Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (Feb. 23, 1961)
Hardman and Rhea Creek News If CBABLOTTX WAUCM Mr. and Mrs, Sara MiDanlria wmt to Elgin to vtit their daughter. Mrs. Joe MtMahon, and family. Thry wrre there mt cf the wK. Raymond Medlork. aon of Mr. and Mrs. Morgan Milock. haa brrn a patent at lha llonm Memorial hoapltal In Heppner. Mr. and Mrs, Hugh Jackson and family of Portland. vlalted at the home of Harold Wright ovrr the wwk end. Mr. Jarkaun la a brother of Mrs. Wright Mr. and Mrs. Don Chapel of rortland, were gueta at tha home of Mr. and Mrs. waine Chapel for two days. Tha store at Hardman was closed from Saturday noon until Monday morning- while tha floor FEBRUARY IS THE TIME TO PLANT SHADE & FRUIT TREES Cat your no ft KB CORNETT GREEN FEED Heppner 6-M22 tr MABTKA MATT-ION Funeral aerWwa wrre Md here fUturd-y afterrn at 1 p, m- In the Monument church fur Mr. Cora Frewre Marl. K ...re ,i.t. She patted away Tun- day morning In rvrillrtn. Mrs, ' - . pun Marl woa trn in in)n jr. ct,. ,a a HhK'l trarhrr In r..t -n.t Baker eouiltlr. many V,.. ' ' i fc . yrars. She attrndrd grail k h. In Lorg Creek, and her cwlW i..inin una in Denver. Colorado. She taught ahol In Round Ba tin and In Urg Creek. In later yrara aha taught at Suaenvllla. aa an Inatrurtor at Cali-nt eaiivi"" in ife-iH trt 1910. Follow nc trial .... wn1 a a member of the teaching ataffa In Baker and In tha Deer Creek flismci near mon ument. Tha family lived on Peer CreeK arouna u year, one lived In Pendleton tha paat was being resurfaced. Mr. and Mrs. Huston U-nley were In rcndleton over the weekend. Mr. and Mrs. Walter Wright are the grandparents of a daugh ter born to Mr. ana Mrs. mm Anderson of Arlington, Feb. 17. at The Dalles. Mrs. Wrlcht and Mrs. Evelyn Farrens went to The Dalles Sat urday to see them. Mrs. Farrens Is the babys great-grandmother. The H E C of the Khea creek Grance held a potluck dinner at the home of Mrs. Elmer Palm er, Feb. 18. There were eleven members present Flans were made to hold a oancake supper followed by a card party, to be held at the grange hall Marcn DEERE DAY 10:00 A. M. In Heppnar FEBRUARY 24 au year ami a tneia brr f tha Aaerably cf God church. She U survived bf a daughter. Mrs- Olive Laurent. YmlJrt n. two aona. Sl.y liiil t t Baker. Ruben Emit Marl of tistefj.fUr; and three grand. liil.lfrn. Itev. Kenneth Thorn H of tha rrbyterlan Ctiunrh at Mt. Vernon, officiated. Fall Bar- era were Maynard Hamilton. O. C CHielngs. George StubtrlrnelO. rtilrr. Mead Cillman. Jlenry D. Ilinton. She wai laid to ml in Monument cemetery. Mr. Auda Randle became tha hi Id of Mr. Roy Allen of Irrlgun Sunday. Feb, 19 at Rcllingharn. Wah. The wedding took place At the home of her eon ana daughter ln law, Mr. and Mrs. itval Stoneman and was io. lowed by a reception. The couple will make their home In Irrigoa Mrs. June Hutchison drove to John Day after Mrs. Dean Wade and her new son who was born early Thursday morning. Mrs. Oma Cox of Heppner was a week end visitor at the home of Mrs. Helen Brown. Ivan Benedict left Wednesday for his vacation Into Mexico and California. Harold Reynold Is staying at the Cu nrer ranch, helping Hankla with the work while the folks are gone to La Grande. Tha members of the Cora Mael family were served dinner at the home of Mrs. Wave Jackson Sat urday. Dale L. Matteson of Heppner spent the week end here with his folks, Mr. and Mrs. Elmer Matteson. A son was born Thursday morning at 2 o'clock to Mr. and Mrs. Denn Wade In the John Day hospital tipping the scales at 6 lbs., 1 oz. He Joins 3 otner sons at home here In the Ross Duplex. Mr. and Mrs. Verne McCarty nd son Donnle drove to Heppner Thursday on business and vis ited her sister and family, tha Clayton Sweeks. Sammv and Blllle Howell spent Monday night at the Ray Davis home. NOTICE OF SCHOOL MEETING . . . . f eniinHf Stat i.t rVraon. that a Koiie. u hflr given to the legal vtrfen cf Marrow County school cietrui .VT-'ri 0fuk im for the SC11UUL MSirrtNa u! i. said dut,M will M held at Cff a. It W ! IS tXTU "forth. BUDGET-FISCAL YEAR 19512 CHtDULX I , KNMAlf Of LTnXATXO tXFMOrTCfX. llCUm AND AVAILA1LK CAW lALAXCtt. AD TAX UVHI Bund Interest Serial Levy &ho.l Lunch Trarherag und Mn4 Fund Estimation of Tax Levy 11) a. Total Fatimated cxpendlturea b. Total lurned for Lxpendiiure In ltture Yrara ,., e. Total Eatlmated Expenditures and Reserve DEDUCT: Total Fatimated Fcelpts and Available vaaa Mianera Total All Funds 121 11.18733 General Fund 3I and Redemption Fund ( 143.124 Amount lSrceaaary to Balance the Budget ADD: Intimated Amount of Taxes That Will Not Be Collected Dunn tha Fiscal Vrar for Which This Budget la Made, Including Estimated nroai on Taxes Total rjrtlmated Tax Levies for Ensuing Analysis of Estimated Tax Levies: (a) Amount Inside 6 Limitation (b) Amount Outsida 6 Limitation e Not Subject to 6 Limitation U7J.K13 4M.150 22.191 7a,r74 1M51S 522.M7 43.418 I93.ono 20237 717.436 1M.513 52247 43,124 Hone 43.124 43 413 43.418 (3) (61 17 1190.000 844.000 IU& 190.000 44.000 8.1W 190.000 44.000 8130 jSone one None c rNDtrrtDwtss L Amount of bonded Indebted ness (Include all negotiable Interest-bearing warrants Issued 4209,000 Total Indehtedneaa (sum nt Items 1. 2. 3) 1209.000 Approved by Budget Committee Approved February 2. 1961 Signed: Elaine S. Ceorge. Secretary. Budget Committee Howard Bryant. Chairman, Budget Committee Adopted by District School Board Dated February 13. 19C1 Signed: Beverly Gunderson, District Clerk L. E. Dick. Jr. District School Board Chairman SCHEDULE n CEKERAL FUND ESTIMATED 8ECE1FTS AMD BEQINltlNO CASH BALAJtCE Actual Receipts for Two Flacal Years Next Preceding Current School Year Fiscal Year Flacal Year Ending Ending June 30, 1959 June 30. 19G0 (1) (2) S397.fW7.00 8.538.45 1.277.92 19.043.33 136.41268 2.561 S9 4.309 23 1.059 98 3.006.42 10,101.63 2,613.53 786,025.78 25,432.10 811.45738 $647.71400 43.634.00 1,078.00 1440.00 4.054.00 114.000.00 27.182.00 1.304.00 3.424.00 7.450.00 770,927.00 26,689.00 797,616.00 Budget Allowance Current Fiscal Year (3) 112,000.00 1,000.00 1.250.00 15.000.00 300.00 110.000.00 Item (4) 10. Rrranua From Local Sources 11.1 District Tax received in year levied 1L2 District Tax Prior Years Levies Adult Education Other-Swlmmlng Pool 20. Bevenue From Intermediate Sources 21.0 County School Fund Forest Lands Estimated Receipts Ensuing Fiscal Yesr (5) 20,000.00 1.100.00 3,600.00 30. Revenue From or Through State Sources 31.0 Basic School Support Fund (a) Off set Aealnst Tax Levy (b) Other Basic School Fund Receipts 32.0 Common (Irreducible) School Fund 33.1 Vocational Education Regular Program 40. Revenue Direct From Federal Sources 7,000.00 41.0 Public Law 874 70. Sal Of Property And Insurance Adjustments 80-90. Receipts From Other School Districts (a) Tuition Interest on 30-90 Day Savings 174,430.00 TOTAL RECEIPTS BEGINNING NET CASH BALANCE (or DEFICIT) 10.000.00 LESS CASH WORKING FUND 184,450.00 TOTAL BUDGET RESOURCES GENERAL FUND $ 14,000 1.250 15,000 5.000 110,000 23,000 1,200 3,600 7,000 450 1,500 182,000 10,000 192,000 Grow a new utility building in a small grain field? I SCHEDULE III EXDendlture fnr Turn Flaal Vcara Next Preceding Current School Year iscai i ear fiscal Year Ending Ending June 30, 1959 June 30, 1960 (1) , (2) GENERAL FUND ESTIMATED EXPENDITURES 4 eHMf-t ij, : 4 Ti Ws nof fanfesticl lt)d hete is whys One farmer increased bis net profit on wheat $18.34 par acre with Phillips 66 Ammonia, after deducting the cost of ammonia. On 300 acres he realized a total net profit of $5,602. Tliia kind of money will go a long way toward buy ing a new steel utility building. See us today! Let us show you how tide 82 nitrogen fertilizer can help you live better through higher profits per acre. Utlna Phillip Without Ammonia Ammonia ' Fixed Cott 30 $J0 Par Acra Ammonia Colt f Ptr Acra Yield tthv. 2J bw. Per Acf zzi: 1 " -I INCREASED PROFIT PER ACRf. $11.34 Fi4 col ImIum V SO lor tfsrier rwMtlaar. l.ampl. snly. Wheat 'Igutee el II l III my enerdlna e roll tertblty, ereliakle MWirt ea eutturel preokei. 27,724.00 8.890.00 1,310.00 510.00 380.00 525.00 1,505.00 3,500.00 435.00 44,779.00 23,144.00 1,200.00 333,338.00 5,550.00 4,500.00 3,200.00 350.00 12,070.00 5,900.00 4.222.00 5,860.00 401,334.00 1,124.00 2,205.00 3,329.00 39,540.00 15,100.00 14.158.00 2,100.00 72.228.00 42,480.00 7,100.00 13,600.00 14,579.00 660.00 78,419.00 2,800.00 12,882.00 11-938.00 4550.00 32,170.00 27,770.00 6.964.00 1,505.00 1,300.00 37,539.00 13.340.00 10,000.00 6,718.00 1,541.00 909.00 500.00 9,098.00 300.00 2551.00 1,062.00 31,579.00 45,600.00 1,350.00 360.867.00 7,189.00 4,115.00 4,984.00 1,992.00 11,645.00 6,993.00 4,611.00 7,483.00 456,829.00 221.00 2,942.00 3,163.00 41,790.00 21,566.00 2,507.00 423.00 66,286.00 45,736.00 6,060.00 11,435.00 15,277.00 1,599.00 80,107.00 934.00 7.224.00 7,904.00 1.525.00 3,746.00 21,333.00 33,324.00 3.515.00 1,035.00 395.00 1,490.00 39,759.00 14,953.00 Budget Allowance Current Fiscal Year (3) 10,000.00 6,750.00 1,750.00 600.00 400.00 4,600.00 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 4,000.00 11,585.00 496,054.00 440.00 3,200.00 3,640.00 45,800.00 20,600.00 8,500.00 2,580.00 1,690.00 2,000.00 Item a (4) ADMINISTRATION 100 Series 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 190 Other Expenses of Administration ..... Total Administration Expenses INSTRUCTION 200 Series 210 Salaries 211 Principals ...... 212 Supervisors, Consultants, Directors 213 Teachers Estimated Expenditudes Ensuing Fiscal Year (5) 214 Other Instructional Staff 215 Secretarial and Clerical Assistants Substitute Teachers . Administrative Travel .. 220 Teaching Supplies -b Textbooks 227 Library Books, Periodicals, Audiovisual Aids vo utner expense or instruction Total Expense of Instruction ATTENDANCE AND HEALTH SERVICES 300-400 Series 400 Health Services 420 Supplies Insurance .. Total Attendance and Health Services PUPIL TRANSPORTATION SERVICES $00 Series 510 Salaries , 520 Supplies and Repairs ... . . 535 Replacement of Vehicles 552 Transportation Insurance 565 Payments in lieu of Transportation 566 Trans, other than Home to School .. utner . l 4,428.00 1,174.00 19,768.00 16,127.00 PHimp? Agricultural The Sign of ii.soo.oo J fjjr " 11111 ' 1 ea--aaaa-----------i 72D0 00 Ammonia Better Ammonia Service - 100.00 12,725.00 3,500.00 7.977.00 I 3.600.00 39,702.00 3.850.00 13,443.00 3,850.00 13,443.00 7.225.00 705,491.00 76S.32S.00 81,170.00 45,050.00 6,760.00 10,700.00 15,600.00 1.400.00 79,510.00 1,300.00 9,450.00 7,900.00 6,500.00 25,150.00 36,290.00 6,300.00 1.000.00 500.00 3,100.00 47,190.00 17,970.00 2,660.00 20,630.00 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 , lotat operation of Plant MAINTENANCE OF PLANT 700 Series 710 salaries 720 Materials and Supplies 735 Replacement of Equipment umer Grounds Total Maintenance of Plant FIXED CHARGES 800 Series 851 Retirement and Social Security Expenses eo insurance .. 854 Rental of Land and Buildings 855 Interest on Current Loans State Industrial Accident Total Fixed Charges FOOD SERVICES AND STTJDENT-BODT ACTIVITIES 900-1000 "Series aw ruoa services 910 Salaries 11,000 7,000 1,200 600 1,600 1,050 3,200 1,800 27,450 27,862 1,550 447,518 7,600 4,800 1,700 9,900 7,950 4,500 12,085 525,465 460 3,500 3,960 47,400 20,900 12,500 2,800 1,100 2,190 86,890 ' 49,550 7,500 11,200 17,450 1,600 87,300 1,300 10,600 7,600 5,300 24,800 37,644 6,900 1,000 1,500 1,250 48,294 921 Food & Supplies Total Food Services and Student-Bodv Activities Afl 1 A UUTLAI 1ZUTJ 5110 16,000.00 1272 Sites and Site Additions 1273 Improvement to Sites 2.750.00 13,591.00 850.00 33,191.00 12.200.00 12.200.00 16,000.00 845,465.00 1276 New Buildings and Additions 1277 Remodeling 1278 Equipment Betterments Total Capital Outlay PAYMENTS TO OTHER SCHOOL DISTRICTS 1400 Series i-jDi.i luiuon Total Payments to other School Districts . EMERGENCY TOTAL GENERAL FUND EXPENDITURES 18,200 2,250 20,450 8,000 3,825 20,000 12,735 1,140 45,700 2.250 24250 16,000 888.550 EKSTROM FARM CHEMICALS NH3 SALES & SERVICE PBONE 1-7280 S 4 H GREEN STAMPS IONE. OREGON Now Serving Morrow and Gilliam Counties SCHEDULE IV Actual Fiscal Year Fiscal Year Ending Ending June 30, 1959 June 30. 1960 (H (2 72 027.50 $71,667.50 UC27J0 7L667J0 Bond Interest and Redemption Fund ESTIMATED RECEIPTS AND BEGINNING CA3H BALANCE Budget Allowance Current Fiscal Year t3 S71.2S5.00 7US3.0Q Item (4) Total Receipts Tctal Budet Resources Estimated For Ensuing Fiscal Year (5) S 43.124 43,124