FOOT MEDFORD MAIL TRIBUNE
rrldar. Mar 25. IB43
Davis Honored At
Oregon University
University of Oregon, Eugene,
May 25 (Special) Bob Davis,
ion of Mr and Mrs. Guy E. Davis
of Medford, was elected one of
two representatives of the Junior
class on the executive council
of the Associated Students of the
University of Oregon in elections
held Tuesday on the campus.
Gilbert Roberts of Portland will
sit with Davis on this governing
body of the students.
New president of the ASUO Is
Ed Allen of Wendling who won
by a slim margin of 15 votes
over his opponent, Jack Craig of
Roseburg. Janet Douglas, Junc
tion City won No. 3 place or me
officers and Phyllis Evans, Fort
land, took No. 4 place.
WANTED
EXPERIENCED
ALTERATION WOMAN
IDEAL WORKING CONDITIONS
n A ja m MEDFORD MAIL
pUY TRIBUNE
High School News
r
By
Student Reporters
Marin Oammll Jim Boppe-
Torch Honor held Its annual
picnic Sunday, May 20, at Twin
Plunges. Each person brought
his own lunch and later in the
day members played baseball in
Ashland park.
Boys receiving baseball
awards at a special assembly,
Tuesday, May 22, from Mr. J.
C. Tucker were: Bob Watson.
Dick Fawcett, Douglas Davis,
Don Waldron, Fred Stammen,
Bill Eatherton, Jim' Cave, Le-
Roy House, Carl Reich and Alan
Klrcher. Manager awards were
given to Al Boucher and May
nard Bray. Also, Mr. Cope,
tennis instructor, presented ten
nis awards to the following boys:
Paul Anthony, John Bullock
Don Nissen, Gerald Pence, Carl
Wlnklebleck and Chuck Shlnn.
June Williams, graduating
senior of Medford high school
was awarded a music scholarship
to Whitman college in Walla
Walla, Wash., as a result of con
tests held In that city last week,
The award entitles June to pri
vate music lessons at the college
for a period of one year. Dur
ing her three years at Medford
high school, she has contributed
to many school programs.
The H.E.C.A. club Installed
next year's officers, Tuesday,
May 22. New officers are: Pres
ident, Glen Tingley; vice pres
ident. Beverly Autry: secretary
Jeraldyn Jerome; commissioner
of activities, Jerry Llebman, and
commissioner of membership,
Betty Baker.
The 1945 annual Crater year
book wis distributed Tuesday,
May 22. by Editor-in-Chief Jerry
Liebman, who stated that there
was a complete sell-out of the
annuals. The book was an
88-page, leather-bound volume.
Jerry was assisted by Associate
Editor Norma Stearns, and Bus!-
NOTICE OF SCHOOL MEETING
NOTICE IS HEREBY GIVEN to the legal voters of School District No. 1, of Jackson County, State of Oregon, that a SCHOOL
MEETING of the said district will be held at School House onthe 4th day of June, 1945, at 8 o'clock p. m., for the purpose of
discussing the budget for the fiscal school year, beginning July 1, 1945, and ending June 30, 1946,, hereinafter set forth, and to
vote on the proposition of levying a district tax.
BUDGET
Schedule I Estimated Receipts and Available Cash Balances
ITEM Total AU
Funds
(1) (2) ,
Estimated Receipts from
Delinquent Taxes
County School Fund.
Elementary scnool runa
State Irreducible School Fund..
High School Tuition .
Elementary Tuition
High School Transportation
Elementary Transportation
500.00
3.200.00
2.100.00
340.00
3,000 00
100.00
500.00
900.00
15. Estimated Total Receipts
18. Estimated Available Cash Balance or Deflflt
(Add Cash Balance Deduct Deficit);
17. Estimated Total Receipts and Available
Cash Balance or Deficit...
$10,640,00
500.00
..$11,140.00
Schedule II General Fund
Estimated Expenditures
item
Elementary
SchooU
Hlsh
Schools
(4)
Estimated
Expenditures
for the
Ensuing
School Year
In Detail
(9)
Detailed
Expenditures
for the Lsst
Year of tha
Three-year
Period
(8)
Expenditures for Three Fiscal
Years Next Preceding tha Cur-
rent School Year
Second Year
Give Yearly
Total
rirat Year
Give Yearly
Totals
(10)
, GENERAL CONTROL
1. Personal service:
(1) Superintendent n, , n ,
(2) Clerk
. (3) Stenographers and other office assistants.
(4) Compulsory education and census............
2. Supplies ...
4. legal service (clerK s Dona, audit, etc.)....,
B. Other expense of general control:
300.00
125.00
25.00
25.00
75.00
35.00
300.00
125.00
25.00
25.00
75.00
40.00
60.00
6. Total Expense of General Control...
50.00
..$ 635.00 $ 640.00
600.00
250.00
50.00
50.00
150 00
75.00
100.00
400.00
220.00
50.00
50.00
150.00 .
75.00
res Manaeer Carmen Wright
The last Hi-Times of the year
was published yesterday by editor-in-chief
Elaine Walker, s
graduating senior. The issue was
dedicated to the graduating sen
ior class. Assistant editor was
Janet Horsley, and business man
ager, Regina Smith.
Zion Church Plans
Fellowship Dinner
To all members and friends of
Zion Lutheran Church Sunday
will be a day of special interest.
After the Sunday morning wor
ship service those who received
the Order of Confirmation last
Sunday and all new members
will be honored at a fellowship
pot-luck dinner. The dinner will
be open to the public and will
feature a roll call and reunion
of all classes previously con
firmed in Zion Church. Martin
Paulson will report to the group
on the proceedings at the annual
convention of the Pacific Synod
I of the United Lutheran Church
which convened May 8-10 In Eu
gene. At the morning worship serv
ice Holy Communion will be ad
ministered, and new members
will be received. The Pastor will
deliver a sermon entitled: '"The
Modern Nlcodemus." The meet
ing of the Luther League usually
held on Sunday evening wui do
Complete Factory Approved
SAFETY
SERVICE
Chrysler Fae
tory Engineer
td and Inspect,
id Parts for
Chrysler
Dodge
Plymouth
Dodge Trucks
L. C. TAYLOR CO.
112 So. Riva.sid Phone 2966
dismissed for high school bacca-, wore rich costumes, carried
. I 1 A I ,
laureate. uim mm uocu perxuxne.
in 16th century France, men
The first corsets thej appeared
and they were worn by men.
iryty!'.'l iiyiKii.!,, I., .i I, li KijiuM ii.iLi,i ,,
NOTICE OF SCHOOL MEETING
NOTICE IS HEREBY GIVEN to the legal voters of School District No. 22, of Jackson County, State of Oregon, that a SCHOOL
MEETING of the said district will be held at School House on the 4th day of June, 1945, at 8 o'clock p. m for the purpose of dis
cussing the budget for the fiscal school year, beginning July 1, 1945, and ending June 30, 1946, hereinafter settforth, and to vote on
the proposition of levying a district tax.
BUDGET
Schedule I Estimated Receipts and Available Cash Balances
ITEM : " Total All '
Funds
; a) ) '
Estimated Receipts from
1. Delinquent Taxes . $ 1,800.00
2. County School Fund 2,500.00
3. Elementary School Fund 1,360.00
4. State Irreducible School Fund. 300.00
5. Vocational Education ..........
6. High School Tuition . 2,000.00
7. Elementary Tuition 1,000.00
8. High Schoo' Transportation. 200.00
15. Estimated Total Receipts ..
16. Estimated Available Cash Balance or Deficit
- (Add Cash Balance Deduct ueticiw...
17. Estimated Total Receipts and Available Cash
Balance or Deficit ....
..$ 9,160.00
12,537.32
....$21,697.32
Schedule II General Fund
Estimated Expenditures
Elementary
8chools '
(3)
High
Schools
(4)
Estimated
Expenditures
for the
Ensuing
School Year
In Detail
(5)
Estimated
Expenditures
for the
Ensuing
School Year
by Totals
(8)
Budget
Allowance
In Detail
for tha
Current
School Year
(7)
Expenditures for Three Fiscal
Years Next Preceding the Cur
rent school Year
)etailed
Expenditures
lor uie uasi
Year of the
Three-year
Period
(8)
Second Year
. Give Yearly
Totals
. GENERAL CONTROL
1. Personal service:
(2) Clerk $ 125.00
4. Legal service (Clerk's bond,
audit, etc ) .. 22.50
5. Other expense of general control:
(1) 50.00
6 Total Expense of General Control. .$ 197.50
$ 12100 $ 250.00 " $ 175.00
22.50 45.00 ' 45.00
50.00 100.00 200.00
$ 1J7.50 $ 395.00 $ 895.00 $ 420.00
$ 175.00
45.00
$ 256.23 $ 170.00
II. INSTRUCTION Supervision '
1. Personal service:
(1) Principals .
4. Other expense of supervision...
5. Total Expense of Supervision $ 1,700.00 ' $ 1,700.00 $ 3,400.00 $ 3,400.00 $ 2,400.00 $ 2,635.80 $ 2,078.36
..$ 1,650.00
50.00
$ 1,650.00 $ 3,300.00
50.00 100.00
$ 2,400.00 $ 2,635.80
$ 1,275.00 $ 985.00 $ 1,002.00 927.00
IL INSTRUCTION Supervision
5. Total Expense of Supervision..
388.00
IIL INSTRUCTION Teaching
1. Personal service:
(1) Teachers ..
2. Library supplies, repairs...
3. Supplies (chalk, paper, etc.)..
M. lextoooKs
7. T-ital Expense of Teaching.-
..$11,500.00
23.00
350.00
330.00
$12,500.00
23.00
85000
60.00
$24,000.00
50 00
700.00
400.00
$19,250.00
50.00
800.00
450.00
-$12,225.00 $12,925.00 $25,150.00 $20,550.00 $17,303.00 $14,133.00
IV. OPERATION OF PLANT
1. Personal service:
(1) Janitors and other employee..
-i. janitors supplies .
4. Light and power. ZZZ
5. Water
6. Telephone
7. Other expense of operation.-
8. Total Expense of Operation.....
1,180.00
150.00
275.00
125.00
18.00
35.00
20.00
$ 1,180.00
130 00
275.00
175.00
18.00
40.00
20.00
$ 2,360 00
300 00
550.00
300.00
36.00
75 00
40.00
$ 2,200.00
400 00
550 00
300.00
36.00
75.00
40.00
$ 1,803.00 $ 1,858.00 $ 3,661.00 $ 3,601.00 $ 2,940.00 $ 2,400.00
MAINTENANCE AND REPAIRS
1. Repair and maintenance of furniture
and equipment
2. Repair and maintenance of:
(1) Buildings
..$ 200.00
200.00
200.00
200.00
4, Total Expense of Maintenance and Repairs .. $ 430.00 450.00
400 00
40000
900.00
400.00
200.00
700.00
700.00
500.00
VL AUXILIARY AGENCIES
1. Health service:
(1) Personal service (nurse, etc).,
(2) Suonlles and other exnen.v
2. Transportation of pupils:
(1) Personal service
(2) Supplies and other expenses
(3) Repair and replacement of busses.
3, Other auxiliary agencies:
(1) Personal service ......
110.00 $ 90.00 $ 20000
13.00 12.00 25.00
500.00 880 00 1,380 00
173.00 275 00 450 00
100.00 100.00 200.00
430,00 223.00 673 00
200.00
25.00
1,235.00
450.00
200.00
673.00
4. Total Expense of Auxiliary Agencies $ 1,348.00 $ 1,582.00 $ 2,930 00 $ 2,805.00 $"
VII.
2,020.00 $ 1,720.00
FIXED CHARGES
1. Insurance
4. Total Fixed Charges..
100.0Q
100.00
100.00
100.00
200.00
200 00
200.00
VIII. CAPITAL OUTLAYS
4. New furniture, equipment and replacements $ ".00.00 $ 100 00 $
6. Other capital outlays:
(1) ulbrary books - 100.00 100.00
X.,EM0RGENnCYa' U,,,y $ 200.00 $ 200.00 $'
Total Schedule II General Fund Tn'tn'i "esTl'mBted year sum
II B, 111-7, IV 8, V 4, VI 4, VII-4, VIII 7. IX 3. X
200.00 $ 200.00 $ 200.00
200.00
200.00
400 00
1,000.00
$ 200.00
200.00
$ 400 00
$ 1,000 00
600 00
1,000.00
$ 1.225.00
$ 400.00
of Items 10,
$35,516.00 $30,241.00 $25,665.00 $21,945.00
J5duleVI Summary ' Emates of Expenditures. Receipts and Available Cash Balances, and Tax Levies
ESTIMATION OF TAX LEVY
(1)
Total all
Funds
(2)
Total estimated expenditures..
...$35,516.00
DEDUCT:
Total estimated receipts and available cash balances
(Schedule I) 1 1 1 40 00
Amount necessary to balance the budget 24.376 00
ADD:
Estimated amount of taxes that will not be collected dur-
Ing the fiscal year for which this budget Is made 500 00
Total estimated tax levies for ensuing fiscal year $24,876.00
Analysis of Estimated Tax Levies:
Amount Inside 6 limitation : .... $13 466 36
Amount outside 6 limitation $ 9,409 64
Dated this May 6. 1943.
Signed: MARGARET E. JOHNSON.
District Clerk.
CLINTON A. SMITH.
Chairman, Board of Directors.
(Districts Other Than Third Class)
Approved by Budget Committee May 9. 1943.
Signed: W. G CARTER.
Secetary, Budget Committee.
MRS. R. J. HARRIS,
Chairman, Budget Committee.
Nntlr. ?.eheiwUffi0 V.?0." Qu",,0ln ' !,IIcf",'n9 7 L,TT Y" Amount Limited by Section 11, Article XI. State Constitution
District Nn ir.fi. V V , I 1 u'i e ' 1 ornooi ine amount of tax. in excess of the o limitation, proposed to
BuiidinV j.rfcnL it: .r.-'z.'ur,3,-..Y.,e". " ,s.?c"' ,ev,ca or m v" .
p. m., for the purpose of submitting to the legal voters of said dis
trict the question of Increasing the tax levy for the year 1B4.V46
?.v'r ,,hemounl limited by section 11, article XI, of the Constitu
lion of Oregon.
The reasons for Increasing such levy are:
Increased eosU in teaching, transportation, and supplies.
Dated this 9th day of May, 1913.
Attest:
MARGARET E JOHNSON,
District Clerk.
CLINTON A. SMT1H,
Chairman Board of Director.
III. INSTRUCTION Teaching ,
1. Personal service:
(1) Teachers ..$10,885.00
3. Supplies (chalk, paper, etc.) 300.00
4. TextbooK .... ................, odu.uu
7. Total Expense of Teaching $11,815.00 $ 6,380.00
Indicates principal items used in Third Class Districts.
$ 6,080.00 $16,945.00
300.00 ' 600.00
650.00
$12,800.00
600.00
400.00
$11,237.49
654.84
492.82
$18,195.00 $18,195.00 $13,800.00 $12,385.15 $10,499.69
IV. OPERATION OF PLANT
1. Personal service:
(1) Janitors and other employees $ 1,000.00
Janitors' supplies .....
fuel
Light and powe.
water
Telephone
2.
3
4,
5
6
7. Other Expense of Operation..
8. Total Expense of Operation....
200.00
375.00
175.00
36.25
55.00
1,000.00
200.00
375.00
175.00
36.25
55.00
2,000.00
400.00
750.00
350.00
72.50
110.00
1,500.00
400.00
750.00
200.00
60.00
50.00
1,462.00
71.68
680.25
303.37
72.00
126.34
13.61
..$ 1,841.25 $ 1,841.25 $ 3,682.50 $ 3,682.50 $ 2,860.00 $ 2,729.23 $ 1,945.43
v. ma:ntenance and repairs
1. Repah and maintenance of
furniture and equipment ...$
2. Repair and maintenance of:
(1) Buildings ...... .
(2) Grounds
3. Other Expense of Maintenance
and Repairs .
4. Total Expense of Maintenance
100.00
900.00
100.00
900.00
$ 200.00
$ 1,800.01
$ 150.00 $ 238.46
500.00
161.43 ,
30.25
and Repairs
....$ 1,000.00 $ 1,000.00 $ 2,000.00 $ 2,000.00 $ 650.00 $ 430.14 $ 426.70
VL AUXILIARY AGENCIE9
1. Health service:
(1) Personal service
tnurse, etc.) . $
(2) Supplies and other expense-
2. Transportation of pupils:
(1) Personal service ,
(4) Lunches
4. Total Expense of Auxiliary.
87.50
5.00
87.50
5.00
400.00
175.00
10.00
400.00
$ 175.00 $ 175.00
20.00 2.19
400.00
330.60
460.08
Agencies
96.60 $ 492.50 $ 685.00 $ 585.00 $ 695.00 $ 967.87 $ 771.91
VII. FIXED CHARGES
1. Insurance
4. Total Fixed Charge
VIII. CAPITAL OUTLAYS
.$
-.:.$"
62.50
62.50
62.50
82.50
$ 125.00
$ 125.00 $"
125.00
145.00
145.00
$ 430.51
3. Mtcration of building
(not repairs) .. $ 1,500.00 $ 1,300.00 $ 3.000.00
4. New furniture, equipment and
. replacements $ 500.00 $ 500.00 $ 1,000.00
6. Other capital outlay:
(1) Library books 80.00 80.00 100.00
150.00
100.00
310.37
64.15
7. Total Capital Outlays $ 2.050.00 $ 2,050.00 $ 4,100.00 $ 4,100 00 $ 250.00 $ 374.52 $1,119.15 V
X. EMERGENCY
$ 5,000.00 $ 5.000 00 $ 1,000.00
Total Schedule II General Fund Total estimated expenses
sum of Items 1-6. U-6. 1II-7. IV 4, V 4, VI-4, VII 4, VIII-7, IX-3,
for the year v
X $37,982.50
$22,120.00 $19,776.96 $17,441.80
Schedule VI Summary of Estimates of Expenditures, Receipts
ana Avauaoie tain oaiances, ana lax Levies
Estimation of Tax Total All
Levy Fund
(2)
Total estimated expenditures $37,982.50
DEDUCT:
Total estimated receipts end available cash balances
(Schedule I)
Balance to be raised by taxation..
ADD:
21.697.32
16.285.18
Estimated amount of taxes that will not be collected during the
fiscal year for which this budget is made. 1.800.00
Total estimated tax levies for ensuing fiscal year , , $18 085 18
Analysis of estimated tax levies:
Amount Inside 6Ti limitntinne 9 479 13
Amount outside O" limitation 6 806 05
INDEBTEDNESS
1. Amount of bonded Indebtedness (include all negotiable
interest-bearing warrant issued under section 111 1018
O. C. L. A )
2 Amount of warrant Indebtedness on warrant issued and
endorsed "not paid (or want of funds"
3 Amount of other indebtedness
4 Total Indebtedness (sum of Item I, 2, at
uaiea mis um aay oi Aiay, i!M3.
none
none
none
Signed: PARTHENA S. TERRILL,
iistrici icteric.,
FRANK DUNKIN.
Chairman, Board of Directors.
(Districts Other Than Third Class)
Approved by Budget Committee.
Signed: IVAN E. OLSON,
Secretary, Budget Committee
CHARLES BARNES,
Chairman, Budget Committee.
Notice of School Election Upon Question of Increasing Tax Levy
Over Amount Limited by Section ) 1. Article XL Stat Constitution
(Summary of Section 11. Article XI. on reverse side)
m NOTICE IS HEREBY GIVEN that an election will be held In
School District No. 22 ol Jackson Countv. State of Oregon, at
School House in said school district June 4. 1945. at 8 p m. for
the purpose of submitting to the legal voters of said district the
question of Increasing the tax levy for the year 1945 and 1946 over
the amount limited by section 11. article XI, of the Constitution
of Oregon.
The reasons for Increasing such levy are:
The amount which can be levied Inside the 6 limitation Is not
adequate to defray expenses of the school year.
The amount of tax. In excess of the 6 limitation, proposed
to be levied for said year is $6,806 05.
Dated this 9th day of May, 1943.
Attest:
PARTHENA S. TERRILL,
District Clerk.
FRANK DUNK IN,
Chaiman Board of Director.
r.-n