Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (April 20, 1961)
uittvtt oixtrrt nxti tmntit MACHiXS sMVTCl Ml luUM MeMae. IN HEPPNER M 4 WMk 4 Irwf Mas, DON I ALL, rf. Dept. 1 Maia IU B0 JO T lH County Atttttor Explains 25 Percent Ratio Oft-eon Kevld 8 1 SnHXU-VAU-K AT WHICH PROI-KPTY W TO BE A-; SKSSED. "all property be aururd at It a tru rash value, of iwntf thereof, spplled uniformly i ell cUr of pfoprriy within each county." butwection 2 In part, "beginning with eument date January 1. 19M. all property ahall be asaeaaed at b percent of true caah value." True caah value, ai defined by law. means market valut aa of the assessment date. Oregon Angler. Poiud For Opener nr, Mill Itte Id If f ut t ihl ramlrg wrrk rod, Aj ill Zl of the frncial ! UA.I tetm.n. I'r.lrM ihl i ' f ' let undergo- a rt-rr.ilHe fe ver! of ttrlrtf f rm. a - t, . 4 prariuaiiy eery i r ' iro In the iri.i;5 " that dale will rM a itd W"k- in rtrf irii r" ) dune. Many ar.glri h-aa rerily f 'krd "h"t !'" and lll l Mj J f -a " w,rf ith I." tiy at the cmcK tf dnjli'ht rf " aftilru who are .mrwhat In tout', here's a lk r at a f-w liklry producers for the big -k end thuw. None are tlfff guf antera. but thn.ush the year mutt of the wM-ri have M conatilent eariy " nxluc era. ... ciiMmi in the John Way country may be out of ahape. but barring un ri.m. .h.miI.1 oroduce fair to d reservoir, Hubble and Marne lakea ahould be fair, along with C.Karrv (1U. al)(l Slide i.kM if ihev can te reached. Small atreama In the John Day USE IT TO MODERNIZE YOUR HOME and KEEP your Saving. Cushion National Baral of Oretfon fOlIlAHO If you hava a aaving ac-count-KEEP YOUR CUSWONl Inied of us ing thoi hard-won iv ing. ua a Fir Nationil Bank lon ty to handle at low bank rate. Shop for loini at the bank with I Mony for SaUJ ! THI FIRST NATIONAl IANK OF OREOON. PORTLAND mmm to (8) 938 A THI A Ail-Around ROTATION and INSPECTION only 5 3.95 (GENERAL) ALL MAKES ALL MODELS TIRE J (this week only) WHEEL CHECK FRONT END For new tiro mileage at used tiro tost . WORLD-FAMOUS FKOM, f mm l(RAFTREADS$9? STANDARD BATTERIES $Q?J IS month guaranty - UP -TOUll GENERAL TIRE DEALER" TIRE SERVICE Keppnet'a Tire Super Mart Phone 6-9481 I.,. ., u!1 I U e - rl , , in the I'm.t.Ua ahoulJ i.ir t trl M.Ko rtr rr, t a fr! bt ' ,,n If, u! fi'w rui.olisg l al. It.iMX hr.) lun off CSe Mu;m. mriha, N?rra. C. :..f,de. and Wailoiaa liw-f rr rl-rtl r M 'tgan (akr H,mi1, funtlnue e.rlirt-. ff-tu. il.i of Ut er WitlU lake ak-mU t fir f" ,a, ..-. i.d lake tfoot to 20 Intl.rfc. , ,, Ar;lt ! "e a"" ' !,Mh out the rr.all hlh ;i: ?!. at.d rrerkt fr the ojcn lisj; I'l-.rnnmenal tfuut are l-ro-UmrA in thia Cfuntry In atreama Sihii at4-!-f ran Jump arroaa. !Kih t-.e hlth mradowa. e;ec I,. n.. ..r mulit and blireer fi-.h m hnr mid"W craa. na en-t Iat. and wtllw over harijj the bank. Aiikf ate ur;tnl to look over the argUne aynojU for ba lur.lt and watrra which will ,,, on AMll 22. All coa.ta l.kea will oin on that day. but rottM atieama remain cloned. Iliuh mountain lake within nat ional freM boundartet In the C.iMd villi al remain closed ur.iil May 27. Thi-re are aome in the tilth lake country ao take n t.o.M lo-k In-fore barging Into the Caade national foreat country. Direct Distance Dialing For Area In 1962 Direct Distance Dialing (DDD) from telephones In lieppner. Ino and Lexington i piannea for 12. At approximately the same lime DDD Is Introduced, tele 111 chanee to the nationwide All Number Call ing (ANC) system. -rl.i.. ...n snnnunrpd last WCt'K by VV. It. Brown, district com mercial mannger for Pacific Tele TontntUo Hate for the Mart of DDD and ANC In Hepp- nor, lone and Lexington is iaie sprlnc of next year. "DDD will open tne wy 101 ii,.nhnnd users In tnese com munities to dial their own long distance calls to more than w million of the 74 million tele phones throughout the United States ns well as millions more In Canada." Brown declared. Brinclng DDD to the Heppner area will require the modifi cation and expansion of long distance facilities In all three communities. Arlington. Athena," Echo, Her miston, Pendleton, Milton-Free-water, Stanfield, Umatilla and Weston will also begin DDD next spring. Overall cost of Intro ducing DDD for these towns, In cluding the lieppner area, Is es timated at $750,000. All number calling is a phone numbering plan that uses seven numerals rather man a oi nation of letters and numerals. Instead of adding letters to the phone numbers, then making a c..n,i nhnnrp later, the pre fixes will be changed completely next year. Typical phone numbers now and then: Heppner, o-ooou wu K7R.5580: lone. 8-7480 be 422.7480: and Lexington 3-8814 will appear as 989-8114. Except for the preux cnange, phone numbers will remain as they are in all three eommun Tlie nine other communities will also be switched to AISC iirf,irrt nnn Is Introduced. ANC has become a necessity in the United States for several reasons. The basic one is popu lntlnn rrowth. The Phone Com n miles find that about 50 per t - cent more phone numDers can in n.H hv tin. ANC system than are available on the dial using the two letter five numoer com Fi n:i t inn .1 factor is the potential of worldwide dialing of calls by customers. Almost all nations nso tho sAm Arabic numerals that we do. Alphabets and letters are varied in many ways. ry sticking to numerals oniy, me differences and problems found In letters are eliminated. COLE'S Electric Motor Shop S. W. 23 TutuUla RA Pendleton Ph. CR 6-7761 NOTICE OF SCHOOL MEETING N itir U .b, rtrn to tr. bff.1 Mtow County ocl dWrk-l J U MJ CW. .f BUDGET-FISCAL YEAR 1961-62 Zum cr nnxATto ,HWWu caum availablt a,o tax ro Oeneral Retlrrr.pMon Srui ivy ,-.. - fund '"7 V Catlmatton of Ta Uvy (1) tv.io r.timatxt Einandlturea .... b. Total Krrrved for tapendltur In rXitur Vara - e. Total EUmate4 Lpendlturea and Krrv DEDUCT: . . , Total Intimated Recelpta and AvallabW Caah tulanera . r." rl. ' Amount Necar)f to Balanr tha Budftt . l-ailmate Amount of Taaea That Will Not Ra Collected Ikirlnf tha riaral Year for Which Thia Budget ta Mada. Including Eatlmated Kebata on Taaea . Total Krtlmated Tax Levlea for Enautng riacai Year Analyala cf rttmatd Ta Levlea: (a) Amount Inalda 61 Limitation Ikt A MM.nt rVitaM. I Imlfatlnn (c) Not Subject to 6 Limitation Total All runda U60.UM 4M.190 720,27 21.TsB 748.0T4J 194.315 M.54J 44.418 Kund 1.11 K75.1M 192 f Wil.lM 20.494 703.64S 194.513 54.54J IU134 43.134 Nona 43.124 14 44 41S 44.418 rund 13) 1190,000 190.000 190.000 Nona 4.0t3 44 000 Nona esno .I30 B.130 Nona C INDEJmONISS I. Amount of bonded Indebted neaa (Include all negoUabla Interest-bearing warrants Issued under ORS 32a2U3l 4. Total Indehtedneaa (sum of Items 1. 2, 3) .20900 ..$209,000 Approved by Pudget Committee Approved April 5, 19ol Signed: Elaine S. George. Secretary. Budget Committee Frank Anderson. Chairman, Budget Commlttea Adopted by District School Board Dated April 10. UJG1 Signed: Beverly Cunderaon, District Clerk L, E. Dick. Jr. . . District School Board Chairman scxiDULX n Actual Receipts for Two Fiacal Yeara Next Preceding Current School Year Flaeal Year Flaeal Year Ending Ending June 30. 1939 Juna 30, I960 (1) (2) GENERAL fUND ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE $597,097.00 8J3A43 U77.92 19.043.33 130.412M 2.36139 4.309.23 1. 059.98 3.006.42 10,101.63 2.615.33 786.023.78 25.432.10 811.457J8 $647,714.00 43,634.00 1,078.00 14540.00 4.034.00 U4.000.00 27.182.00 1.304 00 3.424.00 7.430.00 770,927.00 26,689 00 797.616.00 Budget AHowanca Current Fiscal Year (3) $12,000.00 1.000.00 1.250.00 15.WX1.00 3.500.00 110,000.00 Itara (4) 10, Ravaaua Trom Local Sourcaa 11.1 District Tax received In year levied 11.2 District Tax Prior Years' Levies Adult Education Othcr-Swimmlng Pool - 20. Raanua From Intarmadlata Saureaa 21.0 County School Fund Forest Lanas Estimated Receipts Ensuing Flaeal Year (3) 30. Ravtnuo From or Through Starta Baorcaa 31.0 Basic School Support Fund - (a) on set Againsi lax icvy. 20 000.00 (b) Other Basic School Fund Receipts 1100 00 32.0 Common (Irreducible) School Fund 3600 00 33.1 Vocational Education Regular Program 40. Revenue Direct From Federal Source 7.000.00 4i.o public Law 874 rr.":TTr."- 70. Sal Of Property And Inauranca Adjustments 80-90. Receipts From Other School Districts (a) Tuition Interest on 30-90 Day Savings 174.450.00 TOTAL RECEIPTS - BEGINNING NET CASH BALANCE (or DEFICIT) mnnnnn LESS CASH WORKING FU.nu 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 SCHEDULE in FvrvpnrlltnrM for Two Fiscal Years Next Preceding Current School Year Fiscal Year Fiscal Year Ending Ending Juna 30, 1959 June 30, 1960 (1) (2) GENERAL FUND ESTIMATED EXPENDITURES 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 25,144.00 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 2505.00 3,329.00 39,540.00 15,100.00 14,158.00 2.100.00 72528.00 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 4.423.00 19,768.00 100.00 3.500.00 3,600.00 3.850,00 3.850.00 7525.00 705.491.00 768,328.00 10.000.0ff 6,718.00 1,541.00 909.00 500.00 9,098.00 300.00 2551.00 1,062.00 31,579.00 43,600.00 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 2,307.00 423.00 66586.00 45,736.00 6,060.00 11,435.00 15,277.00 1,599.00 80,107.00 934.00 7524.00 704.00 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 Yaar (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 Sarias 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 Expensea of Administration Total Administration Expenses INSTRUCTION 200 Series 210 Salaries 211 Principals 212 Supervisors, Consultants, Directors 213 Teachers Estimated Expendltudes Ensuing Fiscal Year (5) 214 Other Instructional Staff 215 Secretarial and Clerical Assistants Substitute Teachers Administrative Travel 220 Teaching Supplies 22fi Textbooks 227 Library Books, Periodicals, Audiovisual Instruction .... Instruction Aids 290 Other Expense of Total ExDense ol ATTENDANCE AND HEALTH SERVICES 300-400 Series 400 Health Services 420 Supplies - Insurance Total Attendance and Health Services PUPIL TRANSPORTATION SERVICES 500 Sarias 510 Salaries 5Z0 Supplies and Repairs 535 Replacement of Vehicles .... 552 Transportation Insurance . 565 Payments in lieu of Transportation 566 Trans, other than Home to School ... Other 11,000 7,000 1500 600 800 1,050 2,600 1,800 26,050 27,862 1,550 442,118 7,600 4,800. 1,700 9,900 7,950 4,500 12,085 520,065 Total Pupil Transportation Services OPERATION OF PLANT 600 Series 610 Salaries - 620 Supplies 628 Fuel lor Heat 630 Utilities except Fuel 17.970.00 2,660.00 20,630.00 16,000.00 2,750.00 13,591.00 850.00 33,191.00 12.200.00 12.200.00 16,000.00 845,465.00 460 3,500 3,960 47,400 20,900 12,500 2,800 1,100 1,960 86,660 49,550 7,500 11500 17,450 1,600 87,300 1,300 10,600 7,600 4,150 23,650 Fnrpn rHAnrtrsi nnn uriM 851 Retirement and Social Security Expenses - I'St? 852 Insurance ,y00 854 Rental of Land and Buildings 1.000 855 Interest on Current Loans JOU State Industrial Accident Total Fixed Charges 48,294 FOOD SERVICES AND STUDENT-BODY ACTIVITIES 900-1000 Series 900 Food Services 910 Salaries 921 Food Supplies Other Expenses of Operation Total Operation of Plant MAINTENANCE OF PLANT 700 Series 710 Salaries 720 Materials and Supplies 735 Replacement of Equipment Other Grounds Total Maintenance of Plant Total Food Services and Student-Body Activities CAPITAL OUTLAY 1200 Series 1272 Sites and Site Additions 1273 Improvement to Sites 18500 2,025 20525 1276 New Buildings and Additions 1277 Remodeling 1278 Equipment Betterments Total Capital Outlay PAYMENTS TO OTHER SCHOOL 1461.1 Tuition DISTRICTS 1400 Series Total Payments to other School Districts TOTAL GENERAl"'fUND EXPENDITURES 8,000 3,825 15,000 12,735 1.140 40,700 2550 2550 16,000 875,154 SCHEDULE IV Bond Interest and Redemption Fund ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE Actual Fiscal Year Ending June 30, 1959 (1 $72.027 JO 72.02730 Fiscal Year Ending June 30, 19) 2 $71,667 JO 71,607 JO Budget Allowance Current Fiscal Year 3 $715S3.00 TL2S100 Item (4) Total Receipts Total Budget Resources Estimated For Ensuing Fiscal Year (5) $ 43.124 43.124