Heppner gazette-times. (Heppner, Or.) 1925-current, April 13, 1961, Image 10

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    Hirrxti cjumt Tixti
Rep. Wealherford
Commenls On
Boeing Conlracf
"Ui'UMt approval J th
poring dral f Baidmn
Spar Afe ailulfl 1'afk W
UfHo ntN ui tx ri thing
fur M -m euniy." Rrpreaen
l?i Frank M Weatherford
said Monday.
li..th bue tl the LeiSa
lure have n approved ,wo
l,i;:a r. la enabl th ate
to !gn Ihe H-M-lfig lca and the
Hhcr lo provide a J0.0 ap
propriation and tvcrnor Hal
field has now alenrd them.
Of the $10.0"0 approprla
lion, l0f).fO would be apent to
move Ihe bombing range aouth
Into Lake county by an enchange
f land. Another l00.0O would
be given to the Navy to rom-j-nate
for th difference In val
ues between lb1 two Hes, and
9100.000 would tx spent fr ap
praisals, engineering studies and
the like."
Wcathcrford pointed out that
IhcM? figures are approximate
slnco appraisals can't be made
until next summer. He stated
that It U hoped the leas might
be signed by next December.
Representative Wcatherford
aid that the action of the Leg
islature, taken after consultation
with Boeing officials and local
people, will assure alow and or
derly development of the area.
"It I expected that Boeing will
u the Industrial park for de
velnpment of the Dynosaur and
Bomarc missiles, and that Init
ially crcwa of 123 to 200 men
will be continuously employed,
commuting to the launching pads
from Umatilla and Boardman.
Ultimately Boeing may employ
as many as 2.000 persons at
the Boardman project," he added.
Closed Fire Season
Started April 1;
m at
Permit Required
SAIXM. OREGON I5UI
Th l'JCl eled fua aeaaon got
under way on April 1 and n
thai data Use various f.et lawt
rovrring precautiunary rneaurrs
within th lurral ani !
the burning permit required b-
Iniflfrmrnfl with Biclnif HI
permit the company lo sutlrap
part of tne area m
manufacturer of d-fen mater
ial or other defense work under
federal ronttarts, Wcatherford
aald.
"Lease of the IWardman ce
ace Industrial park to B"cln
ahcHjId stimulate the economy
of Morniw and adjoining coun
ties. Tula area haa unique In
dustrial and agricultural advan
tages. The fertility of tha aolL
If water It brought lo It. can
k.iu h Mualled In the stale
of Oregon." the 22nd Congres
nwtrlrt Representative
continued. There are also under
ground water supplies, wnoe
quality l unknown, at about
125 feet.
The area has transcontinen
tal railway, highway and air fa
cilities, and water navigation. It
has a high, dry climate and Is
smog free all favorable for In
dustrial development.
The site of the negotiations
for the coming space age area
In Oregon was once a mecca for
wild horses, known as a horse
heaven, and sixty years ago, In
1901. men who helped make the
in thla area, participated
In a wild horse round up that
gathered up most of the roam
ing horses. That i another story
that will soon be tola," weauw
trrA rmm i.d. Now. this area
can look forward to entering the
space age and all that It means
to economic prosperity." Weath
erford said.
. an.c rffecihe. actwdir-g t a
!UH.rt.t tUd by AaaUtant
!? ftMtrt'.rt ian.es II Walker
Burring rtmlti will b rrc.
ruary fr ary dd.na buiMeg or
!;.... railcjii on or
u lit An i.i,t riit.th ti cr.a m!J fcf
f,.rr lar.d within lha tundarlr
of fi'e prti-c!in ditr'-t 11 in
dicated that the rejutrHl per
rr.iis rtn r acure1 from the
rsraretl f'rt protection dutrld
Jflce or field offica tf Ihe V. .
f.irt-l serlc.
All JofPing operations will t
trulrt-d lo provide fire lxdi suit
aM t r fighting foret f r".
equip c"llne jwmered Internal
dimbukltlon enyinr with spark
arreten and carry out other pro
tectlve measure as required by
law or regulation.
u-.ikpr said Ihit the regu-
in.,n ro-i-rlnc tark arrester
uie on Internal cmbu!iltlon en
gines had been rescinded by ac
.f ih State Board of For-
km m mult aoark arresters
will not be required on diesel
equipment. The protection com
mittee of the board, at Its March
30 meeting approved formulation
of a regulation covering spar
arresters for gas-powered equip
ment and directed that this reg
ulation be submitted to Industry
for study, prior to the board's
June meeting, when Ihe matter
will come up for Ilnai anion.
The regulation requiring ces
sation of operation at 30 percent
humidity will not be put Into
effect until so ordered by the
State Forester." Walker stated.
r,. Hat of the order will be
determined upon the basis of the
burning Index ana noi iu-.t-sarlly
when the relative humid
ity drops to 30 percent." the
forester continued, pointing out
that oftentimes during the early
part of the fire season, humid
lies can b low while the fire
hazard will rot Justify shut
downs because of high moisture
content In forest fuels.
TELL 'EM YOU SAW IT
IN THE GAZETTE-TIMES
WHY
from
INLAND CHEMICAL SERVICE, INC.?
1. SERVDOE
Proven, reliable service means less down time for you.
We were the first dealer licensed in this area to offer soil
testing. This is our sixth year for offering this service.
2. EQUIPMENT --
Modern equipment gives greater assurance of proper ap
plication. Applicators to fit your every need - 36-ft., 42-ft., 45-ft.
52-ft., 62-ft.
3. PRODUCTS--
A complete line of fertilizers:
URAN for top-dressing for nitrogen (kill weeds at same
time by adding 24-D)
SULPHUR - We have it and can apply it if you need
it.
AQUA - We have it, too.
DRY FERTILIZERS, weed killers, applicators.
4. PERSONNEL--
Properly trained personnel; year-around employees, qual
ified to make repairs in the field, qualified to seta pump
properly; large enough to service all your needs, yet in
terested enough to meet your schedule. This means less
down time for you.
INLAND CHEMICAL SERVICE, Inc.
I
Tour Crowing Success Is Our Business
Phona 6-9103
233 N. Chase. Heppner
NOTICE OF SCHOOL MEETING
w-h- fa iha Ural voters of Morrow County school district Jfa R 1 WorrojT nf' a-cioek m, for lha
tun- tf diafusalrf th budget for tht flaeal year Uglnnlng Jaly I. jsw. ana cnai
BUDGET-FISCAL YEAR 196U2
IC8CDUU t
tfMMAIT Of tlTlMATtO ZXttnDTTVMti,
ratlmstlon of Ts Levy
(1)
a. Total Fallmated lJtnd!turrs .....
b. Toial p.ewned for Eapenditura In
ruiure Tears
KCtim AND AVAILABLE CASH 1A1AJICXS. AKD TAX IXVITt
e Total Intimated lpendlturet and Bsrvt
Ttal Intimated Receipts and Available
lam Balances
Amount Necesaary to Balanca tha Budget -
Intimated Amount of Taiea That Will Not Be
Colerte4 lurtnr lha rtscal Year for Which
Thla Budget la Made, Including Estimated
senate on Tases
Total F-tlmated Ta Levies for Ensuing
riscai year
Analvala i,t PiillmalMl Tas IjFVies:
la) Amount Inside 61 Limitation
Cb) Amount Outside 6 Limitation
tc) Not Subject to 6 Limitation
Total General
All Funds rMnd
121 n
S1.1S3.CS S.T75.1M
esno
875.1M
434.1S0 IWOnO
683.1M
21.788 30AH
743.0G6 703.643
1M5!5 1M515
VB.M2 509.M2
44.418
8nd Interest
Redemption Serial Levy ?nfh m"
Fund
IS) IM
miM IIJXX00O S44.000
Fund
SL3M
43.124
Nona
43.124
44.418
44 418
190.000
190000
Nona
44.000
44 0O0
Nona
eno
8.150
MM
Nona
C INDEBTEDNTSS
1. Amount of bonded Indebted,
nets (Include all negotiable In
tercut bearing Hsrrants Issued
under OILS 32S.205)
4. Total Indebtedness (sum of
Items 1. 2, 3) ,
$209,000
$209,000
Approved by Budget Committee
Approved April 5, 19G1
Signed: Elaine S. George.
Secretary. Budget Committee
Frank Anderson.
Chairman, Budget Committee
Adopted by District School Board
Dated April 10. 1961
Signed: Beverly Cunderaon.
District Clerk
L E. Dick. Jr.
District School Board Chairman
SCHEDULE II
Actual Receipts for Two Fiscal Year
Next Preceding Current School Year Budget
Fiscal Year Fiscal Year Allowance
Ending Ending Current
June 30. 1559 June 30. 1900 Fiscal Year
(1) (2) (3)
GENERAL FTJITD ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
$597.00700 $647.714 00
8,538.45 43,634.00 $12,000.00
l.onooo
1577.92 1,078.00 150.00
19,045.35 1 4540.00 15000 00
4,054.00 300.00
13A41268 114.000.00 110,000.00
2.56159
4..V19.25 27.18200 20.000.00
1,059 98 1J04 00 1.100.00
3.006.42 3,424.00 3,600.00
10.10163 7.450.00 7.00a00
2.615.53
786.025.78 770,927.00 174.450.00
25.412.10 26.689 00 10.000.00
811.457.88 797.616.00 184.450.00
Item
(4)
10. Frnua From Local Sources
11.1 District Tax received In year levied
115 District Tax rrlor Years Levies
Adult Education
Estimated
Receipt!
Ensuing
Fiscal Tear
(5)
Other-Swlmmlng Pool
20. Rtvtnu From Intannadlata Saurcas
21.0 County School Fund
Forest Lands
30. Ravenua From or Through Stcrta Saureaa
31.0 Basic School buppon twa
(a) Olf-set Against Tax Levy
(b) Other Basic School Fund Receipts
32.0 Common (Irreducible) School Fund
33.1 Vocational Education Regular Program
40. Rayenua Direct From Federal Sources
41.0 Public Law 874 r--:
7a Solo Of Property And Insurance Adjustments
80-90. Receipts From Other School Districts
(a) Tuition
Interest on 30-90 Day Savings
TOTAL RECEIPTS - .
BEGINNING NET CASH BALANCE (or DEFICIT)
LESS CASH WORKING FUND
TOTAL BUDGET RESOURCES GENERAL FUND -
$ 14.000
1550
15.000
5.000
110,000
23.000
1500
3,600
7,000
450
1,500
182,000
10,000
192.000
SCHEDULE in
Expenditures for Two Fiscal Years
Next Preceding Current School Year
Fiscal Year Fiscal Year
Ending Ending
June 30, 1959 June 30, 1960
(1) (2)
GENERAL FUND ESTIMATED EXPENDITURES
27.724.00
S.RW.OO
1.310.00
510.00
380.00
525.00
1.505.00
3,500.00
4.15.00
44,779.00
25.144.00
1.200.00
333.338 00
5,550.00
4,500.00
3500.00
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
4.550.00
32,170.00
27,770.00
6,964.00
1,505.00
1,300.00
37,539.00
15,340.00
4,428.00
19,768.00
100.00
3.500.00
3,600.00
3,850.00
3.S50.00
7525.00
705,491.00
768,328.00
10.000.00
6.718.00
1.541.00
909.00
500.00
9,098.00
300.00
2.251.00
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
66586.00
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
1.174.00
16.127.00
11,800.00
7500.00
12.725.00
7,977.00
39,702.00
13,443.00
13,443.00
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
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
Item
(4)
ADMINISTRATION 100 Sarlas
110 Salaries
111 Superintendent's Office
Estimated
Expendlrudes
Ensuing
Fiscal Year
(5)
$
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 .....
01 1 TonrhprQ
214 Other Instructional Staff
215 Secretarial and Clerical Assistants
Substitute Teachers
Administrative Travel
220 Teaching Supplies
X eXlDOOKS
A t AlUUV.'" ." ' " "
997 T.ihrarv Books. Periodicals. Audiovisual Aids
290 Other Expense of Instruction
Total Expense or instruction
ATTENDANCE AND HEALTH SERVICES 300 -400 Sarlas
400 Health Services
420 Supplies -
insurance
Total Attendance and Health Services
PUPIL TRANSPORTATION SERVICES 500 Sariaa
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
Other
Total Pupil Transportation Services
OPERATION OF PLANT 600 Sarlas
610 Salaries
620 Supplies - - .
628 Fuel for Heat
630 Utilities except Fuel
Other Expenses of Operation
Total operation or riant.
MAINTENANCE OF PLANT 700 Sarles
710 Salaries ..
720 Materials and Supplies
735 Replacement of Equipment
Grounds
Total Maintenance of Plant
FIXED CHARGES 800 Series
851 Retirement and Social Security Expenses
KM insurance
854 Rental of Land and Buildings
855 Interest on Current Loans
State Industrial Accident
Total Fixed Charges
17.970.00
2,660.00
20,630.00
16,000.00
2.750.00
13,591.00
850.00
33,191.00
12500.00
12500.00
16.000.00
845.465.00
FOOD SERVICES AND STUDENT-BODY ACTIVITIES 900-1000 Sarles
900 Food Services
910 Salaries
11.000
7.000
1500
600
800
1.050
2,600
1300
26,050
27,862
1,550
442,118
7,600
4,800
1,700
9,900
7550
4,500
12,085
520,065
460
3,500
3,960
47,400
20,900
12,500
2,800
1,100
1,960
86,660
49550
7,500
11500
17,450
1,600
87,300
1,300
10,600
7,600
4,150
23,650
37,644
6,900
1.000
1,500
1550
48594
921 Food & Supplies
Total Food Services and Student-Body Activities
CAPITAL OUTLAT 1200 Series
1272 Sites and Site Additions
1273 Improvement to Sites
1276 New Buildings and Additions
1277 Remodeling
1278 Equipment
Betterments
Total Capital Outlay
PAYMENTS TO OTHER SCHOOL DISTRICTS 1400 Sarles
1461 J. Tuition
Total Payments to other School Districts
EMERGENCY
TOTAL GENERAL FUND EXPENDITURES
18500
2,025
20525
8,000
3,825
15,000
12,735
1440
40,700
2550
2550
16,000
875,154
SCHEDULE IV
Actual
Fiscal Year
Ending
June 30, 1959
(1)
$72.027 JO
72.C27.50
Bond Interest and Redemption Fund
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
Fiscal Year
Ending
June 3a I960
(2
$71,667.50
7L667J0
Budget
Allowance"
Current
Fiscal Year
3
$715S5i
715S5.00
Item
(4)
Total Receipts
Total Budget Resources
Estimated
For
Ensuing
Fiscal Year
15, 43.124
43A4
c e