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About The Cottage Grove sentinel. (Cottage Grove, Lane County, Oregon) 1922-current | View Entire Issue (July 22, 1948)
MOSBY CREEK Falla visited three days at the( Mr. and Mrs. Lawrence David It would I m - well worth anyone'll home of Fred (Tverton. son have installed an 18 cubic F rod Overton had a nice aur- toot deep freeze at their home at time to drive 5 mile, out Moaby (T«-«-k and ace the beautiful blue prise Tuesday evening by the visit Blue Mountain field of flux that tie long, to Burt of a cousin he hadn't seen for 3(J At the annual school meeting r ipliimec I .......... —........ g», « grati» U im I adop cisrenea Taylor of Iowa Johnston. at the Blue Mountain school, Jim '»f < ullage Grove, Lane County, On-gon, for ili Mrs. Taylor was with him anti Mr. and Mrs Normun Myer, Bostick was elected director to and daughter Terry of Delight also his mother Mrs. Rose Swartz serve 3 years and Mrs. Millie >f Midfo'd. Rotiy was appointed as clerk for •f Hl. I'iiv Al «-O •s‘li|'<hile VI. Ntati-rnrnt of I mhk L outstand Ing The outstanding indebtedness Valley and Mra. Irene Bennett of Bonzana, (Jregon were caller. Fred Heyne of Portland visited the coming year. Sunday at the Ci^f Green home ov.-r the week end at the home Mr. and Mrs. Loren Myers have Mr. and Mrs. Phillip Herahey of his brother Casey Heyne of moved from their home on the hill or‘t»xy|e;ie'HwH'l ^hXrd^ f” any and three children of Klamath - ,a ‘ n ' to a small cabin on the Bert Xt thereof * ‘ ln °f °r "“W PFoposeJ tax levy or tax levies or any Notice of 1948-49 Budget Meeting A. W HELLIWELL, Chairman Budget Committee $ MAYOR If. A. HAGEN CLINTON B IX'UMPAUGH FRED ANDERSON NORMAN RICHARDS JOHN A. LONG FAYE H STEWART WARREN HANSEN DAMON SCOTT, secretary Budget Committee MAX BIRD WILLIAM THUM wilbur W orkman frank dolfman JESSE LANSING, SR. „ , ai !”J °, All Funda Street Fund Genera! Fund Bond & Sewer Warrant Emergency Fund Int. Fund Fund Library Fund $88.043.12 $46,329 00 $27.423.00 $ 4.425.00 $ 1,716.12 $ 6,650.00 $ 1,000.00 $ IUIH 4» Park Fund 500.00 LJthvr than ÍVM» 40 Taxe» Total of Ail Funds General Fund Street Fumi Sewer Fund Total Estimated Exp«-nditurrs . 571,135 88 543,879 00 516,125.00 5 4,825.00 5 1,806 88 5 3,000.00 5 1,000.00 5 Total Estimated Amounts Reserved for um » after 6-30-48 Total Estimated $11.15345 *Ï8,ÎÂÔÔ $ 1,500.00 $ 145OOOO 560.82 474 38 $ 2.060S2 $ 1.974.38 $ 1,500 00 393 12 $1.893 12 $ 177 50 m2 <1 ’ ’ ifSSS X j S 402 20 $ 500.00 r^Tr’Eiit R^íuts^1'1^ »3,879 00 $16,125 00 $ 4,825.00 $ 1.806 88 $ 3.000.00 $ 1,000.00 $ 89 06 Tz »j 7 $ 102 50 I »47-4» $ 500.00 74 15 3,091 50 215 25 144 76 542.25 2,207 01 50.00 17 dL749931 500.(X) 5 500.00 7593 7.50 3.670.48 33.03 $ $28.519 88 $11,879.00 $ 5.55S00 $ 4,775.00 $ 1,80688 $ 3,000.00 $ 1.000 00 $ »°-190 47 » 4,036.22 $ 3.190.33 $ 1.806 88 $ $ 6,990 48 $ 1.68853 $ 1.522.78 $ 1.584 67 st WEDULE III 8-1 (X) 167.90 84 00 65.00 Concrete Products Cecil C. Wooley ^fe^Ä“Oeep-Heet” Cooker is DIFFERENT because it has $ 6,650.00 SIDE ■w Library Fund $ Park Fund 11 31 1 75 3,944.28 600 5 3,963 34 318,874 61 $ 1,100.00 12,000 00 800.00 100.00 1,000.00 1,000.00 60 .00 2,440.00 6,840.50 395.50 108.45 620 25 545.19 45.00 1,07675 48 00 38 80 510,7^73~5»l5ññm 743 5 10.00 5 266 75 79.50 30.00 $ 5,393.68 $ 5 $ ! 299 8.00 8.00 10,500.00 50 00 10.74 510.566OÒ 7.75 $ , 15.00 $ 45.25 $ $ 15 00 $ 45 25 5 500.00 47.50 379 87 37 $ $ 16 50 2000 36.50 $ $ 1,000.00 Park Maintenance $ 500.00 Mountain States Power Company $ 1400.00 Finp« .............................................. 13,000.00 Building Permits .... 800.00 Miscellaneous & Gas Refund 200.00 Licenses ....................... 1.200.00 Liquor Commission ........... 1,075.00 Beer Applications ...... 50.00 Pin Ball & Punch Boards Parking Stickers ................ 50.00 Electrical & Plumbing Permits 100.00 Parking Meter Collections .. 6.(XX).(X) South Lane Fire District 3,125.00 527,000.00 $ I magine yourself sitting INSIDE a circle of hot radiators! You’d soon feel pretty well “cooked.” But if you sat IXJWN on a radiator, the application of heat would be decidedly con centrated. The same principle applies to Mon arch’s exclusive side heat cooker. Monarch’s side heat actually “wraps” the heat around the food - speeds cooking - tenderizes more thoroughly — and bakes rather than stews. No need to stir — foods do not stick to bottom! Street Fund Road Tax, Lane County ..... Curb Cut Permits ................... State Highway Street Fund Miscellaneous & Gas Refund Roller Rent ...... ................. 800 8.00 . 11,000.00 50.00 .$ $11,066.00 Sewer Fund 50.00 Sewer Tap ............. _______ Sewer Assessment 50.00 $ 50.00 No receipts except from taxes 50000 689 00 $ 1,219.00 $ 397.50 $ 2,311.00 $—219.00 $ 102.50 IJbrary Fund No receipts except from taxes Park I on.I No receipts except from taxes Sru er sinking Eund No receipts except from taxes Bond and Warrant Interest Fund EXPENDITURES Actual for fiscal year July 1.1945 to Jun«- 30/46 $ Myers place. They expect to build ents are in Roacbuig looking for a home there soon. a place to move to. Mrs. Fanny Patten is helping Try a Sentinel Wanted. to take cate of her new grand daughter Juiee Sorenson at the Vernon Sorenson home at Hebron. The guests of Mr. and Mrs Geo. Woodworth, who have been visiting there for three weeks, left Monday morning. They were Building Hloeka. nil «lira; Pier Mr. and Mrs. Wilbur Wood, par UI< h 8»; ( hinitwy Rlo«*ka : eta. ents of Mrs. Woodworth, and their Waterproofing. daughter Mrs. Helen Cole and Nancy all of San Pedro. Calif. Mr. and Mru. Walter Gilkison and son Denny of Cottage Grove were callers Sunday at the Dal«- East Main Strne« Blackmrjre home. Denny stayed 46tfc for a week s visit while his par-1 Emergency I'und TAX LEVIES Inside 6% Umi- Utside6% Limi- " $ y 1,716.12 General Withdrawals To Library Board 500.00 Th.- Mentine». < Iittage Grove, Gregoh $1500 00 Emergen« .V Fund $ 1.000.00 Tot» I !z-vy Ne«*d<>d Actual for fiwal vear July 1.1944 to Jun«» 30/45 ,n,,-rr«‘ F>»"d Payment ........... General Fund 5 1.010 51 $ 1.318 86 10.865.50 1,580.00 343.89 1.609.65 1.754.63 55. (X) 1.282.75 6100 Park Fund 1947-48 taxes that will not be Rec'd 6-30-48 '-<‘on 9cner*} 5000 Amount N«xx*asary to Add”j^P,Amount of’28’51988 ’’’'tf7900 « «458.00 $ 4.775.00 $ 1,806.88 $ 3,000.00 $ 1.000.00 $ I Maintenance and Repair 3000 00 I^abor 3.000.00 Engineering and Supervision 2,000.00 Sweeping 3,000.00 Dump Ground 600 00 Cleanup • 100 00 Water for Flushing Freight and Cartage ..... 100 (X) Equipment 150 00 Equipment. Maintenance & Repair 1,500.00 Bridge Maintenance ........................... 3ÍXJ.00 Bridge Ijrbor . ................... 300.00 Miscellaneous 25.00 Sinking Fund for Equipment 5,(XX).(X) New Construction . 4,(XXJ.(X) Pension Fund 210.00 CITY MANAGER Salary ............... Accident Insurance 138.00 STREET LIGHTING Electricity .................................. . 3,000.00 Maintenance ........ 1.000.00 $27,423.00 |»|» RECEIPTS $ 1,248 54 1,818.25 97 50 113 50 270 25 1,784 62 70 <X) . « 3,000,00 4 $ 1.000.00 475.74 $ $ 1,063.35 397.50 5 3.796 94 $42.616 fM) $32.000.00 $10,566.00 $ $ SCHEDULE IV Expenditures (Mh«»r than 1947 18 TnXM $ 2.500 00 $ 1,203.72 500.00 --------------- ~ 1,000.00 $13,345 (X) M BEDI I.F II Bond A War. Int. Emergency Library Fund Fund Fund 435.99 54 08 314 31 353 58 461 20 21.80 $_5.188X7 • 1 103-66-8 1,017.13 Nt MMARY OF ESTIMATED EXPENDITUBEN. REC FIFTH AND TAX LEVIES FISC AL YEAR 591 90 45.51 $ 1.000 00 2,5(X).(X) 1,5(X)(XJ 1,500 00 150.00 100.00 50000 50.00 100.00 1,500.00 250.00 250.00 25 00 500.00 5,000 00 200.00 --------------- ------------------------- ------------- - —____________________ 19-18-49 Taxes that will not I m - rec'd 6-30-49 Total l.evy Needed for 19-18 49 $18,027 12 $ 7,429 (X) $16^57.00 $ 4,379.00 $ 1,716.12 $ 6,650.00 $ 1,000.00 $ TAX LEVIES: Inside 6% Umi- tut ion 321.43R.65 510,190 47 $ 4,036.22 $ 3,190.34 $ 1,716 12 $ 689.00 $ 1,219 00 $ OutMlde 6% Limi tation ............. 516.5RK.47 2,761.47 512.320 78 5 1,18-166 $ 5,96 LOO $ 219 00 $ Street Fund $ 3.210 09 3.579 59 360(X) 650 10 75.00 500.00 12^Mi $50.0161X1 $38,900,00 $16,357.(XJ $ 50 00 'Amount Necessary to Balance Add.’ E m L Amount .Z™'"27 12 ’ 7«429 00 »«457 00 $ 4.375.(X) $ 1,71612 $ 6,650.00 $ 1,000 00 $ $ i.ooo.oo 2,500 00 720 00 1,500.00 150.00 100.00 500 (X) 50 (X) 100.00 5(X)(XJ 250.00 25O.(X) 25.ÍX) 500 00 5,000.(X) 200.00 929 30 360 90 1,500.00 150.00 188 80 500.00 45 74 28,65 56.98 91 74 186 97 26.00 6 25 271 72 99 40 1,50 lot.il E-,1 invitili EX|M-nditurvs and íh-dúct * Est. R«•<vlpts88’,,’,’^,2 »’K3,32900 «27-4^3 00 $ 4,425.00 $.1,716.12 $ 6,650.00 $ l.(XXHX) $ 1947-48 Tnx Levy Calculation $ 1,124 71 9 88 4» 08 MCUKDUEE I NUMMARY OF ESTIMATED EXPENDITimES, RK( KIPTS AND TAX EEVIEN FISC Al. YEAR 194» 49 Tax H-vy Calculation Total Estimated Expenditures Total Exlinuited Amounts Reserved for use after 6-30-49 484.07 M/D 21 36000 1,410 00 150.00 5 25 500.00 Thum., July Actual for July 1/47 to June 30/48 fiscal year July 1, 1946 ’ Actual for Budget for Io first six year June 30/47 mont lis $ 84.00 150.00 Estimate for Fiscal Year SCHEDULE V July 1.1948 to June 30, 1949 Actual for Actual for Approved by fiscal year fiscal year FUND AND CLASSIFICATION Budget July 1.1944 July 1.19-15 to Committee to June 30/45 June 30/46 General Fund No receipts except from taxes WATER DEPARTM ENT- EXPENDITURES Actual for July 1/47 to June 30/48 fiscal year July 1, 1946 Actual for Budget for to first six year June 30/47 months Estimate for Fiscal Year July 1,1948 to June 30.1949 Approved by FUND AND CLASSIFICATION Budget Committee Water Fund Salary, Mayor, Council . ........... $ 8-1.00 $ 2.699 63 $13.684.51 $ 2.500 00 $ 2.202.58 $ 2,500.00 Pipe, Material & Supplies ......... Budget, Audit Expense 250.00 $ 5.000.00 514.60 346.64 2(X).00 669.38 1,500 00 Meters and Parts ........................... LEGAL DEPARTMENT . 2,500.00 210 00 40.08 240 00 28 66 360 00 50 <X) 'OO.OO (KM) 00 300 00 Equipment and Tools ...... Salary, City Attorney .......................... 600 00 500.00 224 72 21.00 219 58 1001)0 200.00 1Q040 Office Expense 63.94 500.00 Freight and Cartage ................... 100.00 500 00 50.00 50(10 50.00 50.00 loo (Xi Audit Expense HEALTH DEPARTMENT 100.00 50.00 1,500.00 120.00 1.620.00 170(10 1.782.00 fwtOO 1.200 00 2.4OO.00 Salary. Water Cbllector ...... . 180.(10 Salary, Health Officer ..................... 180 00 2,700.00 50 00 17.25 50.00 ,^HX) 94.75 50.00 50.00 37.80 50.00 Advertising and Printing ......... Fountain Rent 100.00 154 85 147 78 200.00 100 48 200.00 Postage and Billing ....................... POLICE DEPARTMENT 200.00 2,121 XI 13*? 7 n 2.400 00 2,640 (X) 1.045 54 200.00 1.875.00 81.53 3 500 00 3,600 00 Chlorine and Equipment ....... ..... Salary, Chief of Police 4.2OOOO 500.00 2.876 INI 10,000.00 4.374 44 9.000 00 4.62000 5,000.00 5.430 54 5 (XX) 00 lO.MNiOO Bond Payment .......................... 1™ Salary (3> Patrolmen it 3,000.00 ea 9.IXMHXI . 2.500.00 MQ.1S 1.412.50 1,155 00 968.75 412.50 261 00 196 89 6.393.77 500.00 Bona Interest .................................. ' Salary, Special Police 2.950 (X) * . 8.462.51 1,200.00 2.059(10 4,160.00 2.155.00 6,(MX).00 Supervision and Engineering ...... New Automobile 900.00 . 7,000.00 553 42 703.73 1.000 00 150.00 1.270.08 150 00 2,500.00 Supplies and Mi.scellan«»ouK New Fire Hydrants . . 3,100.00 200.00 36 75 45.00 200 00 3265 300 00 Machine Shop Work .............. Clothing Allowance .............................. 500.00 300.00 5,179 61 137.71 150.96 9.175.68 5,000.(X) 400.00 7,143 87 230.99 6,000 00 600.00 Labor ........................................... Accident Insurance 6(X).(X) 10,000.00 ¿54.07 589 19 300.00 350.14 500 00 Car Expense ......................... FIRE DEPARTMENT 1.000.00 73 84 1.383 DO 143 93 712 (M) 150.00 1,000.00 185.97 300 00 1,831.50 5,000.00 Salary, Fire Chief ............. . .............. 2/XXHX1 Accident Insurance .................... 500.00 7.80 1.04561 lO.(X) ^i(X) Miscellaneous ............................. Salary (1) Fireman ............................... 2,700.00 25 00 5 086 71 2,(XX).OO 3.020 05 2,000.00 Emergency ....................... '. ” ” ""77 Salary, Volunteer Firemen ............ . 300.00 4.200.00 111.25 4.99 6,000.00 200 00 717 02 2,200 00 Sinking Fund Bond Payment 777 Equipment Fire Truck ...................... 500 (X) 10.000.00 L50 94.97 300.00 100 (M) 432.00 2.500.00 351 33 Meter Reader ............................... 200.00 Equipment. Maintenance Repair 5(X).00 2.000.00 300 00 344.07 600.00 Pension Fund .................. 777777.77Z 1500 Ft. 2<4 in«h hoM-.............. ........ Z17500 1,120.00 2,000 00 Defense Bonds ................. ................ 1(XX) Ft. l’a inch hose ....... ................... 950 00 798.51 2,000 00 Salary, City Manager ....... 77.7 Hose Drier ........................................... '.77 550.00 500 00 500.00 500.00 Warehouse for Equipment ...... Hydrant Rent ..................... .777 ... 6.000.00 One Truck .................................... Car ......................................................... "777 900 00 ... 2,00000 77.71 65 87 125.00 65 63 Office Clerks 200.00 Accident Insurance ... 1,600.00 250.00 525,518.48 $45,351.33 $29,214.50 519,064,86 $42,818.77 RECORDER S OFFICE $69,007.51 600.00 600 00 800.00 300.00 600.00 Salary, Recorder .............................. .. 600.00 ESTIMATED RECEIPTS 88 81 $69.007.51 ! KMHX) 360.37 150.00 150.00 Office Expense ....................... 400.00 1,80000 SCHEDILE VI 1.236.23 2D00.00 Office Clerks STATEMENT OF BONDS OUTSTANDING 2,100.00 Amount of STREET LIGHTING Date Issued Maturity Date Date of Int. 2.695 67 Bonds Int. Rate 2,803 67 2,8(X).OO 1,497.82 2.80O00 Electricity .................................................... Payments 406 94 % Outstanding 65701 1.00000 Maintenance Water Reservoir ....... 6-1-1939 ! 78 78 6-1 and 12-1 6-1-1952 197 38 11)000 2. 2U, 2 $ 10.000.00 23.03 KX1(X) ADVERTISING AND PRINTING 7 100.00 C. G. W. S. and Improvement 11-1-1947 7L00 11-1-1971 11-1 and 5-1 71.00 2% 75.00 300000.00 150.00 ELECTIONS 150.00 310.000.00 CITY HALL BUILDING (MXHX) General Refunding 600.00 600.00 10-15-1930 10-15-1950 4-15 and 10-15 5% 4,500.00 Salary. Janitor ........................................ 900.00 123.55 151.89 300O0 342.48 300.00 Maintenance nn«i Repair 7.77 750.00 Refund "B"................. 11-15-1935 11-15-1950 234.80 5-15 and 11-15 232.23 4H 300.00 7.500.00 273.61 300.00 Supplies and Fuel ............... 750.00 Total All Bonds $322,000.00 Heating Equipment (Sinking Fundi 5<M>.00 BONDS IN SINKING FUND 25.19 106 28 100.00 290.73 5(X).00 Miscellaneous StMI.OO Improvement Bonds .................11-15-1935 11-15-1948 4H $ 2.500.00 CITY TREASURER Defense Bonds Series "F” . 240.00 24000 360 00 180.00 1954 360.00 Salary, Treasurer ................................... 11.8t X).OO 600.00 209.13 3.60 200.00 38.00 200.00 Office Expense Total $17,300.00 2<M).œ CITY INSPECTOR ....... ...................... 1,(XX).(X) Total bonds In ! fund $17,300.00 Supplies ..................... ------ - - ... 100.00 25 60 4702 34.50 30.00 BICYCLE LICENSE 40.00 1948-1949 BUDGET 291.58 375.00 111 (X) 375.00 RODENT CONTROL EXPENSE 450.00 Amt. to be 9,000.00 8,500.00 SINKING FUND FIRE TRUCK ....... _ . Total Amt. Estimated Cash. Balance Sinking Total Raised by 500.00 384.96 6(X).(M) PENSION FUND ... Fund of Budget 1,200.00 Receipts on Hand Fund Deductions Taxation CITY MANAGER « General ...................................... $46,329.00 915.56 1,500.00 Salary ....................... $27,000.00 $11.900.00 $................ S3S.900.00 $ 7,429.00 Street ........................................ 27,423.00 TRAFFIC REGULATION AND............ 11,066.00 1,500.00 16,357.00 11,066.00 Sewer ........................................ 4,425.00 50.00 CONTROL . . 2,000.00 50.00 4.375 00 2,100.00 _____ 125.00 Bond and Warrant Interest 1.716.12 BOND EXPENSE ..... ....................... 1 716 12 Emergency ...... ....................... 6,650.00 6.650.00 $14,713.44 $16.073.99 $21,864,00 $27^25101 $43,879.00 $46,329.00 Library ............. ....................... 1,000.00 ............... - 1,000.00 Park ................. ....................... 500.00 .................. 500.00 -............... 5 Mill Levy BUDGET .................................................................................. $46,329,00 for Sewers & Drain.... 6,671.97 6,671.97 Less Cash on Hand from Parking Meter Fund and 6.671 97 General Fund, and Estimated Receipts ................. ___________ $MJ1!M)?___ $38,116.00 $11,900.00 $10,17197 $44.699.09 $50.016.00 $38,900.00 Amount to Be Raised by Taxation .............. $ 7,429.(X) „ A . COMPUTATION AT 6% LIMUTATION CHARTER LIMITATION ........................................ I./ $13,343.95 Total Levy for year 1945-46 (highest proceeding three years) ...................... $25.912.95 Less: Principal and interest on bonds ........ . ............................................................. Newer Fund $1.570.54 Special 5 mill levy for sewers and drains, etc............................................ $ 97.45 $ 875.61 $ 150.00 $ 565.55 $ 150.00 . 5,736.26 7,306.80 Maintenance and Repair......... 250.00 240.00 239 34 264.00 240.00 i.ooono Engineering * Map Work $18,606.15 1,500,00 Add: 413.10 1(X)00 6% of $18,606:15 ............................................................... ........ 100 00 9.40 Material & Supplies $1,116 37 150.00 100.00 100.00 100.00 1(X)(Xi Principal and interest on bonds ..................................... Water for Construction Flushing 1,716.12 25.00 5 mil! special levy for sewer, and drains ..................... . 25.00 Freight and Cartago 6,671.98 9,504.47 100 00 2,(XX).(X) 1,500.00 2.000,00 2.000.(X) Sinking Fund. Sewage Disposal........ 2,000.00 Total amount of 1948-49 levy within 6% limitation $28,110.62 120.40 350.00 350.00 Dump Ground Improvement ............. 300.00 10«.(X) Total amount to lie levied for 1948-49 49.46 100 00 Pension Fund $44 699 09 125.(X) Amount within 6% limitation ............ 381.61 toa i m 1,000.00 Salary, City Manager Amount outside 6% limitation............ ..... • $16,588.47 2,437.45 $ 3,248.45 $ 3,089.00 $ 1,246.02 $ 4,825.00 $ 4,425.00 49-2tc-50 $ 50.00 $ 84 00 250.00 HERE ar« tkrM 4isb«s yoa cat prepare batter and wore eeoaomically with "Sida-Keet," an MONARCH'S Electric Range Medel IMP. SMITH ELECTRIC 500 Main St. Telephone 15 SALE USED TIRES •L A ■ V, 12 Used Tires For Sale at an Amazingly Low Price! GOO-16 S2.50 Each 600-50 AND $1.00 for Each Used Tube These Bargains at Your Favorite Red Horse Service Station 5th and Main Geo. Hohman Mobilgas •MM» »MUUI