MEDFORD MAIL TRIBUNE, MEDFORD, OREGON, WEDNESDAY, JULY 1. 1942.
PAGE SEVEN
Fireman
100.00
Repain and Maintenance
1 Repairs
2. Binding
140.00
200.00
Materials, Supplies and Berries.
1. Heat
2. Light
3. Water
4. Telephone
t 6,100.00
S40.00
9 Printing and Supplies
0. Janitor's Supplies
7. Postage and Freight
8. Current Expense
300.00
300.00
43.80
105.00
180.30
80.00
25.00
223.00
Additions and Batiarmanta
1. Equipment
2. Books General Adult
$ 1,259.10
Reference
Juvenile
Periodicals ic Indexes
135.00
1,200.00
100.00
eoo.oo
400.00
F.
Insurance
1. Fire
2. Accident
88 90
35.00
$ 2,435.00
133.90
Less Estimated Receipts from Fines
Levy
MEDFORD
$ 10.268.00
$ 850.00
9,318.00
PUBLIC LIBRARY EXPENDITURES
1st 3 Mo.
Books S
Periodicals
Binding
Salaries
Janitor
Heat
Light
Water
Telephone
Furniture
and Fixtures
Improvements
and Repairs
Insurance
(Fire)
Insurance
(Accident)
Printing
and Supplies
Postage & Frt.
Current Exp.
1939
1,412.83
348.18
181.00
4,431.18
734.94
292.75
297.84
43.80
102.36
79.33
307.18
63.20
276.80
23.05
213.27
1940
1,828.31
440.88
187.85
4,613.81
699.88
308.00
301.68
43.80
97.00
207.30
253.38
29.43
218.44
16.08
229.11
1941
1,792.90
367.83
195.97
4,855.92
742.92
332.50
306.96
43.80
97.44
183.87
380.68
284.23
42.60
208.57
14.17
253.39
1942
286.22
12.00
26.47
1,326.96
182.45
156.00
65.16
14.60
26.99
189.07
2.30
6.94
65.95
2.91
39.38
$ 8,811.69 $ 9,475.15 $ 10,103.77
ESTIMATED BALANCES ON HAND
July 1, 1942
9 2,403.40
GENERAL FUNDi
Balance on Hand May 1, 1942.
Estimated Receipts:
Taxes
Fines
Licenses
Permits
S 4,384.00
Franchises
Rentals
Road Tax
Sale of R. R. Rails.
Other Receipts
2.000.00
850.00
360.00
2.028.00
975.00
1,893.00
2,779.00
2,112.00
$ 8,639.00
$ 12,997.00 $ 21.636.00
Less Estimated Expenditures May and June-
Estimated Balance on Hand July 1, 1942..
LIBRARY:
Balance on Hand Mav 1. 1942
Taxes Receivable $
Desk Fines
$ 26.020.00
23.342.00
2,678.00
731.00
150.00 $
...$ 1,558.00
881.00
Less Disbursements
Estimated Balance on Hand July 1, .1942..
CONSOLIDATED IMPROVEMENT FUND:
Balance on Hand May 1, 1942.....
S 2.439.00
1,605.00
Taxes Receivable ...
Sale of City Lots..
-$
834.00
$ 14,884.00
D. 152.00
1,292.00 $ 6.444.00
Medford Water, 423,000 Issue- S 1-1-27 42-56 310.000.00 645,000.00
Sewage Disposal 4 8-1-34 42-59 73.000.00 73,000.00
118,481.62
14.784.77
Estimated Balance on Hand July 1, 1942.
GENERAL BOND FUND:
Balance on Hand May 1, 1942
Taxes Receivable
.$ 21,328.00
..$ 14.336.00
1.151.00
Estimated Balance on Hand July J, 1942
IMPROVEMENT BOND FUND:
Balance on Hand May 1, 1942.
Sale of Property
Assessments ..
1,100.00
430.00
..$ 15,487.00
.$ 9,801.00
1.550.00
Estimated Balance on Hand July 1, 1942
LEVIES
LIBRARY
1942-43 Budget
Less Estimated Receipts for Fines...
Levy I,, -
..$ 11,351.00
CONSOLIDATED IMPROVEMENT FUND:
Bond Schedule .
Cash on Hand July 1, 1942 $ 21,328.00
Appliable on Budget
Held for Int. Due July 1, 1942 7,180.00
Levy
GENERAL BOND FUND:
Levy Bond Schedule .
Estimated Bal. on Hand July 1, 1942 $ 15,487.50
Held for bonds & int. due July 1, 1942.
IMPROVEMENT BOND FUND:
Lew as per Bond Schedule
Estimated Bal. on Hand July 1, 1942 $ 11,351.00
Held to apply on Bonds Int. payable
July 1, 1942.
$ 10.596 70
950.00
..$ 9,648.70
$ 31,770.00
14.058.00
.$ 17.712.00
$ 39,287.50
$ 24.211.27
81,196.185 9.1 $172,287.76
172,287.78
Total Bond Debt
..$1,023,898.17
Improvement Warrants Outstanding
Accumulated Interest
.$3,745.96
1,097.29
Sinking Funds
Total Warrant Debt
$4,843.25
2.792.02
..$2,051.23
BUDGET WATER DEPARTMENT
Currant Watar Fund
July 1, 1942 to June 30, 1943
ESTIMATED EXPENDITURES:
Operation:
General Expense $ 19,173.44
Right of Way. Old Line 25 00
Big Butte Springs Line 4.030.20
City Dist. System. 13,597.78
Maintenance:
General Expense $ 2,321.00
Right of Way, Old Line 75.00
Big Butte Springs Line 1,985.00
City .Dist. System. 4,440.00
Capital Cost:
General Expense $
Big Butte Springs Line
City Dist. System
Interest on Bonds .
2,075.00
2.000.00
7,275.00
$ 36,826.42
t 8.821.00
11,350,00 $ 56.997.42
$ 32,000.00
$ 15,000.00
I 70,000.00
$ 13,523.02
..$187,520.44
Repayment of Advance-
Defense Public Works
Transfer of funds:
Water Bond Sink. Fund .
Water Syst. Const. Fund
TOTAL EXPENDITURES .
ESTIMATED..INCOME:
Estimated Balance June 30, 1942. $ 24,460.34
Estimated Water Rentals 1942-43 145,920.44
Est. Revenue, Camp White 1942-43 41,500.00 $211,880.78
Estimated Balance June 30. 1943.
Interest Due and Payable July 1, 1943....
WATER BOND SINKING FUND
Budget July 1. 1942 to June 30, 1943
Bonds Due January 1, 1943.
Bonds Due April 1,
..$ 24,360.34
..$ 7,223.00
Medford Woman Regains Health
After Long Siege of Paralysis
The happy ending of a story which began nearly five years ago
was told today by Mrs. Earl Gibson, of 723 Bennett street, when
she took a bouquet of flowers to the office of the Timber Prod
ucts company, and voiced her. thanks for the aid which had
made it possible for her to regain her health.
An Invalid for three and one-1
1943..
Bonds Callable January 1, 1943
Bonds Due and Callable. 1943
Balance on Hand June 30, 1942
RECEIPTS:
Interest on Investment,...,,
Taxes .
..$130,580.06
.$ 16,000.00
. ZU.UOO.UU i
. 289,000.00 j
...$323,000.00
half years, suffering from para
lysis as the result of the dread
disease berl berl, Mrs. Gibson
saw nothing ahead but confine
ment to her bed. Then a Med
ford doctor suggested that she
be sent to a specialist in Port
land for a last effort to check
the steadily growing paralysis.
Mr. Gibson was employed at the
Timber Products mill at the
time, and his fellow workers
learned of the doctor's recom
mendations. Times were not too
good then and dollars looked
larger than they do now. but
the men and officials in the big
plant quickly made up a fund of
$210 which gave Mrs. Gibson
her chance.
That was a year and a half
ago. After five weeks In Honey
man hospital in Portland -he
was brought home where the
treatments were continued.
Gradually she regained strength
and soon was able to walk a
bit. A month ago she walked to
town for the first time since she
was stricken. Now she is able to
do all the housework for her
husband, who is employed at
the cantonment, and her daugh
ters, aged 11 and 3 years.
"I wish there was some more
adequate way In which I might
show my gratitude." Mrs. Gibson
told the Timber Products em
ployes. However, the men who
aided her feel ample repayment
in the knowledge of her remark
able recovery-
Transfer from Water Fund 12-30-42.
Transfer from Water Fund 3-30-43
EXPENDITURES:
Bonds Payable January 1. 1943..
Bonds Payable April 1, 1943
Bonds Called January 1, 1943
830.00
200.00
30,000.00
20,000.00
$201,610.06
..$ 16.000.00
20,00000
150,000.00
$186,000.00
Estimated Balance June 30, 1943..
...$ 15,610.06
General Fund .
Current Water .
Library .
Consolidated ..
Improvement Bond Fund ,
General Bona
Water Bond Sinking-
Water Construction ..
Street Reconstruction
St. Reconstruction P.W.A
Civic Emergency
Sewage Disposal Sinking-
Airport construction ,
East Main Improvement .
Sewer Improvement No. 4
Apple St. Improvement..
East Jackson Improvement.
South Holly Improvement
Last Ninth improvement...
Watermain No. 2 Improvement
St. Improvement No. l.
HUlvlew Sewer .
STATEMENTS OF
Fund
Balance
$ 4.385.91
30.287.50
1.558.42
14.884.44
12,437.20
14.336.02
118,481 62
30,682.14
239.92
599.25
400.00
14,784.77
ALL FUNDS
Accounts
Overdrawn
MAY 1, 1942
Warrants
Outstanding
$ 21601
361 66
229.33
1.10
63.42
269.70
379.41
278.17
1,370.23
487.28
373.10
123.33
552.42
15,217.55
2,527.17
3.327 35
1.599.13
3,316.47
568 96
649.83
15,747.94
Treasurer's Treasurer's
Investm't Cash Balance
$ $ 4,599.92
30,649.18
1,787.77
14,885.54
12,437.20
14.336.02
31,238.14 87,245.48
50,682.14
239.92
599.25
400.00
6.000.00 8,784.77
379.410.D.
53.42
2,249.00
1,957.32
1.111.85
2.743.37
443.61
97.41
530.39
269.70
The Grange
Talent Grange
Austin D. McReynolds will be
at the Talent Grange to lecture
on civilian fire control on Thurs
day. All members are urged to
be present.
Jacksonville Grange
Jacksonville Grange met In
regular session Friday. Olive
Floyd and Louise Brock way
talked to the members relative
to the U.S.O. drive. Mrs. Floyd
urged the members to support
Myrtle Arnold, chairman of this
district. Members who offered
their services were Ann Wendt,
Nellie Niedermeyer and Leora
Niedermeyer. Grange voted $3
toward this fund.
Nellie Niedermeyer, H.E.C
chairman reported a pleasant
afternoon with Leora Nieder
meyer at their last meeting. The
quilt for the casualty station
was completed.
Next hostess for the club will
be Reva Henspeter. She will
entertain at the hall, July 8.
On July 5. Grange will have
a picnic on the old court house
lawn. Dinner will be served at
noon and all grange members
and invited guests will be welcome.
Mrs. Carpenter sent thanks
to the grange for the piano now
being used at the Recreation
center at the trailer camp.
During lecture hour Bernlce
Godley and Henry Conger gave
interesting accounts of their re
cent trip to State Grange as
delegates from Jackson county.
Refreshments were served by
Kathryn Wendt and Bernice
Godley.
Next serving committee will
be Chet and Ann Wendt and
Wesley Hartman, July 24.
The traveling gift provided by
the ways and means committee
was sold to Henry Conger,
Fugitive Murderer
Traced by Prints
Seattle, July 1 (.41 Detect-
ive Chief Ernest W, Yoris said
today that George Howie. 57.
picked up on a morals charge.
was wanted by Mississippi au
thorities as an escaped murderer
wno had been at large for 18
years. Twice sentenced to death
on the gallows, the sentence was
commuted to life before he got
away.
Circulation of his fingerprints
over the country led to his iden
tification.
He was convicted of slaying
a 17-year-old girl after an as
sault in 1919 and escaped in
1924.
IE INVENTORY
E
Washington, July 1. Wl
The office of Price Administra
tion undertook a nationwide in
ventory of serviceable tires held
by dealers, automobile compa
nies and finance companies to
day, and announced that it
would use the resulting Infor
mation charting the future
course of tire rationing.
The stock-taking, as of June
30, will cover new, used, re
treaded and recapped tires. Re
ports will be filed with local
rationing boards, and must show
inventories of passenger car and
truck tires and tubes, tractor
and farm equipment tires, and
all other types of tires not
mounted on a vehicle.
SPRAGUE RETURNS
Washington, July 1 H"
ernor Charles A. Sprague, ab
sent from the state for two
weeks during which he attended
the National Conference of Gov
ernors at Asheville, N. C, re
turned this morning aboard the
Union Pacific'a streamliner. Ha
left Portland immediately by
automobile for Salem.
The Idaho fish and game de
partment's census shows Idaho'
1942 deer population was 166,-000.
177 Convictions On
Charge of Sabotage
Washington, July lftp)
The FBI has reported 177 con
victions in the field of sabotage
and 3,246 complaints investigat
ed in the 10 months beginning
last July 1.
Clyde A. Tolson, assistant di
rector, said some of the cases
investigated were "aggravated
cases of sabotage" but that up to
early June there had been no
foreign-inspired sabotage in this
country.
-
-
Phone
2119
for Towing or
Wrecker Service
Anywhere Anytime
Lewis Soper Sorrice
(263,398.31 t 18,981.51
Less Overdraft.
$ 28,545.17 $ 37,236.14
$236,105.24
.79.41
233,''25.83
I hereby certify that the foregoing Is a true statement of the proposed budget of expenses or
the year 1942-43, as adopted by the Budget Committee of the City of Medford, Oregon, on June 10,
1942, an! notice is hereby given to all persons interest, therein, that the City Co"ncll will meet
in the City Hall in said City on Monday. July 13, 1942, at 7:30 o'clock P. M. of said day and then
and thers discu s said budget and make the levy of the city taxes for expenditures for the year
1942-43, ar.d at which time and place any person interested therein can meet with the Council -nd
make his objection to said budget, and said proposed ta levy, if any he has.
M. L. ALFORD.
Recorder
City Hall
Courthouse Site
St. Reconstruction
St. Reconst. P.WA .
Airport Construction
Int
-.5
.8
.2 H
.Hi
.Hi
Outstanding
6.000.00 P
I-
4.000.00 P-
I
10,000.00 P 10,000.00
I 112.50
31.000.00 P
I.
50,000.00 P
I
BOND SCHEDULE 1942-4$
Oct Nov. Dec
$ 6,000.00
150.00
June
Consolidated Refunding .6
$101,000.00 $ 15,487.30
$ 23,300.00 T
I $ 7.180.00
Int
Refunding Imp. W.N. 3Vi
Refund. Impr. Ser. "A" 3Vi
Refund. Impr. Ser. "B" ..3'.i
Refund. Impr. Ser. "C" 3 '.4
Refund. Impr. Ser. "D" 3i
Outstanding
7,929.03 P
I
58.000.00 P
I
10,000.00 P
I
12,500.00 P
I
18,500.00 P-
I
Jan. Apr. May
,"- "iso.'oo
2 nnn nn
" " l'oo.o'o i i 100.00
"V nnn nn ' . .
1 " 232!50 ' ' , 232.50
$ 15,232.50 $ 100.00 $ 6,130.00 $ 373.00 $ 232.30 $ 2,100.00 $ 150.00
$ 17.000.00 -
7,390.00
7,180.00 , . $ 24,390.00
July Aug. Nov, Dec Jan. Feb. May
1,500 00 - -
138.76 i 138.76 . , , .
11,000.00 , - -
1,013.00 , ... , 1,013.00
2,000.00
173.00 , 175.00
i nn nn .
203.13 ..- - 203.1-
3.30000 ,
$ 2,703.13 $ 3,823.75 U28.76 $ 203.12 $ 323.75
Total
6,000.00
300.00
2,000.00
200.00
10,000.00
112.50
15,000.00
465.00
8,000.00
750.00
t 39.827.50
$ 17.000 00
14,770.00
$ 31,770.00
1,500 00
277.52
11,000.00
2,030.00
2,000 00
350.00
2,500.00
406 25
3,300.00
647.50
15,828.76
$ 24.211.27
STATEMENT Of BONDS AND WARRANTS AUTSTANDINO
City Hall
Courthouse Site
St. Reconstruction i
St. Reconstruction P.W.A. ,, ...
Airport Construction
Airport Construction Ser "B"
Refunding Imp Consolidated.
Refunding Imp. Watermain
Refunding Imp. Series "A"'
Refunding Imp. Scries "B"
Refunding Imp. Series 'C"
rceiunmng imp ;-eries u ..
Refunding Imp. Series "E'
Int.
Rate
5
5
241
J'4T
l'i
Hil
6
3141
3'i
3iT
3'4"o
3'4
i'.4-ni
Date of
Issue
6- 1-27
5-15-31
7- 15-33
10- 15-38
11 5-41
8- 15-41
1-1-34
7-1-35
7-1-33
7-1-33
8 1-35
11- 1-35
3-1-42
Due
42
43
42
42-43
42-51
42-51
43 53
42-46
42-48
42-44
42-46
42-46
43.32
Out
Standing
$ 6.000.00
2.000 00
10.000.00
31.000 00
40.000.00
10,000.00
233,000.00
7.92903
58.000.00
10.000 00
12 500 00
18.300 00
19.25690
Total
Sinking
Fund
69,000.00 14,336.02
253,000.00
126.183 93
14,884.44
9.890.91
Medford Water, 300,000 iu 5 5. 4-1-28 42 J J 335.000.00
"to
(bQB5J f i
Running a home It a fob that neodt h
pout fnof riffthti with lea-cold
Coca-Cola a llttlt) mlnul. long
enough for a big rttt. You'll wolcom
tho clean tatto and whoUiomo refrain
menl of Ice-cold Coco-Cola each lime
you drink it. Coca-Cola has quality you
can trutt . . . the quality of genuine
goodneti that keeps en being good.
SIX-BOTTll
CARTON
omtft uNtt authority or tmi coca.coia eea'AHY if
COCA-COLA BOTTLING COMPANY Of MEDFORD