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About Port Orford news. (Port Orford, Curry County, Oregon) 1958-current | View Entire Issue (May 21, 1964)
.» ..T r » ,, John Morrill Is FFA Presidenl I he I ’arilk- chapter of FFA inri Thursday in the library of Pacific High S c I mmi I 1« elect chapter officers and discuss hiking down Jtogue |<lver wlth the Grants Pass chapter officers elected were preal- dent, John M orrill; vice presi dent Mike Knapp, secretary, Heyburn Guerin, treasurer I •on Smith; representative, Alan Hatta, sentinel, Floyd Chase Youth Group To Conduct Service Port Orford News, I hursday, May 21, 1 9 M -5 1.234, H 8. 2. 571. ----------------- --------------- •—t--------------------- ------------ the place for a fam ily get- together during the weekend. Present were Don’s mother, Mrs Elna Mechals of Chlnuok' Wn., brother Jim Mechals and wife of Lebanon, slater M r and Mrs Alben Anderson of Eureka, Calif. The Youth Group of the l.nnglols Community Church la in charge of the Sunday eve ning services starting at 8 p m. I n ■ t a I la t Ion nt officers will be featured during the service. Installed will be Gloria Knut son aa president; Coleen Fry as vice president; and Mar) Geer aa secretary. •OH VISITS FATHER Norman Storm of Woodland, C a lif, has been visiting Ms father, W illiam Storm, In Lang- Iola this week hamni entertain Herb M orrill, Charles Hlndea and M r and Mrs ft K Rrwla attended a meeting of the Cur ry County fair board In Gold Beach last Monday evening FAM ILY GET T O G IT H IR I he Don Mechals home was EVERY Wit READ THE I he budget lorCtt) ol fort C lo n i lor the llK . | v r „ 1 9 6 4 .6 5 begimung M \ I, ,9 6 4 . as d e t a i le d .........rmmar » d th . 5 « Cih" H a lf 9 iu M ¡a ,,,,1,1, i’ p . Ik hearing the budget, or » T , " " n ,Or F ' J 0 ' - « » I * « - . •>' »• 25 * ' " K " Z f 'ty C ou,,c*1 "«« «* P ¿1 ^ *5 Hall lor the purpose of on this budget. An> person may appear any part of it. « ' ix levy Computation Total Budget R equirem ents............ La*" Budget It. iourtes, except la x e s l o b e 1, s I. d $138, 588. ....................... 116, 763. necessary to balance budget ......... .. Asltl taxes estim ated lust to be rs-e. ived during ensuing year lo ta l Tates to be l e v i e d Taxes ,l‘- 1 " 1 1 General Fund U li. h .ls I Water Fund ¡ Street F und Reserve for City Fácil. Sewer Fund $ 31. 124. $ 13,064. 3, 350. $ 50,000. 19.225. 31, 124. 13, 064. J , 350. SO, 000. 21, 825. S, 532. 27, 357. 5, 532. 27, 357. 23, 307. -0 - 4, OSO. 27. 3S7. I 150. 150. ISO. ISO 21. 21. 63. 63. 50 50. $ $ $ 1, 300. $ $ 800. 2, 100. 1 ,406. $ $ 1, 179. 2,241. $ $ 500. 2. 600. $ 4, 900. 4, 434. $ 5, 300. 4, 242. $ 5,400. 4, 800. » 9, 334. $ 9, 542. $ 10,200 $ 2,0 1 3 . 2. 219. 285. 52. 4, S69. $ 1,877. 1,738. 242. 83. 3, 940. $ $ 23, 307. -0 - 4, OSO. 27, 357. $ $ 2,700. 2, 467. ISO. 4, 912. $ 10,229. 2, 700. 2, 467. ISO. 4, 800. $ 10, 117 2, 850 2.6 1 7 . 150. 4. 900 $ 10,517. $ $ $ $ 559. 824. 5. 539. 358. 461. 441. 8,182. $ 9,0 9 6 . 1. 284. 130. 1,000 $ 10,802. 750. 175. 1,000. $ $ 11, sto . $ 12,727. $ 11. 500. $ $ $ $ 40. 915. 87, 277. 21, 525 $ 19, 390, 19, 390. $ 7 ,2 8 1 . 26, 671. 7. 281. 26, 671. 2 1 .9 8 7 . -0 - 4, 6S4. 26, 671. 2 1 ,9 8 7 . -0 - 4, 684. 2b, 671. 2, 500. 415. 47. $ 2 ,9 6 2 . $ 32,883. STATEMENT Of INDEBTEDNESS Bonds lo ta l Indebtedness 14,000, 14,000. 11,000. 11,000. C om m itter May S, 1964 ' ■ r • S igned F tank St. Clair, C h a t m * of Budget C om m ittee CITY I \C IIIT IIS RISIRVI FUND SUMMARY lo r the Fiscal Year 1964-1905 Beginning kily 1, ,904 Budget 1903-1904 BUDGET RESOURCES Expenditures 1902-03 3, 350, -0 - 3, 350. n. Budget 196.3-1964 $ $ 738. 3. 338. 1. b37. 54 6. 3, 418. 70. 35. 418. S, 232. 605. 3, 475. 2. 290. 541. 3, 564. 70. 93. 64 3. 6, 1, 23, 18. $ 42, 1,211. 17, 32b. 16, 988. $ 34, 314. S, 900. 700. 4, 000. 1. 800. 600. 3, 300. -0 - 50. 75. 122. 326. 961. 339. 300. 500. 16, 925, 19, 390. $ 36, 315. Expenditures 1961-62 1962-63 \v a ila b le Cash on Hand ................................... General Fund ..........................................’ ’ l otal Keiourvei except Tuxes to’be le v ie d ’ 1 ‘XC necessary to balance budget........................ Total Resources.......................... Reserved for Expenditures in Future Y ea « Total R eq u irem en ts....................... S 1.000. 195. 3 ,3 5 0 . 3, 350. -0 - 3, 350. 3,3 5 0 . 3, 350. 77 7 S 7 7 7’ 7 7’ 7 7’.................. 7 77 7 7 7 .................... 7.77 7 ."....................... 7 .7 7 .............. ........ 7 7 7 ............................ 7 7” 7 7.7 7 7" 7 ." 77 ..’............... .... 7 7 7 7 ................. $ 21,251. 413. 355, 1,012, $ 23 ,0 3 1 , $ 22, 500. -Ó- 300. 8, 817. $ 3 1 ,6 1 7 . 6,000. 700. 3, 500. 1, 800. 600. 3, 800. -0 - 50. 75. 2 ,0 0 0 . $ $ $ $ $ $ 2, 685. $ 5 ,0 7 0 . 9, 670. -0 - $ 14, 740. 8, 594, 300. 8, 894. $ 4, 169. 2, 685, $ 4, 169. 8, (XX). 5 ,0 0 0 . $ 13,000. Water £ ' , S s 7’7 n X 'fr o ^ ^ ^ TOTAL WATER FUND R E S O U R C E S 7 ................................................. STREET FUND ............................................ A vailable Cash On Hand . State Highway Fund . . . . Gas Tax Refund..................... 7 7 . 7 7 ........................................................ TOTAL STREET FUND R E S O U R C E s 7 7 7 .............................................. SEWER FUND ................................................... A vailable Cash on Hand ......................... Sewer C .. , ollections ................................ .. > ••••••••« F ederal Planning L o a n ................................ TOTAL SEWER F UND RESOURCES . 7 Budget 1963-1964 $ 21,000. 150. ISO. 9, 824. 31, 124. 1,200, $ 1,200. $ 1,200. > •••< •• a 500. 90. 1,000. 200 I, 790. S. 128 ISO. 190. Street Lighting TOTAL STREET D E P A R T M E N T \ \ \ \ .................................................. .. . , . HRE DEPARTMENT ............................................ M4teri,iili and Services: Materials and Supplies M obile Equipment Operation and M am te^ n c«.' ............ Total Materials and Services . . Capital Outlay: ............................................................ Fue Hyibants (3) . . . . . . . . . . . TOTAL FIRE DEPARTMENT .................................................................. POLICE DEPARTMENT.............................................. Personal Services: Police Chief Salary..................................... Patrolman Salary.................. .............................................................. Extra H e l p ............................ . ’ ’ ’ ’ ’ ’ * ...................................................... Total Personal S e r v ic e s .................................. ............................................. Materials and Services: .......... • • • • • • • • • • • • • • . . . . M aterials and Supplies ....................... .. M obile Equipment Operation and M aintenance ................ City jail Ojdrratiosi and M aintenance Prisoner's Meals .................................. ................................................. Total Materials and Services • • • • .............. Capital Outlay ................................................................ M obile Equipment . . . . . . . . _£OTAL_POL1CE DEPARTMENT . . . . 7 . 7 . 7 . ’.7 .' .‘ ................... 100 100. • ’ t, 300. 800. 2, 100 540. 2, 640. 5,616. 4,992. TOO. 8 10, 908. < * 1. 300. 1. 800. 3 SO. * * too. » 3, 550. * 1,000. IS, 4S8. 9, 500. 4, 500. 36, 000. 50, Ü00. Planning and Construction of Sewer F a cilities TOTAL REQUIREMENTS.............................. ............. .. 7 7” 7’ 7 7 7 7 Personal Services. Superintendent's Salary . . . Clerk's S a la r y ............................ ‘ ............................................... Treasurer's Salary.................. L abor......... ................................... ’ .......................................................... Total Personal S e r v ic e s.................. M aterials and Services: M aterials and S u p p lies................................ P o w e r ..................................... Repair and M aintenance of Water F acilities .'................................. M obile Equipment Operation and M a in te n a n c e .............................. Insurance and B onds.............. ............................... Payroll T axes................................ ’. 7 . 7 . 7 . 7 . 7 . ............................... Total Materials and S ervices............ Capital Outlay: Construction of New Water Lines New Meters ....................................... New Equipment................................... New M obile E q u ip m en t................................ ................................... L a n d .............................................. Total Capital Outlay............7 7 . ........................................................... Special Payments: .......................................................... Bond P . rin cip • al............ .................................................................... .. Bond In te r e st..................................... Water Deposits R efu n d ..............7 7 7 7 7 ”.................................. Total Special Payments .............................. OTAL WATER F LIN’D REQUIREMENTS 7 . 7 7 7 7 ..................... Personal Service: Recorder"s S a la r y ............ 2, 964 2, 722. 150 5, 096 10, 932. - * - » * 7 7 77........................... 800. 850. 4,000. 750. 550. 350 7, 300. 7. 500. 500. 400. 1.000. 1. 117. 10, 517. 2,000. 225. ISO. 2, 375. $ 31, 124. 2, 690. 13, 148. 32,031. 598. $ $ 24, 106. $ 43, 904. Special Expenditures $ 40. 915. TOTAL GENERAL FUND REQ U IR DdEN TS................................................ $ 4 i ’ 050> 290 1,000. 100. 7 7 7 7 7 7 7 7 7 7 .......... Expenditures 1961-62 1962-63 Budget 1963-1964 9 S?4 650. 500. e * 1 /, 2 /4 . , 300. $ $ 2, 700. $ 2 ,7 0 0 . 2, 850. 50. 2, 900. $ 2, 700. $ 2, 700. $ $ 5. 342. 1, 705. 115. 429. $ 22. 1,0 6 9 . 2, 804. 497. 531. $ 50. 1, too. 2, 000. 200. 600. $ 2, 596, $ 4 ,9 2 3 . S 3, 950. $ 3, 603. $ 1, 582. 2, 500. 3, 713. 11. $ 7 ,8 0 6 . $ 15,429. 2, 840. 2, 500. 2, 500. so. $ 7, 890. $ 14, 740. $ Budg.t 1964-1965 Personal Services: Street M aintenance M a n ................................... Labor................................................ .. Total Personal S e r v ic e s .............................. M aterials and Services: M aterials and Supplies ..................................................... M aintenance of City S tr e e ts ............ M obile Equipment Operation and M aintenance . 7 . 7 7 .............. Payroll Taxes ....................................................... In su ran ce................................................ Corse Control ....................................... Total M aterials and Services ....................................... "........... C apital Outlay: ............................ * Construction of New Streets .................................. Paving ................................................................ New M obile E q u ip m en t....................................................... New E quipm ent............................................. 7 7 7 7 Total Capital O u tla y .................................. .................* TOTAL STREET FUND REQUIREMENTS < 7.7.7.7.7.7.7.'.7 ' ‘ $ _ $ « 7 77 77 7 7 7 ............. * 77” 7.7 - « 7777777777 ’ 2, 964. 2, 964. 100. 1,100. 2 ,0 0 0 . 310. 600. ISO. 4, 260. 2, 840. 2, 500. 500. - 5, 840. ...7777777777 $ 13,064. GENERAL AND WATER FUND BONDED DEBT REQUIREMENTS For the Fiscal Year 1964-1965 R p o in n in n $ $ 1.000 2, 000. 500. 3, 500. $ 195. 375. 40. 610. $ 4, 110. $ $ 1.000. 2 ,0 0 0 . 500. 3, 500. $ $ 1, 000. 2, 000. • * 3, 500. $ 130. 275. $ 163. 325. 20. 508. $ 405. $ 4, 008. $ 3, 405. & m ,vin SO a w $ ------------- ------------- w . «X .M h ils z L A U H lg 1 1 Q8LA C J lb U IIlg i t u r Issue Dated 1952 - General F u n d .............. Issue Dated 1950 - Water Fund ................ Issue Dated 1936 - Water Fund . . . . . . 7 Total Principal to be Paid ................................... Bond Interest to be Paid During Ensuing Yean Issue Dated 1952 - General F u n d .............. Issue Dated 1950 - Water F u n d .................. Issue Dated 1936 - Water Fund . . . . . . . . . Total Interest to be P a id ................ 1,000. 2, 000. TOTAL BONDED DEBT REQUIREMENT FOR ENSUING YEAR.......... $ 3,0 0 0 . $ 100. 225. $ 325. 3, 325. PERSONAL SERVICES SUPPLEMENTAL INFORMATION Salaries Paid From More Than One Source For the Fiscal Year 1964-1965 Beginning July 1, 1964 Total Budget 1964-1965 Requirements Budget 1964-1965 Requirements $ 17 57$’ 1, 000. 130. 3, 064. 10,000. -0 - 13,064. Budget 1964-1965 RECORDER'S OFFICE $ I ,» * . 100. 10. 400. $ $ 20, 192. 1, 400 350. 1, 200. 50. $ 302. 296. GENERAL I UND DETAILED REQUIREMENTS For the Fiscal Year 1964-1965 Bi ginning July 1, 1964 Ex|>enditures 1961-1962 1962-63 4(X) '• • • e a e e e e e e e s Special Payments: City .Attorney F e e s .................................... City Hall and Library M aintenance and Operations Election Expenses . Insurance and Bonds Payroll Taxes Library ............ M iscellaneous Storm Damage Bond Principal Bond Interest Transfers; Cash Working F und.................................. Water Fund .................................. Financial Reserve for City F a c ilitie s .................... 7 7 7 7 7 7 Building and Equipment F u n d .................................... Operating C ontingency......................... .. Total Special Payments ......................... ......................................... C apital Outlay-: .................................. ............... Floor T ile - City H a l l ............................................................. New M obile Equipment.......................................... New E quipm ent.................................... L a n d ............................................. ................................................................ Total Capital Outlay TOTAL SPECIAL^EXPENDITURES .’ ’ 7 7 .’ .'.’ .’ ’ .'.'.’ ‘ ‘ 7 7 7 7 ; $ 750. 1, 940. 1, 502. 30. $ 5, 135, $ 10, 431. $ Budget 1963-1964 1 3, 000. 13,000. '• • e e e e e e e e e e e « STREET FUND DETAILED For the Fiscal Year 1964-1965 Beginning July 1, 1964 700. 19, 225. 21,825. $$41,050. SEWFR FUND REQUIREM1NTS SUMMARY For the Fiscal Ye.ir 1964-1965 Beginning July 1, 1964 Expenditures 1961 -62 1962-63 Budget 1963-1964 8, 817. 3. 350. 650. 685. $ 19, 792. 2. 000. 515. 10, 458. Budget 1964-1965 WATER FUND .............................................................................................. 9, 100. 1.000. 400. 1,000. 845. 1,012. 2,0 0 0 . 2, 000. 287. $ 23, 508. 1, 100. Budget 1964-1965 Previously Levied Taxes Estimated to be received shiring ensuing year ......................... Interest on Delinquent Taxes .............................................................. Bail and l i n e s ................................... Business Licenses ..................................... / ................................ ...................... F ra n ch ise.............................. ................................................................................. St ate Liquor F u n d .............................. Liquor R eco m m en d a tio n ................ Building P e r m its.............................. Trailer L icenses................................ bicorne from Log S a le s. . Insur.mce Recovery-Storm Dam age M isc e lla n e o u s..................... ................................................... Total Resources, Except Taxes to be Levied . . Taxes Necessary to Balance B u d g et.......... ................................ TOTAL RESOURCES . . . . ............................................................... 500. 850. 4. 300. 750. 450. 475. 7, 325. 2.0 0 0 . 275. -0 - $ 2,2 7 5 . $ 31,617. 818. 878. 1, 412. 597. 10, 625. 1,000. 163. 646. Budget 1964-1965 Billiget 1963-1964 $ 2 2 ,3 7 3 , 225. 260, 1, 100, $ 23 ,9 5 7 . $ $ 2. 500. 345. 129. $ 2 ,9 7 4 . $ 33,920. 1,417. 631. WATER, STREET AND SEWER FUND RESOURCES For the Fiscal Year 1964-1905 Beginning July 1, 1964 8, 392. 172. 8, 564. . Expenditures 1961-62 1962-63 GENERAL FUND RESOURCES Eor the Fiscal Year 1964-1965 Beginning July 1, 1964 Fxpeinllt ures 1961-62 1962-63 1,418 • •e e e e e e e a a e e e a GENERAL FUND DETAILED REQUIREMENTS For the Fiscal Year 1964-1965 Beginning Julyl, 1964 A p p ro v e d by B udget $ 497. 717. 5. 352. 477. 286. 773, 8, 102. -- Outstanding July 1 e lUTent Year Ensuing Year ( \c tu a l) ( Estimatcdl Type ot biilebteihies 5.91S. $ 1,000. $ 13,850. $ 13, 482. " »Is s is o f T a x e s to be 1 e v i r d 1961-02 $ 1,000. 1 ,2 0 0 . 350. 100. 2 ,6 5 0 . Budget 1963-1964 $106, 667. Within 6 Limit ;ro n .......... e'utside 6 tu n il.it i o n .......... Not Sub eel to 6 1 initiation lo ta l Ta sei to be 1 e v ied . . . . > aeeeeeeeeea< Extra Help . . ..................... T otsl Personal Services , , , eeeaeeaa« M aterials and Services: Printing, Postage, Supplies and Mlsc. . League of Oregon C ities ......................... Audit and a cco u n tin g ................................ T Tf ■,I Attom«-y.............................................. I'jtal M aterials jnd Services. TOTAL RECORDER'S office . TREASURER'S OFFICE Personal Service: Treasurer's S a la ry ................... TOTAL TREASURER’S OFFICE M , a STREET DEPARTMENT * M a te r ia ls and S ervices Expenditures 1961-62 1962-63 I-,* Levy Computation r e c e iv e d d u r in g e n s u in g ) e a r d a l 1 m es to be- l e v i e d 150 150. Clerh e S a la s y .................. WATER FUND DETAILED REQUIREMENTS For the Fiscal Year 1964-1965 Beginning July 1, 1964 FINANCIAL SUMMARY lor the Current Fiscal Year B* in u lin e (uh I. 1963 Is>t*d Budget Requirements . . . . . . Le-. Budget R< sources, except ' >-e to ba I. S I. d .................... I axes i .c e s s a re t o b a la n c e '■ Igei .......................................... \tld taxes estim ated not to be 1.090. 4, 073 $ 13,903. \n a ly sl, o| I 4X,. io be Levied Within b lim it allot............................ Outside (, Limit , t i l ' l l ................................' Not Subject to t. L im itation .. , , , . Tc’t-d Taxes to be I . v i e d ................ .. 1,061. 3, 862. $ $ $ 4 1 ,0 5 0 . 21, 825. 832. 3, 403. 1,261. I4S. 1, 406. I loyd Bates, Chairman o l Governing Bo<l, Tot j | All Funds 500. 90. 500. 569. 493. 1,062. per she.-« h‘ ld holdings io d ise,.., womcum FINANCIAL SUMMARY 1,383. 400. 2. 9 8 '. 579. 82. 400. V im Nolice oi Budget Hearing Clly oi Pori Orford, Oregon »,233. 368. 2, 801 432. -0 - 400. M r and Mrs. Gordon Cline •it Vancouver, W n , vleth-d friends In Port Orford and were house <me«ta of M r. and Mrs George Hahn. ATTEND fair m eet Ï * » M C le rk -T re a s u re r.......................................................................................... Salary $ 4 4 ^ Superintendent ol Public Works ....................................................... .. $ P n h lk h M a v 81 88 19 64 I 5 928. P eta lled Salarle» General Water Fund Fund $ 1,588 • 8 2 ,8 7 2 . 2 ,9 6 4 . Street Fund 8 2 ,9 « .