Medford mail tribune. (Medford, Or.) 1909-1989, July 03, 1942, Page 3, Image 3

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    MEDFORD MAIL TRIBUNE. MEDFORD. OREGON. FRIDAY, JULY 3, 1942.
PAGE THREE
I
SEASON OPENS AT
ICE ARENA TODAY
Promptly at 8:15 tonight the
Medford Ice Arena at 619 South
Grape street, completely reno
voted and refinished on the in
terior, will open for the summer
after having been closed since
April 12. The skating session for
opening night will last until
11:30.
For the enjoyment of Fourth
of July skaters, Manager Denny
Edge has arranged for three
sessions, morning, afternoon and
night, the morning session from
10:30 to noon, afternoon from
i 2:30 to 5 and evening from 8:30
to 10:43.
A large supply of new skates
has been received for rental
purposes and the famous Plan
ert and C.C.M. skating equip
ment will be on sale at prices
below average. Manager Edge
stated. The arena also is equip
ped to sharpen skates.
After tonight, the arena will
be open every night from 8:15
to 10:45, and on four afternoons
a week Tuesday, Thursdays,
Saturdays and Sundays from
2:30 to 5. There will also be
special Saturday morning ses
sions for kiddies, from 10 a. m.
to noon.
At Nazarene Church Sunday
VJ " o V
- -r - ,.
7 U"
a
Jd
NOTICE OF SCHOOL MEETING
NOTICE IS HEREBY GIVEN to the legal voters of School District No. 49. of Jackson County. State of Oregon, that a SCHOOL MEETING of the said district will be
held at City School Superintendent's office on the 24th day of July, 1942, at 8:00 o'clock p.m., for the purpose of discussing the budget for the fiscal school year
beginning July 1, 1942, and ending June 30, 1943, hereinafter set forth, and to vote on the proposition of levying a district tax.
Dr. L. T. Corlett. president of Northwest Naiarene College,
at Nampa. Idaho, is bringing the King's Messengers, a male quartet
from the college, to appear in the Medford Church of the Nasarene,
Holly at First St.. Sunday at 7:45 p. m. The quartet (L to R) in
cludes Ramon Vanderpool. Walla Walla. Wash.) Robert Wood
worth. St. Paul. Minn.; Joseph Yoder. St. Paul Minn., and Victor
Bundy, Backus. Minn.
Dr. Corlett and the quartet will also appear on the Ministerial
Union service program Sunday at 5 p. m. The public is invited to
hear them.
f
ii
i
Sayre Resignation
Accepted by F.D.R.
Washington," July 3. (Jf)
The White House announced to
day that President Roosevelt
had accepted the resignation of
Francis B. Sayre as American
high commissioner to the Philip
pines. Sayre submitted the resigna
tion last March 23, soon after
he made his way to this coun
try from embattled Corregidor.
He said he wanted to serve his
country "in a more pressing and
active work,' and noted that
the work of his office had large
ly been supplanted by military
activity.
Use Mall Tribune want ids.
BOY!
THAT
NEW
r i V
Is a Million Dollar Drink!
YES there' good reason why this new, finer A-l BEER it
million dollar drink it's brewed right here in Medford from
A-One't exclusive formula and MEDFORD'S MILLION DOLLAR
MOUNTAIN SPRING WATER Those who KNOW good beer en
thusiastically acclaim the new A-1. The rich quality, the diitictive
good taste, the refreshing goodness of A-1 make it the favorite beer
throughout Southern Oregon.
Here's a Friendly Tip...
You'll want to prepare for
the holiday week-end by
stocking up with a good
supply of finer A-l beer.
Be sure your refrigerator is
well filled, be sure you
have plenty for the picnic
or fishing trip then your
good time is assured!
Your Grocer or
Fountain Has
the New, Finer
A-ONE BEER
A-ONE BREWING COMPANY
MEDFORD OREGON
Schedule I
BUDGET
Estimated Receipts and Available Cash Balances
(1)
2.
3.
4.
5.
6.
7.
8.
14.
15.
16. Estimated Total Receipts and Available Cash Balance or Deficit .
Estimated available Cash Balance or Deficit at beginning- of fiscal year for which this budget is made (Add
tasn Balance uenuci ueiicii)
Estimated Receipts from Delinquent Taxes during fiscal year for which this budget is made
Estimated Receipts from Vocational Education .... ...
Estimated Receipts from County School Fund
Estimated Receipts from Elementary School Fund..
Estimated Receipts from State Irreducible School Fund..
Estimated Receipts from High School Tuition
Estimated Receipts from Elementary Tuition .
Estimated Receipts from Sales of Supplies, Property, or Equipment .
Estimated Receipts from Other Sources.
Total All
Fund
(2)
23.26921
30.000 00
1.020.00
27.200 00
14.500.00
4.000.00
27.000.00
5.500 00
200.00
407.05
General
Fund
(3)
I 23.289.21
28.000.00
1.020.00
27.200.00
14.590.00
4.000.00
27.000.00
5,500.00
200.00
407.05
Bond Int.
& Sinking
Fund
(4)
$
$2,000.00
Schedule II General Fund
Estimated Expenditures
Expenditures and Budget
Allowance for 6 Months
of Current School Year
ITEM
(1)
I. GENERAL CONTROL
1. Personal service:
(1) Superintendent ... $
(2) Clerk
(3) Stenographers and other office assistants
(4) Compulsory education and census
(5) Other services .....
2. Supplies
3. Elections and publicity.......
4. Legal service (clerk's bond, audit, etc.) ,
5. Other expense of general control:
(1)
6. Total Expense of General Control
11. INSTRUCTION Supervision
1. Personal service:
(1) Principals
(2) Supervisors
Elementary
Schools
(2)
Jr. High
Schools
(3)
High
Schools
(4)
Estimated
Expenditures
for the
Ensuing
School Yr.
(5)
..$133,18628 $131,186.26 $2,000.00
Expenditures for Three Fiscal
Years Next Preceding the Cur
rent School Year
Detailed
2nd Year 1st Year
Exp.
In Detail
(8)
Budget
Allowance
in Detail
(7)
Expenditures
for the Last
Year of the
Three-Year
Period
(8)
Give Yearly Give Yearly
Totals Totals .
(9)
(10)
1.300.00 $
550.00
1.500.00
400.00
soo'bo
75.00
150.00
380.00
600.00 $ 600.00
230.00 250.00
600.00 60000
300.00 150.00
200.00
37.50
75.00
185.00
200.00
37.50
75.00
185.00
2.500.00
1.050.00
2.700.00
850.00
90b'.'d6
150.00
300.00
750.00
$ 1,250.00
494.56
1.243.69
404.87
464.36
90.29
140.65
321.10
1.250.00 $
475.00
1,200.00
425.00
2.49875
987.00
2.474.50
868.67
450.00
75.00
125.00
375.00
820.67
72.00
220.00
1.228.30
2. Supplies, principals and supervisors
4. Other expense of supervision...
5. Total Expense, Supervision
III. INSTRUCTION Teaching
1. Personal service
(1) Teachers
(4) Librarians, etc
2. Library supplies, repairs .
...$ 4.855.00 $ 2,247.50 $ 2,097.50 $ 9,200.00 $ 4,409.52 $ 4,375.00 $ 9,169.89 $ 8,354.89 $ 8,239.91
..$ 3.820.00 $ 2.520.00 $ 3.260.00 $ 9.600.00 4.486.93 $ 4.750.00 $ 8,749.25
... 3,900.00 1.800.00 2.000.00 7,700.00 3.390.40 3,900.00 5.981.00 .
a 1,100.00 1,300.00 2,400.00 1,146.82 1,100.00 2,292.50
250.00 500.00 750.00 562.39 300.00 908.94
200.00 100.00 100.00 400.00 232.50 150.00 470.95
IV.
'3. Supplies (chalk, paper, etc.)..
4. Textbooks .
5. Tuition to other districts .
6. Other expense of teaching
7. Total Expense of Teaching $64,750.00
Indicates principal items used in Third Class Districts.
OPERATION OF PLANT
1. Personal service:
(1) Janitors and other employees...
2. Janitors' supplies . .
"3. 'uel
4. Light and power
5. Water
'6. Telephone
..$ 7,920.00 $ 5,770.00 $ 7,160.00 $ 20,850.00 $ 9,819.04 $10,200.00 $ 18,402.64 $ 18,745.37 $ 18,442.95
..$59,000.00 $43,500.00 $45,500.00 $148,000.00 $71,828.29 $74,000.00 $141,938.85
950.00 1.950.00 1,400.00 4.300,00 2,148.98 2,000.00 4,221.12
230.00 150.00 100.00 500.00 272.62 200.00 473.88
3.300.00 2.300.00 1.900.00 7.500.00 3.977.62 3,500.00 8.702.19
... 1,000.00 1,000.00 400.00 2,400.00 1,638.47 1,150.00 1.839.23
$250.00 150.00 500.00 900.00 S3803 450766 i676"8S
$49,050.00 $49,800.00 $163,600.00 $80,402.01 $81,300.00 $158,852.18 $158,288.92 $150,579.99
7. Other expense of operation
. $ 8,000.00
1,400.00
2.300.00
1.500.00
600 00
300.00
50.00
; 2.600.00
750.00
1.200.00
900.00
200.00
300.00
25.00
$ 3.400.00 $ 12,000.00 $ 5.833.05 $ 5,750.00 $ 11,169.03
750.00 2.900.00 1.485.94 1.425.00 2,994.76
Z. 000.00 3,500.00 2,905.59 ' 2,500.00
1.000 00 3,400.00 1,665.29 1,825.00
700.00 1,500.00 754.13 700.00
400.00 1,000.00 492.69
25.00 100.00 39.78 525.00
4,980.31
3,392 71
1,351.98
965.08
3,000.00
50.00
8. Total Expense of Operation $12,150.00
V. MAINTENANCE AND REPAIRS
1. Repair and maintenance of furniture and
equipment $ 1,000.00
2. Repair and maintenance of buildings and
grounds:
(1) 3,500.00
3. Other expense of maintenance and repairs...... 100.00
4. Total Expense of Maintenance and Repairs $ 4,600.00 $ 4,050.00
VI. AUXILIARY AGENCIES
1. Health service:
(1) Personal service (nurse, etc.) $ 1.750.00 $ SOU Oft
(2) Supplies and other expenses 250.00 50.00
2. Transportation of pupils:
(1) Personal service 1,000.00
$ 5,975.00 $ 8,275.00 $ 26,400.00 $13,176.47 $12,725.00 $ 24,853.87 . $ 23,820.66 $ 24,184.65
$ 1,000.00 $ 1,500.00 $
6,000.00
50.00
3,500.00 $ 1,766.51 $ 1.750.00 $ 3,321.71
0,250.00
12,500.00
200.00
6,006.02
10359
13,359.04
287.60
$ 7,550.00 $ 16,200.00 $ 7,876.12 $ 8,000.00 $ 16,968.39 $ 22,763.30 $ 15,916.48
400.00
50.00
200.00
2.650.00
350.00
1.200.00
$ 1,353.30 $ 1,250.00
137.07 175.00
725.75
750.00
2.517.25
163.60
1.824.90
4. Total Expense of Auxiliary Agencies ..$ 3,000.00
VII. FIXED CHARGES
1. Insurance
2. Rent
4. Total Fixed Charges
VIII. CAPITAL OUTLAYS
1. New sites .
2. New buildings .
..$ 1.300.00
700.00
2,000.00
3. Alteration of buildings (not repairs). 1.500.00
4. New furniture, equipment and replacements 1,550.00
5. Assessments for betterments 500.00
6. Other capital outlays:
(1) Library books 700.00
(2) Other capital outlays . 200.00
$ 750.00 $ 450.00 $ 4,200.00 $ 2,216.12 $ 2,175.00 $ 4,505.75
$ 900.00 $ 1,100.00 $ 3.300.00 $ 1.409.39 $ 1,300.00 $ 3,361.94
400.00 400.00 1,500.00 650.00 600.00 1,165.00
$ 1,300.00 $ 1,500.00 $ 4,800.00 $ 2.059.39 $ 1,900.00 $ 4,526.94
.T ."T ""8"28o!42
1,000.00 2,00000 4.500.00 1.450.20 2,250.00 908.02
1,100.00 2.100.00 4,750.00 2.779.86 2.250.00 6,940.31
200.00 300.00 1,000.00 551.10 500.00 766.83
900.00 900.00 2.500.00 1,190.30 1,250.00 2,553.59
150.00 150.00 500.00 794.82 750.00 398.73
$ 3,984.60 10,493.73
2,813.83 $ 3,481.14
7. Total Capital Outlays
IX. DEBT SERVICE
I. Jnterest on warrants
2. Interest on other indebtedness..
3. Total Debt Service .
X. EMERGENCY
..$ 4,450.00 $ 3,350.00 $ 9,450.00
$ 13,250.00 $ 6,766.28 $ 7,000.00
$ 500.00 $ 177.37 $
$ 19,845.90 $ 43,678.98 9 23,411.47
$ 320.13
.. $
500.00
5,000.00 $..
177.37
9 2,500.00
320.13
22680
,' 171.67 9
1,642.78 9
4.494.04
Total Schedule II General Fund Total
estimated expenses for the year sum of
items 1-6, II-5, III-7, IV-8, V-4, VI-4, V1I-4,
VIII-7, IX-3, X
Schedule III Bond Interest and Sinking Fund
BOND INTEREST AND SINKING FUND
Debt Service
1. Principal on bonds (Include negotiable Interest-bearing
warrants Issued under sec
tion 35-1104)
2. Interest on bonds .
$264,000.00 $126,902.32 $130,179.00 $257,672.43 $283,866.21 $261,244.99
$ 29.000 00 $ 13.000.00 $ 14.500.00 $ 24.000.00
8.970.00 4,770.00 4,064.50 10,591.23
.. $ 37,970.00 $ 17,770.00 $ 18,564.50 $ 34,591.29 $ 37,072.90 9 33,720.00
3. Total Schedule III Debt Service
Indicates principal items used in Third Class Districts.
Schedule VI Summary of Estimates of Expenditures, Receipts and Available Cash Balances, and Tax Levies
ESTIMATION OF TAX
LEVY
(1)
Total estimated expenditures....
DEDUCT
Total estimated receipts and available cash balances (Schedule I)..
Amount necessary to balance the budget - - - .
DEDUCT
Deficit forwarded to next fiscal year -
Balance to be raised by taxation : - ....
ADD:
Estimated amount of taxes that will not be collected during the fiscal year for
which this budget is made
Total estimated tax levies for ensuing fiscal year..
Analysis of estimated tax levies:
Amount Inside 6 limitation .....
Amount outside 6 limitation .
INDEBTEDNESS
1. Amount of bonded Indebtedness In
clude all negotiable interest-bearing
warrants issued under section 111-1016,
O. C. L. A.) $177,000.00
2 Amount of warrant Indebtedness on
warrants issued and endorsed "not paid
for want of funds" . 15.00
J. Amount of other indebtedness .. None
Total All General Fund Bond Interest
Funds Total Schedule II . A Sinking Fund
Tl. Schedule III
(2) (3) (4)
$301,970.00 $264,000.00 $ 37,970.00
133.18626 131.18626 2,000 00
168,783.74 132,813.74 35,970.00
ToBKUS "132,813774 35"97b76b'
30,000.00 28.000.00 1,000.00
$198,783.74 $160,813.74 9 37470.00
$160,813.74 $160,813.74 $
37,970.00 , 37,970.00
Total Indebtedness (sum of items 1, 2. 3) $177,019.00
Indicates principal items used in third class Districts,
Dated this July 1, 1942.
(Signed:) REBECCA JENSEN.
District Clerk.
JOHN P. MOFFAT,
Chairman Board of Directors.
(Districts Other Than Third Class)
Approved by Buyget Committee July 1. 14J
(Signed:) REBECCA JENSEN, , JOHN C. MANN.
Secretary, Budget Committee Chairman Budget Committee