Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (March 6, 1958)
10- HEPPNER GAZETTE-TIMES, Thursday, March 6, 1958 -"X ' , t("A 4 ELDON DBENNAN and started to work for Pacific in the power department in 1940. Except for a three year hitch in the Navy as a lieutenant, he has worked continuously for Pacific Power since June, 1940. While assigned to Sunnyside, Wash, as a field engineer, he was the local president and the Wash ington state vice president of the Junior chamber of commerce. While he ha been living in Bend and Prlneville he has been active in various committees of lone News their trip to Mexico this winter. Mr and Mrs Clell Rea enter tained at a dinner at their home Sunriav. Ffh 9.1 nthora nrpaonf The deaconesses of the Com- were Mr and Mrs Merle Lun. munity church met at the home dell and baby of Milwaukle, of Mrs Dale Ray Tuesday of; Mr and Mrs Lloyd Howton and last week. After the business j family, Mr and Mrs Richard Rea, meeting they had refreshments, Mr and Mrs Keith Rea and son. at the home of Mrs Hattie Crab- tree. Mrs Olive Engleman an honorary deaconess, met with them there. They meet the third Tuesday of each month. Mr and Mrs Ray Turner and and Mr Horton. Mrs Phillips, , Mrs Arvilla Swan son, Leann Padberg, Gerald, Francis, Dallas, John and Kather ine Rea. The occasion was the the birthdays of Mrs Clell Rea The members of the P-TA served ated Swanson's grocery window the dinner to around 56 people and the cooking clubs Brlstow's with Mrs E M Baker as chairman, window. Mr and Mrs Elbe Akers ana Leslie Madden spent the week- son of Pendleton spent Sunday here with relatives. Milton Morgan and Roy Lind- strom made a business trip to Dinner guests at the home of , Portland Thursday and Friday of Mrs Ida Grabhill Sunday were .last week. Mr and Mrs Earl Wright, Mrt Mr and Mrs David Baker en and Mrs Kenneth Wright and tertained at a dinner Sunday in children of Baker, j honor of the birthday of Mrs Mr and Mrs Carl Shulz of! Henry Baker. Others present Rock Creek, Mr and Mrs Everett j were, Mr and Mrs Ivan Orton and Keithley and children of Heppner , family of Portland, Mrs Helen and Mr and Mrs E W Bristow and ' Fave Cassidy and family of Pen son, Donald and Mr and Mrs S l) dleton, Mr and Mrs Clarence Wiles. The occasion was the blr-.Baker and family of Heppner, thday of Mrs Earl Wright, Ken neth Wright and his daughter, Kathleen. Mr and Mrs E M Baker and daughter, Mardine, spent the weekend with their son and daughter-in-law, Mr and Mis Ronald Baker at Hermiston. The Co-Weds club met at the Mr and Mrs Paul Pettyjohn and children made a trip to Portland last week. Mr and Mrs Hugh Allen and children of Pendleton spent Sun day at the Ernest McCabe home. The Morrow county O E A held their meeting in the school cafe- tonum here Monday evening, home of Mr and Mrs Robert ' Floyd Hill of E O C E was the Rietmann Thursday evening, Feb speaker. He spoke on the de 27. Mrs Dallas Shockley assist- j velopment of mental reading and ed Mrs Rietmann. After the bus-! showed films on this develop iness meeting Mrs Milton Mor-' ment. James Mallon of Heppner gan showed pictures taken on is the president of the O E A. NOTICE OF SCHOOL MEETING Schedule I - BUDGET-FISCAL YEAR 1958-1959 TOM KEENAN Keenan Named East Oregon District Manager for PP&L Pacific Power & Light Com pany announced Thursday the formation of a new division grouping the company's service districts in Oregon east of the Cascade mountains and the ap pointment of Thomas M Keenan, now district manager at Pendle ton, as an assistant general man ager with responsibility for the AnnuaJ Bond Water Pageant. n'r, i fivn fiictrtrtJ Drcnnan is married and the VJJUUPJIIU Ul I'll. I - , , , . i, j of eastern and central Oregon in-1 father or two children. to a new division reflects the1 growth of this important area of Oregon and the communities Not)ce Js hereby glven to the iegal voters of school district No. 40 of Morrow County, State of which are served by Facllic Fow- 0regoni that a ScHOOL MEETING of the said district will be hold at school house on the 18th day er, George Bragg, vice president of March, 1958 at 8 o'clock p.m., for the purpose of discussing the budget for the fiscal year be and general manager for PF&L, glnnlng July j 1958 and endlng June 1959 hereinafter set forth, reported. Keenan will continue to make his headquarters In Pendleton, Bragg said. Succeeding Keenan as manag er for the Pendleton district will be Eldon Drennan, now the local manager for PP&L at Prlneville. "Both Keenan and Drennan have had wide experience in the electrical service Industry," Bragg reported," and are well qualified for the greater responsibilities of their new positions." A veteran Pacific Power em ployee, Keenan has been manag er of the Pendleton district since August 1953. His new area of responsibility will include the service districts of Pendleton, Enterprise, The Dalles, Hood Rlvpr nnd the Cpntral Oreeon i districts, the latter embracing Madras, Prlneville, Redmond and Bend. Keenan started with Pacific In 1922 as a lineman. He was Pendleton district line superin tendent for many years and sub sequently was transferred to Toppenish, Wash, and then to Dayton, Wash, where he became district manager in 1914. There then followed a series of promot ions to Yakima, Fortland and Walla Walla. Prior to coming to Pendleton as district manager in 1953, he was a member of the general staff group located in the Yakima office. While manager here, Keenan has been active in civic and ser vice groups. He is the chairman of the Economic Development Committee , of the Pendleton Chamber of Commerce, a direct or of both the chamber and the United Fund, and is the immed iate past president of Rotary club. The new Pendleton district manager has been the manager for the company at Prlneville since 1954, and previously was the Central Oregon district en gineer. He Is a graduate of Wash ington State college with a de gree in electrical engineering, Mardine Baker, a senior In high school, received a $100 Elks scholarship. She plans to take nurses training at the University of Oregon this fall. She Is the daughter of Mr and Mrs E M Baker. Mr and Mrs James Barnett en tertained at a pinochle party at their home Saturday evening. Those receiving prizes were: Mrs Ernest McCabe, high; Mrs Rog er Kincaid, low. David Barnett, 300 pinochle and Mrs Kincaid th door prize. 4-H week is being observed here by decorating store win dows. The sewing clubs decor. end In Portland. The lone school girls will put on a tumbling and trampoline act at the tournament in Pendle ton Friday, March 7. RANCH AERO AIRPLANE SPRAYING CO. OWNED AND OPERATED BT PAUL N. HANSEN Now available for weed spraying. Call 6-5883 or see at John Lane's Apartment No. 2 NOTICE OF SCHOOL MEETING Notice is hereby given to the legal voters of school district No. 12C of Morrow County, State of Oregon, that a SCHOOL MEETING of the said district will be held at school house on the 13th day of March, 1958 at 1 o'clock p.m., for the purpose of discussing the budget for the fiscal year beginn ing July 1, 1958 and ending June 30, 1959, hereinafter set forth. Schedule I - BUDGET-FISCAL YEAR 1958-1959 Summary of Estimated Expeadltarea, Receipts and Available Cash Balances, and Tax Levies A. Estimation of Tax Levy (1) Summary of Estimated Expenditures, Receipts and Available Cash Balances, and Tax Levies A. Total Estimation of Tax Levy All Funds (1) (2) 1. Total Estimated Expenditures , $11,090.00 DEDUCT: 2. Total Estimated Receipts and Available Cash Balances 1,933.50 3. Amount Necessary to Balance the Budget 9,156.50 ADD! 4. Estimated Amount of Taxes That Will Not Be Collected During the Fiscal Year for Which This Budget Is Made, Including Estimated Rebate on Taxes 274.70 5. Total Estimated Tax Levies for Ensuing Fiscal Year 9,431.20 Total All Funds (2) 1. Total Estimated Expenditures $76,255.00 DEDUCT: 2. TotaT Estimated Receipts and Available r Cash Balances - 3. Amount Necessary to Balance the Budget 60,5o0.5u ADDl 4. Estimated Amount of Taxes That Will Not Be Collected During the Fiscal Year for Which This Budget Is Made, Including Estimated Rebate on Taxes 1,816.80 5. Total Estimated Tax Levies for Ensuing Fiscal Year $62,377.30 INDEBTEDNESS 1. Amount of bonded Indebtedness (Include all negotiable Interest-bearing warrants Issued under ORS 328.205) $ 2. Amount of warrant Indebtedness on warrants issued and endorsed "not paid for want of funds" .... 3. Amount of other indebtedness 4. Total indebtedness (sum of items 1, 2, 3) $ None None None Dated February 17, 1958. Signed: Alta Stevens District Clerk Vern Batty District School Board Chairman Approved February 17, 1958. Signed: Alta Stevens Secretary, Budget Committee Vern Batty Chairman, Budget Committee C. INDEBTEDNESS 1. Amount of Bonded indebtedness (Include all negotiable interest-bearing warrants issued under ORS 328.205) ..... $ None 2. Amount of warrant indebtedness on warrants issued and endorsed "not paid for want of funds .. . ,. None 3. Amount of other indebtedness None 4. Total indebtedness (sum of items 1, 2, 3) - - - - $ None Dated February 17, 1958. Signed: Ellwynne Peck District Clerk Elmer C. Padberg District School Board Chairman Approved February 17, 1958. Signed: Dale T. Waddill Secretary, Budget Committee Mervin Leonard Chairman, Budget Committee Schedule II GENERAL FUND ESTIMATED RECEIPTS Budget Estimated Allowance Receipts Current Item - Ensuing Fiscal Year Fiscal Year (3) (4) (5) 10. Revenue from Local Sources $ 800.00 11.2 District Tax Prior Years Levy (net) .... 100.00 19y Kcntals 20. Revenue From Intermediate Sources 1,500,00 21.1 County School Fund sue 29.0 Miscellaneous 30. Revenne From or Through State Sources 31.0 Basic School Support Fund 12,069.00 ail Off set Against Tax Levies 12028 33.1 Common (irreducible) School Fund - Federal Money Received Through State 14,389.28 Total Receipts Beginning Net Cash Balance Less 6,951.99 Cash Working Fund (or Deficit) .... Total Budget Resources $21,341.27 General Fund $ 600.00 100.00 1,958.50 700.00 11,500.00 136.00 700.00 15,694.50 None 15,694.50 Schedule II GENERAL FUND Estimated Receipts Budget Estimated Allowance Receipts Current Item , Ensuing Fiscal Year Fiscal Year (3) (4) (5) Schedule IB GENERAL FUND ESTIMATED EXPENDITURES Budget Allowance Current Fiscal Year (3) Item (4) Estimated Expenditures Ensuing Fiscal Year (5) SOLUTION MAN Les Wymon Representing Agrl-Chom, Inc., Heppner 6-9619 ml n Plan your fertilizer program with the Solution Man your local Brea Brand fertilizer dealer. He specializes in fertilizer solutions and in solutions to fertilizing needs. He provides the fertilizer, equipment and know-how you need to help produce higher yields. Better talk to your local Brea Brand dealer today! $ 105.00 350.00 1,350.00 16.94 1,821.94 3,898.33 5,720.27 Schedule III Budget Allowance Current Fiscal Year (3) FOLLETT MEAT CO. Hermiston, Ore. Ph J07-6651 On Hermiston McNary Highway CUSTOM SLAUGHTERING WHOLESALE MEATS 200.00 10.00 70.00 280.00 4,200.00 50.00 100.00 200.00 4,550.00 1,483.00 100.00 1,100.00 300.00 50.00 3.035.00 50.00 100.00 100.00 50.00 300.00 25.00 25.00 1,440.00 1,490.00 100.00 500.00 600.00 100.00 100.00 10. Revenue From Local Sources 11.2 District Tax Prior Year's Levy (net) $ 105.00 20. Revenue From Intermediate Sources 21.1 County School Fund 310.73 30. Revenue From or Through State Sources 31.0 Basic School Support Fund 500.00 31.1 Off-set Against Tax Levies 33.1 Common (irreducible) School Fund .. 17.77 Total Receipts 933.50 Beginning Net Cash Balance Less Cash Working Fund (or deficit) 1,000.00 Total Budget Resources General Fund 1,933.50 GENERAL FUND Estimated Expenditures Estimated Expenditures Item Ensuing Fiscal Year (4) (5) I. General Control (2) Clerk 200.00 (4) Compulsory Education and Census 10-00 (5) Other Services 25.00 3. Elections and Publicity 50.00 4. Legal Service (Clerk's Bond, n Audit, etc.) 80.00 5. Other Expense of General Control 6. Total Expense of General Control 365.00 11. Instruction (3) Teachers 4,200.00 2. Library Supplies, Repairs 50.00 3. Teaching Supplies 100.00 4. Textbooks 100.00 7. Total Expense of Instruction 4,450.00 III. Operation of Plant 1. Personal Service: (1) Janitors and Other Employees 1,800.00 2. Supplies 100.00 3. Fuel ,. 1,100.00 5. Light and Power 300.00 6. Telephone 50.00 8. Total Expense of Operation 3,350.00 IV. Maintenance and Repairs 2. Repair, Maintenance and Replacement (1) Furniture and Equipment (2) Building structure 50.00 3. Upkeep of Grounds 4. Other Expense of Maintenance and Repairs 250.00 3. Total Expense of Maintenance and Repairs 300.00 V. Auxiliary Agencies 1. Health Service (1) Personal Service (nurse, etc.) 25.00 (2) Supplies and Other Expenses 2. Transportation of Pupils (1) Personal Service 2,000.00 4. Total Expense of Auxiliary Agencies .... 2,025.00 VI. Fixed Charges (Exclusive of Items included under V-2) 1. Insurance 3. Retirement State and Federal 400.00 5. Total Fixed Charges 400.00 VII. Capital Outlays 4. Library Books 100.00 IX. Emergency .. 100.00 X. Total General Fund Expenditures (Items 1-6, 11-7. III-8, IV-5, V-4, Y1-5, Vn-9, VIII-3, IX) $11,090.00 1,100.00 700.00 150.00 200.00 150.00 150.00 240.00 2,690.00 L100.00 39,000.00 400.00 200.00 25.00 735.00 61250 200.00 42,272.50 3,600.00 150X10 600.00 1,250.00 500.00 800.00 200.00 50.00 7,150.00 1,200.00 3,000.00 100.08 $400.00 50.00 20.00 4,500.00 1.750.00 1,500.00 300.00 2,600.00 473.00 11,195.00 350.00 3.00 3.200.00 3,555.00 600.00 600.00 800.00 $7262.50 I General Control I. Personal Service: (1) Superintendent (2) Clerk 13) Clerical Assistants ;4) Compulsory Education and Census A. Supplies Elections and Publicity 4. Legal Service (Clerk's Bond, Audit, etc.) 5. Other Expense of General Control 6. Total Expense of General Control H. Instruction I. Personal Service: (1) Principals (3) Teachers (4) Officials (5) Supplies and Travel Library Supplies, Repairs Teaching Supplies ... Textbooks 6. Other Expense of Instruction 7. Total Expense of Instruction ..... Ill, Operation of Plant 1. Perconal Service: (1) Janitors and Other Employees (2) Assistants Supplies - Fuel 4.Water 5. Light and Power - 6 Telephone 7 Other Expense of Operation 8. Total Expense of Operation 2. 4. 2. a 1,100.00 700.00 150.00 200.00 225.00 150.00 300.00 2,825.00 1,100.00 40,000.00 400.00 200.00 25.00 850.00 300.00 400.00 $43,275.00 3,800.00 150.00 640.00 1,200.00 400.00 900.00 200.00 60.00 7,350.00 IV. Maintenance and Repairs 2. Repair, Maintenance and Replacement (1) Furniture and Equipment (2) Building Structure 3. Upkeep of Ground9 5. Total Expense of Maintenance and Repairs - $ 1,200.00 3,600.00 100.00 . $4,900.00 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 Buses (4) Insurance a Other Auxiliary Agencies (1) School Lunch a. Personal Service b. Supplies and Other Expenses 4. Total Expense of Auxiliary Agencies VI. Fixed Charge! (Exclusive of items Included under V-2) 1. Insurance 2. Rent a Retirement Soc. Sec. 3. Total Fixed Charges $ 300.00 20.00 4,500.00 2,400.00 1,500.00 300.00 2,780.00 1,100.00 $12,900.00 $ VIL Capital Outlay 4. Library Books 9. Total Capital Outlays VI H Debt Service. Non-Bonded 2. Interest on Other Indebtedness and Bank Charges a Total Debt Service, Non-Bonded IX. Emergency X. Total General Fund Expenditures (Items 1-6, n-7, III-8, IV-5, V-4, vi-5, vn-9, vra-i ix) 350.00 5.00 3,200.00 $ 3,555.00 600.00 600.00 50.00 50.00 $ 800.00 $10,455.00 $76,255.00 V