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About The Central Point American. (Central Point, Or.) 1936-195? | View Entire Issue (May 21, 1942)
THURSDAY. May 21. I»42 CENTRAL POINT AMERICAN, CENTRAL POINT, OREGON -*- 9 PAGE THREE W General Logan’s Memorial Order III. Department commanders will If other eyes grow dull and other hands slack, and other hearts cold in use every effort to make thia order the solemn trust, ours shall keep it effective. well, as long as the light and warmth By command of Headquarter*. Grand Army of together the soldiers, sailors, an J of Ufe remain in us. JOHN A. LOGAN. the Republh- marines who united to suppress th»* Commander-in-Chlef. Let us. then, at the time appointed, Wa^hington, !>. C., late rebellion.” What can aid more gather around their sacred remains May 5. 1868 to assure this result than by cherish and garland the passionless mounds General Order*. ing tenderly the memory of our above them with choicest flowers of No. 11 heroic dead, who made their breasts springtime: let us raise above them I. The 30th day of May, 1468. I h a barricade l>etween our country and the dear old flag they saved from dis designated for the purpose of strew- its foes? Their soldiers lives were honor; let us in this solemn presence ing with flowers of otherwise de- the reveille tyranny in arms. We renew <ur pledges to aid and assist corating the graves of comrades wh< 8th Annual ••'The Pointer of the should guard their graves with «acred those whom they have left among us died in defense of their country dur vigilance. All that the consecrated as sacred charges upon the Nations High School,” edited by Donald Sny ■ ' ing the late rebellion, and whose wealth and taste of the Nation can gratitude,—the soldier's and sailor's der.. are being distributed to thaj bodies now lie in almost every city, students and teachers. add to their adornment and security widow and orphan. village, and hamlet churchyard in th'* is but a fitting tribute to the memory Mr. Frank Cochran, on a trip to I I I. It is the purpose of the Coni- land. In this observance no form or of her slain defenders. Ix*t no wan mander-in-Chief to inaugurate this Gold Ray dam, killed a rattlesnake' ceremony is presetibed. but posts and ton foot tread rudely on such hal observance with the hope that it will with eight rattles. comrades will in their own way ar lowed grounds. Let pleasant paths be kept up from year to year, •while Mrs. E. R. Gleason and Mrs. E. J.| range such fitting services and testi invite the coming and going of re a survivor of h war remains to honor Vincent left on the stage for Eugene monials of respect as circumstances verent visitors and fond mourners. the memory of his departed com to attend annual state session of may permit. Let no vandalism of avarice or neg rades. He earnestly desires the l.O.O.F. and Rebekah Lodges. We are organised, comrades, as our lect, no ravages of time, testify to the public press to call attention to this Mrs. Fleischer left Sunday for regulations tell us. for the purpose. present or to the coming generations j order, and lend its friendly aid 1:> Seattle to spend her vacation with Y. among other things, “of preserving that we have forgotten, as a people, i bringing it to the notice of comrades relatives. and strengthening those kind and the cost of a free and undivided re- in all parts of the country In time for Twenty-six seniors graduated front fraternal feelings which have bound public. simultaneous compliance therewith. High School May 20th. ARTHUR’S MIGHTY AMERICAN ; TEN YEARS AGO 5 THIS WEEK ♦' NOTICE OF SCHOOL MEETING > .. IS HERE,,Y GIX’EN to the legal voters of School District No. 4. of Jackson County, State of Oregon that a Si’HIMH MFl'TlNti X"nsrsx£ ST “""i“' ”1 '- ••*•» y.ai. ginning July I. 1942. and ending June 3o 194 3. hereinafter ret forth, and to vote on the proposition of levying a district tax. Schedule I 2. 4. 5. 6 7. 8. 4 4 CENTRAL POINT a 5 BIG DAYS BTDGET Estimated Rcwipte and Available ( ash Halnnce. 3 1. CIRCUS Total All Finds Estimated avallali 1» Cash Balance or Deficit at beginning of fiscal year for which this budget is ma le (Add Cash Baiano ?—Deduct Deficit) Estimated Receipts from Delinquent Taxes during fiscal year for which this budget is made 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 front Elementary Tuition .0. .4 4.600.Oil 4.440.00 3.500.00 2,500.00 400.00 3,500.00 3110.00 10. Estimated Total Receipts anti Available Cash Baiane«* or Deficit Schedule* II—General Fund General Fund Bond Intereat and Sinking Fund I 3,KHT.00 » COMING 753.00 Tuesday, May 26 •23.440.00 ESTIM ATED EX I’EN DITI KES Expenditures and Budget Allowance for 6 Months of Current School Year • Elementary Schools ITEM I GENERAL CONTROL 1. Personal service: 1. Superintendent 2. Clerk ..................................... 4. Census ..................... ........................................... 3. Elections and publicity .. 4. Legal service (Clerk's bond, audit, etc.) 5. Other expense of general control x » High Schools 267.50 87.50 12.50 25.00 30.00 50.00 267.50 87.50 12.50 25.00 30.00 50.00 8. Total Expense of General Control II. INSTRUCTION—Supervision 1. Personal service: 1. Principals Estimated Expendi tures for the Ensuing School Year Expendi- ture in Detail « » 332.30 « 447.00 » 3 1.465.00 » 932.50 f 932.50 3 1,070.00 » 1.86.3.(Ml « »32.50 » 032.50 » 1,070.00 S « 955.00 Budget Allowance in Detail 267.50 87.48 25.00 51.70 60.00 38.82 3 535.00 1 75.00 25.00 50.00 60.00 loo.oo Expenditures for Three Fiscal 1 Years Next Preceding the 1 Current School Year 1 Detailed Expendi 1st Year | ? tures for 2nd Year the Last Give Yearly Give Yearly 1 Totals I Year of Totals the 3-year Period » 247.50 87.50 1 2.50 30.00 50.00 .535.00 175.00 25.00 S 4118.20 S Sportsmen’s Club Trained Clowns Animals and Many Circus Features i 60.00 156.98 »01.»5 A uspices «73.75 • 932.50 $ * 932.50 5. Total Exitense. Supervision 1 9.790.00 500.00 800.00 7. Total Expense of Teaching IV. OPERATION OF PLANT 1. Personal service: 1. Janitors and other employees 2. Janitors' Supplies 3 Fuel ....................... 4. Light and power • W.l ! • ! 6. Telephone S 1.070 (H) « 1,070.00 Make III. INSTRUCTION—Teaching 1. Personal Service: 1. Teachers .................................................................... 3. Supplies (chalk paper, etc.) 4. Textbooks 1 7.750,00 500.00 »17,540.00 l.ooo.oo 8 00.00 3 5,418.00 548.64 504.28 3 7.250.00 400.00 200.00 314.623.01 759.68 616.84 • 1 ».340.00 s «.470.02 S 7.«50.00 • 15.000 53 » 1.200.00 300.00 750.00 175.0* 1 00.00 50.00 $ 2.400.00 600.00 1.500.00 350.00 200.00 50.00 !‘ 834.85 249.02 250.00 158.33 69.50 36.26 3 675.00 212.50 350.00 175.00 112.50 25.00 3 1.250.00 454.93 616.19. 336.10 145.42 57 61 $ 3 500.00 1,000.00 » 131.97 1.379.30 3 250.00 400.00 3 • 1.51 1.27 • 630.00 • 5.«M'S.«4 » 1 25.00 50.00 5 2 5.00 125.00 3 150.00 * —1 » 1,200.00 300.00 750.00 175.00 100.00 ............... ........ Yonr Headquarters when In Mulford. RICH F IELD HI-OCTANE — U.S. TIRES * BATTKRIE r •15.37».«« ELECTRIC SERVICE and CARBURETOR SERVICE »15.355.0« CHET LEONARD Super Service Riverside at Sixth Dial 427« Medford K. Total E«|M1ise of Operation V MAINTENANCE \ND REPAIRS 1. Furniture and Equipment 2. Buildings and Grounds 250.00 500 00 ... 3 250.00 500.00 • 1.500.00 4. Total Expense of Malnteiuiii<*e and Rc|Milrs VI. AUXILIARY AGENCIES 1. Health service: 1. Personal service (nurse, etc.) 2. Supplies and Lunches 2. Transportation of pupils 3. Library Books '4. Total Ev|H ii«e of Auxiliary 250.00 1 50.00 3 3 150.00 1,100.00 250.00 300.00 1,100.00 ♦ ; i 1.046.32 39.07 r WRESTLING! 361.35 5.327.49 » 1.24«.«7 » 1,571.40 MEDFORD ARMORY 363.70 388.50 108.71 ■ ■ Monday Night Xgvncie** Begins 8:30 X II. FIXED CHARGES 1. Insurance ................ « 4 400 00 » 332.35 3 ■ ■ 343.75 Thrills - Spills - Exitement 4. Total Fixed ( barges VIII. CXP1TAL OUTLAYS 2. New buildings 4. New Furniture, equipment 1. Library Books ....... ........... 4 500.00 4 500.00 250.00 7. Total Capital Outlays i 1.000.00 250.00 420,000.00 5 712.30 ! 275.00 4 453.4» .................................... .. ........................ .............. « 1.250.00 • 712.30 » 2.500.1th X. EMERGENCY »31.560.00 TOTAL SCHEDI LE II—Genital Fund •13.237.2» The Nation’s Best Talent TICKETS ON SH E AT THE OWL f LI B • 275.00 •20.450.00 • S 750 00 » 1.500.00 » 1,500 00 »15.430.00 »50.073.»2 427.3« »21.703.«! • 711.02 » 1.500 00 »25.S»1.5K ♦ ♦ ♦ ♦ ♦ ♦. Scbislulc III—Bond Interest and sinking Fund Bond Interest and Sinking Final—Debt Service 1. Principal on bonds (include negotiable Issued under section 35-1104» 2. Interest on bonds ........... interest-bearing warrants .1 Total Schedule III—Debt Servite 3 3.000.00 700.00 4 2.000.00 725.00 » 3.7tHt t>o • 2.725.(Ml ♦ ♦ » 2.025.00 » 4.005.00 schedule VI—Summary of E-tlmat«**. of Exiwwllturra. Receipt** and Xvallahh* ( ash Balances. nnd Tax Is* vies Total All Funda ESTIMATION OF TAX LEVY EXPERT CLEANING SUITS ♦. COATS DRESSES « XI.I. I OR AND DELIVER Bond Interest and Sinking Fund Total Schedule III • 34 SOO 00 I ».704.00 ♦ .♦. ♦ ♦. ♦ ♦ Acme Dry Cleaners and DYERS Mrdfortl 172« N. Riverside Pitone 4203 14.020.00 Estimated amount of taxes that will not be collected during the fiscal year for Which •'•!- Ml • "'■■■id Medford Meat Company 4.040.00 • ik. noo . no Total estimated tax levies for ensiling fixai year Xnalysl« of estimated tax levies; Amount Inside 6*« limitation Amount outside limitation Fresh Meats & Sausage Products 15.140.00 1.700.00 Dated this May ». 1942 Sign-d C. W ABBOTT District Clerk INDEBTEDNESS 1. Amount oi bonded indebtedness (include all n< grtlahle interest-bearing warrants issued un der section 111-1014. O. C. L A.) 4. Total IndebtcdncH- ci ♦. penerai Fund Total Schedule II »38,260 00 Total estimated expenditures DEDUCT: Total estimated receipts and available cash balance I Schedule It Amount necessary balMM the budget DEDUCT: l:,li!i . to !>•• raised by taxation ■ Ti■■■■■■■■■■■■■■■■■■■■■■•■■■■•■■■■■■■■■■a 127.000.00 S27.< mmmm » M A ADAMS Chairmhn. Board of Directors Approved by Budget Committee M*y Ith 19 42 Signed J E. VINCENT OTTO H BOHNERT Secretary, Budget Committee Chairman. Budget Com t*k for Our Meat at Your Izunl Market« MIDWAY ROAD PHONE 3062