LEGAL NOTICE OF SCHOOL MEETING Notice Is hereby given lo the legal voters of Glide school district Ko. 12 of Douglas County, State of Oregon, that a SCHOOL MEETING of the said district will be held at Administration Bldg. on the 10th day of April, 1961, at 8 o'clock p.m., for the purpose of discussing the budget for the fiscal year beginning July 1, 1961, and ending June 3U, 1962, hereinafter set forth. Schedule I BUDGET FISCAL Summary of Estimated Expenditures, Receipts and YEAR 1961-62 Available Cash Balances, and Tax Levies A. I Estimation of Tax Ltvy (t) Total All Fundi (1) Bond ; : tnlfflil .no Gcnaral. todtmption I Fund Fund Icnool Lunch Fund Tooehorago Fund LEGAL Evpondilurtt tor Two Ftical Yaori Nsat Pracadlne tha Currant School Vaar Fiscal" Yaar i Flical Voir Ending Ending Juno N. UJ I Jum St. Il 111 (1) udgat Allowance Currant Fltcal Yaar () Ham . Ml (!) 1. a. Total Estimated Expenditures b. Total Reserved for Expenditure in Future Years c. Total Estimated Expenditures anil Reserve DEDUCT: 2. Total Estimated Receipts and Available Cash Balances 256,695 3. Amount Necessary to Balance the Budget 441 ,777 ADD: 4. Estimated Amount of Taxes That Will Not be Collected 695,652 592.162 ) 72.515 J0,425 630 2,820 698,472 592,162 72,515 31,105 J22.900 369.262" 31,105 550 2.140 2,690 2.690 300.00 670.41 750.00 (300.00 470.41 750.00 10,000.00 59U20J7 581,452.00 439,082.04 Schedule IV PAYMENTS TO OTHER SCHOOL DISTRICTS 14U0 Series -1461 To Other Districts in State 1461.1 Tuition Total Payments to ether School Districts EMERGENCY . . TOTAL GENERAL FUND EXPENDITURES tstimattd Eipenditurts Ensuing Fiscal Year til 750.00 "750.00 10.ouo.oo "592,142.00 ESTIMATED Bond Interest and Redemption Fund RECEIPTS AND BEGINNING CASH 72,515 During the Fiscal Year for Which This Budget Is Made Including Estimated Rebate on taxes 5 Total EstTnTated Tax LeviesTor Ensuing Fiscal Year 6. Analysis of Estimated Tax Levies: (a) Amountlnside 6 per cent Limitation (bj Amount Outside 6 per cent Limitation ( c ) Not-Sub ject tq 6 per cent Li mitation B. Cash Working Fund (Schedule VI D) $ 60.000.00 21,650 21,630 463,427 390,912 72,515 23,129 23,129 367,783 72,515 367,783 72,515 C. INDEBTEDNESS 1. Amount of bonded in debtedness (Include all negotiable interest bearing warrants is sued under ORS 328. 203) 5110,000 4 Total indebtedness (sum of items 12, 3) S110.000 Approved by Budget Committee Approved March 1, 1961 Signed: DONALD J BROWN Secretary, Budget Committee S. E. Comfort Chairman, Budget Committee Posted March 22, 1961 Signed: Marybelle Beckley District Clerk Schedule II AND GENERAL FUND ESTIMATED RECEIPTS BEGINNING CASH BALANCE July 1, 1961 to June 30, 1962 Actual. Receipts tor Two Fiscal. Years Next Preceding Current SchoolYear . "Fiscal Year Ending June 30, 1IS (1) Fiscal Year Ending June 30, I'M Budget Allowance current Fiscal Year ()) Estimated Receipts Ensuing Fiscal Year IS) BALANCE July 1, 1901 to June 30. 1962 Fiscal Year Ending June 30, HI' 01 84,632.32 3,987.68 "88,420.00" Jeluel Budget r Fiscal Year Allowance Ending Current if June 30, lteo Fiscal Year (II (Jl Estimated Expenditures Ensuing Fiscal Year (SI 79,941.25 25.28 2,982.50 82,949.03" 2.063.28 2,045.28 Total Receipts Revenue Beginning Net Cash Balanc9(orreticiO Total Budget Resources 78.000.00 7,637.50 85,437.50 Schedule V 75,000.00 5,883.75 80,883.75 70.000.00 4.080.00 74,080.00"" ESTIMATED EXPENDITURES ' 1381.1 Principal" on Bonds (Include negoiiable interest bearing warrants issued under ORS 328.260) . 70,000.00 1382 Interest on Bonds. - 2.515.00 Total Expenditures" 72,515.00 j Wed., Mor. 22, 1961 The News-Review, Roseburg, Ore. 9" Amendment Seen Threat To Health SALEM (AIM A Senate amend- j sive action does not truly present nieiit tu the Senate-passed water j the will of Oregon's citizens, par pollution bill hamstrings the San-'licnlarly in view of the well-known itary Authority and is a serious and obvious waste problems in Ihreat to the public health andlvolving the pollution of our welfare." Dr. Carl Holm, president streams, lakes, beaches and su of the state Board of Health, said hurban areas." this week ,'... i' He said outbreaks of infectious He said the amendment allows hepatitis, a disabling liver dis pollution violators to . escape cor-! casc are threatened by pollutea rection by declaring that pollution waler coturoi mei-ions were not lecnm- cally practicable or economically leasmie. A Senate minority, headed by Sen. Robert W. Straub, D-Eugenc, i fought-the amendment last week, I but the Senate accepted it. Dr. Holm said: "It is apparent that some of our state legislators have been un wisely counseled by the City of Portland and other special interest groups, placing the public health in jeopardy. "I am certain that this regres- School Lunch Fund ESTIMATED RECEIPTS AND BEGINNING CASH Don't Neglect Slipping FALSE TEETH Do false teeth drop, slip or wot)bI when you talk, eat, laugh or sneeze? Don't be annoveel and enihfirrasaed nv mich handicaps. FASTKETH. an ttlkiillne (non-acid) powder to sprin kle (in cnif plates, keeps fitlae teeth more firmly set. Gives confident feel in? of security and added comfort. No ftunimy, gooey , panty taste or feel Ins. Oct- FA3TEETH today at Hi tiug couuiw. BALANCE Actual i 'Fiscal Yaar Fiscal Yaar incting I Ending Juna M. Kit Jon. u. IIM (II 1 CI I 3,743.49 23,581.38 2,620.19 18,316.02 118.98 tt55.19 1,431.53 "22,486.72" 115.02 27,43?.89 l",227.00 28,664.89 Budget I Allowanct Currant Fiscal Yaar 111 I 3,875.00" 23,000.00 2,020.00 125.00 29,020.00 1,227.00 Itam (41 38 Federal Money Received through Slate 77 Sale of Lunches .70 Transfer from Gen. Fund 71 Federal Money Spec. Milk Toketee Total Receipts Begbining Net Cash Balance (or Total Budget Rosourcos Deficit) 297,835.19 12,347.62 ' 434.03 10,122.64 79,300.37 23,453.97 297,856.35 11,661.89 60.20 12,600.00 11,549.81 37,340.00 83.406.64 8,326.14 17,990.88 ' . 7-.446.S2 90,785.36 -745.38 1,116.25 '10,719.65 100,717.59 . .9(15.52 1,266.22 110.000.00 900.00 2.000.00 1.575.00 12,967. 15 ""L628.54 ' 18,814.78 " 12,000.00 . 186.57 6.876.95 : 945.48 552,003.45 709.95 8,445.20 560.32 573,177.71 8,000.00 700.00 185,115.00 90.000.00 "275,115.00 Schedule III 10. REVENUE FROM LOCAL SOURCES 11.1 District Tax received in year levied 11.2 District Tax Prior Years' Levies 14.0 Other Alisc. 20. REVENUE FROM INTERMEDIATE SOURCES 21.0 County School Fund 22.0 Rural School District , , 22.1 Apportionment 22.2 Prior Years' Levies (Rural) : 29. . Land Sales . 30. REVENUE FROM OR THROUGH STATE SOURCES 31.0 Basic School Support Fund (a) Off-set Against Tax Levy (b) Other Basic School Fund Receipts 32.0 Common (Irreducible) School Fund 33.1 Vocational Education . Regular Program 39. Other' (NDEA) 40. REVENUE DIRECT FROM FEDERAL SOURCES 41.0 Public Law 874 49. U.S.Forest-Timber Sales ' 14.4O0.O0 70. SALE OF PROPERTYAND INSURANCE ADJUSTMENTS"" 80.90. RECEIPTS FROM OTHER SCHOOL DISTRICTS (a) Tuition 90. Transfer from Lunch Fund MOu.OQ 91. Transfer "Teacherage-Student Body" 700.00 TOTAL RECEIPTS 187,400.00 BEGINNING NET CASH BALANCE (or DEFICIT) LESSCASH WORKING FUND 35.000.00 TOTAL BUDGET RESOURCES GENERAL FUND 221,900.00 GENERAL FUND " ESTIMATED EXPENDITURES . July 1, 1961 to June 30, 1962 12,600.00 36,300.00 110,000.00 . 900.00 5,000.00 eitpirnalturcV'lor Two Fiscal Yaarsi Next Preceding ins current scnooi Year ""Fiscal Year Ending June 30, Hit 8.900.00 3,300.00 2,500.00 1,681.27 312.57 313.00 300.00 30.00 535JK) "17,871 .84 Fiscal Year Ending Junt 30, 1(60 Budget Allowance ' Current -Fiscal Year 11) (4) Estimated Expenditures Ensuing Fiscal Year (51 9.425.00 3,600.00 2,805.00 1,147.40 359.26 310.97 30.00 632.93 18,340.56 ADMINISTRATION 100 Series 110 Salaries 9.500.00 HI Superintendent's Office 4.000.00 112 Office of Business Administration 3,100.00 114 Secretary 900.00 120 Supplies 400.00 141 Elections and Publicity 400.00 142 Census Enumeration 500.00 143 Legal Service 100.00 144 Audit . 650.00 190 Other Expenses of Administration T9,550.00 Total Administration Expenses 6,876.95 13,893.13 35.05 335.61 118.98 21,259.72 1,227.00 22,486.72 8.445.20 18,904.04 112.44 276.88 126.72 J7.865.2B 801.61" 28,666:89 30,247.00 30,247.00 'ESTIMATED JSXPENDn'l'H ESANDR ESE R VE "lo.020.00. "910- Salaries" T 18,702.00 921 Food 50.00 922 Supplies 150.00 935 Replacement of Equipment 125.00 999 TransferJo Toketee 29,047.00 Total Estimated Expenditures 1,200.00 Reserved for Expenditure in Future Years Total Expenditures and Reserve Estimated For Ensuing Fiscal Year (SI 3.480.00 24,980.00 2,020.00 125.00 30,605.0O 500.00 31,105.00 9,000.00 21,000.00 ioo.oo 200.00 125.00 "30,425.00 680.00 31,105.00 Schedule VI Cash Working Fund Cash Balanee inCashWorkingFund During Current FiscalYear 4,339.00 ADD : Transfer from Unexpended Balance of Gcneral Fund as Authorized by ORS 294.348 i3,66l.0(i" Balance in Cash Working Fund for Ensuing FiscalYear 6,0,000.00 TEACHERAGE FUND , Schedule VIII ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE . '" I Budget Fiscal Year Fiscal Year Allowance Ending Ending I current June 30, Hit June 30, 1H0 ! Fiscal Yaar (31 (II 997.50 997.50 2.424.81 3,422.31" (II 1,030.00 1,030.00 3,062.98 "4,092.98" Item 28.96 330.37 059.33 3.062.98 "3,422.31" 30.49 993.61 1.024.13 3.068.45 "4,092.98 1,370.00 1. 1,370.00 3,100.00 4,470.00 ESTIMATED 50.00 1. 4,420.00 2. ' 4,4,0.00 4,470.00 Rent Total Receipts Beginning Net Cash Balance (or Deficit) Total Budget Resources . . EXPENDITURES AND RESERVE Taxes Maintenance and Repair Total Estimated Expenditures Reserved Jor Expenditure in Future Years Total Expenditures end Reserve I lignnmi. i ''n III ?a ill il rtHii'fT Tif-h 13t, VST1 Don't Buy A Water Heater 'Til You Check Our Prices! A BIG 52-GALLON Quick-Recovery HEATER FOR LESS Than You Pay For A 30-Gal! With still another : i SAVING!! Spectre Of Giant Pushbutton Machines Troubles Many U S. Clerical Workers x0,150.00 4,200.00 3,100.00 900.00 400.00 500.00 100.00 850.00 20,200.00 25,200.00 206,453.42 2,664.85 6,314.00 3,043.80 1,311.13 675.50 245,662.70" 27,800.00 245,585.30 - 3.415.00 ' 6,078.03 5,104.21 1. 003.93 1,652.09 290,638.56" INSTRUCTION 200 Series 210 Salaries 29.500.00 2)1 Principals 271,000.00 213 Teachers ' 4.250.00 215 Secretarial and Clerical Assistants 7.824.00 220 Teaching Supplies 6.307.00 226 Textbooks 2.853.00 227 Library Books, Periodicals, Audiovisual 1.653.00 290 Other Expense of Instruction 323,387.00 Total Aids Expense of Instruction ATTENDANCE AND HEALTH SERVICES . 31,700.00 293,250.00 4.900.00 8.045.00 6,780.00 3,410.00 2.490.00 "350,575.00 333.50 104.66 438.16" 16.938.00 10,251.39 1,551.14 3,489.30 692.70 "32,922.53 307.50 158.71 466.21 400 Health Services 390.00 420 Supplies 390.00 Total Attendance and 300-400 Series Health Services 478.00 478.00 18.1C8.40 11.844.71 1,791.76 3,050.31 777.95 22,714.00 13,000.00 2,200.00 960.00 1,500.00 35,633.13 40,404.00 PUPIL TRANSPORTATION SERVICES 500 Series . 510 Salaries 520 Supplies and Repairs 552 Transportation Insurance 565 Payments in lieu of Transportation 566 Trans, other than Homelo School Total Pupil Transportation Services 21,700.00 12,250.00 2,200.00 960.00 1,500.00 "38,610.00 23.533.00 1.812.07 2.950.62 10.162.04 1.151.15 "39,608.88 23.891.90 2,681.76 4,720.38 12,415.92 1.453.81 45.163.77 OPERATION OF PLANT 600 Series 27.130.00 610 Salaries 4.000.00 620 Supplies 5,500.00 628 Fuel for Heat 12,050.00 630 Utilities except Fuel 1,700.00 640 Other Exp.ofOperation 50,380.00 Total Operation of Plant 27,130.00 4,000.00 5,500.00 13,550.00 1,800.00 51,980.00 7.238.92 4.449.84 "11,688.76" 17.826.33 8.565.75 "26,392.08" 7.534.91 5.630.79 13,165.70" 21,995.53 9,635.33 "31,630.86" MAINTENANCE OF PLANT 700 Series 710 Salaries 10,333.00 720 Materials and Supplies 7.373.00 735 Replacement of Equipmcnt 17,706.00 Total Maintenance of Plant 5.800 00 4,892.00 9.116.00 "19,808.00 6.876 95 8,143.20 6,876.95 600.00 367.00 967.00 8,445.50 FIXED CHARGES 800 Series 22.200 00 8.11 Retirement and Social Security Expense 9,869.00 852 Insurance 400.00 855 Interest on Current Loans J2,469.00 total Fixed Charges FOOD SERVICES AND STUDENT-BODY ACTIVITIES" 9O010O0 Scries 900 Food Services 8.000.00 910 Salaries Transfer from Lunch Fund 2.020.00 966 Tocovcrlunchdeficit 10,020.00 Total Food Services and Student-Body Activities COMMUNITY SERVICES 1100 Series 1110 Salaries 1111 Community Recreational Activities 1120 Supplies and Other Expense 1121 Community Recreational Activities Total 24,230 00 7,147.00 400.00 "31,797.00 8.000 00 2.020.00 "10,020.00 Community Services CAPITAL OUTLAY" 1200 Scries 2.177.06 2.449 61 4.891.00 1227 Library Books 5.8.1100 1272 Sites and Site Additions 16.0H0.00 693 12 1 220 37 1 815 00 1273 Improvement to Sites 6,045.00 16.977,1.1 lin.017.30 47,000 00 1276 New Buildings and Additions 1.237 10 2.161 72 9.VI 00 1277 Remodeling 2.037 00 T.Bril 64 23.45S T4 '13.736.00 1278 Equipment 2(1,991.00 18.305.68 7.850 00 8,000.00 1240 New Buses 7,000.00 9.093 41 1250 Other Capital Outlays 56,353.16 T47,165.77 76,396.00 TotalCapital Outlays 57,944.00 By SAM DAWSON AP Business News Analyst NEW YORK (AP)-The specter of giant pushbutton machines crowding people out of the na tion's offices is troubling tha dreams of many men and women clerical workers. One congressman predicts ma chines will do away with four mil lion office jobs within five years. He is Kep. Elmer J. Holland, D Pa., member of a Pittsburgh Steelworkers Union. Not so. say the makers of the complex office gadgets. Despite its first disturbing impact, mech anization always has meant more jobs in tho long run. The ranks of white collar work ers have swelled by 28 per cent in the last 10 years. As for cleri cal workers alone, the Depart ment of Commerce puis their number at 9,798.000 in 1960, up 1,431,000 since 1955. This growth has continued even while many of their blue collar cousins have been losing their jobs with the mechanized factory getting some of the blame. But the electronic revolution is spreading fast in the office. And when the big data processing ma chines come in, some ions go out. That's what some white collar workers are seeing and others fearing. The things lliey fear will be on concentrated display next month at the business equipment exposi tion in the New York Coliseum. Three and a half acres will be crowded with all the tools of of fice mechanization the basic typewriters and adding machines, the by-now familiar tabulating and punched paper tape equip ment, and the latest full-scale electronic data processing sys tems. What will further inroads of these machines do to clerical jobs? Some will he eliminated, just as the advent of the typewriter doomed the worker whose clear handwriting was used for all busi ness correspondence. But a whole new sot of jobs sprang up typist, plant production worker, sales man and, of course, serviceman. A bigger impact on business growth in general was that the speeding up of correspondence made companies able lo handle grpater business volume. And this generated new jobs. 'the electronic computers im part on business today is not too different, relatively speaking, from that of the typewriter years aao. says Joseph . Barker. This former dean of the Colum bia University faculty of engineer ing is now executive vice presi dent of the Office Equipment Manufacturers Institute, sponsors of the upcoming exposition. "Both eliminated some job cate gories. Both opened up new ones. Both were created to solc a fundamental business problem," he said. Barker admits that mechaniza. linn has co.-t office jobs in the l,nt five years. But he says thai while unemployment among the clerical labor force has risen 12 per cent, the total employed is up 17 per cent. This is because new jobs have opened up much shelved. So when it comes lo eliminating faster than old ones have jobs, Barker insists it's: been! "Job categories, yes people, , m Estimated lor f( Ensuing Fiscal Year it - ? 1,690.00 i', 1,690.00 1,000.00 2,690.00 S I y). I . 50.00 ; 500.00 550.00 i 2,140.00 V I i r . ' j; '(): $15 M CAL-ORE BONUS FOR YOUR TRADE-IN ACT NOW! SUPPLY OF THESE HEATERS IS LIMITED! 630-648-6S8 S. E. Rose 63S S. E. Stephens Phone OR 2-1616 Home-Owned end Operated k.' modern living demands truly modern home heating; the most modern heat of all is electric heat ! Electric heat is clean ... flameless, smokeless," odorless .... clean as electric light! , Electric heat is automatic ... no fiddling with a furnace, no watching fuel level . . . comes on automatically when temperature - says you" need It! - Electric heat is safe . . . and electric heating systems are least expensive to install of all modern systems! Investigate cost of installation, cost of operation today. heat -on -time 'oil car) imiail t mod'rn eA-' lrc tystrm (vf your ehokt) "' pay Llrr! nothing down anj i hit'e as $10 00 a month will put llie niosf moJ'.rn of htalii'i ty'lemi in your linm. Vor dclaih, tail your favorite C.i' Or l.'.nlrxal I.-:i(uf limting or n:'r:'n( cntr;i:Ur. ,1, ' 7- I 4e i- , ; k i'''V f-v