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About Medford mail tribune. (Medford, Or.) 1909-1989 | View Entire Issue (Oct. 8, 1937)
PAGE SDk HrEDFORD MATL TRIBUNE, MEDFORD, OREGON, FRIDAY. OCTOBER 8. 1987. PROPOSED BUDGET FOB THE CITV OF MEDFORD FOB THE YEAH 11)38, (Continued from Page Four) 1. Superintendent (3-9 time) at , a. Btenograpner (pan time) 8. Engineer (part time) 1. Foreman . ... 2. Mechanic 3. Grader Operator 4. Sweeper and Plusher Operator , 6. Sewer and Maintenance Man . 6. Compressor end Roller Opr. ... 7. nvo Truck unvers ........... 6. Two Laborera ................ 900.00 130.00 30.00 182.00 121.00 116.60 110.00 116.60 110.00 101.00 82.40 3.400 00 340.00 34U.U0 1.OH4.U0 1,463.00 I. maw ljtao.oo i.oo 1,3'iU.OO 3.434 .00 1,980.00 Estimated Receipts County Road Tax Sewer Permits, Equipment Rental, Replacement... PERSONAL SERVICES 1. Salaries .. ., - n., TRANSPORTATION 1. Travel Expense . . MATERIALS, SUPPLIES AND SERVICES 1. Office Supplies, Printing, etc. ... . ADDITIONS AND BETTERMENTS 18,733.00 6.80U.0U 1,760.00 I 9,660.00 Proposed 1830 ORAND TOTAL PERSONAL SERVICES 1. Salaries City Attorney at . Secretary (part time) JUSTICE PERSONAL SERVICES 1. Salaries Judge at 960.00 mo ..... MATERIAL, SUPPLIES AND MAINTENANCE 1. Court Supplies ... PERSONAL SERVICES 1. Salaries . 9160.00 mo. 60.00 mo. 1.800.00 600X10 93,400.00 ...9600.00 Proposed 1999 TRANSPORTATION 1. uso of Car REPAIRS AND MAINTENANCE 1. Birth and Death Piles . MATERIALS. SUPPLIES AND SERVICES 1. Postage. Office Supplies .. .... ADDITIONS AND BETTERMENTS 1. Sewer Connections .... PERSONAL SERVICES 1. Health Officer 3. Nurse ... 93,636.00 ..977.00 , 87.60 936.00 1,060.00 .SEWAGE PI8POKAL PLANT. (Health Fund) PERSONAL SERVICES 1. Salaries . REPAIRS AND MAINTENANCE 1. Repairs to Machinery MATERIALS. SUPPLIES AND SERVICES 1. Workman's Compensation 3. Insurance Bldgs. and Ll&b. 8. Electricity 4. Lime ......... . 6. Chlorine 91,976.00 Proposed 1938 1,000.00 6. Oils and Grease ...... 7. Packing and Filters . a. rami 9. Building Supplies 10. Shrubbery . .. 160.00 110.00 . 4,800.00 300.00 800.00 100.00 100.00 36.00 100.00 36.00 ADDITIONS AND BETTERMENTS 1. Laboratory Equipment ... a. Aeration riatca .... 8. New Sludge Beds 4, Truck for Hauling Sludge 6. Dried Sludge Storage House . 6. Shelter for Chlorlnator . 100.00 486.00 1,000.00 800.00 600.00 60.00 Leas Estimated Receipts Sale of Sludge 913.788.00 ORAND TOTAL PERSONAL SERVICES 1. Chief Operator at 3. Assistant Operator at 3. Extra Laborer ..9140.00 mo. .. 130.00 mo. 110.00 mo. 91.880.00 1,440.00 1. 830.00 BUILDING AND INSPECTION A. -ONAL SERVICES I HalaHe B. TRANSPORTATION 1. Travel Expense Conventions . 0. REPAIRS AND MAINTENANCE 1. Car Expense . D. MATERIAL, SUPPLIES AND SERVICES 1. Office supplies ....... 3. Map Service . ........-.-..-. 8. Dues 4. Workman's Compensation 6. Field Equipment , 8. Street Lights , - E. ADDITIONS AND BETTERMENTS 1. New Car ...... ... . 3. Teaming Equipment ,,, , Total Less Estimated Income-. 1. Licenses, Fees and Permits ...... 3. Franchise Tax, Copco ......... Proposed 1938 .1 3.880.00 9 78.00 39.00 1900 160 00 170.00 . 9.100 00 190.00 9 9,641.00 IS. Fly Concesalon. stc. NON-ORGANIZATION UNITS FIXED EXPENSE: Auditing ,, , . , Interest on Warranta ' 8. P. Co. Leas Miscellaneous Leases League of Oregon Cities . Publishing Budget , Ownership Msp Service ,,' , , Oarbage Inspection Humane Society Care of Doge ..,. , ,,,, Band Concert ....... Transient Relief . Earwig Control Playground Supervisor .........M. ESTIMATED RECEIPTS Garbage Grounds ,,.., ,,, License Bua Franchise : LEVT . . . CITV HALL BUILDINOS A. 'PERSONAL SERVICES 1. Salaries ................. C. REPAIRS AND MAINTENANCE 1. Roof Repairs . .......... 3. Oeneral Repairs (new) .,., , , . ,, , 8. General Repairs (old) .... D. MATERIALS, SUPPLIES AND SERVICES 1. Heat . 3. Electricity , , 8. Janitor Supplies , 4. Workman's Compensation A. Insurance on Building ...... Total Leas Estimated Receipt . NO LEVT CREDIT PERSONAL SERVICES 1. Janitor ... 3. Vacation Relief 304.00 64,789.00 .9 400.00 36.00 , 400.00 6.00 300 00 , 338.00 12000 130.00 800 00 500 00 800.00 1.60000 800.00 Estimated Paymont on Property.. DISBURSEMENTS: Bonds to be paid' in loa? interest . 160.00 1,760.00 11,397.14 Title Insurance .93.784.05 . 648.18 36.00 3.396.33 Estimated Balance on Hand Jan. 1, 1988 . WATERMAIN BOND SINKING FUND 4 7,961.81 9 6.005.00 .9 857.00 . 3.500,00 130.00 9 1,438.00 8 1,350.00 300.00 380.00 146.00 800.00 700.00 360.00 35 00 30.00 9 1,906.00 9 3.850.00 4.030 00 ..4 100.00 8 1.300.00 60.00 .-jcpt. 1. 1937Balance on Hand 93,488.77 Estimated Receipt for Assessments 660.00 Estimated Payments on Property Sold 40.00 690.00 DISBURSEMENTS: Interest on Bonds ............. 8.76 Title Insurance .... . 30 JO 38.75 Estimated Balance on Hand Jan. I, 1938.. ESTIMATED HALANtrs ON HAND JAMAHV 1, 1938. GENERAL FUND Sept. 1, 1637-. Balance on Hand....... Levy 889.090.38 . Taxes Received to Date . .... 88,764.66 Taxes to be collected ......... ..... RECEIPTS: ' Fines ....... Licenses .......... ... Permits ...... 9 3.040.03 933,704.91 California Oregon Power Co.. . ttentau, Storage .Replace Paving Sundry Refunds ... Phone . Chemicals Sold Oiling Koads ... Material Sold .... Gas and oil ..... Codes Maps .9 889 00 368.00 678X10 3,487.00 1,313.00 364 00 139.00 300.00 1.00 3.00 389.00 388.00 33.00 1.00 3.00 3.00 666.08 133.00 ESTIMATED RECEIPTS 1. School District ............. 3. State Police 3. Water Commission ... . 4. E. M. Wilson ...... 6. P. U. C. Office 6. J. H. Dawson 7. L. C. Shafer ........... 8. Holbrook Ac Andrews ... ... D. Light Refunds 81.030.00 ........ 300.00 600.00 340.00 180.00 340 00 43000 900 00 130.00 94.030.00 PLANNING COMMISSION PERSONAL SERVICES t. Salary Secretsry (part time) 9 130.00 MATERIALS, SUPPLIES AND SERVICES 1. Maps ...........4 50.00 3. Office Supplies . 100.00 3. Blue Printing .. 50.00 9 300.00 LEVY . 9 330.00 MAYOR AND COUNCIL TRANSPORTATION 1. Travel Expense and Investigations 9 300.00 MATERIALS. SUPLIES AND SERVICES , 1. Stationery ... 3. Postage .................. 3. Telephone and Telegrams - ADDITIONS AND BETTERMENTS 1. Map for Council Room 10.00 10.00 36.00 4 80.00 9 ORAND TOTAL DAIRY PERSONAL SERVICES 1. Milk Inspector at TRANSPORTATION 1. Private Car Mileage . MATERIALS. SUPPLIES AND SERVICES 1. Supplies. Printing and Publishing .. . 3. Workman's Compensation ....... 3. Laboratory Testa ....... 6 396.00 .. 137.50 4 1.650.00 130.00 30.00 800.00 4 440.00 TOTAL Less Estimated Receipt 1. Milk Licenses . 3. Milk Wagons ....... 300.00 460.00 4 850.00 GRAND TOTAL - 9 1.815.00 DELINQUENT COLLECTIONS AND SALE OP PROPERTY . PERSONAL SERVICES 1. Salaries ..... $ 1.850.00 . TRANSPORTATION 1. Use of Private Cer 9 130.00 . MATERIALS. SUPPLIES AND SERVICES 1. Workman's Compensation ............. . .. 9 16 Burntng Grass . . .. ... Use of Equipment ..... Gasoline Commissions DISBURSEMENTS: Less 4 months operating expense...... Estimated Balance on Hand Jan. 1, 1938 GENERAL BOND FUND 8ept. 1. 1937 Balance on Hand 1937 Levy 916,81344 Estimated Taxes to be received.. ..... DISBURSEMENTS : Bonds and Interest to be paid in 1937: City Hall Principal .... 4 8,000.00 City Hall Interest .. .............. 900.00 9.379,00 963.418.74 443,475.33 49.941.43 419,737.49 10.000.00 639,737.49 Airport Principal Airport Interest ... ...4 6,000.00 135.00 5,135.00 Court House Site Interest . Cottage Street Bridge 836.00 36.00 13,876.00 Estimated Balance on Hand Jan. 1, 1938 GENERAL BOND FUND Proposed Budget 1938 Bonds and Interest to pay in 1938 as per schedule. Jan. 1, 1938 Est. Cash balance on hand 417.382.49 Less reserved to pay bonds 8c Interest due Jan. 1, 1938 5. 313. AO 917,363.49 439,800.0b 8. Clearing D.-Mnquent Taxes . 4. Quitclaim Deeds v 5. Recording and Filing Pees Title Insurance and Abstract Water Rentals ...., Commissions on lot sales - 600.00 100.00 60.00 600.00 30.00 100.00 3.430.00 TOTAL Less Estimated Receipt: 1. Property Sold .. 3. Note and Interest Collection 3. Rentals Est. Cash Balance Jan. 1. 1938 - Reserved for Int. Due Jan. 1, 1938 ........... ...9 3.000.00 ... l.ooo.oo 350.00 9 4,360.00 . 31361.88 . 9.330.00 613.53138 16.88138 TOTAL LEVY - CONSOLIDATED FUND NO. 2. Bonds and Interest to psy In 1938 as per schedule Clearing Title 9 6,858.13 97,480.00 1,300.00 Est. Balance on hand. Jan. 1, 1938 . Est. Receipts for Assessment Est. Receipt for Sale of Property ... ..93.146.58 3,900.00 600.00 88,880X10 TOTAL LEVY BUDGET FOR WATER DEPARTMENT Current Water Fund. ESTIMATED EXPENDITURES Operation : General Expense 611.336.07 16-ln. Old Wood Gravity Line 35.00 Big Butte Springs 2.485 City Distribution System 6,487.00 9 30.333.07 Maintenance: General Expense ....... . 8 1.285.00 16-ln. Old Wood Line 70.00 Big Butte Springs Line 3,150.00 City Distribution System 3.130.00 Capital Cost: fixed capital ....... .a oou.uu City Distribution System 9.395.00 Big Butte Springs ... 1,500.00 4 6,635.00 6 11.395.00 6 38.363.07 Interest on Bonds: Gravity Water ....... 4 9.800.00 Big Butte Springe . . 38.876.00 6 48,676.00 Transfer of Funds: Water Bond Sinking Fund $40,000.00 Water System Const. Fund . 10.000.00 9 50.000.00 4 98.876.00 Total Disbursement 8137.038.07 Estimated Income: Estimated Balance Dec. 31. 1937 Revenue from Water Rentals ........... 9 28.813.81 134.537.38 Estimated Balance Dec. 31, Int. due and Payable Jan. 1938 .... 1, 1939 9 26.102.92 9.025.00 Cash to apply on 1938 Budget . LEVY :. CONSOLIDATED FUND NO. 1 Interest on (311,000 at 6. . ,.., A. Surveying Lots Sold c. D. Repairs and Maintenance City Property.... MATERIALS. SUPPLIES AND SERVICES 1. Office Supplies and Postage 3. Legal. Clearing Title (18,8(iu.00 25U.IK; 200.00 80.00 3,000.00 Actual Cash Balance Jan. 1, 1939 $ 17,077.92 WATER BOND SINKING FIND Budiet 1938 All Bonds to be redeemed up to and Including Jan. 1943 on the iwo ana ivti issues and an Bond in tne 1927 issue, which are callable Jan. 1. 1943. a period of 6 veara 8670 000 00 Balance on Hand Sept. 1. 1937 4204.504.49 Estimated Taxes Receivable 4.409.00 Interest on Investment ... . 500.00 Transfer from Current Water Fund 38,294.73 6245.708.31 Amount to be raised In the next 6 years . 8434,291.79 938 Scheduled Water Bond Sinking Fund Allotment To be paid by Current Water Fund Levy for Water Bond Sinking Fund ..( 40.000.00 ..( 15.000.00 As many bonds of the 1927 Issue (Callable Jan. 1. 19431 will be retired as possible, and If the bond market is favorable at that time, the balance will be refunded at a lower rate of Interest. GENERAL OBLIGATION BONDS SCHEDULE FOR 1938 City Hall Int. Bonds Rate Outstanding 5 30,000.00 May July Prln. & Int. Total to Pay Fire Equipment Airport Court House Site 5 Cottage Street Bridge Street Reconstruction .9 800.00 60.00 3.551.00 11.000.000 PERSONAL SERVICES 1. Salaries: City Inspector at Nitno-CIerk (part time). 330 00 130.00 9 3,640 00 340.00 O. PARK 8 AND PLAYGROUNDS PERSONAL SERVICES 1. Salaries ... TRANSPORTATION 1. City Truck See "C." REPAIRS AND MAINTENANCE 1. Truck. Oaa, Oil and Repairs 3. Lawnmower Maintenance ,.,, ,, 3. Buildings Playgrounda . 4. Tennla Courts . 8. Wading Pool and Equipment..... 6. Bandstand Repairs .. ... . MATERIALS. SUPPLIES AND SERVICES 1. Workman's Compensation ............. , 3 Spravlng 3. Electricity 4. Rest Room Suppllea . ,, 6. Field 8upplles 8. Shrubbery, Plants and Seed... 9 3,880.00 Hose and Water Pipe ADDITIONS AND HETTERMENTS 1. New Lawnmower and Weed Cutter... 3. Painting Playground Bldg. ...., 100 00 60 00 60 00 60 00 60 00 36 00 88 00 75 00 100 00 3.100 100 00 160 00 350.00 60 00 180.00 4 335.00 4 765 00 Total Lew PERSONAL SERVICES 1. Park Superintendent 3. Extra Help .4 11860 4 1.386 00 1.300 00 AIRPORT PERSONAL SERVICES 1. Salarlea .... REPAIRS AND MAINTENANCE 1. Field Equipment . MATERIALS, SUPPLIES AND SERVICES 1. Office Suppllea . ................... 3 Hent Electricity Insurance Building Workman's Compensation .. Light Olobea and Suppllea ADDITIONS AND BETTERMENTS 1. Oil Taxi Strip 3. New Improvement 80 00 5 on 875 00 986 00 35 00 160 00 360 00 760 00 Lets Estimated Receipt' ........ PERSONAL SERVICES 1. Superintendent at ....... 3. Janitor LEVY . . .... 4 1.785.00 PERSONAL SERVICES 1. Collector at 4 13730 4 1.650.00 MFDFORD PUBLIC LIBRARY PERSONAL SERVICES 1. Salaries ..... 3 5.620.00 REPAIRS AND MAINTENANCE 1. Repairs ...4 100.00 2. Binding Books and Paper. 300.00 9 400.00 MATERIALS, SUPPLIES AND SERVICES 1 Janitor Suppllea ... ...... .....9 a. Heat ..., 8. Light 4. Water 6. Telephone 6. Printing and Supplies ..... 7. Postage and Freight . 8. insurance 9. Current Expense ADDITIONS AND BETTERMENTS 1. Equipment 3. Books: General Adult ..... General Ouvenlla Reference 40.00 376.00 360 00 43 80 00.00 175.00 35 00 35.00 . 360 00 ' 4 1.173.80 Periodical and Newspspera 300.00 1.300 00 600 00 100 00 400 00 Less Estimated Receipts from Fine . LEVY PERSONAL SERVICES 1, Librarian (! salary) at 3. Children's Librarian (35) at , 3. Reference Assistant at .. 4. Senior Assistant at Junior Assistant at . 4 9.593 80 635.00 ... 5 ...3i 13,000.00 35.300.00 60,000.00 4163,000.00 P.. I.- P.-I.- P.- I.- P... !. $8,000.00 750 00 43.000 00 325.00 62.000.00 300.00 662.50 45312.50 4 150.00 12.000.00 900 XX) 62500 10.000.00 562.60 $6,000.00 1.500.00 3.000.00 375.00 13.000.00 1.800.00 3.000 00 550.00 1.250.00 10.000.00 1.125.00 1,250.00 $3,300.00 3750.00 $24,337.80 $350.00 $6.750i00 REFUNDING IMPROVEMENT BONDS SCHEDULE FOR 1938 Int. Rate Bonds Outstanding May July Aug. Prln. Int. Total to Pay Consolidated No. 1 Consolidated No. 3 . .. 6 9311,000.00 5 7,000.00 $9,330.00 (18.660.00 $18,66000 Series "B" 3"4 Watermaln Improvement 31;83, Series "A" . ........ ...,....... 314 Series "C" 3 Series I'D" 3S 13.929.03 31,000.00 9497,439 Ol P. I. - P.- $5,000.00 301.25 336.36 1.500.00 388.76 1. 500.00 336.26 9.500.00 1.706.25 2.000.00 341.25 $533.75 (3.000 00 533.75 6 000.00 402.50 1.500.00 67730 1.500 00 472.52 9.500 00 3.412.50 2.000 00 682.50 3 .000 00 1.067.50 5,402.50 $11361.36 (543.50 $533 76 $24,061.26 $7,543.50 (3.333.75 $47.775 03 6. Two Clerical Assistant 1 at . 1 part time ...... 7. Extra Help 8. Janitor at ......... ....... ., 9. Fireman at 180 00 100.00 70.00 75 00 60 00 67.50 45 40 10.00 9 8.968.80 980 00 480 00 840 0J 900 00 i20.00 690 00 235 00 40 00 645 00 130 00 4 5. 530 .00 FSTIMATF.D BALANCES ON HAND JANUARY I, 19.18. CONSOLIDATED FUND NO. 3. Sept. I. 1937 Balance on Hand 98.93388 Estimated Tax to be received In 1937... 300.00 Estimated Assessment Receipt .,, 988.00 Estimated Sale of Property...... ..... 300.00 81.468 00 4 8 330 88 DISBURSEMENTS: Bonds to Pay In 1937..... ... 43,000.00 Interest 184.90 Estimated Balance on Hand January 1, 1936... CONSOLIDATED FUND NO. I. Sept 1. 1937 Balance on hand ........ ....... 1937 Tax Levy . $13.104 36 Tax Received to Sept. 1 10,598.31 Estimated Tax to be received In 1937...... Estimated Payment on Property Estlmted Rentals ... estimated Pavment on wtA DISBURSEMENTS: Estimated Labor ....4 Estimated Payment for Property ... Estimated Publishing Eatlmsted Clesr Titles .. Estimated Title Insurance , , Estimated Recording 1.600 00 160 00 400.00 $ 3.184 30 $ 3.146 58 3.150 00 33 316 88 Estimated Water Rent ..... Estimted Interest Coupon ........ Estlmsted Balance on Hand Jan. 1. 1998 10OO0 180 00 60 00 50 00 300 00 16 00 1000 780 00 WATER BONDS SCHEDULE FOR 11138 January April July Gravity Water City of Medford (500.000.00 . 5 (196.000.00 City of Medford 4425.000.00 . P.-I.- P.. I. P.-I.. (196.000.00 4.900.00 (15.000.00 10.500.00 (10.125.00 8.000.00 9.22500 $196,000.00 9300.00 15.000 00 30.625.00 8.000.00 18.350.00 $205,800.00 2J'1350 (25.500.00 (209.935.00 (10.125 00 STATEMENT OF ALL FUNDS SEPTEMIIF.R Recorders' Balance Account Overdrawn Warrants Treasurer's Tteasurer'a Out Investments Cash Bal. Oeneral .. Current Water Llorarv Consolidated No. 1 .... Consolidated No. 3 . Oeneral Bond .. . Water Bond Sinking Fund . Water Construction .. Street Reconstruction Refunding Bond sinking Ser. Refunding Bond Sinking Ser. Refunding Bond Sinking Ser. watermaln Bond sinking Sewage Disposal Sinking Fund f-wase Disposal Construction , , ,, East Main Street Improvement - sewer Improvement No. 4 Apple Street Improvement .n.. F-wt Jackson St. Improvement . i F.-tet 9th St. Improvement South Holly St. Improvement . 'A" C" D" 9 33.254.91 48.289 87 3.367.12 15.188 38 3.922 88 19.737 49 304.504 49 7.985.03 37.706.49 4.395 98 9.807.14 3.488.77 7.4.11 3i 3.470 46 TOTAL 153 41 1.790 04 4.114 80 3.364 .13 939 85 4.479.52 6!)0 38 789.00 105 70 79.10 104 50 56 38 22 8.5 180 83 2 527.17 4.955 Bo 4.438 07 1.061 65 4.516 47 1 1.00000 182.988.91 STEIWER IS ASSAILED BY WILLIS MAHONEY PORTLANL, Orl. s - (, - Con tending that Prpsltrnt Roosevelt's (ntire legislative piosnm must ho $379,307.76 4 13.183.79 9 19.736 95 $183 988 91 $199,872.00 $ 23.945 29 49.077.87 2.472 82 14.34e.A tH enacieo if democracy la to tie saved. "Wis .Mahonev of Klamath Falls assailed Senator Frederick stelwer as a reactionary In addressing the Willamette Democratic S 0 c I e t v here. He criticized the Junior senator from Oregon for voting against the holding company act and opposlnc the wage and hour measure. A telegram alleged to have ben sent by fsteiwer supirtlng Senator Hoval s. Copelanil In the New York niayorallty race he described as a move to seek extermination f the new al. 19.737.49 21.515 58 8.021.40 27.705.49 4 195 98 9.607.14 2 488 77 7.431 25 3.470 46 38 32 737.13 641 05 1.18.1 75 121 80 36 95 RrriiNniNo improvement bond sinking fund seriks ' a ' Sept. I. 19.17 Balance on Hand Estimated Receipt for Assessments... Estimated payment on Property 4.4S0O0 100 00 (27,70549 4.550 00 $33 355 40 9015 90 00 9 1.089 00 30 00 ESTIMATED RECEIPTS 1. Rent. Gas and OH Station...... . 3. Rent, United Air Line 3. Rent. Garage . 4. Rent, U. 8. Army , 5. Rent, U. S. Army Radio 6 Rent, Restaurant 7. Rent, Gun Club ... . 8 Rent. Farm Land Heat. tJ s Weather Bureau ... 10 Heat Alry Radio mmmm II. Storage Hatuar 13. Gasoline Commission ... 3 1.449.00 . 9 Soo 00 . 1.5(10 00 80 00 . 180 00 18000 6000 60 00 .. 150 00 . 1.15 00 90 00 1 000 00 400 00 43.00 DISBURSEMENTS: Interest on Bonds 35S.UO Title Insurance. Quit Claim Dead Sheriff Deeds 800 00 Estimated Balance on Hand. Jan 1. 1498 13 1 509 49 ESTIMATED BALANCES ON HAND JANUARY I. 19.19. REFUNDING IMPROVEMENT BOND SINKING FUND SERIES "C" Sept. 1. 1037BAlanr on Hand $4.396 98 Estlmsted Receipts for Assessments .. 1.900 00 6 295 98 DISBURSEMENTS: Title Insurance. Quit Claim Deeds. Sub. Tax . 300 t Estimated Balance on Hand January 1. 19.19 9 6 095 8 REFUNDING IMPROVEMENT DOND SINKING FUND SFRICS "D" Sept I. 1937-Balance on Hand 99 60114 Istlmated Receipt for ainmnl. 1.400 00 Bond Title Rata City Hall S Fire Equipment . i Airport ..jasBaaBBMBM-.. 31 Cottage Street Bridge 5" Courthouse Site .. 3 Refunding Improvement Refunding Improvement Watermaln ... Refunding Improvement series A Refunding Improvement Series "8" Refunding Improvement Jerles "C" Refunding Improvement Series "D" Consolidated No. 9 Oravltv Water 4 Cltv of Medford Water $500.000 00 5 City of Medford Water $4J5.000.00 BONUS Ol TTNDlNO AS OF SEPTEMBER I. 19.17 6T. 3 A3!, 31, 3V, - 4 5V Sewage Disposal 4 Dated Payable Amount 6- 1-37 37-43 $36.00000 1-1-29 38-40 9.0O0O0 7- 1-39 38-40 41 00000 l-l-3t -41 25.00000 3-13-31 38-4 12.00000 1-I-S4 39-53 311.000 00 1-7-34 38-46 13 929 03 1-7-34 38-46 97.500 00 1-7-94 .18-48 t6.5O0O0 1-7-54 .18-48 31.0)0 00 11-1-34 .17-46 33 318 09 6- 1-32 37-39 9 000 00 7- 1.04 37-38 J03.oOO.no 4-1-36 37-55 433 000 00 1-1-27 37-58 369.000 00 4-1-34 37-39 93.000 00 (503, 177.13 (997.000.00 85,000.00 TOTAL 81.707,177 12 I hereby certify that the foreeolrm la a true statement of the proposed budget of expense for the year 1938 a adopted by the Budget Committee of the City of Medford. Oregon, on October 5th. 19.17. and notice Is hereby given to all persons interested therein, that the City Council will meet In the Cltv Hall In said City on rrldav. October 29th. 1937. at 7:30 0 clock P M. of said day and then and there dls.-nw vid oudet and make the levy of the cltv taxes for expenditures for the rear 1938. and at which time and place anr oeron Interr.ferf therein can meet with the Council and mate bl objecttoa to said Budtret. and said proroseo tax lew. if any ha ha M. L. ALPORD, Recorder. J Children's Colds rtk Yield quicker to yf?r double action of VlSJ$s