .  $  36,375 


Audit  47 


The  Sewer  Commission  increased  capacity  of  the  exis- 
ting sewer  system  by  initiating  a  procedure  of  allowing 
holding  tanks  for  large  developments. 

Meetings  are  held  at  the  Sewer  Treatment  Facilities 
the  First  Monday  of  the  month. 

Respectfully, 

Board  of  Sewer  Commissioners 


Nicholas  Zuk,  Chairman 


Walter  P.  Schultz 


John  E.  Ward 


59 


TOWN  OF  NEWMARKET 

SEWER  DEPARTMENT  EXPENSES  -  1979 

George  Laney    $9,787.16 

John  Szeliga    7,400.33 

Earl  BriU  2,359.11 

David  Pierce 88.08 

Ronald  Bloom    313.67 

Raymond  Archambeault    478.29 

Warren  Sawyer,  Jr 11.81 

Monroe  Tinker 3.58 

Robert  Hogue  135.79 

Scott  Russell 18.23 

Leo  LaPlume    22.79 

Evelyn  Abbott  171.94 

Raymond  Chapman    79.93 

Ivan  Fogarty    18.64 

William  Getchell   31.43 

Thomas  Blanchette    13.90 

Barry  Cook  11.26 

Dave  Dodge    256.93 

James  F.  Bogan,  III    130.47 

Robert  Daigle 254.15 

Chester  Kruczek,  Jr 132.68 

Adam  Semple    28.78 

Stephen  Duffy,  Jr 100.50 

Robert  L.  Olson  28.36 

Indian  Head  National  Bank  4,798.66 

PubUc  Service  Co.  of  N.H 13,733.1 1 

N.E.  Telephone    1,419.90 

Concord  Gen.  Life  Ins.  Co.,  Inc 176.60 

Blue  Cross /Blue  Shield  of  N.H.-VT 451.90 

N.H.  Retirement  System 2,283.79 

State  Treasurer    3,687.80 

Postmaster    158.90 

Edward  H.  Quimby  Co.,  Inc 34.67 

Town  of  Newmarket    9,248.70 

Beaulieu's  Garage    20.00 


60 


Freedom  Drug    6.01 

Chemserve,  Inc 558.00 

Dover  Auto  Supply 318.87 

R.H.  Filion    385.28 

Rockingham  Gas  Co 1,293.31 

Robbins  Auto  Parts   147.38 

The  Johnson  Corp 158.72 

New  England  Chemical   453.90 

Ocean  &  Forest  Products   221.89 

The  Johnston-Jennings  Co 24.90 

Trustee  of  Trust  Funds   7,200.00 

Xerox  Corp 142.92 

N.H.  Water  Pollution  Control  Assoc 62.50 

CM.  Dining,  Inc 1,240.01 

Corriveau-Routhier,  Inc 851.90 

Batchelders  Bookstore 24.57 

Research-Education  Association   10.00 

Oxford  Chemicals,  Inc 620.32 

St.  Johnsbury  Trucking  Co.,  Inc 24.96 

Griffin  Hardware  Co 37.34 

Shelton  Auto  Body 18.90 

Port  Oil  Corp 6,624.05 

King  Chevrolet  Oldsmobile,  Inc 4.91 

U.S.  Plastics  Corp 119.00 

U.W.R.  Scientific,  Inc 27.84 

Brand-Nu  Laboratories    44.50 

Edwin  I.  Kimball    180.13 

Merrimack  Coatings-Chemical  Div 3,099.50 

Newmarket  Press,  Inc 96.48 

Ken  Smith  Tractor  Co 1,468.75 

Barry  &  Associates    62.50 

ElHs  Bros.  D/B/A  F.S.  Ellis  &  Sons    ....  243.00 
New  England  Regional 

Wastewater  Institute   85.00 

Moulton  Supply  Co 26.11 

Bordewick  Sales  Co 36.90 

Walkers  Electric  Motor  Service    107.50 

Newmarket  Water  Works  12.00 

Pitney  Bowes   23.14 


61 


W.W.  Grainger  Inc 39.69 

Sanel  Auto  Parts,  Inc 53.95 

Ralph  Pill  Electric  Co 4.75 

Rockingham  Electrical  Supply  Co.,  Inc.    .  21.90 

A.H.  Harris  &  Sons,  Inc 149.23 

John  B.  Carpenter    19.20 

Fisher  Scientific  Co 123.61 

Kost  Tire  Sales    84.55 

Great  Bay  Motors 80.87 

Standard  Plumbing  &  Heating  Corp 41.89 

Hunter  Associates    40.40 

Newmarket  Getty   39.10 

Superintendent  of  Documents 14.85 

Tech  Products  Co 10.42 

Vanco,  Inc 163.40 

Tippecanoe  Press,  Inc 26.50 

Nicholas  Zuk    65.71 

John  Ward 61.02 

Newmarket  Getty   99.20 

Patrick  Butler    7.38 

lafolla  Service  Supply  Co.,  Inc 46.61 

Aetna  Pump,  Inc 101.33 

New  England  Barricade 12.05 

Brentwood  Machine  Sales,  Inc 319.37 

W.S.  Goodrich,  Inc 67.03 

Weatherwise  Heating  Co 40.00 

The  State  Chemical  Manufacturing  Co.    .  49.35 

Merrill  Machine  Works  40.00 

New  England  Balance  Services,  Inc 52.00 

George  Pierce  100.00 

TOTAL  EXPENSES   $85,930.19 


62 


REPORT  OF 
THE  BUDGET  COMMITTEE 

To  some  residents  of  Newmarket  it  may  appear  that 
the  Budget  Committee  functions  only  around  Town 
Meeting  time,  and  in  most  communities  that  is  true,  but 
for  our  members  budget  review  and  oversight  is  actually 
a  year  long  process. 

For  the  past  three  years  we  have  met  monthly  in  order 
to  become  more  aware  of  the  functions  of  our  town  de- 
partments and  of  how  your  tax  dollars  are  spent.  At  our 
monthly  meetings,  department  heads  discuss  operating 
procedures,  budgetary  problems,  and  projections  for 
future  needs,  which  assists  us  in  making  better  judg- 
ments on  requested  items  in  the  budget.  This  year  we 
have  made  a  special  effort  to  visit  department  heads  at 
their  usual  places  of  employment,  rather  than  having 
them  come  to  us,  and  this  has  given  us  first  hand  ex- 
perience in  the  workings  of  the  town  of  Newmarket. 

The  bulk  of  the  committee's  work  begins  in  early 
December  when  the  selectmen  present  their  budget 
recommendations  to  us,  based  on  the  requests  of  the  de- 
partment heads.  A  great  deal  of  time  is  spent  discussing 
and  asking  questions  about  each  item  before  us.  Depart- 
ment heads  are  then  asked  to  meet  with  us  again  to 
answer  more  specific  questions  and  to  provide  additional 
information.  By  that  time  the  holidays  are  over  and  the 
committee  is  meeting  weekly. 

After  we  have  gathered  information  and  discussed  the 
proposed  budget  thoroughly,  we  meet  to  vote  on  our  own 
recommendations  which  appear  before  the  voters  at  the 
pubUc  hearing  on  the  budget. 


63 


Unfortunately,  all  too  few  people  take  advantage  of  the 
public  hearing  process.  That  is  the  time  when  citizens  are 
given  the  opportunity  to  voice  their  opinions  and  ask 
questions  on  any  aspect  of  the  budget.  Those  opinions,  or 
lack  thereof,  are  taken  into  consideration  in  our  final 
deliberations.  Suggestions  voiced  at  the  hearing  may 
result  in  changes  in  the  budget,  and  if  no  opposition  is 
raised  to  our  suggestions,  we  assume  that  the  towns- 
people concur  with  the  budget  as  proposed. 

Following  the  public  hearing  the  committee  again 
votes  to  express  its  final  budgetary  recommendations  for 
the  Town  Meeting,  and  the  entire  process  begins  again 
as  we  finalize  the  proposed  School  Budget. 

We  urge  you  to  participate  in  the  budgetary  process  — 
your  opinion  counts!  Our  meetings  are  always  open,  and 
we  enjoy  having  any  guest  who  is  trying  to  learn  more 
about  the  functioning  of  the  Budget  Committee. 

Respectfully  submitted, 
Patti  Blanchette,  Chairperson 


64 


LIBRARIAN'S  REPORT 

During  the  past  year  the  library  has  sponsored  many 
programs,  including  a  story  hour  for  preschool  children, 
a  story  hour  for  Newmarket  Day  Care,  visits  by  elemen- 
tary school  classes,  and  free  films  on  Friday  for  children. 
During  the  summer  we  increased  our  offerings  to  include 
a  six-week  poetry  workshop,  a  reading  club,  and  Thurs- 
day films  at  the  library.  In  addition  to  the  monthly  book 
exhibit,  we  have  had  a  blacksmith  exhibit,  an  archae- 
ology exhibit,  and  a  Newmarket  High  School  art  exhibit. 
The  book  collection  is  steadily  increasing.  We  have  the 
newest  fiction  books,  as  well  as  new  non-fiction  books 
dealing  with  many  subjects.  Your  library  is  growing  in 
many  ways.  The  number  of  people  using  the  library  is 
increasing  as  is  the  number  of  books  circulated.  We  look 
forward  to  serving  you  in  1980. 

Circulation  from  January  1,  1979  to  December  31,  1979: 

Adult  Fiction  4,985 

Adult  Non-Fiction   1,405 

Juvenile  Fiction    2,516 

Juvenile  Non-Fiction    536 

Periodicals    396 

Records   24 

Prints 5 

TOTAL    9,866 

Fines  collected    60.14 

Book  postage  &  stamps   81.37 

Books  purchased  with  fine  money    36.98 


65 


Number  of  books  purchased: 

Adult    238 

Juvenile    83 

Paperback    102 

Encyclopedia 1 

Gift 39 

Borrowed  from  State  Library  65 

New  library  cards    113 

Respectfully  submitted, 


CAROL  LINCOLN 
Librarian 


66 


LIBRARY  FINANCIAL  REPORT 

STATEMENT  OF  RECEIPTS,  EXPENDITURES, 
AND  PROOF  OF  BALANCE 

For  Fiscal  Year  Ended  December  31,  1979 

Indian  Head  National  Bank  Savings  Account: 

Balance  December  31,  1978   $  1,756.48 

Receipts:   Interest  92.26 

Balance  December  31,  1979   1,848.74 

Piscataqua  Savings  Bank  Savings  Account: 

Balance  December  31,  1978   4,919.48 

Receipts:   Interest  275.48 

5,194.96 
Withdrawals:    996.14 

Balance  December  31,  1979   4,198.82 

Indian  Head  National  Bank  Checking  Account: 

Balance  December  31,  1978  0.00 

Receipts  during  1979: 

Town  of  Newmarket    14,060.00 

Revenue  Sharing    500.00 

Winifred  A.  Harding 

Memorial  Fund   524.95 

American  Legion  Auxiliary  180.00 

Miscellaneous  gifts  and  fines  91.05       15,356.00 

Expenditures  during  1979: 

Librarian  4,200.00 

Assistant  Librarian   1,500.00 

Substitute  Librarians    238.83 

Custodian    900.00 

Social  Security 412.75 

Books,  films  and  periodicals  3,490.82 

Special  Programs    98.24 

Electricity    424.34 


67 


Telephone    347.78 

Insurance    128.00 

Fuel 2,086.91 

Supplies,  Postage  and  Misc.         583.51 
RepEiirs,  Maintenance  and 

New  Equipment    944.82        15,356.00 

Balance  December  31,  1979  0.00 

Proof  of  Balance: 
Balance  per  statement  dated  12/31/79  882.81 

Checks  outstanding:  79-208  and  79-218 

—  79-224  incl 883.61 

Bank  service  charge    .80 

882.81 
Balance  December  31,  1979   $    0.00 

Respectfully  submitted: 


ROBERT  E.  SEWALL 
Treasurer 


68 


REPORT  OF  LIBRARY  TRUSTEES 
—  1979  — 

The  Newmarket  Public  Library  had  a  very  busy  year 
with  increases  in  circulation  and  membership.  New  pro- 
grams included  exhibitions,  story  hours,  art  and  films 
for  loan,  coupon  and  pattern  exchanges,  and  films  for 
children  on  holidays.  Other  innovative  programs  are 
planned  for  1980. 

Mrs.  Lincoln  has  suggested  the  use  of  the  Tower  Room 
in  the  future  £is  a  reference  and  reading  room,  and  the  use 
of  the  upstairs  room  as  a  conference  or  meeting  room.  To 
implement  these  ideas,  a  structural  check  of  the  floor  of 
the  upstairs  room  will  have  to  be  made.  Heating  it  will  be 
necessary,  and  a  method  for  doing  so  discussed. 

The  boiler  is  old  and  has  cost  close  to  $500.00  in  the  last 
year  to  keep  it  functioning.  A  new  boiler  with  its  in- 
creased efficiency  might  be  a  more  economical  alterna- 
tive than  sinking  further  funds  into  the  old  one. 

There  are  some  structural  problems  which  we  feel  must 
be  taken  care  of  before  too  long.  The  granite  slabs  and 
steps  of  the  entrace  sire  heaved  and  there  is  a  large  crack 
opening  between  the  west  wall  and  an  inside  partition. 
Estimates  of  the  cost  of  repairs  for  these  areas  are  being 
sought,  as  will  means  of  payment  from  other  than  town 
funds. 

Damage  to  the  library  during  the  storm  of  August  27th 
was  extensive,  especially  to  the  roof.  Many  slates  blew 
off  and  some  of  the  flashing  was  cut  up.  Water  damage 
was  not  serious,  although  there  are  a  few  spots  where 
plaster  and  paint  need  to  be  repaired.  Some  glass 
damage  was  sustained,  especially  to  the  half  round  win- 
dow on  the  west  end  through  which  stones  from  the 
parking  lot  next  to  Rockingham  Shoe  were  blown  like 


69 


buckshot.  The  repair  costs,  all  covered  by  insurance, 
totaled  approximately  $27,000.00;  the  greatest  portion  of 
this,  by  fgir,  was  for  the  roof. 

The  nice  maple  behind  the  library  broke  off  and  had  to 
be  removed,  and  the  future  of  the  spruce  in  front  is  in 
doubt.  We  hope,  nonetheless,  to  improve  the  grounds 
around  the  building  this  year. 

A  group  of  interested  citizens  have  gathered  together 
to  form  a  Friends  of  the  Library  Association.  Two 
meetings  have  been  held.  Activities  by  such  groups  in 
other  towns  have  included,  besides  general  library  work, 
fund  raising,  outreach  projects,  and  beautification. 

Anyone  interested  in  joining  this  group  may  contact 
Mrs.  Pearl  Eden  at  659-2164  or  our  librarian,  Mrs. 
Lincoln. 

We  were  saddened  by  the  death  of  Mrs.  Winifred  A. 
Harding,  who  served  as  our  librarian  for  10  years.  Mrs. 
Harding  became  librarian  after  Miss  Gordon's  long 
tenure,  and  guided  the  library  through  the  changes  and 
improvements  necessary  for  accreditation  by  the  New 
Hampshire  State  Library.  She  ran  a  tight  ship  for  us,  but 
was  always  available  to  answer  questions  and  un- 
stinting of  her  time  when  asked  to  help  with  a  project  or 
solve  a  problem. 

A  memorigd  fund  was  established  in  her  name  for 
special  book  purchases.  At  this  writing  a  total  of  $525.00 
has  been  contributed.  These  books  will  be  a  lasting  trib- 
ute to  her. 


70 


The  trustees  of  the  Newmarket  PubHc  Library  are  very 
happy  with  the  increased  use  of  the  Ubrary  and  the  ex- 
pansion of  its  services  as  overseen  by  Mrs.  Lincoln.  We 
can  only  hope  that  more  of  you  make  use  of  your  library 
and  we  invite  you  to  visit.  Your  comments  will  help  us  to 
make  further  improvements. 

Respectfully  submitted, 


Philip  G.  Hendrickx,  Secretary 
Newmarket  Public  Library 
Board  of  Trustees 


71 


REPORT  OF  THE  POLICE  DEPARTMENT 

The  statistics  for  1979  show  a  continued  dramatic  in- 
crease of  PoHce  Department  activities  as  they  have  over 
the  past  several  recent  years. 

This  reflects  the  continued  rapid  growth  of  the  com- 
munity, and  the  resultant  request  for  increased  Police 
services. 

It  is  easy  to  draw  the  conclusion  that  things  are  getting 
worse  instead  of  better  if  one  is  to  just  look  at  the  total 
figures  presented.  However,  if  one  takes  into  considera- 
tion the  rapid  growth  of  the  community,  a  continued 
trend  of  improvement  can  be  seen.  For  instance,  you  will 
note  the  same  number  of  accidents  occurred  in  1979  as  in 
1978,  but  when  you  consider  the  large  increase  in  vehicu- 
lar traffic  as  seen  in  traffic  surveys,  and  the  increase  of 
residents  in  the  town  contributing  to  the  increased  con- 
gestion, no  increase  of  accidents  is  a  creditable 
accomplishment. 

More  or  less  may  be  said  for  the  overall  statistics  of  the 
Police  Department.  It  is  indeed  disappointing  to  see  a 
large  increase  in  burglaries  or  juvenile  arrests.  But  when 
you  consider  the  same  very  few  that  are  repeatedly  re- 
sponsible for  these  offenses  over  and  over  again,  the 
overall  population  well  deserves  the  pride  that  they  show 
in  their  community. 

There  are  a  few  who  are  constantly  making  negative 
remarks  about  our  town  or  town  departments  who  seem 
to  get  more  attention  than  they  deserve.  It  might  be  well, 
the  next  time  you  hear  such  a  person  or  comment,  to  ask 
yourself  what  this  person  has  done  to  remedy  the  situa- 
tion complained  about,  and  then  make  a  decision  on  the 
worth  of  the  remarks  made.  I  am  sure  that  in  most  cases 
you  will  find  the  persons  who  complain  the  most  have 
done  nothing  for  the  betterment  of  the  community,  and 
have  nothing  constructive  to  offer. 


72 


For  the  person  who  thinks  that  Newmarket  is  not  a 
healthy,  thriving  community  with  a  positive  outlook  for 
the  future,  look  around  you  and  see  if  there  is  any  other 
community  in  the  state  that  has  any  more  solidarity 
than  the  citizens  of  our  town.  Oh  sure,  there  are  disagree- 
ments, but  overall,  the  Town  of  Newmarket,  and  the 
people  in  it  are  great. 

I  realize  that  an  annual  report  such  as  this  would  prob- 
ably sound  more  appropriate  coming  from  a  Chamber  of 
Commerce  agency,  but  I  sometimes  think  that  we  dwell 
too  much  on  the  negative  aspects  of  our  town,  and  not 
nearly  enough  on  the  positive,  and  I  want  this  report  to 
say  it.  The  Police  Department  is  proud  of  Newmarket. 


73 


LOG  ENTRIES  MADE  IN  1979 

978  Miscellaneous  Citizen  Complaints  Answered 

(Not  including  dog  complaints  nor  subcategories 
listed  below) 
50  Burglaries 

8  Attempted  Burglaries 
93  Larcenies  (Thefts) 
69  Reports  of  Malicious  Damage  to  Property 

(Vandalism) 
118  Motor  Vehicle  Accidents  (No  Personal  Injury) 
11  Motor  Vehicle  Accidents  (with  Personal  Injury) 
7  Stolen  Motor  Vehicles 
145  Calls  to  Aid  Other  Police  Departments 
193  Citizen  Assists  (Disabled  Motor  Vehicles,  etc.) 
67  Messages  to  Citizens  Delivered 
35  Money  Escorts 
83  Motor  Vehicles  Towed  (Overnight  Parking 

Ban,  etc.) 
45  Assists  to  Fire  Department 
57  Assists  to  Ambulance  Corp. 
81  Doors  or  Windows  found  Unlocked 

(Businesses,  etc.) 
89  Citizen  Relays  (Transportation  of  people 

stranded,  etc.) 
55  Responses  to  Activated  Alarms 
110  House  Checks  (Request  of  citizens  on  vacation,  etc.) 
33  Items  of  Personal  Property  Found  and  Turned  into 
the  Station 

5  Unattended  Deaths 
3  Attempted  Suicides 
1  Bomb  Threat 

1  Rape 

1  Attempted  Rape 

6  Lost  or  Stolen  Plates  Reported 


74 


Motor  Vehicle  Cases 

398  Speeding  Violations 
30  Driving  While  Intoxicated 
12  Reckless  Operation 

8  Operating  after  Revocation  of  License 
25  Operating  an  Uninspected  Motor  Vehicle 
24  Stop  Sign  Violations 
19  YeUow  Line  Violations 
10  Operating  Without  an  Operator's  License 
16  Operating  an  Unregistered  Motor  Vehicle 

2  Misuse  of  Registration  Plates 

2  Operating  without  a  Motorcycle  License 

1  Operating  after  Suspension  of  License 

7  Failure  to  Wear  Corrective  Lenses  while  Operating 
6  Operating  a  Motor  Vehicle  with  Unsafe  Tires 

3  Passing  through  an  Intersection 

4  Failure  to  Yield  Right  of  Way 

4  Unnecessary  Noise  with  a  Motor  Vehicle 
12  One  Way  Street  Violations 

2  Leaving  the  Scene  of  an  Accident 
2  Failure  to  Keep  Right 

2  Taking  a  Motor  Vehicle  without  Owner's  Consent 

1  Overheight  Bumper  on  a  Motor  Vehicle 

2  Failure  to  Pay  Parking  Tickets 
1  Following  too  Close 

1  Disobeying  a  Traffic  Signal 
1  Failure  to  Report  an  Accident 

1  Operating  without  Lights 

2  Failure  to  Stop  for  an  Emergency  Vehicle 

1  Failure  to  notify  Director  of  Change  of  Address 
1  Operating  an  Uninspected  Motorcycle 

600  TOTAL  MOTOR  VEHICLE  CASES 


75 


Criminal  Court  Cases 

2  Burglary  (Probable  Cause  Hearing) 

3  Attempted  Burglary  (Probable  Cause  Hearing) 
7  Simple  Assault 

3  Assault  on  a  Police  Officer 
5  Criminal  Threatening 
14  Disorderly  Conduct 

5  Criminal  Mischief 

3  Resisting  Arrest 

6  Unlawful  Possession  of  an  Alcoholic  Beverage 

2  Criminal  Trespassing 

5  Theft  by  Unauthorized  Taking 
5  Possession  of  a  Controlled  Drug 

4  Manufacturing  a  Controlled  Drug  (Probable  Cause 
Hearing) 

3  Knowingly  in  the  Presence  of  a  Controlled  Drug 
11  Failure  to  Answer  a  Summons 

2  Forgery  (Probable  Cause  Hearing) 

3  Receiving  Stolen  Property 

1  Reckless  Conduct 

2  Cattle  Theft 

2  False  Imprisonment 

2  Intoxication 

1  False  Fire  Alarm 

1  Drinking  in  a  Public  Place 

1  Surety  of  the  Peace 

93  TOTAL  CRIMINAL  CASES 


600  MOTOR  VEHICLE  CASES 
93  CRIMINAL  CASES 
19  DOG  VIOLATIONS 
9  JUVENILE  CASES 

725  TOTAL  COURT  CASES  FOR  1979 


76 


REPORT  OF  THE  FIRE  DEPARTMENT 

We,  the  Board  of  Engineers,  members  of  the  New- 
market Fire  Department  would  Hke  to  report  to  you,  the 
taxpayers  of  the  Town  of  Newmarket. 

The  Newmarket  Fire  Department's  Board  of  Engi- 
neers are  looking  into  the  future  for  fire  protection  of  the 
town.  One  being  a  truck  capable  of  carrying  a  minimum 
of  1,000  gal.  of  water.  We  are  looking  into  this  type  of 
apparatus  for  fire  protection  outside  of  our  hydrant 
system. 

A  new  generator  was  purchased  this  year  by  our  Fire 
Department.  It  is  a  15  KVA  operating  on  LP  Gas.  The 
new  generator  will  be  in  service  by  March  1,  1980. 

A  new  fire  alarm  system  has  been  installed  within  the 
Town  Hall.  This  Master  Box  #121  is  wired  to  an  internal 
system  having  heat  detectors  and  pull  stations  through- 
out the  Town  Hall.  This  system  is  directly  tied  into  the 
Fire  Department.  « 

This  year  new  equipment  has  been  purchased  by  the 
Fire  Department  for  the  men,  including  Scot  Air  Packs, 
coats,  helmets,  boots  and  much  more  needed  equipment. 
We  would  like  to  take  this  opportunity  to  thank  the  men 
for  their  time  and  dedication  given  to  our  department. 

Due  to  the  energy  crisis  more  people  are  installing 
wood  burning  stoves.  The  Fire  Department  wishes  to 
notify  the  townspeople  that  we  are  always  available  for 
consultation  and  inspection  of  the  installation  of  wood- 
burning  stoves. 

Each  year  the  Fire  Department  makes  the  request  of 
all  property  owners  (tennants  and  landlords  included)  to 
properly  number  all  buildings  and  make  them  visable 
from  the  road.  We  wish  to  thank  all  those  who  have  al- 
ready done  this  and  strongly  urge  those  who  have  not  to 


77 


please  do  so.  It  is  a  small  but  important  life  saving  pre- 
caution to  have  your  residence  properly  numbered 
should  an  emergency  arise. 

Fire  permits  shall  be  obtained  before  having  amy 
outdoor  fires,  and  only  before  9:00  a.m.  and  after  5:00 
p.m.  This  does  not  pertain  to  charcoal  fires  above  the 
ground. 

Charcoal  cooking  fires  are  "not"  allowed  on  fire  es- 
capes or  second  means  of  egress  (decks)  in  apartment 
buildings.  Charcoal  cooking  fires  are  to  be  at  ground 
level. 

For  more  information  or  for  a  permit  call  any  of  the 
following  numbers: 

W.  BeauHeu,  Warden   659-3927 

B.  Beaulieu,  Deputy  Warden  659-3927 

R.  Butler    659-5842 

R.  Pratt    659-5392 

H.  Philbrick    659-3216 

E.  Philbrick    659-3216 

Dispatch  Center  (at  fire  station)    659-3334 


78 


1979  Fire  Department  Report 

Total  calls  handled  by  the  Dispatch  Center  for  the  Fire 
Department    2,622 

BREAKDOWN  OF  FIRE  CALLS 

Chimney    5 

Assist  to  public    10 

Broken  sprinkler  pipes    1 

Motor  vehicle  accidents    9 

LP  Gas  leaks    7 

Building 12 

Request  for  assistance  (Mutual  Aid)  10 

Grass  or  brush 13 

Vehicle  fire   9 

Still  alarms  7 

False  alarms    14 

Oil  burners    6 

Electrical   17 

Home  fire  alarms  (smoke  detectors,  etc.)   12 

Gasoline  washdowns  1 

Dump    2 

Lost  child    1 

Tornado  (windstorm)  1 

TOTAL  FIRE  CALLS  FOR  THE  YEAR    137 

The  Board  of  Engineers  would  like  to  thank  all  the 
townspeople  for  their  fine  cooperation  given  to  our  de- 
partment throughout  the  year. 

Respectfully  submitted. 


BOARD  OF  ENGINEERS 
NEWMARKET  FIRE 
DEPARTMENT 

Wilfred  L.  Beaulieu,  Chief 
Richard  Butler,  Assistant  Chief 
Robert  Pratt,  Deputy  Chief 
79 


REPORT  OF  NEWMARKET  CIVIL  DEFENSE 

As  in  years  past  the  necessary  reports  have  been  filed 
with  state  and  federal  agencies  to  keep  us  on  an  active 
status  in  case  of  an  emergency. 

These  reports  and  plans  played  an  important  role  in 
the  activation  of  our  local  plan  when  a  violent  windstorm 
struck  parts  of  our  town  at  six  in  the  evening  on  August 
27,  1979. 

Your  local  departments  knew  what  to  do.  Help  was 
summoned  by  dispatch  from  surrounding  towns  while 
the  local  departments  sprang  into  action.  The  C.  D.  plan 
was  working.  For  twenty-two  years  a  local  plan  has  been 
on  paper  in  folders,  and  every  year  the  plan  was  reviewed 
and  updated.  Now  came  the  real  test! 

C.  D.  Headquarters  was  set  up  at  the  fire  house  by  your 
director  and  Selectmen.  Emergency  personnel  were  met 
by  local  personnel  and  assigned  to  duty.  State  Police, 
Sheriffs  Department  and  local  Police  were  given  duties 
by  Chief  Gahan,  Fire  Department  duties  by  Chief  Beau- 
lieu  and  Public  Works  by  Earl  Brill.  Ambulance  duties 
were  handled  by  Newmarket  Ambulance  President, 
Gary  Dossett  and  Red  Cross  duties  by  local  Red  Cross 
Workers. 

Numerous  individuals  came  forward  with  trucks  and 
chain  saws  and  manpower  to  help  clear  roads  so  emer- 
gency vehicles  could  get  through.  All  men  and  agencies 
mentioned  above  were  co-ordinated  by  the  local  C.  D. 
Director  at  the  Dispatch  Center. 

State  Civil  Defense  Officials  arrived  to  offer  whatever 
equipment  and  personnel  were  needed.  State  director 
Eileen  Foley  made  arrangements  for  Governor  Gallen  to 
tour  the  area  and  Newmarket  was  declared  a  disaster 
area.  S.B.A.  loans  were  made  available  to  those  who 
needed  assistance. 


80 


No  lives  were  lost  and  industry  continued  to  operate 
using  employees  to  remove  debris  and  repair  damages. 
The  Town  worked  as  a  team  for  those  in  need.  We  had  a 
Plan!! 

My  thanks  to  all. 

Respectfully  submitted, 

George  Hauschel,  Director 

Albert  Caswell,  Sr.,  Deputy  Director 


81 


REPORT  OF  THE 
NEWMARKET  HOUSING  AUTHORITY 

The  Housing  Authority  provides  clean,  safe  and 
sanitary  housing  for  elderly  and  low  to  moderate  income 
families.  The  project  at  Great  Hill  Terrace  has  twelve 
elderly  units  and  thirty-eight  family  units.  Rents  are 
based  on  25%  of  the  tenants  gross  income  and  include 
heat  and  utilities.  Each  apartment  is  equipped  with 
hook-ups  for  a  washer  and  a  dryer.  There  is  also  a  coin 
laundry  in  the  Community  Building  with  four  washing 
machines  and  four  dryers  for  the  use  of  tenants  who  do 
not  have  their  own  machines. 

We  are  proud  of  our  project  and  work  constantly  to 
keep  it  in  a  neat  and  attractive  condition.  During  the  past 
summer  outside  painting  was  completed  on  several  more 
buildings.  We  also  added  more  playground  equipment 
for  the  children.  The  new  ball  field  was  seeded  and  child- 
ren enjoyed  many  happy  hours  playing  ball  there. 

We  recently  acquired  ten  more  units  of  Section  8 
housing  which  now  brings  our  leased  housing  units  to 
thirty  units.  If  any  elderly  people  living  in  town  are  in 
need  of  subsidized  housing  they  should  contact  the 
Housing  Authority  office.  There  is  a  good  chance  that 
they  could  receive  financial  help  with  their  rent  for  the 
apartment  in  which  they  are  presently  living.  Rents  are 
based  on  25%  of  the  tenant's  gross  income. 


82 


Anyone  having  questions  or  wishing  to  apply  for  hous- 
ing is  urged  to  contact  Mrs.  Ruth  Sanborn  at  the  office  at 
Great  HiU  Terrace,  Monday  through  Friday  from  9:00 
a.m.  to  4:30  p.m. 

Respectfully  submitted, 


BOARD  OF  COMMISSIONERS 
Edith  Beaudet,  Chairman 
Irene  Buttny,  Vice  Chairman 
Clifford  Abbott 
Mario  Zocchi 
Walter  Schultz 


83 


1979  ANNUAL  REPORT  OF  THE 
BUILDING  INSPECTOR 

Applications  Submitted  —  176 

TYPE  OF  CONSTRUCTION 

New  Homes    58 

Trailers    10 

Apartments    0 

Large  Buildings  (over  $500) 8 

Small  Buildings  (under  $500)    2 

Heating  Systems 0 

Solar  Heating  Systems   0 

Repairs  &  Alterations   48 

New  Siding 12 

Demolish  Buildings    2 

Additions  to  Buildings    13 

Trailer  Pads  or  Foundations  1 

Swimming  Pools  4 

Miscellaneous    18 

TOTAL        176 

Total  Cost  of  Construction    $2,505,349 

Building  Permit  Fees $2,095.64 

Applications  for  Building  Permits  are  available  at  the 
Town  Hall  Offices. 


84 


NEW  RESIDENTIAL  UNITS 

Type  1973  1974  1975  1976  1977  1978  1979  Total 

Homes    33  9  11  17  30  44  58  202 

Duplex    0  0  0  0  0  2  0  2 

New  Apartments  .  12  0  0  0  100  72  0  184 

Converted  Apts.  17  12  3  13  6  6  4  61 

Trailers    3  7  3  3  6  4  3  29 

TOTAL    65        28        17        33      142      128        65      478 

1979 
NEWMARKET  BUILDINGS  &  DWELLING  UNITS 

Type  No.  of  No.  of 

Buildings  Dwelling  Units 

Homes    752  752 

Duplex    87  174 

Apartments     153  590 

Apt.  Complex  17  292 

Trailers    150  150 

Business  with  Dwelling  29  40 


TOTAL    1,188  1,998 


85 


REPORT  OF  THE 
NEWMARKET  AMBULANCE  CORPS 

Residential  calls    99 

Industrial  calls    9 

Auto  accidents  17 

Though  the  number  of  calls  were  down  from  last  year, 
it  has  been  a  busy  year  for  the  members  of  the  Corp. 
Aside  from  our  monthly  in-corp  training  sessions,  many 
have  attended  state  and  individual  seminars  and 
courses  so  we  may  continue  to  offer  the  type  of  ambu- 
lance service  that  you,  the  townspeople,  have  become 
accustomed  to  and  deserve. 

In  addition,  the  Corp  has  sponsored  an  8  hour  C.P.R. 
course  on  the  proper  technique  of  Cardiopulmonary  Re- 
suscitation, a  51  hour  Advanced  First  Aid  and  C.P.R. 
course  and  another  Babysitting  Certification  Workshop. 
We  are  also  in  the  process  of  updating  the  building  in 
which  the  ambulances  are  housed  to  meet  our  needs  and 
make  it  more  energy  efficient. 

A  valuable  part  of  providing  prompt,  dependable  ser- 
vice must  come  from  you.  When  calling  in  on  either  the 
telephone  or  C.B.  on  channel  9  which  the  dispatch 
monitors,  the  following  information  should  be  given  as 
clearly  and  accurately  as  possible; 

Location  of  patient  or  accident 

Condition  of  patient 

Name  of  patient 

Name  of  caller 

Telephone  number  you  are  calling  from 

If  patient  has  a  vial  of  life 

Also,  a  highly  visable  house  number,  outside  light  or 
someone  standing  outside,  is  extremely  helpful  in  fin- 
ding your  residence. 


86 


In  closing  I  would  like  to  say  thank  you  to  the  Dispatch 
Center,  the  Police  Department,  the  Fire  Department, 
George  Hauschel,  without  whose  help  our  job  would  be 
more  difficult,  and  a  special  thanks  to  the  members  of  the 
Corp,  both  old  and  new. 

Respectfully  Submitted, 


GARY  DOSSETT 
Newmarket  Ambulance  Corp. 
President 


87 


REPORT  OF  THE 
NEWMARKET  DISPATCH  CENTER 

When  the  Newmarket  Dispatch  Center  was  originally 
started  it  was  federally  funded  thru  CETA  funds.  After 
the  first  of  April,  1979  the  CETA  funds  were  not  avail- 
able and  at  that  time  the  town  of  Newmarket  was  respon- 
sible for  keeping  the  center  open. 

When  Gail  Roulo  resigned  her  position  as  supervisor, 
the  Board  of  Selectmen  named  Eileen  Szeliga  in  charge 
of  the  center  with  Lynda  Criss  as  the  Head  Dispatcher. 
Lynda  is  in  charge  of  the  center  and  is  responsible  for  the 
training  of  the  personnel. 

Listed  below  is  a  report  from  Ljmda  Criss,  Head  Dis- 
patcher: 

"In  1979  Dispatch  handled  over  71,365  calls 
and  transmissions.  This  includes  24,187  phone 
calls  and  47,178  radio  and  other  transmissions. 
We  provided  these  services  to  the  residents  of 
Newmarket  as  well  as  to  the  five  departments 
that  we  serve.  Calls  have  ranged  from  re- 
turning a  lost  child  to  her  parents  to  the  "non" 
tornado  we  had  in  August.  The  storm  involved 
all  five  departments  of  the  town  as  well  as  co- 
ordination of  about  twenty  outside  units. 

We  feel  we  have  become  a  vital  part  of  the 
town's  everyday  business  as  well  as  dispatching 
for  emergency  services.  Please  feel  free  to  drop 
into  the  center,  located  at  the  firehouse,  and 
pick  up  an  emergency  phone  sticker  and  see  our 
center  at  the  same  time." 


88 


In  1980,  the  town  has  made  application  for  two  people 
from  the  center  to  attend  a  training  session  at  Police 
Standards  and  Training  Council,  Vo-Tec  in  Concord, 
N.H.  We  have  been  told  that  they  would  only  accept  one 
application. 

Eileen  A.  Szeliga 
Supervisor 


89 


REPORT  OF  THE 
NEWMARKET  INDUSTRIAL  COMMISSION 

The  status  of  the  Newmarket  Industrial  Commission 
is  as  follows: 

A  six  (6)  months  option  has  been  given  to  Marc 
Stevens  to  take  over  the  entire  Industrial  Park. 

If  this  option  is  taken  up  in  June  of  1980,  Stevens  will 
develop  the  entire  area  as  an  Industrial  Park.  In  the  first 
period  he  will  build  roads  and  utilities  and  start  one 
building.  He  will  assume  all  debts  and  commitments 
now  made  by  this  commission,  meaning  repayment  of 
the  town's  cost  as  acreage  is  sold.  He  must  meet  required 
agreements  in  each  five  (5)  year  option. 

The  Industrial  Commission  has  met  each  month  for 
the  past  year.  The  following  has  been  completed;  a  peri- 
meter survey  and  topographical  map. 

All  building  sites  must  be  approved  by  the  Newmarket 
Planning  Board.  There  is  a  protective  covenant  agree- 
ment as  well  as  Industrial  Code  of  Newmarket  to  be  met. 

Ralph  Waugh 
President 


90 


REPORT  OF  THE 
RECREATION  AND  PARKS  DEPARTMENT 

The  Recreation  and  Parks  Department  has  been  grow- 
ing with  leaps  and  bounds  during  1979  and  is  enjojdng 
recognition  within  the  town  of  Newmarket  as  truly  a 
social  service  organization.  The  Department  is  able  to 
offer  loads  of  free  and  inexpensive  programs  for  all  ages 
due  to  the  many  wonderful  volunteers  and  participants 
that  make  it  such  a  pleasure  to  belong  or  take  part  in  a 
Newmarket  activity. 

Throughout  the  school  year  Elementary  and  Junior 
High  students  have  been  able  to  participate  in  after- 
school  programs  every  day  of  the  week  including  Junior 
Cooking,  Baton,  Martial  Arts,  Games,  Pep  Club,  Gym- 
nastics, Arts  and  Crafts,  Touch  Football,  Co-ed  Soccer, 
Jazz  Dance  and  Ballet.  Free  Recreational  Preschool 
classes  have  doubled  in  size  and  now  meet  two  days  a 
week  to  accomodate  the  many  four  to  six  year  olds.  A  tiny 
tot  gym  for  two  to  five  year  olds  gives  parent  and  child  a 
special  activity  all  their  own.  The  Evening  Adult  Edu- 
cation programs  held  in  conjunction  with  the  New- 
market High  School  have  been  well  received  and  classes 
are  growing  in  numbers.  In  1979  the  following  classes 
were  offered:  Running-Exercise  Class,  Disco  Dance,  Dog 
Obedience,  Ballet,  Yoga,  Craft  Courses,  Kung  Fu,  Begin- 
ning Golf,  Ballroom  Dance,  Weaving,  Sewing,  Typing, 
Exercise-Fitness,  Christmas  Crafts,  Pre  and  Post  Natal 
Exercise,  Basic  Auto  Mechanics  and  Jazz  Dance. 

For  the  sports  enthusiast  Adult  Co-ed  Volleyball  takes 
place  year-round,  combined  with  Men's  Basketball 
League,  Boys'  Basketball  League,  Girls'  Seacoast  Soft- 
ball League,  Women's  Softball  and  Evening  Horseshoe 
League.  In  addition,  the  many  town  teams  provide  resi- 
dents with  first  class  league  competition  in  Little  League, 
Pony  League,  Girls'  Softball,  Girls'  Minor  Softball, 
Men's  Baseball,  Men's  Softball,  and  Men's  Soccer.  These 
town  leagues  are  extremely  successful  due  to  the  spon- 


91 


sors  and  dedicated  volunteers  who  put  in  many  hours  of 
invaluable  instruction  and  management. 

Expansion  in  the  area  of  special  events  has  led  to  free 
workshops,  Easter  Egg  Hunts,  Big  Pumpkin  Contests, 
varied  vacation  activities  and  trips.  Bi-weekly  Square 
Dances,  Cross  Country  Ski  Rental  Program,  Fourth  of 
July  Celebration,  Ski  and  Skate  Sales  and  Country  Fair 
Exhibits.  We  have  enjoyed  success  with  an  Evening  Pro- 
gram for  exceptional  children  with  crafts,  games  and 
other  activities.  This  program  makes  our  Recreation 
Department  unique  in  that  very  few  Recreation  Depart- 
ments offer  a  program  such  as  this.  Senior  Adults  in 
town  have  enjoyed  an  inexpensive  crafts  class  and  a 
weekly  exercise  group  called  "Mondays"  that  combines 
good  fun,  refreshment  and  company.  The  Lamprey 
Village  Players  completed  another  year  of  sell-out  per- 
formances delighting  entire  families  with  their  excellent 
professional  plays  and  musicals. 

During  the  summer  months  the  Department  operates  a 
Day  Camp  for  youth  that  enables  our  youngsters  to  par- 
ticipate in  crafts,  sports,  games,  riflery,  gymnastics, 
woodworking,  archery,  horsemanship,  canoeing,  camp- 
ing, track,  swimming,  weekly  trips  and  a  whole  lot  more. 
The  Day  Camp  encourages  youth  to  drop  in  for  activities 
and  trips  of  their  choice  as  well  as  offering  an  extremely 
inexpensive  Day  Care  for  the  working  parent.  This  dual 
purpose  summer  program  underlines  the  Recreation  De- 
partment's goal  of  offering  something  for  everyone! 

The  Newmarket  Recreation  and  Parks  Department 
works  for  every  individual  family,  club  and  organization. 
If  you  need  a  helping  hand,  transportation  to  an  activity, 
a  need  for  a  special  program  or  a  new  idea  all  you  have  to 
do  is  ask.  The  Department  consists  of  a  five  person  Re- 
creation Commission  and  employs  a  full-time  Director, 
part-time  summer  staff  and  a  part-time  Park  Foreman- 
Grounds  Keeper  to  care  for  Leo  Landroche  Memorial 
Field,  Little  League  Park  and  Nichols  Ave. 


92 


Leisure  activities  are  an  important  part  of  everyone's 
life,  whether  it  be  a  solitary  walk  in  the  woods  or  par- 
ticipation in  a  group  sport.  The  Recreation  and  Parks  De- 
partment and  the  Recreation  Commission  care  about 
your  recreational  needs.  We'd  like  to  thank  the  many 
individuals  who  participated  in  and  supported  New- 
market Recreation  and  Parks  during  a  successful  197S. 

Respectfully  Submitted, 

LESLEY  SMITH 
Director  of  Newmarket 
Recreation  and  Parks 

RECREATION  COMMISSION 

Leo  Filion 

Paul  Berry 

Sandy  Allen 

Muriel  Campbell 

Mel  Cross 


93 


REPORT  OF  THE 
NEWMARKET  SERVICE  CLUB 

The  Newmarket  Service  Club  is  pleased  to  have  the 
opportunity  to  report  on  its  activities  to  the  Citizens  of 
Newmarket  in  the  Annual  Town  Report.  During  1979, 
the  Service  Club  directed  most  of  its  energies  toward  the 
planning  and  development  of  a  program  to  stimulate  the 
economic  revitalization  and  historic  preservation  of 
Newmarket's  downtown  area.  In  part  through  the  initia- 
tives of  the  Service  Club,  and  with  the  strong  support  and 
hard  work  of  Town  Officials,  significant  progress  was 
made  toward  this  goal  in  1979.  As  a  result  of  this  work, 
the  people  of  Newmarket  will  witness  major  physical  im- 
provements in  the  downtown  during  1980  and  beyond.  A 
brief  review  of  the  year's  accomplishments  is  presented 
below. 

Preliminary  planning  phases  for  the  revitalization 
project  have  been  completed  with  the  assistance  of  the 
Thoresen  Group:  Planning,  Research  and  Management 
Consultants,  from  Portsmouth.  Financial  assistance  for 
this  work  was  secured  in  January  and  February  of  1979 
through  the  receipt  of  several  grants  and  many  dona- 
tions from  local  businesses. 

The  consultants  produced  two  reports  and  assisted  the 
Service  Club  in  sponsoring  three  public  forums  to  pro- 
mote public  interest  and  involvement  in  the  revitalization 
effort.  The  first  report,  Newmarket  Revisited,  studies  the 
historical  development  of  the  Newmarket  Manufac- 
turing Company  and  its  influence  on  the  town.  The  data 
collected  as  part  of  this  report  can  be  used  to  nominate 
sections  of  the  downtown  to  the  National  Register  of  His- 
toric Places.  This  action  would  qualify  commercial 
property  owners  to  receive  substantial  tax  benefits  on  eli- 
gible rehabilitation  investments.  The  Service  Club  is 
ready  to  pursue  this  nomination  early  in  1980  pending 
the  support  and  approval  of  affected  property  owners 
and  Town  Officials. 


94 


The  second  report,  A  New  Life  for  Downtown  New- 
market, proposes  nearly  thirty  recommendations  and 
projects,  involving  both  public  and  private  action,  de- 
signed to  stimulate  private  investment  in  the  downtown 
area.  These  recommendations,  based  on  economic,  land 
use  and  architectural  analyses,  form  a  multi-faceted  re- 
vitalization  strategy  designed  to: 

1)  promote  maximum  re-use  and  reinvestment  in  ex- 
isting buildings 

2)  revitalize  the  Main  Street  waterfront  area 

3)  improve  supporting  public  facilities  and  amenities, 
and 

4)  provide  parking  improvements  to  accommodate 
future  downtown  commercial,  residential  and  in- 
dustrial growth. 

(Copies  of  both  reports  are  available  at  the  Newmarket 
Town  Library  and  from  the  Service  Club.) 

Two  key  elements  of  this  revitalization  strategy  are  al- 
ready being  undertaken.  The  renovation  and  conversion 
of  the  former  Newmarket  Central  School  into  elderly 
housing,  scheduled  to  begin  in  the  spring,  will  provide  a 
major  facelift  to  the  surrounding  area  atop  Zion's  Hill.  In 
addition,  Newmarket's  successful  application  to  the  U.S. 
Department  of  Housing  and  Urban  Development  will 
provide  over  $250,000  in  direct  financial  assistance  to 
eligible  downtown  property  owners  to  apply  toward  the 
rehabilitation  of  residential  housing  units.  An  additional 
$40,000  will  be  invested  in  curb  and  sidewalk  improve- 
ments to  Church  Street  in  coordination  with  the  elderly 
housing  project.  These  federal  funds  will  be  targeted  to- 
ward the  rehabilitation  of  deteriorated  structures  located 
on  Main,  Church,  Chapel,  Rock  and  Central  Streets. 

In  addition  to  the  revitalization  effort,  the  Service  Club 
was  engaged  in  several  other  projects  and  activities  in 
1979,  including  sponsorship  of  the  Old  Home  Weekend 
and  the  Downtown  Christmas  Lighting  Program.  Al- 
though last  year  saw  the  closing  of  the  Newmarket 


95 


Youth  Center  and  the  end  of  the  Service  Club's  support  of 
that  service,  the  club  will  continue  to  work  closely  with 
the  Recreation  Department  to  provide  alternative  pro- 
grams for  the  town's  youth. 

The  Service  Club  plans  to  continue  working  on  the 
revitalization  project  in  1980.  Efforts  will  focus  on  plan- 
ning for  the  redevelopment  of  the  waterfront  area,  pur- 
suing the  National  Register  Nomination  for  the  down- 
town, organizing  volunteer  cleanup  campaigns  and 
beautification  efforts,  plus  marketing  and  promotional 
efforts  to  encourage  private  investment  initiatives.  The 
club  has  also  begun  planning  for  another  successful  Old 
Home  Weekend  and  will  continue  sponsorship  of  its  on- 
going programs.  Newmarket  residents  are  invited  to  join 
the  Service  Club  and  participate  in  its  many  projects  and 
events  promoting  all  aspects  of  the  community. 


Design  Consultant's  concept  for 
potential  downtown  waterfront 
park;  A  New  Life  for  Downtown 
Newmarket. 


96 


REPORT  OF  ANIMAL  CONTROL  OFFICER 

The  year  1979  brought  fewer  complaints  than  1978. 
This  reduction  shows  that  more  people  are  becoming 
aware  that  their  cooperation  brings  more  concern  for  the 
welfare  of  our  domestic  animals. 

Complaints  of  various  types  received  daily  are  loose 
animals,  stray  horses  and  cows,  cruelty  cases,  cats  in 
trees  and  numerous  questions  from  citizens  on  how  to 
care  for  their  pets. 

This  past  fall,  David  "Butch"  Pierce  resigned  as  assis- 
tant Animal  Control  Officer  and  was  replaced  by  Robert 
Parry  on  a  non-salaried  basis.  Robert  and  I  receive  the 
complaints  from  Dispatch  and  we  answer  them  to  the 
best  of  our  ability,  as  we  both  have  regular  jobs  to  attend 
to. 

List  of  Animal  Complaints  for  1979 

Dog   682  Cow  7 

Cat    96  Rabbit 3 

Skunk 19  Snake    1 

Raccoon  7  Cruelty   11 

Rats    9  Damage  done  by  dogs    0 

Horse    14  Dogs  chasing  deer    .       7 

TOTAL  #  OF  CALLS    856 

Assistance  from  Other  Towns 

Epping  4  Whitman,  Mass 1 

Hampton  2  Brian  Pond,  Me 1 

Exeter 4  Waltham,  Mass 2 

Kittery,  Me 3 

Assistance  to  Other  Towns 

Hampton  2 

Newfields    1 

Epping  3 


97 


Total  number  of  stray  dogs  picked  up    79 

Number  of  stray  dogs  returned  to  owners    57 

Number  of  dogs  turned  over  to  S.P.C.A 22 

Cats  and  other  small  critters  turned  over  to  S.P.C.A.  47 

TOTAL  number  of  calls  handled  through  Dispatch: 

Incoming   1104 

Outgoing    834 

1,938 

Thanks  to  all  who  helped  make  our  1979  program  a 
success. 

Respectfully  submitted, 


George  Hauschel 
Animal  Control  Officer 

Robert  Parry 

Assistant  Animal  Control  Officer 


98 


REPORT  OF  CONSERVATION  COMMISSION 

The  Newmarket  Conservation  Commission  has  a  vital 
role  to  fill  in  a  town  like  ours  which  is  experiencing  rapid 
growth  pressure.  Our  responsibilities  involve  main- 
taining open  space  around  the  town,  developing  passive 
recreation  sites  and  observing /reporting  cases  of  pollu- 
tion problems  to  state  authorities.  However,  to  fill  this 
role  we  need  the  help  of  the  community.  We  have  open- 
ings on  the  Commission  and  need  the  input  of  new  mem- 
bers to  fill  our  role  in  serving  the  town.  Please  stop  by  the 
Town  Hall  and  volunteer  your  time  and  services. 

During  1979  we  investigated  pollution  to  the  Lamprey 
River,  prepared  decorative  plantings  for  the  Town  Fair 
and  worked  on  developing  a  passive  recreation  site  along 
the  upper  Lamprey  River.  More  could  be  done  for  our 
town,  but  we  need  your  help.  Join  our  meetings  the  sec- 
ond Thursday  of  each  month  in  the  courtroom  of  the 
Town  Hall. 

,      Respectfully  submitted, 


Gregory  J.  Thayer 
Chairman 
Mike  Provost 
John  Harvey 


99 


REPORT  OF  THE  OYSTER  RIVER 
HOME  HEALTH  ASSOCIATION 

The  Oyster  River  Home  Health  Association  is  a  medi- 
care certified,  voluntary,  non-profit  organization  which 
serves  the  four  towns  of  Durham,  Lee,  Madbury  and 
Newmarket.  It  is  governed  by  a  Board  of  Directors  com- 
posed of  five  directors  from  each  town. 

Home  health  services  are  provided  by  the  agency's  pro- 
fessional staff  which  is  composed  of  six  registered 
nurses,  a  registered  physical  therapist  and  a  registered 
occupational  therapist,  who  work  under  the  direction  of 
the  patient's  physician.  The  staff  maintains  its  profes- 
sional competence  through  a  continuing  educational 
program. 

In  addition  to  the  Care  of  the  Sick  Program,  the  agency 
provides  a  comprehensive  Maternal  Child  Health 
Program  which  includes: 

1.  CHILD  HEALTH  CONFERENCES.  CHnics  held 
twice  a  month  providing  free  physical  examinations  and 
innoculations  for  children  up  to  first  grade  age.  Clinics 
are  staffed  by  Agency  nurses  and  by  Joanna  Munger, 
M.D.  and  Judith  Hallisey,  Pediatric  Nurse  Practitioner. 

2.  DENTAL  SCREENING  CLINICS.  Semi-annual 
dental  prophylaxis  for  children  three  to  six  years  old  who 
are  enrollees  in  Well  Child  Conference.  Examinations  by 
State  Dental  Bureau  Hygienists  and  referral  to  local  den- 
tists. 

3.  NEW  BORN  VISITS.  Free  home  visits  to  every 
newborn  to  provide  guidance  to  new  mothers. 

4.  ASSISTANCE  IN  STAFFING  OF  THE  FOL- 
LOWING: State  clinics,  Pre-school  Vision  and  Hearing, 
Pediatric  Cardiac  and  Orthopedic  clinics. 

5.  SCHOOL  SERVICES.  Assistance  to  school  nurses 
for  special  projects  as  requested. 


100 


Additional  services  provided  by  the  Agency: 

1.  TUBERCULOSIS  CONTROL.  Monitoring  of  pa- 
tients as  directed  by  the  New  Hampshire  Department  of 
Communicable  Diseases. 

2.  FOUR-IN-ONE  SCREENING.  Adult  screening 
program  held  yearly  in  cooperation  with  the  Newmarket 
Health  Center. 

3.  ADULT  HYPERTENSION  SCREENING  CLIN- 
ICS. Held  at  request  of  a  variety  of  organizations. 

4.  NEW  HAMPSHIRE  COUNCIL  ON  AGING.  Pa- 
tients over  60  years  of  age  are  eligible  for  free  Occupa- 
tional Therapy  and  Social  Work  visits  if  there  is  a  need 
and  no  insurance  coverage. 

Funding  for  the  Agency  comes  from  patient  fees  (Medi- 
care, Medicaid,  private  insurance  and  private  payment), 
a  grant  from  the  Bureau  of  Maternal  Child  Health,  dona- 
tions, bequests  and  Town  Appropriations.  Town  monies 
are  utilized  for  matching  funds  for  the  Maternal  Child 
Health  Program  grant  and  meet  the  costs  of  other 
preventive  programs.  As  no  one  in  need  is  denied  ser- 
vices because  of  inability  to  pay,  town  funds  are  used  to 
make  up  the  difference  between  actual  visit  cost  and 
what  a  patient  can  afford  to  pay.  In  the  fiscal  year 
ending  June  30,  1979,  this  amount  of  fee  scaling  doubled. 
In  the  first  half  of  this  fiscal  year,  the  amount  scaled  is 
about  two  thirds  of  the  total  budgeted  for  the  year. 

In  May  1979,  Medicare  certification  was  received  for 
the  addition  of  occupational  therapy  services.  The 
Agency  is  in  the  planning  stages  of  applying  for  similar 
certification  for  Home  Health  Aides.  The  addition  of  a 
nurse's  aide  will  allow  us  to  offer  greatly  expanded  per- 
sonal care  services,  the  cost  of  which  would  in  many 
cases  be  paid  by  patient  insurance. 


101 


Agency  growth  continues  to  be  demonstrated  by  an  in- 
crease in  patient  visits  made  and  services  offered. 

Agency  offices  in  the  Durham  Town  Hall  are  open 
Monday  thru  Friday,  8:00  to  4:00  p.m.  Anyone  desiring 
services  can  call  868-5055. 

NOTE:  Complete  report  for  the  year  1979  is  available 
at  Town  Office. 


102 


REPORT  OF  THE 
NEWMARKET  REGIONAL  HEALTH  CENTER 

Our  move  to  a  new  facility  on  Elm  Street  has  resulted 
in  a  steady  increase  in  the  number  of  people  utilizing  our 
services.  The  Center  is  located  in  an  attractive  area  of 
Newmarket,  and  is  easily  accessible  with  ample  parking. 
Patients  enjoy  the  relaxed,  friendly  atmosphere  they  can 
find  at  the  Center.  Utilization  of  medical  clinic  services 
have  increased  38%  over  the  previous  calendar  year. 
Newmarket  represents  over  2,300  medical  visits.  To  meet 
increased  demand  we  have  added  the  services  of  Anne 
Morgan  Fawcett,  a  nurse  practitioner.  Anne  speciaUzes 
in  adult  and  geriatric  care. 

Sarah  Oxnard,  M.D.,  and  Mr.  Michael  Lewis,  R.P.A. 
continue  to  provide  care  as  members  of  the  medical  team. 
The  team  also  includes  a  nurse,  a  Health  Aide,  and  Com- 
munity Health  Workers.  The  nurse  and  Health  Aide  per- 
form laboratory  procedures  and  assist  the  physician  and 
physician  assistant.  Community  Health  Workers  coordi- 
nate preventive  screening  clinics  in  the  community  and 
at  the  center  to  detect  potential  health  hazards,  hold  in- 
formational workshops  open  to  the  public,  and  act  as  a 
liaison  between  the  medical  provider  and  the  patient.  To 
make  an  appointment,  call  the  center  at  659-3106  or  toll- 
free  at  1-800-582-7279. 

The  Senior  Citizen  Transportation  Program  continues 
to  be  popular  with  Newmarket  Senior  Citizens.  Area- 
wide  utilization  has  increased  to  over  20,000  rides  in 
1979,  an  increase  of  5,000  rides  over  the  previous  calen- 
dar year.  Over  3,800  rides  were  provided  to  Newmarket 
seniors.  Regularly  scheduled  bus  service  is  available  for 
transportation  to  medical  and  dental  care,  social  ser- 
vices, food  and  clothes  shopping,  and  day  long  excur- 


103 


sions  to  social  events.  To  find  out  more  about  the  Senior 
Citizen  Transportation  Program,  or  to  £irrange  a  ride  for 
a  senior  citizen,  call  the  progam  at  659-2424  or  1-800- 
582-7279. 

Sincerely, 


ANN  H.  PETERS 

Executive  Director 

Newmarket  Regional  Health  Center 

14  Elm  Street 

Newmarket,  N.H.  03857 


REPORT  OF  THE 
ZONING  BOARD  OF  ADJUSTMENT 

The  Zoning  Board  of  Adjustment  met  eleven  times  in 
1979.  Member  Dennis  Abbott  submitted  his  resignation 
due  to  other  commitments  and  senior  alternate  Harry 
Haley  was  appointed  by  the  Board  of  Selectmen  as  his  re- 
placement. 

During  1979  the  Board  heard  three  appeals  for  vari- 
ances and  the  three  variances  were  granted.  No  re- 
hearings  and  no  denials  were  given  and  no  new  Superior 
Court  cases  entered  into. 

Respectfully  submitted. 


Zoning  Board  of  Adjustment 

Charles  Dearborn,  Chairman 
Jo  Anne  Hauschel,  Secretary 
Arthur  Duquette 
Albert  Marcoux 
Harry  Haley 

104 


REPORT  OF 
MOSQUITO  CONTROL  COMMISSION 

The  Mosquito  Control  Commission  has  the  following 
to  report:  Our  mosquito  program  that  had  been  run  by 
the  Rockingham  County  Mosquito  Project  was  aban- 
doned by  the  County  in  May  of  1979.  Your  local  commis- 
sion picked  up  the  pieces  and  put  a  program  together  in 
June.  As  most  of  you  know,  we  no  sooner  got  underway 
than  the  Pesticide  Control  Board  came  in  and  made  us 
take  notice  of  many  errors  that  were  in  violation  of  State 
and  Federal  regulations.  Unaware  of  many  rules  and 
regulations,  we  continued  through  the  month  of  July  and 
finally  abandoned  the  project  on  July  31,  1979.  Since 
then  we  have  met  with  the  Pesticide  Control  Bosird  and 
the  Extension  Service  at  U.N.H.  Much  time  has  been 
spent  going  to  school  and  attending  seminars.  A  new 
program  for  1980  has  been  submitted  to  meet  the  regula- 
tions of  state  and  federal  agencies.  Throughout  January 
and  February,  1980,  more  seminars  will  be  attended  by 
commission  members  in  hopes  of  providing  a  good, 
sound  program  for  1980. 

Whether  we  continue  in  1980  is  up  to  the  general  public 
when  Town  Meeting  day  arrives  in  March. 

Respectfully  submitted. 


George  Hauschel 
Chairman  and  Supervisor 

Doris  Gilbert 
Clerk 

Sharon  Jackson 
Clerk 


105 


REPORT  OF  THE  HEALTH  OFFICER 

The  general  public  has  become  more  conscientious 
about  health  problems  and  1979  showed  an  increase  in 
the  number  of  cases  that  were  handled. 

Working  with  the  Fire  Chief  and  Building  Inspector 
we  were  able  to  take  care  of  a  number  of  problems  that 
might  have  become  very  serious. 

Many  complaints  came  from  people  who  live  in  or  are 
abutters  to  property  owned  by  absentee  landlords.  Ab- 
sentee landlords  are  not  able  to  fully  control  the  prob- 
lems that  arise  in  or  on  their  property  because  they  either 
don't  see  the  problem  or  really  do  not  care  about  it.  Until 
someone  complains  to  the  Health  Officer  about  a 
problem  many  things  go  un-noticed. 

The  Health  Officer's  job  is  to  enforce  public  health 
laws  and  regulations  which  range  from  health  hazards 
to  nuisance  complaints.  In  order  to  enforce  these  laws 
your  Health  Officer  must  be  made  aware  that  a  problem 
exists. 

COMPLAINTS  HANDLED  IN  1979 

Rubbish   21 

Sewerage  7 

Nuisance   11 

Rats    9 

Child  Abuse  (turned  over  to  Welfare  Officials)    3 

Drainage   5 

Building  closed    1 

Warnings     6 

TOTAL    63 

Keep  your  Health  Officer  informed. 

Respectfully  submitted, 


George  Hauschel 
Health  Officer 

106 


VITAL  STATISTICS 


107 


MARRIAGES 

REGISTERED  IN  THE  TOWN  OF  NEWMARKET,  N.H. 
FOR  THE  YEAR  ENDING  DECEMBER  31,  1979 


Date  of 

Place  of 

Name  and  Surname  of 

Marriage 

IWarriage 

Groom  and  Bride 

January 

1 

Newmarket,  N.H. 

Mark  B.  Smith 
Gloria  F.  White 

8 

Newmarket,  N.H. 

Gary  M.  Davey 
Christina  M.  Longa 

February 

3 

Newmarket,  N.H. 

Keith  H.  Rayeski 
Donna  R.  Dziedzic 

24 

Dover,  N.H. 

Paul  H.  La  Pete 
Diane  T.  Howard 

March 

10 

Newmarket,  N.H. 

Michael  J.  Pohopek 
Deborah  A.  Jabre 

11 

Exeter,  N.H. 

Stephen  J.  Soltish 

17 

Rhonda  L  Richards 

17 

Newmarket,  N.H. 

Keith  Warren  Hagel 
Rebecca  Ann  Huston 

31 

Newmarket,  N.H. 

Steven  H.  Bryant 
Darlene  L.  Dupes 

April 

14 

Lee,  N.H. 

Frank  M.  Toland 
Nancy  E.  Dompier 

14 

Exeter,  N.H. 

Thomas  W.  Caverno 
Lynn  M.  Chantre 

20 

Exeter,  N.H. 

Frank  W.  Bird 
Nancy  Rohr 

21 

Durham,  N.H. 

Jeffrey  R.  Wronski 
Vida  Loudon 

21 

Concord,  N.H. 

Willis  J.  Mailhot 
Theresa  Chapman 

28 

Charlestown,  N.H. 

Daniel  R.  Potter 
Janis  E.  Blowers 

29 

Newmarket,  N.H. 

David  Bruce  Charity 
Patricia  Ann  Irvine 

109 


May 

5  Portsmouth,  N.H. 

5  Newmarket,  N.H. 

12  Rye,  N.H. 

26  Tilton,  N.H. 

26  Newmarket,  N.H. 

26  Durham,  N.H. 

June 

2  Exeter,  N.H. 

9  Newmarket,  N.H. 

16  Dover,  N.H. 

16  Durham,  N.H. 

16  Newmarket,  N.H. 

22  Portsmouth,  N.H. 

23  Newmarket,  N.H. 
23  Newmarket,  N.H. 
30  Freedom,  N.H. 


July 
14       Newmarket,  N.H. 

28       Newmarket,  N.H. 


August 

3  Newfields,  N.H. 

11  Newmarket,  N.H. 

12  Rye,  N.H. 


John  L.  Pearce 
Deborah  L.  Cyr 
Albert  W.  Brown 
Bernadette  I.  Whitehead 
Ronald  J.  Siniscalchi 
Marilyn  R.  Sargent 
Leo  J.  Cournoyer 
Joanne  Drake 
Joseph  N.  Zwearcan 
Cheryl  A.  Jabre 
Kirby  N.  Woodward 
Mylinda  S.  Simmons 


Alan  L.  Greene 
Maryann  E.  Loucks 
Arthur  A.  Plourde 
Marie  E.  Carmichael 
Gary  A.  Stroud 
Rae  Ann  Des  Roches 
Allen  L.  Coble 
Merrill  Ann  Chapman 
Scott  J.  Campbell 
Janice  E.  Bernier 
Stephen  D.  Bennett 
Valerie  M.  Baldyga 
Frederick  0.  Dostie 
Deborah  Smith 
Ivan  P.  Fogarty 
Tammy  A.  Bartlett 
Ernest  A.  Landry,  Jr. 
Sharon  P.  Gagnon 


Kevin  J.  Gushing 
Deidre  C.  Blair 
Raymond  J.  Leblanc 
Melinda  J.  Eaton 


Gregory  J.  Thayer 
Kathleen  A.  Mazur 
Raymond  R.  Hall 
Lora  M  Squires 
James  N.  McMahon 
Rosalie  G.  Nathans 


110 


18  Newmarket,  N.H. 

18  Newmarket,  N.H. 

September 

1  Newmarket,  N.H. 

2  Newmarket,  N.H. 
7  Newfields,  N.H. 
14  Newmarket,  N.H. 
29  Newcastle,  N.H. 

October 

5  Newmarket,  N.H. 

6  Newmarket,  N.H. 
13  Newmarket,  N.H. 
20  No.  Hampton,  N.H. 
20  Newmarket,  N.H. 
27  Newmarket,  N.H. 
27  Newmarket,  N.H. 

November 

9  Newmarket,  N.H. 

10  Newmarket,  N.H. 
17  Newmarket,  N.H. 
24  Concord,  N.H. 
24  Newmarket,  N.H. 


December 

24       Portsmouth,  N.H. 


William  Lee  Parish 
Dorothy  M.  Purcell 
Dennis  S.  Pratte 
Earline  M.  Smas 


Dennis  M.  Paradise 
April  S.  Elliott 
Steven  S.  Slater 
Lori  H.  Jarosz 
Wayne  A.  Terry 
Susan  H.  Bothwell 
Charles  H.  Gonet 
Susan  L.  Kieffer 
Arthur  J.  Feith 
Catherine  M.  McAllister 


Walter  A.  Wheeler,  Jr. 
Linda  L.  Hodge 
Dwight  Ernest  Chick 
Donna-Janne  Hamel 
Michael  C.  Page 
Judith  L  Elliott 
George  F.  Chapman 
Donna  L.  Copp 
Michael  A.  Provost 
Shirley  A.  Maiek 
Walter  H.  Frye,  Sr. 
Pauline  R.  Lizak 
William  F.  Robinson,  Jr. 
Lee  K.  Stevenson 


William  K.  Dawes 
Lorraine  D.  Reeves 
Wayne  S.  Avery 
Shelia  A.  Brooks 
Kevin  T.  Bruce 
Janice  M.  Murray 
Scott  F.  Stanger 
Dawn  W.  Palmer 
Thomas  P.  Hendrickx 
Donna  Marie  Paquette 


Harold  G.  Murphy,  Jr. 
Kathy  A.  Libby 


111 


BIRTHS 

REGISTERED  IN  THE  TOWN  OF  NEWMARKET,  N.H. 
FOR  THE  YEAR  ENDING  DECEMBER  31,  1979 


Date  of 
Birth 

January 
2 

23 
31 

February 
10 

17 
19 

March 
4 
6 
11 
14 
15 
18 
23 


Name  of  Ctiild 


Place  of  Birth 


Megan  Smith 
Morgan  L.  Dobben 
Alexis  Caryn  Collentine 


Christopher  Stephen 

Digiacomo 
Russell  James  Howcroft 
Kale  —  Inoue 


Jason  Matthew  Newcomb 
Norman  Joseph  Losh 
Audra  Magllozzi  Richards 
Michael  Aaron  Hopey 
Garrett  James  Blair 
Joe  Alan  DeRoy,  Jr. 
Daniel  Scott  Lopez 


May 

13       Brent  Willey 
28       Kai  Torsten  Filion 


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


Exeter,  N.H. 

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


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


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


June 
11 
15 
16 
18 
18 
27 

July 
4 
12 
23 
23 
28 


Ryan  Edward  Dossett  Exeter,  N.H. 

Rebecca  Lynn  ArchambeaultExeter,  N.H. 
Michael  Allen  Pelczar  Exeter,  N.H. 
David  James  Woolf  Exeter,  N.H. 

Brian  Jason  Pressman  Exeter,  N.H. 
Zachary  Dennis  Gagnon      Exeter,  N.H. 


Karen  Kelly  Ross  Dover,  N.H. 

lain  Stuart  Barr  Portsmouth,  N.H. 

Thomas  Lyster  Westley  Exeter,  N.H. 

Angela  Marie  Comperchio  Portsmouth,  N.H. 

Chandra  Mae  Welch  Exeter,  N.H. 


112 


August 
6 
11 
17 
24 
25 


Megan  Meadow  Nicolay 
Matthew  Paul  Milliken 
Elicia  Anne  Carmichael 
Zachary  Peter  Stansfield 
Jason  Kenneth  Fox 


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


September 

5        Cory  Robert  Willey  Exeter,  N.H. 

10       Patrick  Marlin  Boyle  Exeter,  N.H. 

29       Robert  Ralph  Burgess,  Jr.  Exeter,  N.H. 

October 

3  Jennifer  Leigh  Bryant  Exeter,  N.H. 
25  Elizabeth  Carolee  Willey  Dover,  N.H. 
29       Michael  Arthur  Loranger  Jr.Exeter,  N.H. 

November 

5       Sean  Christopher  Brock  Exeter,  N.H. 

19       Molly  Anne  Howard  Exeter,  N.H. 

December 

4  Richard  Robert  Edgerly  Exeter,  N.H. 
9  Christine  Lynne  Legault  Dover,  N.H. 
12       Jason  Richard  Homiak  Exeter,  N.H. 


113 


DEATHS 

REGISTERED  IN  THE  TOWN  OF  NEWMARKET,  N.H. 
FOR  THE  YEAR  ENDING  DECEMBER  31,  1979 


Date  of 
Death 

January 

5 
12 
18 
22 
23 
26 

February 
4 
9 
15 
15 
18 

March 
11 

21 


Place  of 
DeatI) 


Place  of 
Burial 


Newmarket,  NH  Unknown 
Newmarket,  NH  Riverside 
Newmarket,  NH  Riverside 
Dover,  NH  Riverside 

Exeter,  NH 
Exeter,  NH  Calvary 


Exeter,  NH 
Brentwood,  NH 
Exeter,  NH 
Exeter,  NH 
Brentwood,  NH 


Exeter,  NH 
Dover,  NH 


Calvary 

Cochituate,  MA 

Calvary 

Calvary 


Calvary 
Calvary 


April 

16     Wasilla,  Alaska  Riverside 
25      Newmarket,  NH  Sanford,  ME 


Name  and  Surname 
of  Deceased 


Marjorie  Telfer  Atherton 
Robert  Claude  Murray 
Chesley  Ralph 
Lila  Blanche  Wagner 
Howard  T.  Fisher 
Raymond  V.  Brisson 


Gerard  Arthue  Moreau 
Harrison  —  Medding 
Donald  M.  Pitman 
Margaret  Ellen  Ryan 
Irma  —  Dauteuil 


Mary  Julia  Portyrata 
Obelia  Marie  Boisvert 


Archie  Joseph  Charest 
Alice  M.  Bastarache 


May 

9 

Exeter,  NH 

Riverside 

14 

Portsmouth, 

NH 

Riverside 

16 

Brentwood, 

NH 

Riverside 

19 

Newmarket, 

NH 

Calvary 

June 

2 

Exeter,  NH 

Calvary 

3 

Newmarket, 

NH 

Calvary 

10 

Derry,  NH 

Calvary 

29 

Fremont,  Nh 

1 

Riverside 

Edna  Rose  Philbrick 
Winnifred  A.  Harding 
Addie  B.  Hayes 
Henry  Herbert  Smas 


Marie  Ange  Gagnon 
Paul  Joseph  Pelletier 
Apolonia  C.  Biskup 
Charles  H.  Stevens 


114 


July 

4 

Exeter,  NH 

Riverside 

Hazel  Abbie  Johnson 

9 

Brentwood,  NH 

Calvary 

Leo  Joseph  Lachance 

12 

Exeter,  NH 

Calvary 

Diana  Blanchette 

13 

Exeter,  NH 

Riverside 

Lola  Pearl  Smith 

17 

Newmarket,  NH 

Calvary 

Louise  Mary  Foster 

26 

Exeter,  NH 

Riverside 

Albert  David  Gilbert 

August 
16      Newmarket,  NH  St.  Marys  New    Charles  R.  Fenton 
Dover,  NH 


October 
15      Manchester,  NH  Calvary 
28      Exeter,  NH  Riverside 


Homes  Joseph  Lemieux 
Florence  Mae  Stevens 


November 

2  Exeter,  NH  Riverside 

3  Exeter,  NH  Riverside 
8       Newmarket,  NH  Riverside 

17  Exeter,  NH  Riverside 

18  Dover,  NH  Calvary 


December 

2       Durham,  NH 
12      Norfolk,  MA 


Newmarket,  NH 
Groveland,  MA 


Robert  Jenellos  Otash 
Frank  Leon  Hill 
Kenneth  Varney 
Antonia  Zuk 
Anna  McGreevey 


Nicholas  George  Popov 
Earle  Harrison  Hoyt 


115 


INTERMENTS 

r 

Date  of 
Death 

Place  of 
Oeatti 

Place  of 
Burial 

Name  and  Surname 
of  Deceased 

January 
21 

Alton,  NH 

Calvary 

Eugene  Louis  Renaud 

February 

19     Cumberland,  RJ 

.  Calvary 

Delima  Blanchette 

March 
1 

Boston,  MA 

Riverside 

Ralph  0.  LaQuerre 

April 
5 

11 
16 
17 

27 

Concord,  NH 
Danvers,  MA 
New  York,  NH 
Springfield,  MA 

Exeter,  NH 

Calvary 
Calvary 
Riverside 
Riverside 

Riverside 

Sally  Twardus 
John  Joseph  Wall 
Guy  T.  Haines 
Agnes  Jean  Davidson 

Mullen 
Frank  Victor  Sharpies 

May 
31 
31 

Brentwood,  NH    Calvary 
Tulsa,  OklahomaCalvary 

Marion  Colby  Valiere 
Larry  John  Dubreuil 

June 
25 

Hialeah,  FL 

Riverside 

Tru  0.  Page 

July 
13 
18 
18 
22 

Manchester,  NH 
Springfield,  MA 
Dover,  NH 
Exeter,  NH 

Calvary 
Calvary 
Calvary 
Riverside 

Alpha  R.  Francoeur 
Robert  A.  Morin 
Marieanna  Labonte 
Maurice  Cottrell 

August 
2 
23 

San  Diego,  CA 
Portland,  ME 

Riverside 
Calvary 

Walter  Haiko 
Chester  Pease 

September 

14      Rochester,  NH 
29      New  York,  NY 

Riverside 
Calvary 

Herbert  H.  Currier,  Sr. 
Lamont  Beaudet 

October 
20 

Exeter,  NH 

Riverside 

Edward  James  Donde 

116 


FIRE  ALARM  BOXES 

NEWMARKET.  NEW  HAMPSHIRE 

To  Report  a  Fire  by  Phone  . . .  Call  659-3334 

Ambulance:  659-2022       Police:  659-3451       Dispatch:  659-3950 


5 

Chapel  St.,  Corner  of  Granite  SL 

51 

Packers  Falls  Rd.  near  the 

7 

Eim  St.  at  Nichols  Ave. 

Sheiton  Res. 

9 

Beech  St.  at  Elm  St. 

53 

Packers  Fail  Rd.  at  Pumping 

12 

Main  St.  at  South  St. 

Station 

15 

River  St. 

57 

Packers  Falls  Rd.  at  Lafayette 

21 

Main  St.  across  from  Town  Hall 

Avenue                              ^ 

121 

Town  Hall 

61 

Lamprey  SL  at  Ham  SL 

25 

Main  St.  at  Central  St. 

62 

Bay  Rd.  near  the  Zick  Rbs; 

125 

Mill  BIdg.  across  from  Box  25  Main  St. 

63 

North  Main  SL  a\p{l{oi6 

32 

Exeter  St.  at  Mt.  Pleasant  St. 

65 

N.  Main  SL  at  the  Bowling  Alley   . 

34 

Exeter  St.  at  Great  Hill  Terrace 

67 

North  Main  SL  at  Town  Line      ! 

35 

Route  108  at  Hersey  Lane 

36 

Route  108  below  Wrights'  Corner 

71 

New  Road 

38 

Great  Hill  Terrace 

171 

Essex  PlanL  Young's  Lane 

41 

Maplecrest 

(off  New  Rd.)                      1 

141 

Rockingham  Gas,  Railroad  St. 

73 

Fire  House  -  Fires  reported       1 

42 

South  Main  St.  at  the  High  School 

by  phone 

142 

High  School 

82 

Main  SL  across  from  Eagles  Hall 

143 

St.  Mary's  School 

182 

Essex  Mfg.  across  from  Box  82.  j 

45 

South  Main  St.  at  Maple  St. 

Main  SL 

49 

S.  Main  St.  at  Durrells'  Corner 

85 

Essex  Plant  Bay  Rd.(Macallens) 

97 

Oak  SL  at  9  Oak  (Great  Hill 
Estates) 

• 

2    All  Out  Signal 

2 

Blasts  at  12:30  p.m.  Daily  Test 

222    Fire  Dept.  Station  Call 

2 

Blasts  at  9:00  p.m.  Daily  Test 

2-2-2    Engineers' Call  Fire  Radio  Freq.  154.190 

4-4-4-4    Civil  Defense  Call  Town  Radio  Freq.  155.085 

FIRE  DEPARTMENT  OFFICIALS 

Captain   CHARLES  CLARK  JR.         Head  Steward   BRIAN  BEERS 

Lieutenant  RICHARD  HOMIAK        Company  Clerk  JOHN  WILLEY 

Lieutenant  RICHARD  KELLER         Fire  Alarm  SupL  . . .  LAWRENCE  YEATON