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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 17, 1971)
HEPPNER GAZETTE-TIMES Thundery. Jun 17. 1971 Kinzua News KINZUA Mr. and Mrs. Rich hid Lynch moved this last weekend to Fall Crook whore I hoy will make their home. Thoy wore insisted by Mr. and Mrs. Dennis McCallum of Fall ( Vlrl. J"o IKownlng and Mrs. Mho Watson of Grcsham came Tuesday t" Kot Miss Linda Browning who had been a house ai the IKjyui jiuuutu Iwmc Mrv in. ixi i Kelso and Mrs. Howard Hurch and (laughters Belinda and Jennifer wont to Portland l..st Wednesday from where Mis. Burch and daugh ters left Thuisday for I'ort liar court, Nigeria. West Africa, to jein Mr. lUiich who has been there since February. Mr. and Mrs. Lloyd Mod lock went to Ukiah to spend the va ration time visiting with rela tives. Mr. and Mrs. Harold llinkle went to The Dalles Friday whore Mr. llinkle had medical caro. Mr. and Mrs. Norwood Watts and sons left Friday to spend their vacation visiting with rel atives at Hed Bluff and Santa Rosa, Calif. Mrs. Jlerh Luper and children and Mrs. Chuck Mitchell and (laughter Wind! were business visitors to The Dalles on Wed nesday. Mr. and Mrs. Mel Schlucke hier and family left Friday of last week to visit with relatives near Albany. Mel and Mike re turned homo Monday but Don na and the rest of the family stayed for a further visit tura, Calif., to visit his son and Archie Cox has gone to Ven- family, Mr. and Mrs. Stan Cox and then plans to visit In Rose burg with Mr. and Mrs. Wayne Cox and Mr. and Mrs. Bill Stephens and family. Mr. and Mrs. W. C. Freeman and family left Monday for the oast coast whore thoy will visit with members of Mr. Freeman's family before locating In a ior. manent place. The Freeman's sold the Kinzua Service Station to Mr. and Mrs. Gerald Samp les of Pendleton who moved here during the weekend. They wore assisted by Mr. and Mrs. Mark Samples of Iloppner. Irrigon Church Has Talented New Pastor Rev. and Mm. Wekley Cronk and children, Janle 10 and Dan ny 7, arrived In Irrigon the past week to assume their duties as pastors of the Assembly of Cod Church. Rev. Cronk ha just complet rd 4 years theological training at Bethany Bible College in Santa Cruz. Calif. The Cronks aro talented mu lelatis and singers and have been active loth In presenting wcek-owl musical services IFYE Kept Busy On Visit to County John Bok, Swedish Interna tional Farm Youth Exchangee has been busy with guest ap pearances during his stay in Morrow County. His schedule has Included speaking at Cham ber of Commerce, Soroptimists, Rhea Creek Grange and Lex ington Grange, In addition to activities with his hast family, the Don McElligotts. John, 22 years of ago, works with 411 in his homeland. One of the highlights has been working on "such a largo farm" as compared to his own family farm of 20 acres of hay and potatoes In Sweden. Another memorable first was rafting down the rapids of the John Day River. John will attend and partici pate In Summer School activi ties at OSU, June 1419. lie will visit other host families In Ore gon until August, leaving Ore gon for asignmont In Michigan. Condon Services Held For Charles E. Beck Charles Kuj-enc Reck, 48. died June 7 at hl Condon farm homo of a self-inflicted gun shot wound. Mr. Bock was horn Oct. 4, 1922 in Condon, the son of Edwin N. and Frances M. Reck. Ho at tended Condon schools and was a member of the Condon Bap tist Church. Momliershlps also included Iloppner Lodge BlOE No. 3."8 anl a lifetime member ship In the Oregon Growers League. Preceded in death by his wife, Anno L. on Jan. G, 1971. ho is survived by one sister, Mrs. Hen nio J. Latino of Newark, Ca.; one step son, James D. Strau ham and one stepdaughter, Mrs. Dennis Jackson, both of Portland; and three grandchild ren. Services wore hold Saturday, Juno 12 at 1:00 p.m. at the Con don Baptist Church with Rev. Kenneth Doolln officiating. In terment was In the Heppner Masonic Cemetery with Alboe Mortuary, Condon, in charge of arrangements. while In training, and in trav ellng extensively in evangells tic and youth programs. They have also recorded many go pel songs and musical numbers now on the market. They are not strangers to the area, hav Ing previously ministered in several of the local Assembly of God Churches. The Rev. Cronk Is experienc ed In many fields of endeavor, having felled timber In the woods, and exercised his mech anical ability in various places while supporting his schooling. Fishing and hunting are among his recreational activities and he also counts collecting of an tique tars among his hobbies and owns several vintage models. The congregation welcomed them with a surprise food j-howor on Thursday evening at the mid week service. A social time followed when refresh ments were served by Debbie Growchouskl. Carol Linnell and Shorrv Partlow. members of the Voting People's group. IT r NEW PASTORS ot the Irrigon Assembly of Cod Church. Rev. and Mrs. Wesley Cronk. Janle and Danny. 4th Boy Arrives David. Erin and Clark Schaf fer announce the arrival of baby brother Marcus Allen. Ba by Marc was born May 23 in Walnut Creek, Calif., weighing 7 Jb., and measuring 20 inches long. Norma and Jack Schaffer of Concord are his parents. Troud grandparents are Mr. ana Airs E. R. Scnaiier oi iTnaiwn, or mprlv of Cecil. Maternal grand parents are Mr. and Mrs Charles LaCosto of Napa, Caliif Word has been received bei of the wedding June 10 of Eliz abeth M. Lynch to A. W. Lake. Thoy reside at 1505 N. E. Ar--rlngton ' Rd., Hillsboro, Ore. 97123. Martha Welhe. American Field Service student, visited here few days with Clara Gcrtson hnvincr boon brought here from Central Point by Irene (Beam or) Anhorn. She was accompa nled bv Cathy Anhorn from Oregon State University. En route here they visitea tne Governor's office at Salem. On Friday they went to Pendleton to see some Indians. They met Chief Clarence Burke of the Walla Walla tribe. Miss Weihe is from the Faroe Islands, in the North Atlantic between Scotland and Iceland She Is a student at Crater High School at Central Point. (Morrow County Budget Continued) 10,329.70 1.086.75 12,987.13 22,754.64 182,534.27 131,258.60 $313,792.87 0,781.15 342.00 45,736.39 82,141.57 247.79-1.87 125,90231 $373,697.08 1.000.00 48,000.00 10.000.00 237,000.00 123,000.00 $360,000.00 Park Participating fund Camping fees from County Parks R. E. A. donation in lieu of taxes Flood damage control Justice Court fines Transfers: Motor License fund In lieu of motor license fund from County Special Road fund From Gen. Fund Park account Flood damage balance on deposit .. Total Resources, Except Taxes to Be Levied Taxes Necessary to Balance Budget Taxes Collected In Year Levied TOTAL RESOURCES 1,600.00 51,000.00 10,000.00 .. 40,000t00 .. 185,403.00 .. 127,000.00 "$312,403.00 469.46 1.84 712.50 1,183.80 ALCOHOL ENFORCEMENT FUND RESOURCES $ 100.06 $ 733.80 .55 415.00 1.149.35 $ 1,183.80 $ 1.149.35 100.00 200.00 200.00 Beginning Fund Balance - Previously Levied Taxes ELstimated to Be Received During Ensuing Year Other Resources: Justice Court fines Total Resources, Except Taxes to Be Levied Taxes Collected In Year Levied - TOTAL RESOURCES -- 100.00 100.00 200.00 "$ 200.00 DOG FUND RESOURCES $ 372.27 $ 51.40 $ 500.00 .63 .59 None 281.00 122.00 100.00 653.90 638.00 600.00 None . $ 653.90 $ 638.00 $ 600.00 Beginning Fund Balance Previously Levied Taxes Estimated to Be Received During Ensuing Year Other Resources: License sold Total Resources, Except Taxes to Be Levied Taxes Necessary to Balance Budget ; Taxes Collected In Year Levied TOTAL RESOURCES - ..$ 400.00 200.00 600.00 ..$ 600.00 LAW LIBRARY FUND RESOURCES $ 136.85 38.90 509.00 547.90 7X1.04 $ 1,328.91 474.29 41.32 486,00 1,001.61 819.68 1.821.29 550.00 400.00 950.00 350.00 $ 1,300.00 Beginning Fund Balance Previously Levied Taxes Estimated to Be Received During Ensuing Year Other Resources: Law Library fees Total Resources, Except Taxes to Bo Levied Taxes Necessary to Balance Budget Taxes Collected In Year Levied TOTAL RESOURCES - ..$ 300.00 400.00 700.00 300.00 !'$ 1,000.00 HOSPITAL MTSE. FUND RESOURCES 1,313.21 1,313.21 $ 1,313.21 180.19 3136 211.45 18,283.72 $ 18.495.17 12.000.00 $ 12,000.00 Beginniing Fund Balance Previously Levied Taxes Estimated to Be Received During Ensuling Year Other Resources: Misc. Receipts Total Resources, Except Taxes to Be Levied Taxes Necessary to Balance Budget Taxes Collected In Year Levied TOTAL RESOURCES - ..$ 1,000.00 None 1,000.08 9,000.00 ..$ 10,000.08 GENERAL FUND RESOURCES $ 6.000. 44.000. 22,000. 790. 300. 1.350. 50. 50. 9,000, 2,000, DC 00 00 00 00 00 00 00 .on .00 1.00 $ 14.000.00 $ 5,000.00 20,000.00 790.00 300.00 1.200.00 200.00 50.00 9.000.00 1,800.00 24.000.00 790.00 300.00 150.00 50.00 50.00 9,000.00 1,800.00 $ 47.340.00 $ 56.110.00 85 5-10 'Includes Unappropriated Balance budgeted last year. Beginning Fund Balance: Available Cash on Hand (Cash Basis) Net Working Capital (Accrual Basis) . Other Resources: Racing Apportionments State Millage Tax Concessions Rentals Donations Miscellaneous Rodeo Receipts Dances Time Certificate TOTAL RESOURCES ..$ 5,000.00 .. 25,000.00 790.00 300.00 150.00 50.00 50.00 .. 9,000.00 .. 1.800.00 .. 10,000.00 ..$ 52,140.00 Notice of Budget Hearing .u t. irnnner Cemeterv Maintenance Dlst. for the fiscal year 1971-1972, beginning Julv 1 mi a Set "uSd PSrlS to ttRcpanvtaK schedule was prepared on an ac y.T ilt'cic rnnsiitent with that used in prior years. Major changes, if any. arid their effects U?hUKhidMt are set forth in Tn accompanying statement. A copy of the budget document may be nlnerted I by Tnteres ed pereons between the hours of 9 A.M. and 5 P.M. at Heppner City Barf. h.HlPet document or any portion of it, may be obtained for $1.00 complete or $.20 per sheet Tt rr HaU A meeting of the Board of Directors will be held Monday, June 28, 1971, a 7 00 P M at 125 E. QiEw SUcet Heppner. Or for the purpose of holding a public hearing on this budget Any Person may appear to discuss the budget or any part of it. JOHN A. PFEIFFER (Chairman of Governing Body) Morrow County FINANCIAL SUMMARY FOR THE ENSUING FISCAL YEAR BEGINNING JULY 1. 1971 Total General Perpetual tax LEVY COMPUTATION All Funds Fund Care Fund Total BtSSntt $ 54,450.00 $ 24,000.00 $ 23,450.00 STlteS 45,050.00 14,600.00 23,450.00 Taxes Necessary to Balancce Budget 9,400.00 9,400.00 None Add Taxes Estimated Not to Be ,rtftnv Received During Ensuing Year - J'9?9i?2 TOTAL TAXES TO BE LEVIED lU,4UU.uu $ iu,9W.uu ione inU 64TLir3taUoBne "Z? - 10,400.00 $ 10,400.00 None TOTAL TAXES TO BE LEVIED - lU.wu.w iu.-sw.w nvnc All reserve funds and special revenue funds, if any, are included. Equipment Reserve $ 7,000.00 7,000,00 None None None None FOR THE CURRENT FISCAL TEAR BEGINNING JULY 1. 1970 Total General tat t ew COMPUTATION All Funds" f und Total Budget Requirements $ 52,100.00 Less Budget Resources, Except Taxes to Be Levied - 43,200.00 Taxes Necessary to Balance Budget 8,900.00 Add Taxes Estimated Not to Be Received During Ensuing Year 1,000.00 TOTAL TAXES TO BE LEVIED ... $ 9,900.00 Analysis of Taxes to Be Levied Within 6 Limitation $ 9,900.00 TOTAL TAXES TO BE LEVIED - -$ 9,900.00 All reserve funds and special revenue funds, if any, are included. Perpetual Care Fund Equipment Reserve $ 23,500.00 $ 21,600.00 $ ' 7,000.0, 14,600.00 21,600.00 7,000.00 8,900.00 None None 1,000.00 $ 9,900.00" None None $ 9,900.00 None None $ 9,900.00 None None STATEMENT OF INDEBTEDNESS PETTY CASH Balance July 1, 1971 $10.00 $10.00 Approved by Budget Committee June 2, 1971 E. K. SCHAFFITZ v Chairman of Budget Committee GENERAL FUND RESOURCES FOR THE FISCAL YEAR 1971-1972. BEGINNING JULY 1. 1971 HISTORICAL DATA ACTUAL Second Fit Budget Preceding Preceding Current SES4d $YW99.71 $Y34'.40 $ 4X100.00 'Available Cash on Hand (Cash Basis) $ 4,000.00 703.86 864.42 500.00 Previously Levied Taxes Esttaated to Be Received During Ensuiing Year 300.00 Other Resources 3,746.67 4,972.58 3,100.00 Local Sources j - iffion 7,000.00 Transfer from Equipment Fund , 14,150.24 14,771.40 14,600.00 Total Resources, Except Taxes to Be Levied .... 14.600.00 ' 8 90000 Taxes Necessary to Balance Budget 9400,00 8,434.36 7,598.02 ' Taxes Collected In Year Levied nrnn $ 22,584.60 $ 22,369.42 $ 23,500.00 Total Resources $ Z4.UUMJO Includes Unappropriated Balance budgeted last year. GENERAL FUND REQUIREMENTS SUMMARY FOR THE FISCAL YEAR 1971-1972. BEGINNING JULY 1. 1971 Second Preceding Year $ 7,551.85 1,481.03 1,832.32 785.00 None 2.000.00 13,650.20 8,934.40 $ 22,584.60 First Budget ESSgfea Preceding Current Approved Year Year inann on $ 8,536.80 $ 9,000.00 Personal Services xu.uuu.w Materials and Services: 2 038.56 1,850.00 Operating Materials and Supplies o's 2,658.26 3,460.00 Contractual Services vk&W, 1,385.79 8,130.00 Capital Outlay ?'nm'nn None 1,000.00 Unappropriated Balance hZT 4 50000 None Transfer to Other Funds ... Notj 19119 41 Total Expenditures - 3;250.Cil Ending Fund Balance - $ 22,369.42 $ 23,500.00 Total Requirements - 24,000.00 EQUIPMENT RESERVE FUND SUMMARY FOR THE FISCAL YEAR 1971-1972. BEGINNING JULY 1. 1971 $ 3,595.00 41.14 Board man Vector Control District Fund Resources $ 3.051.00 3.636.41 2.948.05 $ 6.584. 4,547.00 307.00 255.00 30.00 2.000.00 7,139.00 7,139.00 3.051.00 1.500.00 $ 4.551.00 Beginning Fund Balance - in-eviouslv Levied Taxes Estimated to Be Received During Ensuing Year Other Resources: Time Deposit - - Interest Refund - - Sinking fund - - Total Resources, Except Taxes to Be Levied Taxes Necessary to Balance Budget Taxes Collected in Year Levied - TOTAL RESOURCES ..$ 2,175.00 25.00 50.00 .. 2.250.00 1,500.00 "$ 3,750.00 AIRPORT FUND RESOURCES Beginning Fund Balance Other BesouiCMt Total Resources, Except Taxes to Be Levied TOTAL RESOURCES $ 2,511.00 600.00 3411.00 $ 3,11100 Second Preceding Year $ 500.00 2.000.00 2,500.00 2.5O0.00 $ 2,500.00 First Preceding Year $ 2,500.00 4,500.00 7,000.00 7,000.00 $ 7,000.00 Budget Current Year $ 7,000.00 7.000.0C 7,000.00 7,000.00 Resources: Available Cash on Hand (Cash Basis) Transfer from Other Funds General Fund Total Resources - Requirements: Reserved for Expenditure in Future Years .. Irrigation System and Equipment Total Requirements Budget Fos Ensuing Yea Approved I 7,000.00 7.000.00 7,000.00 .7,000.00 PERPETUAL CARE RESERVE FUND SUMMARY FOR THE FISCAL YEAR 1971-1972, BEGINNING JULY 1. 1971 Second Preceding Year $ 18.717J0 1.040.00 19.757.50 19.757.50 $ 19.757.50 First Preceding Year $ 19,757.50 1.8S7.50 21.645.00 21.600.00 21.645.00 $ 21.645.00 Budget Current Tear Resources: $ n.OOO.OGAvailable Cash on Hand (Cash Basis) 600.00 Transferred from Other Funds Vi new spaces, and s perpetual care . Total Resources : Requirements: Budget For Ensuing Teca Approved $ 23,000.00 45O00 23,450.00 21.600.00 $ 21.600.00 Perpetual Care Fund .. Total Requirements " 23.450.00 ..$ 23,450.00