Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (Feb. 27, 1958)
HEPPNER GAZETTE-TIMES. Thursday. February 27, 1958 Lexington News The Lexington church was op ened and decorated for World day of Prayer which was held on Fri day. The Women's Fellowship group met at the church on Tuesday afternoon at 2:30 P M. The meet ing was called to order by the vice chairman Mrs W E McMill an. Mrs Carl Marquardt gave the devotions which was on personal evangelism, after which the bus iness of the day was taken care of. A curtain for the mourners room was discussed with Mrs Karl Miller giving the report, the moving of the Sunday school rooms around, and building of cupboards was discussed to be taken before the Sunday school committee. A donation was taken at this time for the Dale Gard iner family who had had a loss from fire a few days previously. Refreshments were served by Mrs Cora Allyn and Mrs W E Mc Millan. The next meeting will be March 18 with devotionals by Edith Miller and refreshments by Buryl Northrup and Mae Camp bell. Those present were Betty Marquardt, Florence McMillan, Buryl Northrup, Edith Miller, Cleo VanWinkle, Annie Keene, Cora Allyn, LaVerne Henderson. urn-ire nc cmnOL MEETING rW T T " W ,r, rvmntv. State of Are- Notice is hereby given to the legal voiers oi scuuui y- - cafetorlum on the 13th day gon, that a SCHOOL MEETING of the said district will be he Id I at lone etf0r ute?iscal bey IT u ,nro o.nn r m fnr thf tlUTDOSe 01 QlSCUSSWg Ine OUUgtl 101 J KJi iviaicii, ai o.w uviia.a w jr-- - . . f ginning July 1, Schedule I 1958 and ending June 30, 1959, here inafter set lorai, BUDGET-FISCAL YEAR 1958-1959 Jack Lowe of Portland was a weekend visitor with his mother and family Mr and Mrs Armin Wihlon. Bill Grant of Spray was a Lex ington caller at the O G Breeding home last week. Mr and Mrs Lee Edgerton of Norwalk, California are visiting here mother and family Mrs June Cooper. The Lexington high school stu dent body took part in the Heart Fund drive in Lexington, con ducting their drive on Sunday afternoon. Mrs Armin Wihlon, Mrs O G Breeding and Mrs Barbara Will lams were visitors in Bend last week. Johnnie Darnielle and Buster Vinsen left for Portland Tues day where they were to meet Ben Vinsen' who will return home with them. Ben who for some time has been a patient in St Joseph's hospital LaGrande was taken to Portland recently for surgery, ors Tuesday. Mr and Mrs Archie. Munkers and Mr and Mrs Vernon Munkers Mr and Mrs Dean Hunt and Mr and Mrs Johnnie Ledbetter and Joan Patrick were Pendleton vis itors Sunday. Mm i'''rvlrb1 Paul Breeding and Dennv Mc- Mae Campbell and Delpha Jones. 'Millan motored to Portland on Mr and Mrs Bert Breeding ofiTuesdav. iiermiston were ers on Sunday. Lexington call- Mrs Lois Hunt and Mrs Lorene Ledbetter were Pendleton visit- BUTTER CREEK-HINTON LIVESTOCK CLUB The Butter Creek Hinton Live strvir rluh held a meeting at Hanna's on February 2. The meeting was called to or der by Jennifer Brindie. Kepons wpre eiven bv Jennifer Brindie and Bill Monagle. We decided to collect dues so that we could buy a new flag set. The meeting was adjourned and refreshments served. Bill Monagle, reporter made since last meeting. We then did the flag pledges. Kathy Ray gave a demonstration on hot chocolate. We have three new members, they are as follows: Dianne and Dennis Warren, and Susan Drake. We then exchanged Valentines, drank the cocoa and watched television. Next meeting will be at Dar lene Anderson's. Jeanne will give a demonstration on making sand wiches. Meeting was adjourned. Doug Anderson, reporter Summary of Estimated Expenditures, Receipts and Available Cash Balances, and Tax Levies A. Estimation of Tax Levy (1) Total All Funds (2) General Fund (3) Bond Interest and Sinking Fund (4) . Total Estimated Expenditures DEDUCT: . Total Estimated Receipts and Available Cash Balances . Amount Necessary to Balance the Budget... ADD: . Estimated Amount of Taxes That Will Not Be Collected During the Fiscal Year for Which This Budget Is Made, Including Estimated Rebate on Taxes . Total Estimated Tax Levies for Ensuing Fiscal Year $164,466.10 $134,576.10 $ 29,890.00 55,461.44 23,571.44 29,890.00 109,004.66 109,004.66 3,270.14 3,270.14 112,274.80 112,274.80 USE GAZETTE-TIMES CLASSIFIED ADS SEE YOURSELF IN A BETTER LIGHT! Use plenty of 100-watt or 150-watt bulbs where you work and read. Good light saves sight and it costs so little to enjoy! PACIFIC POWER & LIGHT COMPANY A HOOF AND HORN LIVESTOCK CLUB The Hoof and Horn Livestock club met at the home of Johnny Wagenblast in Lexington on Feb ruary 9. N C Anderson, our leader, brought three magazines with pictures of Holsteins, Brown Swiss and Guernseys. He also brought judging books for us to judge them. We then studied the parts of sheep. Johnny gave a report on pari iamentry procedure. Diane Fulle- ton gave a report on hogs, we then looked at Johnny's hogs. . The meeting was adjourned and Mrs Wagenblast served refreshments. Visitors were as follows: Mar cel Jones and Kit Anderson. Douglas Anderson, reporter THE SPOON LICKERS The Spoon Lickers met at Pat- ti Collins on Feb 11. Meeting was called to order by president, Jean Stockard. Roll call was answered by nam ing' a type of beverage we had FREE JACKLINS 1958 SEED PRICE LIST Ii'i lha moil uWd (or Prict Lut in tha Pacific Northwest now rcidy (or mailing. H you art not on Jacklin'a mailing list, ftni) namt and addraaa lot Prlct Liat, JacVlin Sd Co., Diihman, Waihington Complete Stock of ALFALFA & GRASS SEED for SPRING Are Ready Samples of Quality Seed Prices Alfalfa: Cwt. Ladak $47.00 Grass: Manehar Brome . . , 29.00 Orchard Grass .... 34.00 Intermediate Wheatgrass 37.00 Above prices F.O.B. Diihman FAST DELIVERY Orders processed end shipped same day as ordered. Phone WAInut 6-6241 (Spokane) SCHEDULE II GENERAL FUND ESTIMATED RECEIPTS Actual Receipts Budget Fiscal Year Fiscal Year Allowance Ending Ending Current June 30, 1956June 30, 1957 Fiscal Year (1) (2) (3) Item (4) $ 9,746.19 $ 8,879.82 134,583.51 115,622.91 1,212.39 2,137.80 19,422.05 168.81 28,767.52 42.84 (9,989.87) 948.18 3,042.87 99.46 20,832.23 173.65 31,527.48 (69.72 113,357.89 118,001.92 10. Revenue From Local Sources $ L187.85 11.2 District Tax Prior Year's Levy (net).. 112,450.22 11.4 Pavment in Lieu of Taxes , 1,000.00 19.9 Miscellaneous 20. Revenue From Intermediate Sources 2,100.00 21.1 County School Fund 22.0 Rural School District 22.1 Apportionment 29.9 Miscellaneous 30. Revenue From or Through Stale Source 31.0 Basic School Support Fund 19,500.00 31.1 Off-set Against Tax Levies 173.65 33.1 Common (irreducible) School Fund 36.0 School Lunch and Milk Subsidy 36.2 Federal Money Received Through State 60. Transfers To Other Funds 70. Transfers From Other Funds Beginning Net Cash Balance Lees (69.72)' Cash Working Fund (or Deficit) Total Budget Resources 136,342.00 General Fund SCHEDULE III GENERAL FUND ESTIMATED EXPENDITURES Actual Expenditures Fiscal Year Fiscal Year Ending Ending June 30, 1956June 30, 1957 (1) (2) Budget Allowance Current Fiscal Year (3) Item (4) Estimated Receipts Ensuing Fiscal Year (5) $ 1,187.85 136,494.66 2,862.64 1,503.81 19,168.00 207.91 900.00 29,890.00 (258.77) 134,576.10 Estimated Expenditures Ensuing Fiscal Year (5) VOUR SPRING FERTILIZING CHECK-LIST. 1. TO BOOST WHEAT YIELDS USE SHELL FERTILIZERS 2. SHELL NH3 82 N. SIDE DRESSING FOR GRAIN 3. SHELL UREA AMONIUM NITRATE SOLUTION (32N) APPLY WITH GROUND SPRAYERS OR AIRPLANE EQUIPMENT f 4. KILL WEEDS AT TIME OF APPLICATION OF SHELL UREA AMON IUM NITRATE SOLUTION BY ADDING ESTER FORM OF 2,4-D ( 5. FOR MORE INFORMATION ON THESE FINE SHELL CHEMICAL PRODUCTS - SEE YOUR SHELL CHEMICAL DEALER. Inland Chemicals CONDON -HEPPNER DU 4-5600 .. 6-9103 5,142.86 5,500.00 2,458.00 1,200.00 1,300.00 1,300.00 644.35 150.00 50.00 50.00 50.00 248.34 526.51 228.27 221.97 100.00 50.00 269.50 250.98 365.00 117.73 385.00 8,189.12 7,967.19 4,858.00 3,825.00 46,592.37 48,905.07 55,308.00 392.15 600.00 100.00 91.00 350.00 156.55 12.59 100.00 2,977.58 1,655.09 1,650.00 666.05 697.25 800.00 24.00 263.88 407.04 350.00 50,756.43 52,160.19 63,007.00 7,375.00 7,803.66 7,450.00 1,833.97 2,312.44 218.35 2,614.77 345.89 14,700.42 1,551.40 2,312.46 319.65 1,430.75 2,857.28 312.25 2,267.74 388.38 15,060.06 644.00 4,897.00 4,323.45 600.47 I. General Control 1. Personal Service: (1) Superintendent (2) Clerk (3) Clerical Assistants (4) Complusory Education and Census (5) Other Services 2. Supplies 3. Elections and Publicity - 4. Legal Service (Clerk's Bond, Audit, etc.) 5. Other Expenses of General Control 6. Total Expense of General Control II. Instruction 1. Personal Service: (1) Principals (3) Teachers (4) Sub (5) Special Education - (6) Librarian (7) Clerical Assistants 2. Library Supplies, Repairs : 3. Teaching Supplies 4. Textbooks 5. Inservlce Training 6. Other Expense of Instruction 7. Total Expense of Instruction Ill Operation of Plant 1. Personal Service: (1) Janitors and Other Employees vi) blot Leave 1,200.00 2. Supplies 2,300.00 3. Fuel 300.00 4. Water 2,400.00 5. Light and Power , 250.00 6. Telephone 13,900.00 8. Total Expense of Operation 1,500.00 3,292.00 1,906.00 68.21 523.02 100.00 4,351.72 11,037.94 7,597.00 29.08 25.97 495.00 405.75 435.00 21,060.00 21,637.60 15,300.00 3,000.00 2 550.00 424.00 611.00 ' 650.00 2,889.91 3,164.00 3,200.00 367.20 400.00 521.80 25,291.99 26,394.05 26,030.00 325.23 1,087.11 1,350.00 1,458.11 2,309.62 2,500.00 1,238.14 1,420.52 1,800.00 3,021.48 4,817.25 5,650.00 1,743.25 600.92 496.01 600.00 13,000.00 ! 1,087. 2,380.09 1,049.92 6,862.14 496.01 13,600.00 354.31 328.00 500.00 354.31 328.00 500.00 113,427.61 11860.69 IV. Maintenance and Repairs 1. Personal Service 2. Repair, Maintenance and Replacement (1) Furniture and Equipment (2) Building Structure 800.00 3. Upkeep of Grounds 4. Other Expense of Maintenance and Repairs 5. Total Expense of Maintenance and Repairs V. 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 Repairs '. (3) Replacement of Busses (4) Insurance : , 3. Other Auxiliary Agencies (1) School Lunch a. Personal Service b. Supplies and Other Expenses (2) Other Auxiliary Services b. Supplies and Other Expenses 4. Total Expense of Auxiliary Agencies VI Fixed Charges (Exclusive of items included under V-2) 1. Insurance 3. Retirement State and Federal 4. Other Fixed Charges SS 5. Total Fixed Charges VII Capitol Outlays 3. Additions and Alterations to Bldgs. 4. Library Books 5. Buses and other Transp. Equip 6. Furniture, Fixtures and Other Equip. 7. Assessments for Betterment 8. Other Capital Outlays 9. Total Capital Outlays VIII. Debt Service, Non Bonded 2. Interest on Other Indebtedness and Bank Charges 3. Total Debt Service. Non Bonded 1,200.00 IX. Emergency X. Total General Fund Expenditures (items 1-6, II 7, III 8, IV 4, 136,342.00 VI 5, VII 9, VIII 3, IX) 6,990.00 1,300.00 150.00 50.00 200.00 50.00 250.00 385.00 9,375.00 11,400.00 43,650.00 600.00 650.00 350.00 100.00 2,050.00 600.00 350.00 61,750.00 8,400.00 100.00 1,200.00 2,800.00 300.00 2,400.00 350.00 15,550.00 2,000.00 2,617.10 3,169.00 800.00 100.00 8,686.10 . 495.00 435.00 12,600.00 4,000.00 3,570.00 550.00 3,215.00 1,200.00 26,365.00 1,650.00 3,500.00 2,000.00 7,150.00 800.00 3,500.00 4,300.00 500.00 500.00 1,200.00 134,576.10 BOND INTEREST and SINKING FUND ESTIMATED HECEIPTS Actual Budget Estimated Fiscal Year Fiscal Year Allowance For Ending Ending Current Item ' Ensuing June 30, 1356June 30, 1957 Fiscal Year Fiscal Year (1) (2) (3) (4) (5) 28,767.52 29,527.48 1. Total Receipts 2. Beginning Net Cash Balance 2,566.23 2,561.25 or Deficit 31,333.75 32,088.73 3. Total Budget Resources ... ESTIMATED EXPENDITURES ' 1. Principal on Bonds (Include negotiable interest bearing warrants issued under 25,000.00 26,000.00 27,000.00 ORS 328.260) 28,000.00 3,772.50 3,147.50 2,497.50 2. Interest on Bonds 1,890.00 28,772.50 29,147.50 29,497.50 3. Total Expenditures 29,890.00