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