Image provided by: Josephine Community Library Foundation; Grants Pass, OR
About Illinois Valley news. (Cave City, Or.) 1937-current | View Entire Issue (June 4, 1942)
Illinois Valley News. Thursday, .lune 4, 1912 Flag W eek (Continued from Page One) WHAT THE LEGION AUXILIARY IS DOING Notice of School Meeting I direct the officials of the Fed. Election of officers for the cn- eral Government, and I request the I I suing year was held and the follow officials of the State and local i ing were elected: governments, to have our colors President—Lida Miller. displayed on all Government build First vice-president — Mildred ings on Flag Day, and I urge the Taylor. people of the United States to fly Second vice-president — Buddie the American flag from their | Rinearson. homes in honor of the Nation’s Secretary-treasurer—Amy Hus mothers and their valiant sons in sey. the service, and to arrange, where The elective members of the er- feasible, for joint displays of the ecutive board are Joy Badden and emblems of the freedom-loving Adah Jones, Marie White being au nations on that day. tomatically on the board. IN WITNESS WHEREOF, I We were all glad to have Pearl have hereunto set my hand and Martindale at meeting after an caused the seal of the United absence of over a year but ssorry States of America to be affixed. her stay is to be so short. Pearl DONE at the City of Washing- presented the navy plate which was won during her year as president for the most complete report of ( LASSIFIEI) ADS activities and which she had been keeping for the unit until such FOR SAI E- -110 Vjlt !)( 1 ; ¡I p. time as we had a suitable place motor, Will buy 'i H. P.. AC for it. motor. George Logan, Cave No flags were placed on veter- Junction. 5- Itp ans’ graves on Memorial day but the unit expects to receive these FOR SALE—Six piece bedroom flags soon, when they will be set. ivory finish. J. J. Villair. placed. 5-ltp Next Wednesday, June 10, will i be the day for filling out the ques AM SELLING some property in tionnaires. All chairmen should Cave Junction territory. If your property is for sale at the right come or have a complete report in price, get in touch with me. H. I the hands of the secretary by time. W. Baker, Wilderville, Oregon. President Marie White pressed her thanks to all who MINERS AND PACKERS—Take notice. Saccharin is 500 times helped with the sale of poppies sweeter than sugar. Easily and with the poppy dance. At the April social meeting in packed, easily carried. Conserve your sugar quota. Use sacchar itiation ceremonies were given for in. Cave City drug store. 4-ltc Mildred Taylor and Buddie Rin earson. FOR SALE—Good, new remodel- I ed house very reasonable. Harry ! Elroy, Kerby, Oregon. 52-5tp ton this 9th day of May, in the year of our Lord nineteen hundred FURNITURE — When you need and forty-two, and of the Inde New or Used Furniture, think of pendence of the United States of Manchel's. Keep up the home America the one hundred and six the boys are fighting for. Man- J ty-sixth. chid s Furniture, 112 N. 6th St., | FRANKLIN D. ROOSEVELT. Grants Pass. -2-tf. i (Seal) By the President: ABSTRACTS — Title insurance, CORDELL HULL, affiliated with Commonwealth. [ Secretary of State. Inc., Josephine County Abstract j ------------- o-------------- Co., Masonic Bldg., Grants Pass, i -2-12 tl NOTICE IS HEREBY GIVEN to the legal voters of School District No. l'-l, of Josephine County. State of Oregon, that a SCHOOL MEET ING of the said district will be held at High School Building, on the 22nd day of June, 1942, at 2:00 o'clock p. m., for the purpose of discussing the budget for the fiscal school year, beginning July 1. 1942, and ending June 30, 1943, hereinafter set forth, and to elect one director for the five year term and one director to fill the unexpired term of Eugene Brown, resigned. Polls close at 7 :00 p. ni. Schedule BUDGET Eatimated Receipt» and Available Ca»h Balance* 1 Total All Funds 1. 10. 11. 12. 13. 14. 15. Estimated available Cash Balance or Deficit at beginning of fiscal year for which this budget is made (Add Cash Balanc« Deduct Deficit* Estimated Receipts from Delinquent Taxes during fiscal year for which this budget is made Estimated Receipts from Vocational Education Estimated Receipts from County School Fund Estimated receipts from Elementary School Fund Estimated Receipts from Stat« Irreducible School Fund Estimated Receipts from High Schoo! Tuition Estimated Receipts f rom Elementary Tuition Estimated Receipts from High School Transportation Estimated Receipts from Elementary Transportation Estimated Receipts from Cafeteria Estimated Receipts from Interest Estimated Receipts from Rentals Estimated Receipts from Sales of Supplies, property, or equipment Estimated Receipts from Other Sources $ 180.00 16. Estimated Total Receipt» and Available Cash Balance or Deficit $ 180 00 o 3. 4. 5. 6. 7. 8. 9. Jligh ITEM SchtHiIs Estimated Expenditure* for the Ensuing School Year Kxpemliture* and llii.lxrt Alloa ance for Six Month« of __ Cyirent Schuol Year_ _ Budget . Allowance in Detail Expenditure's in Detail GENERAL CONTROL Personal service: Superintendent Clerk Other services Supplies Elections and publicity Legal service (clerk's bond, audit, etc.) Other expense of general control : Total Expense of General Control $ i 50.00 35.00 12.50 80.00 20.00 60.00 $ 257.50 $ $ $ $ 35.00 .45 40.00 10.00 3.27 20 00 17.50 5.00 25 00 10.00 35.00 88.72 1 12 50 196 58 17.03 50.00 100.00 950 00 $1.900.00 40.00 35.00 10.00 41.58 12.50 57.50 $ $ 186.58 176.23 $180049 $1.630.00 $4.280.58 $3,169 28 I N ST RUCTION—Supervision Personal service: ) Principals 1) Stenographers and other office assistants Supplies, principals and supervisors Other expense of supervision $1,800.00 $ 130.00 663 86 $1.930.00 $ $ Personal service: f T«ach«rs Library supplies, repairs Supplies (chalk, paper, etc.) Textbooks $5,040.00 60.00 294.00 20.00 $ $2,247.50 49.56 46.83 $2,565.00 22.50 125.00 10.00 $4,252.50 Total Expenie of Teaching $5,414.00 $2,342.89 $2,722.50 $4,343.44 $ 285.00 1 10.67 208.80 33.31 $ 300.00 75.00 104.40 $ Total Exnen»e. Supervition $ INSTRUCTION—Teaching 87.30 3.64 OPERATION OF PLANT Personal service: 1) Janitors and other employees. Janitors’ supplies ..................... Fuel ........................... ....................... Light and power ...................... Water $ I 600.00 200.00 307.40 200.00 $ 90.00 426.50 104.55 260.00 123.08 34.89 $1,307.40 Total Expense of Operation $ 637.78 $ 569.40 $ 949.02 $ 96.83 $ 197.50 $ 168.53 .« 835.55 5 967 46 (Continued from Page One) MAINTENANCE AND REPAIRS books because of their having an Repair and maintenance of furniture and equipment $ 395.00 excess of sugar on hand, may ap Repair and maintenance of buildings and grounds: 40.00 ply for a canning allotment. If ) 20.00 gjjii have an excess of sugar !) 50.00 Other expense of maintenance and repairs the allotment will be subtracted $ 505.00 from that excess. However, Ba- Total Expente of Maintenance and Repair» ker pointed out, this reduction of AUXILIARY AGENCIES excess sugar for canning will not Health service: FOR SALE M. C. Athey will sell be recognized by the rationing $ (1) Personal service (nurse, etc.) his De Soto sedan to someone i boards at the time of future appli 15.00 (2) Supplies and other expenses who can buy tires for this car. ! cations unless an application for 2. Transportation of pupils: 1,050.00 (1 ) Personal service Only gone 50,000 miles. All canning has been made. (2) Supplies and other expenses excellent bargain for someone. ■ 6. It is not necessary to secure 3. Other auxiliary agencies: your full allotment at this time. SOMETHING NEW Sheet music, $1.065.00 4. Total Exoen»e of Auxiliary Agencies 35c per copy. Special edition, Any part of it may be requested from VII FIXED CHARGES "The Marines” hymn, as feat now and the rest secured 1. $ 320.16 time to time as the season ured in the movie, “To the 2 40 2. Rent . ......................................... greases. Shores of Tripoli." Cave City As soon as the board has been $ 322.56 4. Total Fixed Charges Drug Store. 3-tf I named for Cave Junction, it will be CAPITAL OUTLAYS and trespass notices at the published and the days the board Vili 1. 1 will be in their office, and where Illinois Valiev News office. 2. New buildings ..................................... ........... the office will be located. The 3. Alteration of buildings (not repairs.) Old new-papers for sale at The' I board will be in operation sever- 4. New furniture, equipment and replacements 360.00 News office, 10 cents per ban I al weeks. 5. Assessments for betterments but only a short time dle. 6. Other capital qutlays: _ I each week, perhaps two or three 100.00 ( 1 1 Library books FOR SALE — Mining location days out of the week, but will last $ 460.00 7. Total Capital Outlays blanks, both quartz and placer 1 for several weeks. ax Notice INTEREST WILL BE CHARGED AFTER TH AT DATE $ $ Ask About PERSONAL PROPERTY TAX All real property on which taxes for the year 1938 or prior have not been paid will be filed for fore closure .June 15th. A. DONLEY BARNES Sheriff and Tax Collector. $ 7.50 7.50 212.50 262.50 $ $ $ 123.84 $ 100.58 $ 177 07 $ 148 50 $ $ 220.00 $ 269 00 $ $ $ 320.16 2.40 $ 160.08 $ 180.00 2.22 $ $ $ $ 182 22 $ $ 322 56 1.10 $ 161.16 $ $ 750.00 1,319.72 238.50 $ $ $ $5,077.52 $ 514 58 $ $ 133.14 142.50 821.62 155.00 $1,558.22 $ 905.00 $ 96412 70.32 $ 100.00 $ 178.01 180.00 $ 190 00 $ 358.01 650 00 $ $ $ $ $ 125.00 180.00 $ $ 305.00 $ $ 500 00 $ $ Total Schedule II—General Fund—Total estimated expenses for $ the year—sum of items 1-6, H-5, III-7, IV 8, V 4, VI 4. VII-4, $12.066 46 VIII-7, IX-3, X $ $ $ $6,039 28 $4,782 08 $9.199 04 $12,799 15 $ Interest on warrants Interest on other indebtedness $ 3. Total Debt Service X. 137.12 $ EMERGENCY 7032 . ........ 166 64 $7,093.15 Schedule III — Bond Interest and Sinking Fund Bond Interest and Sinking Fund—Debt Service $1,140.00 100.60 $ 2. Principal on bonds (include negotiable interest-bearing war- rants issued under section 35-1104) Interest on bonds 3. Total Schedule III — Debt Service $1.240 60 $ 1. ................................... 33.60' 33 60 $ 570.00 74.10 $1,140.00 178.30 644 10 $1.318.30 $ 706.90 $ 407.60 Total All Funds Estimation of Tax Levy BRING LEGAL DESCRIPTION OF PROPERTY 20.00 I....... 25.00 28.10 1. 2, Second Installment of 1942 Tax Due June 15th $ DEBT SERVICE IX * A ESTIMATED EXPENDITURES Schedule II—General Fund Sugar Ration for Fruit WANTED — Wool and Mohair, hides and pelts, junk batteries, radiators, scrap iron and all scrap metals. Grants Pass Bar gain House, 624-626 So. 6th St. Phone 86. 50-t-f J FIRE AND AUTOMOBILE jn.! surance. See M. C. Athey at! ' 4_tf I the News office. Page Three Total e-timated expenditures DEDUCT: Total estimated receipts and available cash balances (Schedule I) Amount necessary to balance the budget DEDUCT: Deficit forwarded to next fiscal year Balance to be raised by taxation ADD: Estimated amount of taxes that will not be collected during the $13,307.06 TOTAL ESTIMATED TAX LEVIES FOR ENSUING FISCAL YEAR $13.627.06 180.00 13,127.06 hr « 13,127.06 500.00 Analvti* of estimated tax levie»: $ 2,067.69 Amount inside 6'> limitation Amount outside 6O limitation INDEBTEDNESS Amount of bonded indebtedness (include all negotiable interest bearing warrants is sued under section 111-1016, O. C. L. A.) $1,870.00 Amount of warrant indebtedness on war rants issued and endorsed “not paid for want of funds" .......................................... $3,000.00 Amount of other indebtedness (Secured by $3,000.00 Copco Stock). Total Indebtedne»» (item» 1, 2, 3) Dated this 4th day of May, 1942. Signed : EFFIE M. SMITH, District Clerk LUCIUS ROBINSON, Chairman, Board of Directoi - Approved by Budget Committee May 4, 1942. $1,870.00 Signed: EFFIE M. SMITH, Secretary, Budget Committee LUCIUS ROBINSON, Chairman, Budget Committee