Heppner gazette-times. (Heppner, Or.) 1925-current, April 20, 1961, Image 8

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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