HEPPNER GAZETTE-TIMES. Thursday Juns 11 1961 (Continued from Page 2) Surplus Food Deportment General Fund HISTORICAL DATA ACTUAL Second Preceding Tear 60000 600.00 1000 649.33 65933 $ 1559.33 Tint Preceding Tear Budget Cumnt Year 600.00 600.00 85757 857.27 1.457.27 600.00 600.00 25.00 700.00 600.00 woo 1,375 00 1.97500 Personal Services t Office Clerk's salary . Tolnl Personal Service . Materials and Service! Office Supplies Freight on surplus food Office rent Installation of Air Conditioner .. Tola) Materials and Services TOTAL REQU1KEMENTS Budget for Ensuing Tear Approved $ 600 600 25 700 600 1.325 1.923 $ 4.120 00 120.00 4540.00 234.33 30.00 26433 4.120.00 20.00 4.140.00 158.26 66.15 224.41 Treasurer Department General Fund Personal Servient Treasurer's salary Additional oil Ice help 4,500.00 120.00 4.620.00 50.00 120.00 75.00 245.00 Total Personal Service - Materials and Services! Operating Materials and Supplies Contractual Services Convention A Assoc. dues Binders (or books S 4,504.33 $ 4.364.41 S 4.865.00 Total Materials and Services Capital Outlay! Equipment. Calculator Total Capital Outlay .. Total of All Services TOTAL REQUIREMENTS 5,100 5,100 100 120 220 245 245 5.540 5.540 DETAILED REQUIREMENTS BY FUND Non-Departmental Department General Fund S 1,650.00 S 1.500.00 S 1,500.00 422.50 425.50 500.00 12587.00 12.575.00 13.472.00 1,641.80 1,625.96 1,400.00 1,445.14 511.50 1,000.00 8.289.23 8,740.61 13,000.00 162.00 257.00 2,000.00 1550.98 1572.06 1,700.00 63.07 200.00 150.00 150.00 4.231.53 4,763.11 3,000.00 589.18 763.11 1.500.00 139.00 73.75 300.00 1,508.29 1,324.42 1.000.00 45.50 39.50 50.00 2,663.04 3,340.46 3,600.00 8154 70.87 200.00 7.00 13.44 1,500.00 15.849.00 14,544.01 12,438.00 1500.00 1,500.00 1,500.00 50.00 50.00 50.00 6,557.00 6.902.00 7561.00 1,050.00 2.139.35 8,000.00 4,000.00 5,000.00 209.00 450.00 500.0C 250 00 3,573.20 5,499.87 8,25000 1,600.00 1,000.00 1,700.00 S 64,842.93 $ 72,253.59 $ 93,921.00 Materials and Services! Audit Bonds Co. Aeent A Home Extension Service Current expense (Telephone) County Planning Committee General Operating Contingency fund . Equalization Board Election Heppner Rural Fire Expense 4-H Club Contribution Insurance Jail expense (Board and room) Mentally 111 expense Official Publications Official Registrar Social Security expense : Soldier Indigent fund & relief fund Water Master expense (Sal. & Mileage) .. Welfare Fund Mid-Columbia Planning Committee Keep Oregon Green Predatory Animal Control County Park Fund County Retirement Fund Economic Opportunity Act fund Photo copy paper for office use & postage . Inland Empire Waterways Assoc ., Weed Control fund (Sal. & chemicals) Machine Mtse. for Courthouse offices Historical Society donation Part-time office help pool TOTAL REQUIREMENTS i 1.800 500 13,113 1.500 1,000 12,445 800 1,700 200 4,500 1,000 250 1,000 50 3.600 200 5,100 11,754 50 7,647 5,000 5,000 600 1,700 250 7,500 2,500 1,000 1,700 93,459 Road Department General Road Fund $ 6,400.00 18,228.21 68,086.66 3,900.00 96,674.87 24.002.84 8,976.14 6,409.30 13,847.18 7,893.95 3,169.34 5,910.16 36,522.78 106,731.69 45,407.43 248,813.99 8,386.01 $257,200.00 $ 6,400.00 16,049.42 71.654.00 3,900.00 98,003.42 22.406.11 6,548.49 4,576.00 13,627.64 5,634.64 4,215.56 12,157.76 39,287.86 5,900.00 5,826.00 120,180.06 27,633.12 245,816.60 53.40 $245,870.00 6,900.00 13,000.00 72,800.00 4,200.00 6,600.00 Personal Services: Road Master's salary Mechanic & crusher operator Gen. Labor (hourly basis) .. Bookkeeper Road Foreman . Park Attendants 103,500.00 25,500.00 2,220.00 7,000.00 13,000.00 5,550.00 6,000.00 4,550.00 46,900.00 11540.00 7,000.00 128,960.00 46.553.00 $279,013.00 County Commissioners Salary (per diem) Total Personal Services Materials and Services: Repairs " Supplies (shop and office) - Insurance Gas and Oil - City Appropriation fund Social Security Misc. Expenses Road Materials and supplies Bridge payment Tires and tubes Retirement fund Park Materials and supplies Asphalt and Freight Emergency Total Materials and Services .. Capital Outlay: Trucks, New Machinery and Car ..... Unappropriated Bal. of State funds Total Expenditures Ending Fund Balance TOTAL REQUIREMENTS ..$ 7,200 .. 13,400 .. 76,440 .. 4,500 .. 6,900 .. 5,000 .. 3,000 .. 116,440 .. 23,500 .. 3,000 5,000 .. 15,000 . 7,000 . 5,000 . 5,000 . 40,000 '. 3,000 . 7,000 .. 8,000 9.500 8,550 . 139,550 . 40,485 . 35,000 ..$331,475 $ 279.15 279.15 $ 279.15 $ 241.00 241.00 $ 241.00 Special Department Dog Fund Materials and Services: $ 250.00 Livestock killed by dogs 250.00 Total of All Services $ 250.00 TOTAL REQUIREMENTS ...$ 350 350 Law Library Department Library Fund $ 377.97 377.97 $ 377.19 $ 720.50 720.50 $ 720.50 800.00 800.00 800.00 Materials and Services: Books & replacement parts for Law Library Total of All Services TOTAL REQUIREMENTS ..$ 1,000 .. 1,000 ..$ 1,000 General School Department Gen. School Fund Materials and Services: $ 28,040.56 $ 18,725.00 County Allocation to School District per census child $ 28,040.56 18,725.00 Total All Services $ 24,927.04 24,927.04 ..$ 24,657 .. 24,657 Marine Fund Department Marine Fund Materials and Services: Boat for Sheriff Department Total Expenditures TOTAL REQUIREMENTS ...$ 2,000 ... 2,000 ..$ 2,000 Hospital Maintenance and Operating Fund $ 9,000.00 9,000.00 $ 13,000.00 $ 23,000.00 13,000.00 23,000.00 Materials and Services: County contribution to the Mtse and operation of County Hospital Total of all Services TOTAL REQUIREMENTS ...$ 10,000 ... 10,000 ..$ 10,000 ALCOHOL ENFORCEMENT FUND $ 437.44 437.44 $ 379.72 379.72 400.00 400.00 Materials and Services: Supplies for District Attorney Total of All Services 400 400 TAYLOR GRAZING FUND 3,100.00 $ 3,100.00 1,431.11 1,431.11 1,868.89 3,300.00 $ 1,800.00 $ 1,800.00 Materials and Services: Maintenance on Grazing land Total Expenditures Ending Fund Balance TOTAL REQUIREMENTS ..$ 500 "$ 500 BOARDMAN VECTOR CONTROL FUND 65.00 65.00 60.23 120.00 18053 24553 24553 10.00 10.00 47.83 120.00 167.83 177.83 177.83 $ 200.00 152.00 352.00 50.00 300.00 385.00 200.00 120.00 100.00 200.00 1,355.00 2,600.00 4.307.00 $ 4,307.00 Personal Services: Truck driver's salary . Clerical . Total Personal Service Materials and Services: Operating Materials and Supplies Spray Contractual Services Office supplies Chemicals Operating Contingency Sinking fund Bond Special Election Legal Counsel Drainage Total Materials A Services Transfer to Sinking fund Total of All Services TOTAL REQUIREMENTS 200 120 320 2,000 10 500 193 200 120 200 1,500 4,723 5,043 5,043 GENERAL FUND REQUIREMENTS SUMMARY Morrow County Fair and Rodeo 900.00 $ 1,000.00 S 1,500.00 2,600.00 4,00000 1,000.00 800.00 650.00 700.00 80000 400.00 1,000.00 1,100.00 4,550.00 3.700.00 8.200.00 100.00 100.00 150.00 1S0.0O 150.00 160.00 525.00 523.00 800.00 2.000.00 4O0.C0 430.00 2.000.00 375 00 650.00 150.00 200.00 150.00 600.00 800.00 800.00 1.150.00 600.00 1,000.00 225.00 1,000.00 1,700.00 4,500.00 5,400.00 5.500.00 6,000.00 8,000.00 9,000.00 2,400.00 2,500.00 2,600.00 200.00 350.00 750.00 20.000.00 20,400.00 23,690.00 2,000.00 500.00 23.9D0.00 500.00 1.600.00 250.00 500.00 43.890.00 23.950.00 2,750.00 46,490.00 49.550.00 S 70.040.00 $ 78,380.00 Personal Services! Salaries Secretarial .. Salaries Carataker ............ Other Payroll Costs A Taxes ... .. Judges Personal Service Rodeo ........ Clerical Fair . Total Personal Service Materials and Services! Office Supplies Operating Materials and Supplies Telephone Contractual Services Utilities Repairs A Maintenance General Supplies .. Auditing Insurance A Bonds Advertising A Publicity Other Adm. A General ... Awards Premiums Prizes Rodeo Stock Contract Queen A Court Feed A Straw Total Materials and Services Capital Outlay! Equipment . Buildings A Improvements .. . Land A Improvements Grandstand Total Capital Outlay . TOTAL REQUIREMENTS ; i.ooo 3,200 1.000 9(11 1,100 400 7,600 200 200 1,2H) 500 1,500 200 2,000 1.800 1,500 6,000 9,000 2.700 950 700 28,450 3,000 2.000 600 43,890 49,490 ..$ 85,540 GENERAL FUND RESOURCES $ 40,535.72 14,160.70 5,506.82 13,094.45 330.0(5 1,012.38 8,367.01 1,001.56 1,670.99 2,34154 1,147.86 3.273.72 92.442.45 $ 43.798.33 8,620.70 5,170.68 13,230.15 300.0C 1, 034.99 8,745.55 1.174.03 1.108.69 2,056.05 2,256.49 10,921.92 3,022.82 690.55 2,516.80 $ 45,000.00 7,000.00 5,700.00 12,000.00 360.00 1,000.00 12,000.00 2,200.00 800.00 2,000.00 2,000.00 6,500.00 1,200.00 2,000.00 3,350.00 Available Cash on Hand (Cash Basis) Previously Levied Taxes Estimated to Be Received During Ensuing Year Other Resources! Clerk's office lees . Justice Court fines Water rent from Hospital Sheriff's office fees ..... In lieu of Taxes ..$ 20,000 - 7,000 Trailer License Distribution Surplus food refund ... Timber Severancee Tax Distribution Interest on Time Deposit Cigarette Tax Distribution 5 excess liquor revenue from State Misc. Receipts Alcohol Control Fund A Amuse. Dev. Tax Civil Defense reimbursement 104,647.75 103,110.00 Total Resources, Except Taxes to Be Levied . raxes necessary to Balance uuugei . TOTAL RESOURCES - Includes Unappropriated Balance budgeted last year. - GENERAL SCHOOL FUND RESOURCES 4,500 3,500 300 ... 1,300 ... 10,000 2,000 800 .. 1,500 .. 2,000 6,500 ... 3,500 . 3,000 3,800 ... 3,500 ... 73,200 . 170,814 ..$244,014' None 1,338.37 200.15 5,284.05 6,822.57 None 954.14 126.28 234.75 7,993.83 9,309.00 None 700.00 125.00 200.00 7,500.00 8,525.00 Available Cash on Hand (Cash Basis) Previously Levied Taxes Estimated to Be Received During Ensuing Year Other Resources! Trailer license distribution Timber Severance Tax -. Forest Rentals Total Resources, Except Taxes to Be Levied Taxes Necessary to Balance Budget . ... TOTAL RESOURCES None 100 100 120 - 10,947 . 11,267 .. 13,390 ..$ 24,657 GENERAL ROAD FUND RESOURCES $ 46,116.54 $ 18,591.28 $ 74,609.00 8,963.83 7,273.19 11,000.00 15,852.15 23,981.48 28,588.00 5,660.04 12,488.22 25,904.00 2,602.74 2,671.08 2,500.00 1,125.04 1,790.22 1,508.00 11.030.73 8,399.85 7,000.00 1,514.79 1,708.56 2,500.00 4,671.69 872.98 4,000.00 987.69 1,000.00 57.15 400.00 19,361.48 5,600.00 200.00 25,000.00 36,000.00 5,521.00 46,116.54 28,491.49 30,000.00 Beginning Fund Balance Previously Levied Taxes Estimated to Be Received During Ensuing Year Other Resources! Forest Rentals - .......... Sales and Services ..... .... Gas Refunds - Public Land Sales R. E. A. Donation to Roads Federal Flood Control fund Timber Severance Tax ..$ 35,000 ,.. 11,000 .. 32,840 .. 22,500 .. 2,500 ,. 1,500 , 6,000 $143,71154 $151,617.52 $236,322.00 Interest on Time Deposit Trailer A Boat license sales Miscellaneous Receipts State F.A.S. flood damage fund Senior Citizen relief tax In lieu of Motor license from state Justice Court fines Matching funds for Parks E. O. C. fund from park work Transfers: Motor License fund Transfer from Gen. fund Park Total Resources, Except Taxes to Be Levied Taxes Necessary to Balance Budget TOTAL RESOURCES 1,100 1,300 . 770 6,600 25,000 10,000 4,800 5,565 . 28,000 .. 5,000 ... 199,475 .. 132,000 ..$331,475 HOSPITAL FUND RESOURCES $ 3,349.82 751.01 114.32 4515.15 3,483.51 546.54 72.38 139.10 4,241.53 None 100.00 50.00 100.00 None 250.00 Available Cash on Hand (Cash Basis) ... Previously Levied Taxes Estimated to Be Received During Ensuing Year Other Resources! Trailer license distribution Timber Severance Tax In lieu of Taxes ..$ 9,540 60 180 220 .. 10,000 . None ..$ 10,000 Total Resources, Except Taxes to Be Levied Taxes Necessary to Balance Budget ..... TOTAL RESOURCES Includes Unappropriated Balance budgeted last year. DOG FUND RESOURCES $ 633 81 $ 617.80 $ 250.00 Available Cash on Hand (Cash Basis) 300 3866 3-59 Previously Levied Taxes Estimated to Be Received During Ensuing Year Other Resources! 223.00 141.00 Dog License 50 895.47 762.39 250.00 Total Resources, Except Taxes to Be Levied 350 Taxes Necessary to Balance Budget None TOTAL RESOURCES .$ 350 Includes Unappropriated Balance budgeted last year LAW LIBRARY FUND RESOURCES $ 353 44 $ 447.15 $ 70.00 Available Cash on Hand (Cash Basis) None 487 2.05 None Previously Levied Taxes Estimated to Be Received During Ensuing Year Other Resources: 466 80 529.00 600.00 Library fees - 400 825.11 978.20 670.00 Total Resources, Except Taxes to Be Levied 400 Taxes Necessary to Balance Budget 600 TOTAL RESOURCES $ 1,000 Includes Unappropriated Balance budgeted last year. TAYLOR GRAZING FUND RESOURCES $ 2,837.77 $ 2,052.84 $ 1,800.00 Beginning Fund Balance $ 500 Other Resources None 2,837.77 2,052.84 1,800.00 Total Resources, Except Taxes to Be Levied 500 Taxes Necessary to Balance Budget None Taxes Collected in Year Levied $ 2,837.77 $ 2,052.84 $ 1,800.00 TOTAL RESOURCES $ 50O MARINE FUND RESOURCES Beginning Fund Balance - $ 1.500 Other Resources: Sale of Boat licenses 500 Total Resources, Except Taxes to Be levied 2,000 Taxes Necessary to Balance Budget ... None TOTAL RESOURCES $ 2,000 Boardman Vector Control Fund Rescues $ 337.00 $ 2562.00 'Available Cash on Hand (Cash Basis) .....$ 1,403 Other Resources: 2,000.00 2,045.00 Time Deposit - 2,140 2,337.00 4,307.00 Total Resources, Except Taxes to Be Levied - 3,543 Taxes Necessary to Balance Budget . 1,500 TOTAL RESOURCES $ 5,043 Includes Unappropriated Balance budgeted last year. (Continued on Page 4)