Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 8, 1944)
CHURCHES FIRST METHODIST CHURCH Bonnie Howe, Minister SUNDAY, June 11: Divine worship at 11 . a. ra. Sunday school at 9:45 a. m. Thursday evenings: Bible study and prayer at 7:15. Choir rehearsal at 8:15 o'clock. THOUGHT FOR THE WEEK: It is all right for the ship to be on the ocean but not for the ocean to be in the ship. It is all right for the Christian to be in the world, but not for the world to be in the Christian. Moody. ALL SAINTS EPISCOPAL Archdeacon Neville Blunt Holy Communion 8 a. m. Church School 9:45 a. m. Morning worship 11 o'clock CHURCH OF CHRr-iT O. Wendell Herrison. Pastor Bible school 9:45. A class for ev ery age. Morning worship 11 a. m. Christian Endeavor, 7 p. m. Evening service, 8 o'clock. CHURCH 0'IONE COOPERATIVE H. N.'Waddell, Pastor Bible school. 10 a. m. Worship service 11 a. m. Union daily Bible school program Tuesday 8 p.' m. Bible study Thursday 2 p. m. Union aid meeting. A friendly church extends to all a cordial welcome. ST. PATRICK'S CHURCH Rev. Francis McCormack Pastoi Mass on Sunday, June 11 will be held at 9 a. m. instead of 10:30. There will be no services held in lone. The change had to be made because early mass to accommodate first holy communicants had to be held. Those making their first commu nion will be:Larry Lindsay, John Applegate, Donald Gorger, Diana B. Monagle, Terry McLauhlin, Billy Steagsdl, Larry Mollahan, Darline Brannon. Heppner Gazette Times, June 8, 1944 5 NOTICE OF SCHOOL MEETING r NOTICE IS HEREBY GIVEN to the legal voters of School District So. 1, of Morrow County, State of Oregon, that a SCHOOL MEETING of the said diistrict will be held at City Hall on the 19th day ofJune A944, at 2 o'clock p. m,, for the purpose of discussing the budget for the set forth, and to vote on' the proposition of levying a district tax. fiscal year, beginning July 1, 1944, and ending June 30, 1945, hereinafter BUDGET Schedule I ESTIMATED RECEIPTS AND AVAILABLE CASH BALANCES TENT MEETINGS The Main street tent meeting will continue indefinitely, services being held every night at 8 o'clock The public is cordially invited. Owing to the cool weather a large heater has been installed. - Evangelist W. L. Butcher WE are pleased with the many friends we liave made housewives who have exclaimed over the nutritional qualities of all oar meals. Menus are carefully planned to give you good, wholesome, nu tritious foods. Breakfasts to give a mill or farm worker "something to work' on." Lunches arc always appe tizing. Dinners are always a treat for hungry families. YOU'RE -ALWAYS WEL COME. Come in soon! HEPPNER CAFE Total All ITEM Funds . : (?) Estimated Receipts from 1. Delinquent Taxes ... $ 500.00 2. County School Fund 3,700.00 3. Elementary School Fund. ZI"Z 2,600.00 ' 4. State Irreducible School Fund 430.00 5. Vocational Education ,700.00 1 6. High School Tuition 6,200.00 7. Elementary Tuition 4,000.00 8. High School Transportation .. .. 1,700.00 13. Rentals 300.OO 14. Other Sources , 100.00 15. Estimated Total Receipts . 20,230.00 16. Estimated Available Cash Balance or Deficit (Add Cash Balance Deduct Deficit) 13,000.00 17. Estimated Total Receipts and Available Cash Balance ar Deficit $33,230.00 Schedule n General Fund ESTIMATED EXPENDITURES ITEM Element ary School I. GENERAL CONTROL 1. Personal service: (1) Superintendent (2) Clerk (3) Stenographers and other office assistants.. (4) Compulsory education and census (5) Other services 2. Supplies .. ,. 3. Elections and publicity .. 4. Legal service (clerk's .bond, audit etc) 5. Other expense of general control: (1) - 6. Total Expense of General Control $ 1,364.50 180.00 380.00 10.00 50.00 75.00 50.00 75.010 10000 $ 2,284.50. High Schools $ 1,364.50 180.00 380,00 10.0(0 50.00 75.00 50.00 75.00 100.00 $ 2,284.50 Estimated for the Ensu ing School year in Detail H. INSTRUCTION Supervision 1. Personal service: (j) Principals - (2) Supervisors 2. Supplies, principals and supervisors.-.. 3. Smith-Hughes 5. Total Expense of Supervision - HI. INSTRUCTION Teaching 1. Personal service: (1) Teachers (2) Handicapped children (3) Music (4) Librarian 2. library supplies, repairs 3. Supplies (chalk, paper, etc.).. 4. Textbooks - 6. Other expense of teaching 7. Total Expense of Teaching CARD OF THANKS We wish to thank our friends and neighbors for their many acts of kindness in the recent loss of our loved one, and for the many beautiful flowers. Mrs. Harold Anderson and daughters Mrs. Nellie Anderson and Erwin. 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 - 8. Total Expense of Operation "vTmainYenante'iTrepairs 1. Repair, maintenance of furniture, equipment 2. Repair and maintenance of: (1) Buildings and Grounds 4. Total Expense of Maintenance and Repairs. .. 300.00 40.00 340.00 300,00 40.tf 230.001 570.00 $ 2,729.00 360,00 760.00' 20.00 100.00 150.00 10000 150.00 ,200.00 $ 4,569.00 Estimated for the Ensu ing School Year by Totals Budget Allowance jn Detail for the Current School Yr, Expenditures for Three Fiscal Years Next Preceding the Cur rent School Year Detailed for the Last Year of the Three -year Period Second Year Give Yearly Totals First Year Give Yearly Totals 600.00 80.00 230.00 910.00 4,569.00 $ 2,098.00 300.00 712.50 20.00 100.00 140.00 100.00 lOO.OO 100.00 $ 3,670.50 $ L25L29 250.00 579.1S 20.00 200.00 348.13 77.90 50.00 $ 2,778.47 $ 2,481.45 $ 2,700.85 16,300.00 13,671.00 5&.00 50.00 ' 100.00 loo.op 25.00 25,00 I SOtf.OO 300.00 I 400.00 300.00 . 150.00 150.00 17,325.00 14,596.00 29,971.00 1000 200.00 50.00 I 600.00 700.00 300.00 31,921.00 910.00 1,530.001 1,530.00 3,060.00 I 500.00 500100 1,000100 500.00 5CC.00 1,000.00 310.00 310.00 620.00 60.(O 60.00 120.00 42.50 42.50 85.00 2,942.50 2,942.50 5,S85.00 344.70 6O.(S0 230.00 634.70 240.00 1 800.00 j 70.25 I 202.42 I 1,312.67 I 1,201.66 906.35 24,948.20 100.00 100.00 20.00 600100 1,450.00 150.00 27,368.20 5,885.00 2,820.00 COj.OO 1,000.00 620.00 120.00 85.00 5,254.00 500.00 I 500.00 LOOD.OO I 1,000.00 1,000.00 2,OOOU)0 3,000.00 VI. AUXH,IARY AGENCIES 1. Health service (1) Personal service (nurse, etc.) (2) Supplies and other expenses 2. Transportation of pupils: (1) Personal service 3. Other auxiliary agencies: (1) Hot lunch - - 4. Total Expense of Auxiliairy Agencies VII FIXED CHARGES 1. Insurance 3. Other fixed charges: (1) - 4. Total Fixed Charges 30.00 50.00 250.00-330.00 VIII. CAPITAL OUTLAYS 3. Alterations of buildings (not repairs) "'4. New furniture, equipment and replacements.. 6. Other capital outlays: (1) Library books , 7. Total Capital Outlays - 7020 7020 30.00 50.00 60.00 lOO.OO 250.00 700.00 950.00 21,092.77 - 45.00 14.25 438.21 666.84 22,257.07 20282t48 2,319.30 903.40 1,179.90 539.85 93.00 122.03 5,159.02 19,506.72 4,147.40 3,558.15 382.31 I 619.30 1,001.61 I 1,428.86 I 1,686.87 60.00 100.00 I 22(XK00 I 2.3C&.00 32.00 189.50 3,500.00 I 3,008.45 250.00 I 2,630.00 500.00 I 2,9GQ.00I 7020 I 5.00 70.20 100.00 500.00 150.00 750O0 100.00 500.00 150.00 750.00 140.00 0.00 140.40 2,960.00 ..LX. DEBT SERVICE NON-BONDED 1. Interest on warrants 3...Total Debt Service, Non-bonded ... 200.00 1,(JO.OO 300.00 1,500.00 1,500.00 X. EMERGENCY 1,400.00 200.00 3,8G0.00 81.65 3-311.60 4208,96 140,.40 5.00 145.40 700.00 250.00 950.00 1,400.00 I 1,400.00 Total Schedule n General Fund Total estimated expenses for the year-sum of items 1-6, n-5, HI-7, IV-8, V-4, VII-4, VIH-7, IX-3, X I 52,290.40 44232.80 140.40 5.00 145.40 255.45 166.94 B0.87 453.26 66.98 66.98 300.76 4,210.20 1,520.00 2,142.5 15,08497 ; 21,855.46 1,500.00 I 1,000.00 36,486.68 51,652.54 1,000.00 Schedule ni Bond Interest and Sinking Fund DEBT SERVICE-BOND INTEREST AND SINKING FUND 1. Principal on bonds (include negotiable interest bearing warrants issued under section 111-1016, O. C. L. A.). - 2 Interest on bonds 3. Total Schedule ni Debt Service-Bonds and Interest - - - - - SPECIAL IMPROVEMENT FUND 4. New furniture, equipment and replacements 7. Total Schedule V Special Improvement Fund.. 1,500.00 1,500.00 1,500.00 1,500.00, 2,000.00 200.00 2.200.QO 3,ooo.oq , 3,000.00 2200.00 2,560.00 640.00 4,000.00 800.00' 3200.00 4,800.00 4,900.00 4,677.30 3,000.00 Continued on Paf Six