Illinois Valley news. (Cave City, Or.) 1937-current, June 10, 1943, Page 4, Image 4

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    Page Four
Illinois Valley News, Thursday, June 10, 1913
STOVE PIPES NEED
LOOKING AFTER
Stove pipe and stove pipe elbows
will be obtainable only in limited
quantities next winter.
If you
own of use heating stoves, you
should give your stove pipes the
best of care all summer, suggests
Ruth E. Crawford, home demon­
stration agent.
Guard against
rust, repair small holes, ami then
paint before storing the pipes for
the summer.
Sandpaper and fine scouring
powder will usually remove rust.
Asbestos furnace cement which is
available at hardware stores is
satisfactory for filling small holes
and scratches.
A good coat of
heat resistant paint will protect
the pipe against rusting in the
future. Wrap pipes in heavy pa­
per and store for the summer in
a dry place. A dry attic is us­
ually a good place to store them.
This is just another way in which
the homemaker can protect what
is on hand through better care
and repair.
Tuberculosis Can Be Whipped
With Early Diagnosis
NOTICE OF SCHOOL MEETING
ex*
NOTICE IS HEREBY GIVEN to the legal voters of School District No. I.'-l, of Josephine County. State of Oregon, that a SCHOOL
MEETING of the said district will be held at High School Building, on the 28th day of June, 1943 at 2 o’clock p. m., for the purpose of
discussing the budget for the fiscal school year, beginning July 1, 1943, and ending June 30, 1944, hereinafter set forth, and to elect
one director for a term of five years.
Morning worship, 11 a. m.
Young People's service, 7:45 P
tn.
Evening service, 8:15 p. m.
Prayer meeting Wednesday,
P- m.
o-
BUDGET
Estimated Receipt« and Available Cash Balance*
Schedule I
1
2
ILLINOIS VALLEY CHURCH
OF SEVENTH DAY
ADVENTISTS
Sabbth School at 9:30 a. m.
Preaching Service 11:00 a. m.
Prayer meeting Wednesday at
7:30 p. m.
You are invited to meet with
us.
F. W. Cooper, elder, Cave Junc­
tion.
■o-
Estimated available Cash Balance or Deficit at beginning of fiscal year for which this budget is made
(Add Cash Balance—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 State Irreducible School Fund
Estimated Receipts from High School Tuition ...................
Estimated Receipts from Elementary Tuition ...................
Estimated Receipts from High School Transportation
Estimated Receipts from Elementary Transportation
Estimated Receipts from Cafe;.
Estimated Receipts from Interest
.........................
Estimated Receipts from Rentals
......................................
Estimated Receipts from Sales of Supplies, Property, or Equipment......
Estimated Receipts from Other Sources........... ...............................................
$
180,00
Estimated Total Receipt« and Available Cash Balance or Deficit
$
180.00
KERBY SUNDAY SCHOOL
Sunday school at I. O. O. F. hall,
9:45 a. m.
o-
ESTIMATED EXPENDITURES
CAVE JUNCTION COMMUNITY
CHURCH
ITEM
Geo. II. Gray, Pastor.
Sunday School—10 a. m.
Morning worship—11 a. m.
Young People’s Society—8 p. m.
Budget
Allowance
Expenditures
in Detail
GENERAL CONTROL
Personal service:
1.
“Follow the Example of the
i 1 I Supei :ntend*-nt
(2) Clerk
$
50.00
Armed Forces- Get a Chest X-
(5j Other services
...................
The Sunday School lesson was
35.00
Ray” is the slogan of the 1943
2. Supplies ............ .........................
10.00
Early Diagnosis Campaign to fight “Facing Persecution Today.’’ Gol­
,‘L Elections and publicity .....
80.00
den
text
was
“
For
it
is
better,
if
tuberculosis.
4. Legal service (clerk’s bond, audit, etc.)
20.00
5. Other expense of general control
I\ rsons who are unable to pay the will of God be so, that ye suf­
60.00
for chest X-rays may get them free fer for well doing, than fol­ evil
6.
Total
Expense
of
General
Control
$ 255.00
of charge through the county doing." ti Peter 3:17).
Rev.
on
Gray
’
s
sermon
was
health association.
INSTRUCTION—Supervision
Seven men from Josephine j “Baptism and Communion.” His
1. Personal service:
text
was
from
Go
ye
the
Bible
county rave beet: rejected by th<-
i I i Principals
$2,000.00
2. Supplies, principals and supervisors
120.00
armed forces nc'-iuse of tubercu­ therefore, and teach all nations,
baptising them in the name of the
losis.
5.
Total Expense of Supervision
$2,120.00
Investigation of your own con-1 Father and of the Son, and of the
dition may prevent you from be­ Holy Ghost; teaching them to ob- III. INSTRUCTION—Teaching
ing as unfortunate as these- men serve all things whatsoever I have
Personal service:
1.
commanded you and lo I am with
were.
( 1 ) Teachers
...... $5,460.00
(2)
................................
Early diagnosis of tuberculosis, you alway, even unto the end of
<a> ...................................................
plus prompt treatment under com-, the world.” (Matthtw 28).
2. Library supplies, repairs
75.00
Mrs.
Clara
Dick
sang
a
beauti-
petent medical supervision, speeds,
3. Supplies (chalk, paper, etc.)
275.00
recovery and checks the spread of ful solo.
I. Textbooks ....................................
30.00
Rev. Gray ]
the disease.
$5,840.00
7. Total Expense of Teaching
Tiredness, lack of energy, loss' tismal service
of appetite and weight and a cough1 All are welcome
IV. OPERATION OF PLANT
that hangs on may lie danger sig­ services.
1. Personal service:
nals of tuberculosis.
$ 960.00
(1) Janitors and other employees
o-
(2)
...................
(31
SCHOOL TEACHERS
•>
200.00
Janitors’ supplies
................
ENJOY VISIT IN VALLEY
3. Fuel
......................................................
283.25
180.00
4. Light and power .......................
Mrs. R. M. Calhoun, living in
5. Water
one of the cabins at the Esterly
$1,603.25
8. Total Expense of Operation
mine, had
I
as her guests for the
past week, her sister, Miss Leia
Battle of the Atlantic
Peterson; Miss Margo Wright, V. MAINTENANCE AND REPAIRS
1. Repair and maintenance of furniture and equipment $ 125.00
A sinking smokestack, a great air and Miss Rose Hoosier all teachers
•>
Repair and maintenance of buildings and grounds:
bubble, an empty lifeboat, all that from Heppner, Oregon,
During
175.00
( I I
.... ..............
is visible of a torpedoed tanker, all
(2i
......................................
...................
that Is evident of the hard work, the their visit they enjoyed a trip
100.00
3. Other expense of maintenance and repairs
savings we put into War Bonds to down the Illinois river to the Black
build this tanker, to load it with Beauty chrome mine which was a
$ 400.00
Total Expense of Maintenance and Repairs
4.
50,000 gallons of high octane gas.
new and interesting experience to
them. They also enjoyed seeing VI. AUXILIARY AGENCIES
he Esterly home and hearing the
Health service:
1.
15.00
$
(2)
Supplies and other expenses
■arly history of the rich gold mines
2. Transportation of pupils:
of this valley, which they stated,
900.00
(1 )
Personal service
would add a bit of color and ro­
450.00
(2)
Supplies and other expenses
mance to an Oregon history course.
750.00
(3) Repair and replacement of busses
They left Saturday evening for
4. Total Expense of Auxiliary Agencies
$2 .1 15.00
Portland where Miss Peterson and
Our money is still safe but the Mis Wright will be employed as VII
FIXED CHARGES
tanker is lost forever. Another and recreational directors in the city
$ 160.08
1. Insurance
another and another must be built parks for the summer months.
2.40
2. Rent
...........
to take its place
Miss Hoosier ieturned to Eastern
4. Total Fixed Charge«
$ 162.48
The men who sail ihe seas are Oregon. They all agreed that the
giving (heir lives to win the Battle
Illinois
valley
was
n
wonderful
of tlie Atlantic. We are asked only
VIII
CAPITAL OUTLAYS
place to spend a much longer va­
to lend our money.
2. New buildings
$ 250.00
V. .y / rrjtHty
M 1 cation.
3. Alteration of buildings (not repairs)
556.25
4. New furniture, equipment and replacements
6. Other capital outlays:
100.00
(1)
Library books
........... ........ . .....
*
Expenditures for Three Fiscal Years Next
Preceding the Current School Year
Detailed
First Year
Second Year
Expenditures
for the Last
C.ive
Yearly
(îive Yearly
Year of the
Totals
Totals
Three-Year
Period
Expenditures anti Budget
Allowance for Six Months of
Current School Year
Estimated
Expenditures
for the
Ensuing
School Year
35.00
2.20
75.40
$
$
$
$
$
874.58
$
128.75
900.00
65.00
40.00
35.00
10.00
42.00
12.32
61.16
965.00
$1,900.00
30.00
147.00
10.00
53.61
6.28
$
390.00
$2,707.00
$
$
$
187.50
$
$
106 43
13.75
$
$1,036.82
$
528.78
$
532.50
$
534.29
$
160.08
2.40
$
160.08
1.20
$
320.16
2.40
$
906.25
161.28
$
$
$
$
322.56
150.00
180.00
1 .328.92
370.80
20.20
50.00
71.96
$
170.20
$1 ,771 68
230.00
1.
2.
Interest on warrants
Interest on other indebtedness
$
25.00
$
.75
$
•
62.50
90.00
$
117.79
180.00
3.
Total Debt Service
$
25.00
$
75
$
152.50
$
297.79
$
500 OO
DEBT SERVICE
IX.
X.
EMERGENCY
Total Schedule ¡1—General Fund--- Total estimated ex-
peases for the veal sum of items I 6. II-5, 111-7. IV-8,
$13.926 98
V 4. VI 4. VI1-4, VII1-7, 1X-3, X.
$
949.02
$
835.55
$
305.65
$
142.88
$
123.84
177.07
524.77
13.75
$
$4,280.58
9.52
$
$
162.48
$4,343.44
31.20
13.05
525.00
$
$1,800.49
484.53
$
252 50
7.50
$1.900.00
125.71
208.80
117.31
20.00
10.00
25.00
$
186.58
585.00
$
$ 653.70
596.70
106.43
$5,067.39
100.00
153.70
100.00
92.11
75.00
30.19
9.40
$
300.00
$
196.58
$1,800.00
100.00
15.00
$2,007.50
$
200.48
$5,007.50
Will IIIIMI.'i
$
805.00
69.58
$
$
$2,520.00
'What'Lfou ßutf. With
Total Capital Outlays
112.60
25.00
17.50
6.25
40.00
10.00
30.00
$1,992.50
★
7.
$
$
$4 045.01
$5.783 23
$11.659 79
300.00
52.00
$
$
570.00
50.30
$1.140.00
100.60
$
$
620.30
$1.240 60
$
182.22
$
$
964 12
$5.077.52
$
358 01
$
$9.199 04
166 64
$12,791.15
Schedule 111 —Bond Interest and Sinking Fund
Debt Service
Bond Interest and Sinking Fund
I.
Principal on bonds (include negotiable interest-bear­
•»
ing will rants issued under section 111-1016. O. C.
I 1
Interest on bonds
A.$
3.
Total Schedule III
—
$
352 00
$
500.00
Debt Service
16.80
16.80
$1.318.30
$
706 90
Special Improvement Fund—Capital Outlay«
3.
Alteration of buildings (not repair*)
7
Total Schedule V—Capital Outlay*—Special Improve-
$
ment Fund
Schedule VI
50000
Summary of Estimates of Expenditure«, Receipt« and Available Cash Balance«, and fax Levies
Total
Total estimated expenditures
DEDUCT
, Total estimated receipts and available cash balances
(Schedule I)
TOTAL Estimated Tax Levies for Ensuing Fiscal Year
$14.778.98
•>
3
4
General Fumi
Total Schedule 11
Sinking Fund
Total Sc hedule 111
Sfievial Impnivemen
Fund
Total Schedule V
$13.926.98
$
352.00
$
500.00
$13.926 98
$
35200
$
500 00
180.00
$14.598 98
INDEBTEDNESS
1.
Ml Fund*
Amount of bonded indebtedness (include all negotiable
interest-bearing warrants issued under section 111-1016.
$6.10.00
O C 1. A
Amount of warrant indebtedness on warrants issued and
endorsed "not paid for want of funds"
Amount of other indebtedness
$630 00
Total Iindebtedness («urn« of item« I. 2. 3
Dated this "rd day of June. 1943
Signed
EFFIE M. SMITH,
District Clerk
LUCIUS ROBINSON,
Chairman Board of Directors.
Approves! by Budget Committee May 3. 1943.
Signed:
EFFIE M SMITH
LUCIUS ROBINSON
Secretary. Budget Committee
Chairman, Budget Committee