Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (April 30, 1959)
Heppner High School SCOOP By CAROLYN McDANIEL The campaign for the 1960 stu dent body offices will begin on May 5. So far, two parties have been formed. Candidates for one party are: president, Jeanne Col lins; vice president, Roseann Ayers; secretary, Carol K Ander son; assistant treasurer, Barbara Seiwert historian, Fern Albert; and sergeant-at-arms, Dan Bros nan. The second party's candi dates are Tom Driscoll, presi dent; Clifford Green, vice presi dent; Carolyn Carter, secretary; Jeanne Schmidt, assistant treas urer; Sheryle Harris, historian; and Larry Tibbies, sergeant-at-arms. All candidates must be approved by the student council, and have a grade point average of 2.50 or a 3 plus. Cheerleading candidates are Fern Albert, Dor is Morris and Marlene Griffin. Candidates of the other party are Carolyn Carter, Shirlee Gaines and Geraldine Swaggart. The last day for filing petitions Is May 12, and the final date of campaigning is May 19, which is the election day. Litterbug Week will be ob served at HHS from May 4-8. Like last year, the classes will each have a special school clean up project. The object is to try to eliminate littering of school grounds and property. Citizen ship points will be given to the class doing the best job. The installation ceremony will be the main feature of the FBLA banquet Wednesday, April 29. New officers will be installed right after the banquet. Awards for achievement throughout the year will be presented to several business students. Reports will be given on the state convention. The awards which the local FB LA chapter won at the conven tion will be shown and explain ed to the members who did not attend the convention. The win ner of the plaque for the most outstanding senior FBLA mem bers will be announced. Also, winners of the sophomore and junior outstanding member will be announced. The band carnival was a huge success. The exact amount earn ed will not be known until the band parents hold their next meeting, but reports are that everyone is pleased with the to tal. . . All the booths were very successful, and some doubled the amount that was earned last year. The cooperation received from everyone who donated things for the country store was HEPPNER GAZETTE-TIMES, Thursday, AprU 30. 1959 9 NOTICE OF SCHOOL MEETING Notice is hereby given to the legal voters of school district unit of Morrow County, State of Oregon, that a SCHOOL MEETING of the said district will be held at the County Courthouse on the 28th day of April, 1959 at 8:00 o'clock p. m., for the purpose of discussing the budget for the fiscal year beginning July 1, 1959 and ending June 30, 1960, hereinafter set forth, BUDGET-FISCAL YEAR 1959-1960 Schedule I Summary of Estimated Expenditures. Receipts and Available Cash Balances, and Tax Levies K. ' Bond Interest Total General and Sinking Estimation of Tax Levy All Funds Fund Fund (1) (2) (3) 1. Total Estimated Expenditures $370,920.50 $799,253.00 $ 71,667.50 DEDUCT: 2. Total Estimated Receipts and Available cash Balances 173,300.00 I73,3uwuu 3. Amount Necessary to Balance the Budget 697,620.50 625,953.00 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 20,928.62 18,778.59 5. Total Estimated Tax Levies for Ensuing Fiscal Year 718,549.12 644,731.59 6. Analysis of Estimated Tax Levies: (a) Amount Inside 6 Limitation - 173,118.61 (b) Amount Outside 6 Limitation 471,612.98 (c) Not Affected by 6 Limitation 71,667.50 2,150.03 73,817.53 r ,-----,- Dated Aeril 1959 C. INDEBTEDNESS Signed: Jack C Flug 1. Amount of bonded Indebted- District Clerk ness (include all negotiable in- Warren H. McCoy terest-bearing warrants issued District School Board Chairman under ORS 328.205 $375,592.50 Approved April 17, 1959 2. Amount of warrant indebted- Signed: Jack C. .Flug ness on warrants issued and Secretary, Budget Committee endorsed "not paid for want of Garland Swanson funds" None Chairman, Budget Committee 3. Amount of other indebtedness ...... None Posted April 23, 1959 4. Total indebtedness (sum of Signed: Jack C. Flug items 1, 2, 3) $375,592.50 District Clerk SCHEDULE II Actual Receipts Fiscal Year Fiscal Year Endine Ending June 30, 1957Jun 30, 1958 (1) GENERAL FUND ESTIMATED RECEIPTS tremendous. Stores and towns people both responded to the plea for articles for the store and things just kept coming in for it. The Quill & Scroll, who spon sored the booth, would like to thank everyone for their help. The junior-senior banquet will be held at the Episcopal parish hall on Thursday evening, April 30. Entertainment for this event will feature two soloists, Elaine Laird and Judy Cochell. Mr Ro bert Van Houte, who is the sup erintendent of the Stanfield schools, and who will be superin tendent of the Morrow county schools next year, will be the guest speaker. The junior-senior prom, which will be held in the multi-purpose room, is the fol lowing night, on May 1. Last year's theme was "Sayonara," and was decorated in a beauti ful Japanese motif. As is tra ditional, the theme of this year's prom is a carefully guarded sec ret. Lyle Robertson's orchestra, of Pendleton, will provide the music for the dance. CALENDAR OF EVENTS: April 30 Junior-senior banquet May 1 Junior-senior prom. May 6 National Honor Society Quill & Scroll's banquet and , initiation. May 11-12 One act play night. May 13-14 Science fair. May 15 Band spring concert. May 19 Student body elections. May 24 Mother and daughter tea. Baccalaureate. May 27 Graduation. Monument News By MARTHA MATTESON Mrs Norris Stubblefield, Mrs Charles Roach and Mrs Lewis Neal were hostesses at a baby shower held at the Mattie Stub blefield home, in honor of Mrs Joe Batty and baby daughter, Kay Michelle, Saturday after noon, April 18. A lovely foiir tiered cake, decorated by Henry Cupper Jr, was served with ice cream, coffee and kool aid as refreshments. Around 40 guests were present. Games were played during the afternoon. Mrs Batty Is the former Sharon Cupper. Mrs Vera Gardner, her father Orin Stubblefield her two aunts Ellen and Mattie Stubblefield left April 22 for Portland for a few days. Mrs Gardner, who works for the Columbia Power Co-op, planned on attending two days of, bookkeeping school. Miss Deanna Leathers spent Saturday the 25th, and that night in the John Day medical hos pital, returning home Sunday. George Grey and daughter, Miss Wanda returned to Long Creek Saturday from Arizona where they had spent the past four months visiting folks. Miss Mirinda Musgrave, daugh ter of Mr and Mrs Stanley Mus grave of Monument, has beeri chosen to go to Girls State June 15 to 22nd by the Monument American Legion auxiliary unit 148. Mr and Mrs Norris Stubblefield Illlllllfllll :" " ' ' . : NOW DEALERS FOR FAMOUS HARRIS COMBINES . HARRIS NEW 98 HILLSIDE HARVESTER NOT 27 ... NOT 37 .. . NOT 42 . ..YL KARRIS LEVELS ON 55 GRADES . . . Matjically, . . JlifSiauliccU . . . AuhunaticaUyl HARRIS 98 Hillside Harvester Is Western-Made for Western Crops. A 100 hillside machine ... not an adaption . . . conglomeration . . . modification! Exclusive, EXPLOSIVE Taper-Tooth Cylinder . . . Biggest Separating Area . . . Powerful, 130 hp Hercules Engine . . . Proven Performance! HARRIS 98 is Your Best Bet for Bigger and Better Harvesting! WE CARRY A COMPLETE STOCK OF HARRIS PARTS FOR SALE 1-1958 Model Massey-Harris Combine USED ONLY ONE SEASON PRICED TO SELL See The 'New Harris 98 On Display In Heppner At The Corner of Main & Center Sts. Gilliam & Bisbee Hardware CLAUDE 4 MARGARET BUSCHKE and three daughters made a bus iness trip to John Day Saturday. Mr and Mrs Earl Lewis of Washington and two children came in for the weekend to visit their parents, Mr and Mrs Elmo Lewis and Mr and Mrs Bud Engle. Mr and Mrs Harold Cummlngs of Wallula were in Sunday visit ing her brother Verne McCarty and family. Mrs Stella McCarty drove the Darrell Dulaney family to John Day on business and for medical aid on Friday. The Ray Davis family left Sat urday morning for Portland for the weekend at the home of their daughter, Mr and Mrs Tom Erhardt. Among the sick list this time are Grandmother Gienger, Stella McCarty, Margaret Martin, Mrs Elmer Matteson, Harold, Virgil and Elaine Reynolds. Mrs Ernie Johnson accompan ied Mrs Henry Martin and daughter Margaret to Heppner Tuesday, where Margaret under went some surgery, they all re turned home Wednesday even ing. Pearl and Elizabeth spent the night at the Nels Bailey home. Mrs Lois Hill has been quite Ack with the flu. Miss Laura Ann Vinson, daughter of L D and Doris Vin son, was chosen the delegate from Monument to run for the queen of the Spray rodeo. Rev and Mrs Jack Chan took his mother home to Spokane Monday and spent .the week vis iting. She came back again with them. Mr and Mrs Clarence Holmes spent the weekend at Hood River. Mrs Bob Holmes andMrs Bob Neel drove to Pendleton Friday with their children for medical checkups. Mrs Owen Smith was called to Whitefish, Montana by the Ill ness of her mother. The Monument unit of the American Legion and Auxiliary held their election of officers Friday evening. Both groups re instated officers from the past year. Mrs June Hutchison is caring for Scotty Owen and the tavern during the day while Owen is working at the rock crusher. She will continue until Mrs bmitn returns from Montana. Mr and Mrs E Howell took Mr and Mrs Frank Howell to Heppner Tuesday where Mrs Howell stayed for a medical checkup. Sunday dinner guests at the George Capon ranch where Elsia Sweek, Mr and Mrs Glen Wil liams and daughter, Mr and Mrs Jack Forrest and children, Mr and Mrs Bob Gertson and child ren, and Mr and Mrs George Hill and children. There were birthday cakes on the table for three of them. 5 37,219.12 502.01 2,524.38 19,592.20 124,152.48 1,192.67 3,381.27 14,150.52 3,462.82 88.17 (88,555.10) 117,710.54 68,418.46 186,129.00 (2) $ 8,400.93 9,545.11 17,217.75 119,871.46 1,189.70 3,696.47 9,808.83 1,612.48 160.50 (111.093.64) 60,409.59 41,033.46 101,443.05 Budget Allowance Current Fiscal Year (3) $ 6,272.16 12,778.81 16,035.17 115,294.00 1,188.76 3,006.41 4,126.72 158,702.03 28,591.23 187,293.26 Item (4) 10. Revenue From Local Sources 11.2 District Tax Prior Years' Levy (net).. 14.1 Rentals 19.9 Miscellaneous Swimming Pool 20. Revenue From Intermediate Sources 21.1 County School Fund 30. Revenue From or Through State Sources 31.0 Basic School Support Fund 31.2 Other Basic School Fund Receipts 33.1 Common (irreductible) School Fund ....... 34.0 Vocational Education 34.1 State Grants 40. Revenue Direct From Federal Souces 41.1 Public Law 874 50. Revenue From Other School Districts 51.0 Tuition and Transportation 60. Sale of Property 70. Transfers To Other Fund Total Receipts Beginning Net Cash Balance Less Cash Working Fund (or Deficit) Total Budget Resources General Fund Estimated Receipts Ensuing Fiscal Year (5) .. $ 12,000,00 1,000.00 1,050.00 17,000.00 102,000.00 18,000.00 1,100.00 3,650.00 6,000.00 1,500.00 163,300.00 10,000.00 $173,300.00 SCHEDULE III Actual Expenditures Budget Fiscal Year Fiscal Year Allowance Ending Ending Current June 30, 1957June 30, 1958 Fiscal Year (1) (2) (3) . SCHEDULE HI GENERAL FUND ESTIMATED EXPENDITURES l I Long Distance Nation-Wide Moving Service Mayflower Agents Padded Vans PENLAND BROS. TRANSFER CO. Pendleton, Oregon Phone CR 6-3111 FOLLETT MEAT CO. Hermlston, Ore. Ph. JO 7-6S51 Cm Hermiston-McNsry Highway CUSTOM SLAUGHTERING WHOLESALE MEATS ! 23,575.00 S 22,207.77 S 27,723.90 8,549.96 8,974.96 6,540.00 2.164.56 2,176.00 2,350.00 365.00 ' 265.00 380.00 536.51 348.71 525.00 1,489.44 2,304.16 1,310.00 273.91 854.65 510.00 1,363.53 1,549.51 1,505.00 2,280.44 2,309.27 3,935.00 40,598.35 40,990.03 44,778.90 10,997.22 14,680.31 25,143.89 2,000.00 2,750.04 1,200.00 291,020.80 326,572.87 333,338.10 1,200.00 3,200.00 1,270.18 1,451.57 350.00 5,100.00 5,299.96 5,550.00 491.00 941.00 4,500.00 778.39 1,138.19 725.00 9,812.47 10,773.98 12,070.00 3,021.68 6,158.56 5,900.00 3.291.57 2,189.51 3,850.00 4,830.63 5,618.62 5,859.50 333,813.94 377,574.61 401,686.49 2. 3. 39,784.03 40,243.35 6,512.76 13,141.23 1,961.32 8,974.25 2,086.03 390.37 72,849.99 6,378.20 10,726.52 2,389.17 9,257.96 2,308.08 484.49 71,787.77 41,330.00 1,150.00 175.00 7,100.00 13,600.00 2,840.00 9,770.00 1,969.00 660.00 78,594.00 644.00 1,705.90 2,800.00 21,546.43 12,703.75 11,938.35 15.344.97 12,898.69 12,882.00 2.107.35 2,920.93 3,100.00 590.23 420.36 1,450.00 40.232.98 30,649.63 32,170.35 291.32 801.52 1,124.00 1,445.72 1,495.67 2,205.00 47,772.86 40,363.06 39,540.00 7,992.52 13,850.90 15,100.00 14,158.08 1,813.18 1,910.30 2,100.00 443.04 538.06 1,330.00 13,760.00 14,629.27 15,340.00 277.16 693.09 4,428.00 175.00 835.32 422.37 825.00 74,631.12 74,704.24 96,325.08 4,233.70 5,769.88 6,964.00 1,324.40 1,004.40 1,505.00 14,854.20 18,855.01 20,644.41 5,453.10 8,497.88 7,125.14 25,865.40 34,127.17 36,238.55 15,714.65 2.821.36 3,497.41 3,572.50 12,515.30 3,500.00 2, 343.03 68.35 100.00 20,879.04 16,081.06 ' 7,172.50 943.01 943.01 757.07 757.07 300.00 1,000.00 1,300.00 7,225.00 609,813.83 646,671.58 705,490.87 Item (4) General Control . Personal Service: (1) Superintendent .. (2) Clerk (3) Clerical Assistants (4) Compulsory Education and Census ... (5) Other Services Supplies .......... Elections and Publicity ...... 4. Legal Service (Clerk's Bond, Audit, etc.) 5. Other Expense of General Control 6. Total Expense of General Control II Instruction 1. Personal Service: (1) Principals ... .. (2) Supervisors Officials (3) Teachers (4) Substitutes (5) Adm. Travel (6) Librarian (7) Clerical Assistants ...... 2. Library Supplies, Repairs 3. Teaching Supplies 4. Textbooks 5. Tuition to Other Districts 6. Other Expense of Instruction 7. Total Expense of Instruction III. Operation of Plant 1. Personal service: (1) Janitors and Other Employees .... (2) Other Employees (3) 2. Supplies 3. Fuel 4. Water - 5. Light and Power ... 6. Telephone 7. Other Expense of Operation .. .. 8. Total Expense of Operation .. IV Maintenance and Repairs 1. Personal Service 2. Repair, Maintenance and Replacement (1) Furniture and Equipment ..... ........ (2) Building Structure 3. Upkeep of Grounds . 4. Other Expense of Maintenance and Repairs - .............. ... 5. Total Expense of Maintenance and Repairs ...........L....... 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 - (5) Other Expense of Transportation ........ 3. Other Auxiliary Agencies (1) School Lunch a. Personal Service .... b. Supplies and Other Expenses (2) Other Auxiliary Services a. Personal Service -.. b. Supplies and Other Expenses . 4. Total Expense of Auxiliary Agencies . . VL Fixed Charges (Exclusive of Items Included under V-2) 1. Insurance - 2. Rent 3. Retirement State and Federal . . 4. Other Fixed Charges . ... 5. Total Fixed Charges - . VI I. Capitol Outlays 1. Sites and Improvement of Sites 2. New Buildings 3. Additions and Alternations to Bldgs. . 4. Library Books 5. Buses and Other Transp. Equip. .. 6. Furniture, Fixtures and Other Equip 7. Retirements ... 8. Other Capital Outlays ... 9. Total Capital Outlays .......... VIU. Debt Service, Non-Bonded 1. Interest on Warrants ......... . 2. Interest on Other Indebtedness and Bank Charges .................. 3. Total Debt Service, Non-Bonded IX Emergency .................. X Total General Fund Expenditure. (Items 1-6, II-7, M-8, IV-5, V-4, VI-5, VII-9, VIII-3, IX) Estimated Expenditures Ensuing Fiscal Year (5) 10,000.00 4,100.00 3,500.00 1,200.00 500.00 800.00 4,500.00 24,600.00 54,375.00 1,600.00 371,276.00 3,890.00 1.900.00 5,945.00 3,650.00 925.00 10,155.00 6,750.00 15,200.00 5,725.00 481,391.00 43,580.00 1,050.00 6,760.00 13,600.00 2,930.00 9,500X0 2,005.00 1,550.00 80,975.00 1,300.00 8,700.00 7,600.00 4,350.00 1,550.00 23,500.00 2,525.00 445.00 41345.00 15,550.00 5,000.00 2,150.00 16,285.00 4,428.00 2,010.00 89,738.00 6,810.00 1,505.00 20,200.00 11,530.00 40,045.00 11,800.00 11,200.00 3,700.00 10,804.00 3,500.00 500.00 41,504.00 1,500.00 1,500.00 16,000.00 799,253.00 Bond Interest and Sinking Fund ESTIMATED RECEIPTS Budget Fiscal Tear Fiscal Tear Allowance Ending Ending Current . June 30. I957june 30. 1958 Fiscal Tear (1) S 72,421.15 7,476.04 79,897.19 12 $69 ,47151 9,217.19 78,688.70 (3) S 72,02750 7,346.20 79,373.70 Item (4) 1. Total Receipts . 2. Beginning Net Cash Balance or Deficit 3. Total Budget Resources Estimated For Ensuing Fiscal Tear (5) .. S 71,667.50 71,66750 ESTIMATED EXPENDITURES 1. Principle on Bonds (Include negotiable interest-bearing warrants issued under 59,000.00 61,000.00 63,000.00 ORS 328.260) 11 can rv in.xi2 5fl 9.027.50 2. Interest on Bonds 70,680.00 71,342.50 72,02750 3. Total Expenditures 64,000.00 7,667.50 71,667.50 First publication April 23, 1959 ;t"M! iiriii'iii'iiiiiiiiiiiii'iiiiiiimviiiisikiiimuiuiiiiiiiiiiiiiiiiiiMiiiiii Last puDiisnea April ju, ia ,