tient Pmllng Current School Year
SCraOTTLX tt OCNtRAL rCKD ESTIMATED HECEITT3 AND BEGINNING CASH I ALAN Ct
Actual Receipts tot Ti FlK-al Yrara
Budget
Allowance
Current
Fiscal Year
(3)
Flaral Year
Ending
June 30. 1K8
(1)
Fiscal Year
Ending
June ). 1959
12)
Item
(4)
J548.GOSM
8.400.93
17.217.73
119.871.40
I1S9.70
1696.47
00SJB3
1.61243
160 50
111,093 64
609.017.59
41.03146
650.051.05
$597,097.00
8.53S.45
1TTM
19,045.33
13(1412 60
2.5G1.59
4.309 25
l.M9.9ii
3.00C.42
10.101.C3
2.61553
786.025.78
25.432.10
8U.457.SS
$619 404 00
12000 00
1.000.00
1,050.00
17.000.00
102.000 00
liOOOOO
l.ino.oo
3.650.00
.000.00
1300.00
781.704.00
10.000.00
791.704.00
10. Rrnu from Vocal Sources
11 1 District Tax received In year levied ...,..
117 District Tax Prlr Year' Levies ....,........
140 Keea From Adult Education . -
130 Other Swimming Foul
20. Revenue rrora Intermedial Source
21.1 County School Fund
29 0 Other Forest l.and ,
30. Revenue From or Through Stat Source
31.0 Bawle School Support Fund
31 1 Olf set Acainst Tax Levy
31.2 Other Basic School Fund Receipts
32 0 Common (Irreducible) School Fund Receipt
33 0 Vocational Education
4a Revenue Direct Trots Federal Source
41.0 Public Law 874
SO. Receipts From Other School Districts
51.0 Tuition - .-.
SO. Sale Of Fropertr And Insurance Adjustments
70. Transfers Trom Other Funds
Total Receipts - ......
Beginning Net Cash Balance (or Deficit) Less
Cash Working Fund
Total Budget Resources
General Fund - - . ,. ,. ,-
l"Vlmti1
Rwlt't
t rtulnf
Flsl Year
15)
$ uftwoo
i (mv
lVI.OO
150H10P
3..VMIW
Riverside HS
Band to Perform
2OOO0 00
oo
3.UW.IW
By MART LtC MARLOW
The RlvrrM ll'sH Sh..
band, under the d:rvtlin t.f
Wolfgang Edflmann. will ire
stnt a short irirm tf muic
in the scru4 auditorium Tuc.
day. March . at 2 45 p m. for
the urtHve vt presenting Its!
new uniforms li the public. The
affair will be free la the public.
In the audience will be the hi?h
school students, as well a pupil
of btth Rrdnian rjsd nchuul
and the F C Houghton, crade
Htttntn CA2CTTC TIMCS. Thursdor. March 1 100
ROCK HOUND'S
CORNER
Bf ICTTT WAGNER
our iH.ruary r,-i;ni was
h l I at Ir C M Waener's ht.me.
and we were ail wry 11 t
have me j;uu from !(?
with us fr the renlng. A du-
cuion i f a t.Kit!. titan;: In
our rnet-ting nlht rultcl In a
vote to meet im the 4th Siturd.tv
r.lijht if each nKT.th. Instead of
the 3rd.
A very inti-re!ii'g letter wa
read from fc and Mrs Pal-b
who are bmy atndins the win
lmx school of Irrlcnn. In addition thejj'r mrilh In Arizona and Cal
174,430.00
W.OUO0O
IS4.430.00
Schedule in
Expenditures for Two Fiscal Years
Next Preceding Current School Year
GENERAL FUND ESTIMATED EXPENDITURES
Fiscal Year
Ending
June 30. 1953
(1)
I 22.207.00
11.151.00
2.304.00
855.00
265.00
350.00
1.550.00
2.000.00
308.00
40.990.00
14 680.00
2.750.00
326.573.00
5.300.00
941.00
1.452.00
10.774.00
6.159 00
1.138.00
5.619.00
375386.00
Fiscal Year
Ending
June 30. 1959
(2)
27.724 00
8.890.00
1310.00
510.00
380.00
525.00
1.505.00
3.500.00
435.00
44.779.00
25.144.00
1.200.00
333.338.00
5.550.00
4,500.00
3 200.00
350.00
12.070.00
J..900.00
725.00
5.860.00
397337.00
Budget
Allowance
Current
Fiscal Year
(3)
$io,ooo.n
7.600 00
1.200.00
5O0.00
800.00
4,000.00
500.00
24.600.00
100
Item
4)
Series
ADMINISTRATION
110 Salaries
111 Superintendent's Office
112 Office of Business Administration
120 Supplies ..
141 Elections and Publicity
142 Census Enumeration
143 Legal Service .,.,,...
144 Audit ..
Travel
Estimated
Expenditures
Ensuing
Fiscal Year
(5)
45.600.00
1.350.00
358,200.00
7.190.00
3,650.00
3,890.00
1,600.00
10,155.00
6,750.00
865.00
5,700.00
444.950.00
199 Other Expenses of Administration
Total Administration Expenses .
INSTRUCTION 200 Series
210 Salaries
211 Principals
8O2.00 1.124.00 420.00
1,496.00 2.205.00 2.525.00
2.298.00 3,329.00 2,945.00
40.363.00 39.540.00 41.345.00
13,851.00 15,100.00 15,550.00
12,515.00 14.158.00 5,00000
1,910.00 2,100.00 2,150.00
538.00 1,330.00 610.00
1,400.00
69.177.00 72,228.00 - 66,055.00
40,243.00 42,480.00 42.830.00
6,378.00 7.100.00 6.360.00
10.727.00 13,600.00 12,500.00
13,955.00 14,579.00 14,155.00
484.00 660.00 1,400.00
71,787.00 78,419.00 77,245.00
1,706.00 2,800.00 1,300.00
12,899.00 12,882.00 7.600.00
12,704.00 11.938.00 8,700.00
3.341.00 4,550.00 5.900.00
30,650.00 32,170.00 23,500.00
27,353.00 27,770.00 31,460.00
5,770.00 6,964.00 6,810.00
1,004.00 1,505.00 1,505.00
. 757.00 1.300.00 1.500.00
34,884.00 37,539.00 41,275.00
14,629.00 15.340.00 16,285.00
693.00 4,428.00 4,228.00
15,322.00 - 19,768.00 20,513.00
i
11,800.00
15,715.00 7,200.00
3,500.00
68.00 100.00 15,310.00
2,821.00 3,497.00 3,600.00
3.5O0.00
18,604.00 ZO9T00 41,410.00
I
2,190.00 3.850.00 15,200.00
2,190.00 3,850.00 15,200.00
6.90O.0Q, 7,225.00 16,000.00
653,572.00 705,491.00 773,693.00
212 Supervisors, Consultants, DIret sors Ref. ,
213 Teachers
214 Other Instructional Staff .
215 Secretarial and Clerical Assistants
Substitutes
Administrative Travel ---
220 Teaching Supplies
226 Textbooks - -
227 Library Books. Periodicals. Audiovisual Aids ,
299 Other Expense of Instruction ,
Total Expense of Instruction
ATTENDANCE AND HEALTH SERVICES 300 40o Series
420 Supplies and Other Expense ........ -
Insurance . -
Total Attendance and Health Services , ,
PUPIL TRANSPORTATION SERVICES 500 Series
510 Salaries
520 Supplies and Repairs . .
535 Replacement of Vehicles
552 Transportation Insurance
563 Payments in lieu of Transportation
566 Transportation other than Home to School
Total Pupil Transportation Services ... ,
OPERATION OF PLANT 600 Series
610 Salaries ,
620 Supplies
628 Fuel for Heat
630 Utilities except Fuel .. - ,
Other Expenses of Operation .
Total Operation of Plant n
MAINTENANCE OF PLANT 700 Series
710 Salaries
720 Materials and Supplies
735 Replacement of Equipment ,
Grounds, etc , ,,
Total Maintenance of Plant .
FIXED CHARGES 800 Series
851 Retirement and Social Security Expense
852 Insurance and Judgements .
853 Rental of Land and Buildings
855 Interest on Current Loans
State Industrial Accident .
Total Fixed Charges
900 Food Services
10.00000
6.750 00
1.750.00
frM.OO
400.00
4.6(0.00
1.050.00
4.000.00
1,600 00
30,750.00
27.041.00
1.450.00
419.568.00
7.190.00
6.840.00
4.300.00
1.600.00
9.750.00
2.730.00
90000
11.585.00
492.954.00
440.00
3.200.00
3,640.00
45.800.00
20.600.00
8,500.00
2.580.00
1,690.00
2,000.00
81,170.00
45,050.00
6,760.00
10,700.00
15,600.00
1,400.00
79,510.00
band Is extending an Invitation
to all cltirens In the area to at
tend.
The uniform were designed to
utilize the school colors. Ilck
and turquole, with white. Mark
was chMn as the hail? color
In the navy style double breated
cut. with turquole and white
In the shoulder patch and panN
stripes. The citation cord Is
white. The cap, also of navy de
sign, has a white top and black
visor. White shirts and Phov. and
black tie complete the uniform.
Mrs Glen Carpenter was ho.
less for a miscellaneous shower
Monday night at her hom In
honor of Mrs Wayne Beetn (Lor
!cl Hamilton), recent bride. Co
hostesses were Mrs Nathan
Thorpe, Mrs Louise Earwood. Mrs
Ernest Obermeler. Mrs Lowell
Shattuck. Mrs Elvin Ely. Mrs
Frank Marlow. Mrs Don Downey,
Mrs Dclbert Carpenter and Mrs
Charles Anderegg.
In a game played prizes were
won by Mrs Bob slcard and
Mrs Royal Rands.
Out of town guest was the
honoree's slstor, Mrs Larry
Thorpe and daughter JoAnn of
Hermlston. Other guests were
Mrs Harold Rash. Mrs Bob
Thornhlll. Mrs Charles McKen
zle. Mrs Arthur Allen. Mrs V G
Seehafer. Mrs Elmer Messenger,
Mrs Earl Brlggs, Mrs Alcy Tay
lor, Mrs Claud Worden, Faye An
derson, Mrs Nate Macomher, Mrs
Rollln Bishop, Jean McKenzle,
Tonl Taylor, Sandra Thorpe, Car
olyn Baker, Shirley Earwood, Mrs
Walter Hayes, Mrs Russell Mil
ler, Mrs Wlllard Baker, Mrs Hen
ry Gantenbein, Mrs Laura Allen,
Elberta Carpenter and Teresa
Thorpe. 33 others unable to at
tend also sent gifts. I
Ifornla. adding to their fiik col
lection. I near me ad ditions are
by the 100 1!. The Pst.bs had
M-e and Included a iiture of
the famed 'Hooded Owl" a
lively replica of an owl which
the forces of nature had formed
of beautiful colors In agate In
a goode.
We learned from Randall i V
erson that the refraction Index of
a stone Is Its ability to sK-w
down a ray of lljjht and bend i
This Is one of the more I mili
tant ways of diMingulfhlng gem
A dittttinptration of the use of
the refractometer was very in
teresting. Since amcthy.'rts are
the February gem tHone, a short
!fc-ht to dark lulrt quartz crys
tU was rry tlnuly. Mexico and
15ja;:l )ie!d some of the nicest
di. l ildtktkt var1t-tl. and Bra
r;l has alo been found to con
tain a variety cf amethyst that,
und.-r r ar fully eontruiled con-
d.ti 'tis. turns a beautiful trans-
parent greett when heated.
A game similar to '"l Have A
Nvret ami "Twenty QuetiunM
proved to be a real brain teaser
when It can-.e to guelng the
content of two paper sacks. Now
what could a paer sack at a
rovk club nuiting povdbly con
tain? The first guco Is easy,
but after that the fun begins.
Two films. 'Thanks for Listen
ing" by Bell Telephone and "Va
cation Adventures In Oregon
State Tarks" followed by refresh-
ntents concluded the evening's
program.
MONUMENT
It dropped down to 2 degrees
above zero here Friday morning.
Mrs Thelma Williams, son
Charlie, Mrs Phyllis Williams
and daughter and Miss Carolyn
Martin drove to Pendleton Fri
day on business.
Mrs Ansil Martin and son
Gary' rode over from Prlnevllle
with Mrs Llppcrt last week and
Ansil came after them Sunday,
discussion of those beautiful taking them home.
MONUMENT
1,300.00
9,450.00
7,900.00
6,500.00
25,150.00
Mr and Mrs Henry Martin
spent Tuesday In Prlnevllle on
forestry business I
Mr and Mrs Jack Harris spent
Saturday evening at the Gus
Strieker home near Spray.
rtn::un:i::n::y::yzz:::ujuj::nj::::::::t:
GET PROFIT
FROM YOUR WHEAT ACRES
APPLY YIELD - INCREASING
PHILLIPS 66
Agricultural Ammonia
7
t
Gil
I Order your
...
' suddIv todavl
SOIL TESTING SERVICE
EKSTROM
FARM CHEMICALS
HOME
8-7289
OWNED AND
OPERATED
IONE.
PHONE 8-7289 IONE. OREGON
l;mmmmmmtmmmKtmmtmmmtmmmtnmtmmtmmntt
36,290.00 mmamtt:rm:m:nmm::m:mt::;:m tnja:w:Kmtmmm:mmmma:;Jti
6,300.00
1,000.00
500.00
3,100.00
47,190.00
FOOD SERVICES AND STUDENT-BODY ACTIVITIES 9001000 Series
910 Salaries
920 Supplies and Other Expense
Total Food Services and Student-Body Activities
CAPITAL OUTLAY 1200 Series
1271 Sites and Site Additions
1276 New Building and Additions ,. .
1277 Remodeling
1278 Equipment
1227 Library Books - ...
Betterments
Total Capital Outlay
PAYMENTS TQ OTHER SCHOOL DISTRICTS 1400 Series
1461 Tuition to Other Dists. in State
Total Payments to other school Districts ....
EMERGENCY
TOTAL GENERAL FUND EXPENDITURES
17,970.001
2.660.00
20,630.00
16,000,00
2,750,00
13,591.00
3,100.00
850.00
36.291.00
12,200.00
12,200.00
16,000.00
845,465.00
PEACE COST
S MEY
SCHEDULE IV
Actual
Fiscal Year Fiscal Year
Ending Ending
Sum 30, 1938 lune 3a 1339
(1) (2)
$89,471.51 S73.027JBO
9.217.19
78,688.70 72.027.50
Bond Interest and Redemption Fund
AND BEGINNING CASlt BALANCE
ESTIMATED RECEIPTS
Budget
Allowance
Current
fiscal Year
)
$71,667.50
Item
(41
Tl ,667.50
Total
Beginning fret Cash Balance (or deficit)
Total Budget ItasflttfCK
Estimated
For
Ensuing
Fiscal Year
(S)
... J 71,285.00
;! If if if. . ' .)
71585.00
10.M2.50
71.S42.50
6.1 000.00
9 027.50
73,027.50
ESTIMATED- EXPENDITURES
1391 Principal e Bonds (tntiuda
negotiable interest-hAarine
warrants issued umier OU3
1392 Interest on BamJs
Total Exponditwes
64.000 00
7,667.50
71,667.50
65,000.00
6,285.00
71.2S5.00
SCHXDULE V
Fixes! Tf Fiscal Year Allowance
Ending EtarPng Current
Jane SO, 1958 Jua 80, 1959 Fiscal Year
(1) (2) (3)
6 2W.O0 6.000.00
30.518.00 34.000 00
36,806.00 40.000.00
3.369.00 1,000.00
40.175.00 41,000.00
School Lunch and Milk Fund
ESTIMATED RECEIPTS AND BEGINNING CAS BALANCE
midffet
Item
(4)
36 Federal Money Received Through State
66 Sale of Lunches
Total Receipts
Beginning Net Cash Balance (or Deficit)
Total Budget Resources
Estimated
For
Ensuing
Fiscal Year
(5)
6.500.00
36.500.00
43,000.00
1,000.00
44,000.00
X
1
kill. I , I.
ESTIMATED EXPENDITURES AND RESERVE,
2,454.00
36.602.00
3.573-00
40.175 00
4.000.00
32.000.00
2.000.00
1.500.00
500.00
40.000.00
1.000.00
41.000.00
910 Labor
921 Food
922 Supplies
978 Equipment
999 Other
Total Estimated Expenditures
Reserved for Expenditure in Future Years
Total Expenditures and Reserve
4.500.00
34.000.00
2,500.00
1500.00
500.00
43,000.00
1.000.00
44.000.00
Commander W. R. Andtrion of the Nautilui,
world' t fint atomic-powered tubmarine
, Iff '
It ,
$ i
' - I
:
ii. or i
Commander Anderson
sees the need for peace
firsthand. He knows it
doesn't come easy or
cheap. It costs money.
Not only money for
military strength.
Money for science and
education. And money
saved by people like
you, to keep our econ
omy sound.
Every U.S. Savings
Bond you buy helps
provide this money
help3 make America
stronger and safer.
Couldn't you buy a
few extra?
Help Strengthen America's Peace Power
BUY U.S. SAVINGS BONDS
Serial Levy Building Fund
ESTIMATED EJXEiPTS AND BEGINNING CASH EAXANCX
Serial Lew CS3,000.00
Total Receipts 130.000.00
Beir.r.ing Net Cash Ealance (or Deficit) None
Total Budget Resources 130.000.00
ESTIMATED EXPENDITCEXS AJp F.ESXEXE
Fees-Buildings-Sites-Equipment 120.000.0o
Si:e Improvements-Architects Fees - 10.000.00
Total Estimated Expenditures 130 000.00
Total Expenditures and Reserve 130,000.00
The US. Government dutf not pay lor thie adi trtUing The Treatury Department thankt,
for their patriotic donation. The Advertising Council and
HEPPNER GAZETTE TIMES