THUBßDAT, JAlFuART 11. l|g
POOT AMERICAN.
,
.zi t TINIC'
NOTICE OF SCHOOL MF^s t (Oreg0n
High School News...
ters coming out on top at the
LAST QUARTER RALLY
GIVES POINTERS WIN
The Central Point High School
mada it T victories in 8 attempt»
Friday night, by edging Eagle
Point 43-32.
The game was played on even
terms with Eagle Point dominat
ing the first quarter and holding
the upper hand of a 9-13 score.
The second quarter was played
on even terms also and the Poin
ters garnered 16 to the Eagles 9
to lead at the halftime margin
23-22.
A hard fought third quarter
brought the score up to a 30-33
tie. Then the Pointers held them
to two foul shots while they
garnered 13 points to win the
game. A statement from Coacn
Warner, said the control of the
back-boards was the dominating
factor in that last quarter.
The junior varsity won their
game with the Eagles J.V. 32-14.
The Pointers j led * at - the
-• • hali
•• • 19-6.
“
Lineups:
E. P.
a. p.
Winkle
3
F
Hansen 21
Cox 4
F
Bigham 4
Hale 15
C
Franks 3
Simmons
3
G
I
West 9
Osborne 5
a
Trautman
6,
'
Substitutes: C.P.— Walker
Colley, Anhorn, Burns, Robinson.
E P.: Flury 2, Cahail, Mulho!-
len, Bradshaw, Damon.
Pointers Wallop
Etna Five, 43-28
half 17-15.
The Pointers started the sec
ond half with a bang as they
built up a ten point lead by the
end of the third quarter. The
Pointers controlled the fourth
quarter and collected 11 points
while Etna collected but 8.
Facey paced the Etna five with
14 points while Hansen led the
Pointers with 19 markers.
-----
Lineups:
ETNA
C. P.
Facey
14
F
Hansen 19
Snapp
8
F
Bigham 4
Wagner 3
C
Franks 4
Binghang 3
G
West 9
_
Collins
G
Trautman 1
Subs: Pointers—Colley 4, Wal
ker, Burns 2, Anhorn, Robinson.
----
Etna—Main, Hammer. Glenden-
not .« is hereby cam -
0(
- .. e.-* * - "
».u
the budget for the fiscal school year, beginning
y
levying a district tax.
.
BUDGET
R—.’nti »nd Available C»sh B-’-n
Schedule!
1.
2.
3.
4
I
7.
8
_____
HEM
T< HI Ail Funa-.______________________
$ 2.000.00
7.000.00
60,000.00
750.00
8,000.00
10.000.00
803.00
Estimated Receipts from
Delinquent Taxes
County School Fund
Basic School Support Fund
State Irreducible School Fund
High School Tuition
Elementary Tuition
High School Transportation
$83.550.03
15. Estimated Total Receipts ______________
16. Estimated Available Cash Balance or Deficit
(Add Cash Balance—Deduct Deficit)
100.00
17. Estimated Total Receipts and Available Cash
Balance or Deficit_____ _____ ________________
$88 650.m
FjfmdM Expenditures
hing.
l>
Seniors Lead in
Inter-class Games
The mighty senior boys lead
in the interclass basketball with
four games.
They defeated the freshmen
25 to 9, the sophomores 37 6. and
the juniors 14-12. They downed
the sophomores again 30-5.
In the other games the fresh
men topped the sophomores 17-
16.
Playing on the senior team are
Milton Hilkey, Ray Nitzschke,
Herb Cohen, Dick Dunn and
David Doran.
6. Total Expense of General Control_________
II. INSTRUCTION—Supervision
1.Personal service:
1. Principals______________________________ _
5. Total Expense of Supervision_____________
Ralph McGonagle
PLUMBING
III. INSTRUCTION—Teaching
1. Personal service:
1. Teachers______________________________
2. Library supplies, repairs
3. Supplies (chalk, paper, etc.)
4. Textbooks________________________________
Installation and
Repair
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
......
5. Water
__________________
6. Telephone
Phone lOxxl
351 If. Second — Central Point
Midway Meat Co.
8. Total Expense of Operation_______________
V. MAINTENANCE AND REPAIR
1. Repair and maintenance of
furniture and equipment
2. Repair and maintenance of:
1. Buildings
2. Grounds_________________________
CUSTOM KILLING, CUTTING
AND CURING
We Kill Hogs and Beef Everyday
Except Sunday
TABLE ROCK ROAD AT MIDWAY 4 CORNERS
E. R. (Ernie) White. Owner
Phone: Central Point 892
VI. AUXILIARY AGENCIES
1. Health service:
1. Personal service (nurse, etc.)
2. Supplies and other expenses
2. Transportation of pupils:
1. Personal service
2. Supplies and other expenses
3. Repair and replacement of busses
3. Other auxiliary agencies:
1. Personal service
3.
4. Total Expense of Auxiliary Aaencies
Stamper & Golf Bros
HARDWARE
*A< I Z./.l W4TI.ll PI'MPR—VS I 1,1, nuil.I.INO PI MP SKRV.
GENI It VI. P4INT—IIAHP44 AHF—HOVBKWAHR
QI AI.ITY TOO IM—M POHTI NO GOOIM4
Schools
Schools
I 2,000.00
$
1,534.00
75.00
250.00
30.00
$ 2,000.00
766.00
75.00
250.00
30.00
4.000.00
2,300.00
150.00
500.00
60.00
$ 2,400.00
2,100.00
100.00
300.00
60.00
$ 1,300.00
725.96
90.00
146.75
781.94
899.37
$ 3 839/13
$ 3,121.00
S
7.010.00
S 4 960.00
$ 2.944.02
$ 3.501.03
$ 2,800.00
$
6,390,00
$ 5,400.00
$ 6,228.00
$ 3,503.00
$ 2.800.00
S
6,300.00
$ 5,430.00
$ 6,228.00
$71,400.00
$34,350.00
$105,750.00
$98,150.00
$72,208.83
900.00
100.00
3,500.00
3.500.00
100.00
1,500.00
500.00
3,500.00
3,000.00
2,828.83
4,236.12
$78.500.00
$"6 450.00
$114 950.00
$99,650.00
$80.173.78
$ 5 000 00
Í.339.00
1,800.00
9)0.00
150.00
100.00
$ 3,000.00
670.00
900.00
600.00
150.00
100.00
$
8.000.00
2,030.00
2,700.00
1,501.00
30100
209.00
$ 6,000.00
1,000.00
2,400.00
1 000.00
300.00
100.00
$ 5,558.63
1,422.47
1,473.72_
1,199.81
148.79
295.44
$ 9,280.00
$ 5.420.00
$ 14 7^0.00
$10 800.00
$10.098.86
$
$
$
$
750.00
750.00
2.500.00
1 250.03
2,500.00
1.250.00
S 4 500.00
S 4.500.00
$
250.00
1,500.00
$
9 030.00
$
250.09
S 8 853.30
$ 4103.00
$ 13,153.03
$
$
652.00
3. Other fixed charges:
1. Retirement
4 000.00
2,000.00
4. Total Fixed Charaes
s 4 041.01
$ 2 652.00
2,090.00
$ 1.500.00
411.0’1
400.00
$ 2 400.03
$ 1 910.00
4 New furniture, equipment and replacements
6. Other capital outlays:
1. Library books
7. Total Capital Outlays
3 Total Debt Service Nnn-h«nd»d
X. EMERGENCY
Tank Gas for Cooking. Refrigeration & Water Heating
Quick Delivery—Low Rental Plan
1,595.00
$
$
250.00
6.35
2,689.91
1,748.67
2,344.33
2,700.00
1,500.00
1 500.00
$ 6.150.00
$ 7.770.16
$
$
600.00
Debt Service-Bond Interest and Sinking Fund
1. Principal on bonds (include negotiable interest-bearing warrants
issued under section 111-1016, OC.L.A
2 Interest on bonds
MOVING & HAULING---------------------------
CALL LARRY ESPIY-Phone Medlord 2888
Local & Long Distant-« Moving Commercial Howling
Personalised Storage Service
3. Total Schedule ITT—Dehf Service-Rond« and
960.64
5.000.00
4 267 54
$
7 595.11
$ 5 603.00
$ 5 228.18
$
3,500.00
____ ____
2,000.00
$18,9b9.96
2,015.58
800.00
610.00
784.04
$
4 333.00
$ 2 600.00
$21.769 58
$
150.00
$
T 50.00
$
2.330.00
ESTIMATION OF TAX LEVY
$ 2 500.00
$ 2 000.00
$141 361.00
$139 927.06
$ 67 884.00
$ 7 i9’.fl9
$ 3 342.50
$
7,590.00
1 041.00
$ 5.500.00
1.030.00
$
8 540.00
$ 6 510 00
Total All
Funds
HAROLD’S BABYTOWN
BOYS AND GIRLS APPAREL
Infante to 8 years
130 E. Main
WORLD BICYCLES
SIMS bROS.
23 N. FU Street
PERL FUNERAL HOME
ESTABLISH™ 190«
PERL’S EXCLUSIVE AMBULANCE SERVICE
Phone Dial Medford 2675
$ 4 803.00
_________
Me-iferd
FULLY INSURED—OXYGEN EQUIPPED
NO DISTANCE TOO GREATl
$ 3.720.00
SCHEDULE VI—Summary of Estimates of Expend’tures R“<-eipts and Available Cash Balances and Tax T evies
DAVIS TRANSFER and STORAGE
Phone 3472
$ 4.090.00
SCHEDULE lit—B-'nd Intere«! end Rink’nn Fund
223 Wool M<Mn
8th & Fir Streets
$ 371419
6 000.03
$179 155.00
Total Schedule IT—Cnner»1 Fund
California-Pacific Utilities Co.
$ 1,701.00
•
IX. DEBT SERVICE—NON BONDED
1. Interest on warrants
NOW!—City Gas Convenience for
Rural Homes!
Give Yearly
Totals
831.07
2,883.31
250.00
200.00
First Year
81.00
650.00
VIII. CAPITAL OUTLAYS
Business Directory
700.00
2,000.00
1,000.00
3,600.00
1,80100
7,500.00
1.200.00
600.00
2,500.00
2,430.09
1 209.00
5,000.00
VIL FIXED CHARGES
3JS tt—t Main
Detailed
Expendi
tures for the
Last Year of
the Two-Year
Period
High
S
4. Total Expense of Maintenance and Repairs
Budget
Allowance
In Detail
for the
Current
School Year
Expenditures for Two Fiscal
Years Next Preceding the
Current School Year
Elementary
ITEM
L GENERAL CONTROL
1. Personal service:
1. Superintendent
2. Clerk _______________________________
4. Compulsory education and census
3. Elections and publicity
4. Legal service (clerk's bond, audit, etc.) _
5. Other expense of general control__________
Estimated
Expendi
tures for
the ensn'ng
School Year
—!
■
SCHEDULE II—General Fund
The Central Point Pointers
traveled to Etna, California last
Tuesday to avenge last year's de
feat by whipping the Etna quar
tet 43-28. This made the fourth
straight win and one loss in 6
tries. The lead changed hands
many times in the first half with
Etna holding a two point margin
at the first quarter and the Poin-
Phone 5284
P”"'°' ““ PUrP°" °'
to'‘K
““ ~ ’
I
Total estimated expenditures
DEDUCT:
Total estimated receipt« 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______________________________
$187,695.00
Dated this January 3rd, 1949
Signed :
$179,155.00
Total Interest
and Sinking
Fund
Total
Schedule III
$ 8,540.00
88.650.00
99,045.00
A
Total estimated tax levies for eniu nq fiscal year
INDEBTEDNESS
1. Amount of bonded indebtedness (include
all negotiable interest bearing warrants
issued under section 111-1016, O.C.L.A.
4. Total Tndebtedn»«s
General Funds
Total
Schedule II
2,000.00
101 045.00
$101.045.00
$43.0)3.00
$48.000 00
MRS. MERLE OBENCHA1N
D strict Clerk
OTTO BOHNERT.
Chairman. Board of Directors
Approved by Budget Committee January 3. 1949
Signed
LEONARD J FREEMAN
Secretary, Budget Committee
FRED HALL.
Chairman Budget Committee
Notice of School Election Upon Question of Increasing Tax Levy
Over Amount Limited by Section 11. Article XI. State Constitution
Notice is h
given that an election will be held in School District
No 6 of Ja
n at the high school building in
I sch
t, for the purpose 1 f Mil mitting to the legal voters of
aid distr ct ’
• n J increa ing the tax levy for t e year 1949-1950
■ ver the ;te l bv sv.ti.-n 11, article XI, of the Constitution
of Oregon.
The reasons f< r increasing such levy are:
Under th > Rural School Law the local district has no base
there: re all amounts levied exceed the 6% limitation.
T! e an-
tax n ex.-e- < f the 6 '■ limitation, proposed to be
levied for said year is $101.045.00.
Dated this 3rd day of January, 1949.
ATTEST:
MERLE OBENCHAIN
OTTO BOHNERT
District Clerk
Chairman Board of Directors