Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (May 21, 1942)
TTB BUILDING RULING GIVEN Continued from First Page ordinary maintenance and repair work, or reconstruction of residences destroyed by fire or other accident after December, 1941, the chairman said. Persons wising to apply for auth orization to begin construction com ing within the provisions of the lim itation order should apply to the county USDA war board at the county agent's office. Necessary forms and instructions will be pro vided applicants. USDA war boards have been giv en the responsibility of certifying agricultural construction at the re quest of the War Production board, Baker said, in order that such con struction may be. obtained whenever it is necessary for attainment of ag ricultural production goals. APPRECIATION To those who supported me in the primary election on May 15, I wish to express my appreciation. For those in the road department who have served faithfully, underpaid j and under fire through the depres sion years, I thank you' for your loyal cooperation. For those who could not support me, you have un doubtedly done me a good turn. GEORGE N. PECK STAR Reporter FRIDAY-SATURDAY LADY FOR A NIGHT Joan Blondell, John Wayne, Ray Middleton, Philip Merivale A picture of superb quality and matchless entertainment a roman tic story from the mysterious and enchanting Deep South. . Plus RIDERS OF THE TIMBERLINE William Boyd, Brad King, Andy Clyde, J. Farroll MacDonald, Anna Q. Nilsson, Victor Jory The unusual locale and beautiful scenery make this story of Hopalong Cassidy and his pals a fine addition to the already popular series. Superman Cartoon in Technicolor SUNDAY-MONDAY LOUISIANA PURCHASE (In Technicolor) Bob Hope, Vera Zcrina, Vic Moore, Irene Bordoni, Raymond Walburn, Dona Drake, the cream of the Louisd- 1 ana Beauty Crop and all the breath less spectacle of a New Orleans Mardi Gras! Music and lyrics by Irving Berlin. It's the perfect mu sical entertainment plus the eye filling splendor of gorgeous Tech nicolor. TUESDAY Bargain Night Adults 25c Children 10c MISSISSIPPI GAMBLER Kent Taylor, Frances Langford, John Iitel, Claire Dodd, Shcmp Howard, Douglas Fowley A new and entertaining mystery irama. WEDNESDAY-THURSDAY CORSICAN BROTHERS Douglas Fairbanks Jr., Akim Tamir off, Ruth Warrick, J. Carroll Naish, H. B. Warner, Henry Wilcoxen Based on Alexander Dumas' thrilling classic of twin brothers, separated in infancy and joined together in manhood to live, ride and fight to gether thru the most startling and daring adventures in all screen his tory. : plus : TUNE TIME A musical short subject starring Jan Garber and his Orchestra, June Haver, Donald Novis, and the King's Men and featuring "White Cliffs of Dover" and "Elmer's Tune." Heppner Gazette Times, May 21 , 19425 NOTICE OF SCHOOL MEETING NOTICE IS HEREBY GIVEN to the legal voters of School District No. One, of Morrow County, State of Oregon, that a SCHOOL MEETING of the said district will be held at City Hall on the 15th day of June, 1942, at 2 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 vote on the proposition of levying a district tax. Schedule I BUDGET Estimated Receipts and Available Cash Balances Total All Funds 1. Estimated available Cash Balance or Deficit at beginning of fiscal year for which this budget is made (Add Cash Balance Deduct Deficit) 2. Estimated Receipts from Delinquent Taxes during fiscal year for which this budget is made 3. Estimated Receipts from Vocational Education (Smith-Hughes) 4. Estimated Receipts from County School Fund 5. Estimated Receipts from Elementary School Fund 6. Estimated Receipts from State Irreducible School Fund . - 7. Estimated Receipts from High School Tuition - - r 8. Estimated Receipts from Elementary Tuition - - 9. Estimated Receipts from High School Transportation 13. Estimated Receipts from Rentals - 14. Estimated Receipts from Sales of Supplies, Property, or Equipment 16. Estimated Total Receipts and Available Cash Balance or Deficit -573.80 1,573.80 1,170.00 2,800.00 2,300.00 375.21 4,425.00 3,060.00 3,500.00 480.00 180.00 $19,210.21 General Fund Bond In terest and Sinking Fund $ 1,704.51 $-2,278.31 Schedule II General Fund Estimated Expenditures ITEM Element ary Schools GENERAL CONTROL 1. Personal service: (1) Superintendent (2) Clerk .: i. (3) Stenographers and other office assistants (4) Compulsory education and census , (5) Other service 2., Supplies 3. Elections and publicity 4. Legal service (clerk's bond, audit, etc.) 6. Total Expese of General Control $ 615.00 125.00 285.00 10.00 50.00 70.00 50.00 40.00 $ 1,245.00 H. INSTRUCTION Supervision 1. Personal service: 1. Principals ..... 2. Supervisors 2. Supplies, principals and supervisors 4. Other expense of supervision 5. Total Expense, Supervision III. INSTRUCTION Teaching Personal service: (1) Teachers (2) Smith-Hughes Agriculture, Home Economics (3) Smith-Hughes Transportation (4) Librarian 2. Library supplies, repairs 3. Supplies (chalk, paper, etc.) 4. Textbooks 7. Total Expense of Teaching - 120.00 400.00 30.00 $ 550.00 High Schools Estimated for the Ensu ing School Year Expenditures & Bud get Allowance for Six Months of Current School Year Expendi tures in Detail 615.00 125.00 285.00 10.00 50.00 70.00 50.00 40.00 1,245.00 120.00 400.00 30.00 $ 550.00 $ 1,230.00 250.00 570.00 20.00 100.00 140.00 100.00 80.00 $ 2,490.00 $ 240.00 800.00 60.00 $ 1,100.00 $ 649.98 125.00 195.75 40.10 28.04 20.45 87.50 $ 1,146.82 137.50 433.33 42.67 $ 613.50 Budget Al lowance in Detail 650.00 125.00 225.00 10.00 40.00 70.00 50.00 40.00 1,210.00 Expenditures for Three Fiscal Years Next Preceding the Cur rent School Year Detailed for the Last Year of the Three-yr. Period Second Year (Give Yearly Totals) First Year (Give Yearly Totals) $ 1,300.00 250.00 300.00 20.00 31.46 126.22 100.00 80.00 $ 2,454.37 $ 137.50 433.33 30.00 $ 600.83 $11,375.00 100.00 10.00 405.00 300.00 $12,190.00 IV. OPERATION OF PLANT Personal service: (1) Janitors and other employees 2. Janitors' supplies 3. Fuel 4. Light and power 5. Water 6. Telephone .. 8 Tntal P.vnpnsi nf Otwrnfinn $ 1,130.00 210.00 400.00 310.00 100.00 42.50 $ 2,192.50 $ 8,730.00 1,170.00 230.00 550.00 10.00 405.00 400.00 $11,595.00 $ 1,130.00 210.00 400.00 310.00 100.00 42.50 $ 2,192.50 $20,105.00 1,170.00 230.00 650.00 20.00 810.00 700.00 $23,685.00 $ 2,260.00 420.00 800.00 620.00 200.00 85.00 $ 4,385.00 $ 8,882.30 531.25 37.05. 220.00 13.10 504.47 711.80 $10,899.97 $ 1,082.78 - 367.40 472.27 161.20 43.15 52.50 $ 2,179.05 $ 8,687.91 531.25 115.00 247.50 7.50 3G5.00 350.00 $10,304.16 250.00 600.00 49.62 6.73 906.35 $ 2,392.61 $17,814.45 180.43 246.48 897.55 614.29 $19,753.20 $ 1,006.25 200.001 395.00 310.00 110.00 42.50 $ 2,063.75 $ 1,623.00 408.00 708.75 656.G0 161.80 133.53 3,558.15 $ 919.45 $ 2,348.66 $ 524.00 $19,500.83 $ 3,615.45 $18,000.36 $ 3,674.86 V. MAINTENANCE AND REPAIRS . 1. Repair and maintenance of furniture and equip $ 125.00 $ 125.00 $ 250.00 $ 361.78 $ 200.00 $ 146.41 2. Repair and maintenance of buildings and grounds.... 325.00 325.00 650.00 883.27 400.00 10.46 4. Total Expense of Maintenance and Repairs $ 450.00 $ 450.00 $ 900.00 $ 1,245.05 $ 600.00 $ 1,686.87 $ l,2o6.28 $ 1,952.27 VI. AUXILIARY AGENCIES 1 Jlcciltli service l; Personal service (nurse, etc.) $ 30.00 $ 30.00 $ 60.00 $ 32.00 $ 25.00 2. Supplies and other expenses 50.00 50.00 100.00 69.10 40.00 100.00 2. Transportation service ... 3,500.00 3,500.00 917.2D 1,750.00 3,658.46 3. Other auxiliary agencies: - M irwvv (2) Supplies and other expenses, Band .59 oO.W) 100.00 m Hot hmrh 75 00 75.00 150.00 27.17 65.00 93.49 4 Total Sense of Auxiiiary Agencies":: $ ISsioO $ 3,655.00 $3,810.00 $ 1,092.15 $Jj3O00 $ 3,951.95 ;$ 4,925.60 $ 2,730.49 XVlXF:l $ 70.20 $ 70.20 $ 140.40 $ 37.80 $ 300.00 3. Other fixed charges: , (1) Northwest Association 5.00 5.00 s uu 4.Staixef $ 70.20 $ S $ S $ 37.80 $ 305.00 $ $ 258.80 keltLTbumngs (not re $ 200.00 $ 200.00 $ 400.00 $ 421.86 $ 250.00 $ 099.86 4. New furniture, equipment and replacements 175.00 175.00 350.00 749.98 372.00 790.82 UtI 90.00 175.00 265.00 192.82 142.50 258.25 7. Total "Capiiai"butiays": $ 465.00 $ 550.00 $1,015.00 $ 1,364.66 $ 764.50 $ 2,400.81 $ 1,627.90 $ 2,075.71 tt.ftoLS?SLirt. 29565 25000 $16S? 5 ToteTpebt feinb!L:::::::::::::::: $ 295.65 $ 25o.oo mmm X EMERGENCY $ 1,500.00 $14,753.45 $17,682.54 ' Total Schedule nlcneraT Fu for the year $39,042.40 $18,874.65 I $19.028.24 $51.889.86 $49,046.52 $49,342.20 Schedule 111 Bond Interest Sinking Fund .III' BOND INTEREST AND SINKING FUND Debt Ser- I vice 1. Principal on bonds (include JIM?"" $ 4,000.00 $ 3,500.00 $ 2,950.00 $ 3,500.00 bearing warrants issued under section 35-1104) , 1177,30 v Tiia,oaf r-rt Vvmria - ' 3. TotorSchedulein-Debt Service - ' ' 400000 ' $ 4-677 30 ' 4'85235 ' 5027 60 Indicates principal items used in Third Class Districts. Schedule VI Summary of Estimates of Expenditures, Receipts and Bond In General terest & Total All Fund Sinking ESTIMATION OF TAX LEVY Funds Total Fund Schedule Total H Schedule m Total estimated expenditures $43,842.40 $39,042.40 $ 4,800.00 DEDUCT: Total estimated receipts and available cash balances (Schedule I) 19,210.21 19,210.21 Amount necessary to balance the budget 24,632.19 19,832.19 Total estimated tax levies for ensuing fiscal year $24,632.19 Analysis of estimated tax levies: Amount inside 6 limitation $19,832.19 Amount outside 6 limitation I $ 4,800.00 I I Indebtedness Amount of bonded indebtedness (include all nego tiable interest-bearing warrants issued under Section 111-1016, O. C. L. A.) $16,000.00 Amount of warrant indebtedness on warrants is sued and endorsed "not paid for want of funds" 1,000.00 Total Indebtedness - - $17,000.00 Dated this May 11th, 1942. Signed: EVELYN S. ISOM, District Clerk. CHAS. W. BARLOW, Chairman Board of Directors, Approved by Budget Committee, May 11th, 1942. Signed: JOSEPH NYS, Secretary, Budget Committee. L. D. TTBBLES, Chairman, Budget Committee.