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About Medford mail tribune. (Medford, Or.) 1909-1989 | View Entire Issue (June 6, 1945)
FOUR MEDFOHD MAIL TRIBUNE Wednesday. June 8. I94S OF T A wide variety of projects carried on by the Y.M.C.A., many virtually unknown to the average citizen in this country, are playing an important part in the allied march to victory ac cording to Ben Schmidt, general Complete Factory Approved SAFETY SERVICE Chrysler Fac tory Engineer d and Inspect id Parts for Chryiler Dodge Plymouth Dodge Trucks L. G. TAYLOR CO. 112 So. Rive.-side Phone 2965 secretary of the Medford asso ciation. The Y.M.C.A. has sent enough athletic equipment to American war prisoners to equip every major college in the United States, has more pretty girls as service club hostesses than the entire population of Nevada and ia the only agency serving China's fighting men, Schmidt declares. The "Y has sent war prisoners thousands of musical instruments and enough books to cover the entire coast line of the state of Maine. Expanding on the work of the association in China Mr. Schmidt said "Few Indeed are the Amer icans who know that in China the fighting men of Generalis simo Chiang Kal Shek look only to the Y.M.C.A. for their recrea tion, educational and physical well-being. For Chinese troops, the Y.M.C.A. does everything from operating hospitals to run ning schools." Mr. Schmidt serv ed the Chinese in similar ways during the Chinese Civil War of 1027 to 1931. Other allies are served by the Y.M.C.A. he said, adding that American troops have been sur prised to find the familiar red triangle emblem in unexpected corners of the world. When Gen. MacArthur returned to the Phili ppines, he and his men found Filipino "Y" workers awaiting them. In Jerusalem, where the most beautiful Y.M.C.A. build ing In the world la located, a thousand American and British soldiers daily makes use of its facilities. Figures about the service cen ters operated by the "Y ' are astronomical in proportions Schmidt said, pointing out that one center in San Diego alone cares for more than 28,000 serv ice people daily. There are more volunteer workers serving the "Y" in its USO clubs than there were troops In the American army in 1939, he declares. All this, Schmidt emphasized, is being carried on while the association continues its regular services on the home front. Here the "Y" has stepped up its serv ice and has been a potent factor in stemming the tide of juvenile delinquency, the secretary says, and through its summer camps, athletic events, parties and so cial functions and sympathetic counsel the Y.M.C.A. has helped hundreds of thousands of young people live normal lives in ab normal times. One of Guatemala's chief ex ports Is chicle, used in chewing-gum. T E Boy Scouts of the Medford dis trict took advantage Saturday and Sunday of the only break in the weather In the past month and held a camporee on Car berry Creek, seven miles above Copper. Seventeen patrols from various troops in Medford, Cen tral Point and Jacksonville took part In the camporee, theme of which was "cooking in the rough." Carrying out this theme, the use of conventional cooking utensils was limited and insofar as possible, they were made of tin cans or other makeshift de vices. Forks, plates, cups and spoons were handmade from ma terials available at the camp site and canned foods were taboo. A commando game and a stalking game were features of the camp program, with the boys divided into two groups headed by "General" Scottie Rupp of NOTICE OF SCHOOL MEETING NOTICE IS HEREBY GIVEN to the legal voters of School District No. 100, of Jackson County, State of Oregon, that a SCHOOL MEETING of the said district will be held at School House on the 18th 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 set forth, and to vote on the prupusiuun ui levying a uisinci lax. BUDGET Schedule I Estimated Receipts and Available Cash Balances ITEM Total All ' Funds (1) t (2) Estimated Receipts from 1. Delinquent Taxes . 2. County School Fund 3. Elementary School Fund 4. State Irreducible School Fund . 8. High School Transportation IS. Estimated Total Receipts ..$ 0.00 2,314.00 1,400.00 270.00 218.00 ..4,202.00 18. Estimated Available Cash Balance or Deficit (Add Cash Balance Deduct Deflclt)...... -...$3,000.00 17. Estimated Total Receipts and Available Cash Balance or Deficit $7,202.00 Schedule II General Fund Estimated Expenditures Sxpendifurea far Thre Fiacal Yean ext Preceding the Current School Year Blementary School Estimated Entlmafed Budget Detailed Expenditures Expenditures Allowance. Expenditures for the for the In Detail for the Last Second Year Furl Year Ensuing Entulns for the Year of the Give Yearl7 Give Yearly School Year School ear Current Three-rear Totals Totals In Detail by Totals School Year Period (SI (l 17) (SI rt) (10) I. GENERAL CONTROL 1, Personal service: (2) Clerk (4) Compulsory education and census... 2. SuDDlies .. 4. Legal service (clerk's bond, audit, etc.) 5. Other expense of general control: (1) . 8. Total Expense of General ControL.. ..$ 120.00 30.00 "ao!So t 120.00 30.00 solbo t 120.00 30.00 5.00 30.00 $ 120.00 30.00 20.00 2.00 .1 180.00 S 180.00 J 180.00 t 185.00 f 172.00 S 172.00 $ 208.53 II, INSTRUCTION Supervision 1. Personal service: (1) Principals ..$ 300.00 t 500.00 t 500.00 I . $.... $.. 5. Total Expense of Supervision . ..$ 500.00 $ 500.00 $ 500.00 $ 500.00 $.. III. INSTRUCTION Teaching 1. Personal service: (1) Teachers 1 (2) Music (3) Special 2. Library supplies, repairs 3. Supplies (chalk, paper, etc.) 4. Textnooxs 5. Tuition to other districts. ..$7.200 00 500.00 500.00 I " 300"00 . 300.00 $7,200.00 500.00 500.00 300.00 300.00 $8,400.00 450.00 300.00 50.00 300.00 300.00 $8,805.08 680.07 575.48 180.89 7. Total Expense of Teaching.. .$8.800.00 $8,800.00 $8,800.00 $7,800.00 $8,041.52 $7,203.99 S5.890.71 IV. OPERATION OF PLANT 1. Personal service: (l)Janltori and other employee.. 2. Janitors' supplies 3. Fuel . 4. Light and power ," 5. Water 8. Telephone ..$1,800.00 150.00 500.00 . 15000 73.00 50.00 $1,800.00 150.00 500.00 150.00 75.00 50.00 $1,820.00 $1,542.52 150.00 310.80 400.00 150.00 75.00 50.00 123.08 53.25 48.75 8. Total Expense of Operation... ..$2,725.00 $2,723.00 $2,725.00 $2,445.00 $2,084.48 $2,791.99 $2,148.03 V. MAINTENANCE AND REPAIRS 1. Repair and maintenance of furniture & equipment $ 150.00 2. Repair and maintenance of: , (1) Iluildings 130.00 (2) Grounds , , 130.00 150.00 150.00 150.00 $ 77.90 139.88 22.20 4. Total Expense of Maintenance and Repairs.... $ 300.00 $ 300.00 $ 300.00 $ 300.00 $ 239.98 $ 183.33 $ 211.30 VI. AUXILIARY AGENCIES 1. Health service: (2) Supplies and other expenses.., 2. Transportation of pupils: (2) Supplies and other expenses . 3 Repair and replacement of busses... 3. Other auxiliary agencies: (3) Hot Lunches 150.00 $ 130.00 $ 350.00 $ 8.48 150.00 300.00 ISO 00 300.00 50000 500.00 130.00 200.00 350.00 138 33 43.69 1,338.78 1.27 4. Total Expenses of Auxiliary Agencies $1,100.00 $1,100.00 $1,100.00 $1,050.00 $1,727.77 $ 538.62 22.48 VII. FIXED CHARGES 1. Insurance .... ..$ 400.00 $ 4. Total Fixed Charges $ 400.00 $ 400.00 400.00 $ 400.00 $ 50.00 $ 82.78 $ 50.00 $ 62.76 $ 318.74 $ 1945 VIII. CAPITAL OUTLAYS 3. Alteration of buildings (not repairs) . 4. New furniture, equipment and replacements.. 7. Tola! Capital Outlays 500.00 500.00 $... $ 884 33 300.00 125.91 .$ 500.00 $ 300.00 $ 300.00 $ 300.00 $ 090.24 $1,844.98 $ 479.91 Indicates principal Items used In Third Class Districts. X. EMERGENCY ....$1.00000 $1,000.00 $1,000.00 $ $..- $.. Total Schedule II General Fund Total estimated expense fir the year sum of items 18, 11-6, 111-7. IV-8, V-4. VI-4, VIM, VIII-7 IX 3. X 13.503 00 Schedule VI 13.695.00 13.318.73 13,251.65 8.978 41 -Summary of Estimates of Exoenditurei. Receint and Available Cash Balances, and Tax Levies ESTIMATION OF TAX LEVY (1) Total All Funds (2) Totnl estimated expenditures... DEDUCT: Total estimated receipts and (schedule 1) available cash balances Amount necessary to balance the budget!... ur.uuLi: Deficit forwarded to next fiscal year. naiaiice to te raised Dy taxation Total estimated tax levies for ensuing fiscal year... Analysis of estimated tax levlest Amount Inside 6 limitation.. ..$13,505.00 7.202 00 8,303 00 "8.303"b0 Amount outside 6a limitation.. Dated this May 24th, 1945. .$ 8.303.00 ..$ 4.104 07 4.198.93 Signed: RUTH STOCKS. District Clerk. M. J. SWING. Chairman, Board of Diiectors. (Districts Other Than Third Class) Approved by Budget Committee Mav 24th. 1943. Signed: RUTH STOCKS, Secretary. Budget Committee. RUTH FRIEND. Chairman, Budget Committee. Notice of School Election Upon Question of Increasing Tax Lev Over Amount Limited by Section II. Article XI, State Constitution Notice is hereby given that an election will be held in School District No. 100 of Jackson County, State of Oregon, at School House In said school district, for the purpose of submitting to the legal voters of said district the question of increasing the tax levy (or the year 1943 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 sufficient 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 $4,198.93. Dated this 24th day of May. 1943. Attest: RUTH STOCKS, M. J. SWING. District Clerk. Chairman Board of Directors, Central Point Troop 40 and Ted Huber of Medford Troop 8. Each patrol presented an en tertaining stunt at the Saturday evening campfire and a non- de nominational out-of-door church service was conducted on Sun day by the Rev. L. H. Mitchel more of Jacksonville. Scout officials state that a par ticularly large number of patrols showed superior camping abil ity and four were given an ex cellent rating by the camp direc tors, headed by Harold Ylvi saker, assistant Scout executive. These were the Panther and Beaver patrols of Troop 7 and the Wolf and Cobra patrols of Troop 8. During the same period, cam- porees were also held by Scouts of the Ashland district and the northern Siskiyou district of the Crater Lake area council. Closing time for Classified Ads 8:30 a. m. Too Late to Classify 12:15 p. m. "Y" Teen-'Ageri Hold Picnic At Jackson Springs The newly organized high school Teen Age club of the YMCA held a swimming party and weiner roast at Jackson Hot Springs this afternoon. Members of the high school and their friends made up the plcnie with transportation provided by bus and private car. Those in charge of the affair are Ralph Rothermel, chairman; Roger Pederson, publicity chair- W ASHING MACHINES REPAIRED Parts fc Service on All Makes B. & 8 Washer Shop 406 E. Main. Phone 6302 man; Barbara Earl, secretary and with Mercedes Swing and Kath leen Seekatx making up the committee. Ninth graders also were Invited to attend. Chaperones were Mr. and Mrs. A. A. Seekatz and Mr. and Mrs. Ben Schmidt. A drive Is under way to pre- FATHER'S DAY CARDS YouH find cards In our large display that express Just what you want to say. SWEM'S Book & Gift Shop vent the loss of war prootaets an4 other shipments due to faulty packing. A surprisingly large portion of vital war products are damaged for this reason before reaching the fighting front. 3 -ji ;:l i- hi Tri - r - - THIS II SUPIRIN, the new anal. . gesic (pain relief) Cablet which gives quicker and greater relief from pain with safety; Now a) your druggist's, 30 tablets 39 Ask for Siiperln. Take is as yon would plain asplrim NOTICE OF SCHOOL MEETING meeKT,LHS beginning July 1. 1945. and ending June 30, 1946, hereinafter set forth, and to vote on the proposition of levying a district tax. Schedule I Estimated Receipts and Available Cash Balances ' ' " Bond Interest Total All General and Sinking ITEM Tunas Fund Fund m 121 (31 (4) 1. Delinquent Taxes 2. County School Fund 3. Elementary School Fund . 4. State Irreducible School Fund , .. . 15. Estimated Total Receipts 16. Estimated Available Cash Balance or Deficit (add Cash Balance Deduct Deficit). 17. Estimated Total Receipts and Available Cash Balance or Deficit Schedule II General Fund ...$ 450.00 $ 400.00 $ 50.00 ..$ 2.000.00 S 2,000.00 ..$ 1,200.00 $ 1,200.00 ..$ 200.00 $ 200.00 ..$ 3,850.00 $ 3,800.00 $ . 80.00 4,260.50 $ 3,850.00 $ 410.50 $ 8,110.50 $ 7,630.00 $ 460.50 Estimated Expenditures Expenditures for Three Fiscal Years Next Preceding the Current School Year Elementary Schoola (1) Estimated Expenditures for the Ensuing School Year In DetaU . (51 Estimated Expenditures for the Ensuing School Year by Totals (6) Budget Allowance In Detail for the Current School Year (7) Detailed Expenditures for the Last Year of the Three-year ' Period (8) Second Year Give-Yearly Totals L GENERAL CONTROL 1. Personal service: (2) Clerk (4) Compulsory education and census (5) Other services t. Supplies 3. Elections and publicity 4. Legal service (clerk's bond, audit, etc.) . 6. Total Expense of General Control ..$ 35.00 $ 85.00 $ 85.00 $ 96.00 ..$ 50.00 $ 50.00 $ 50.00 $ 50.00 ..$ 35.00 $ 35.00 $ 35.00 $ 35.00 ...5 50.00 $ 50.00 $ 50.00 $ 50.00 ..$ 50.00 $ 50.00 $ 25.00 $ 25.00 $ ' 25.00 $ 15.00 ,..$ 245.00 $ 245.00 $ 245.00 S 195.00 $ 185.00 $ 176.51 IL INSTRUCTION Supervision 1. Personal Service (1) Principals ..$ 2,500.00 $ 2,500.00 $ 1,800.00 $ 1,800.00 5. Total Expense of Supervision . $ 2,500.00 $ 2,500.00 $ 2,500.00 $ 1,800.00 $ 1,800.00 $ 1,125.00 IIL INSTRUCTION Teaching 1. Personal Service (1) Teachers - (2) (3) Library supplies, repairs Supplies (chalk, paper, etc.) , Textbooks : $ $ ZZ$ $ $ 1,800.00 3,300.00 540.00 25.00 650.00 500.00 1,800.00 3,300.00 540.00 25.00 650.00 500.00 $ 4,455.00 $ 5,693.64 $ 640.00 $ 23.00 $ 650.00 $ 641.60 $ 500.00 $ 462.77 7. Total Expense of Teaching .... $ 6.815.00 $ 6,815.00 $ 6,815.00 $ 6,170.00 $ 6,798.01 $ 3,319.17 IV. OPERATION OF PLANT 1. Personal Service (1) Janitors and other employees , 2. Janitors' supplies ........ . .. 3. Fuel . 4. Light and power . "6. Telephone . 8 Total Expense of Operation . 1,500.00 500.00 400.00 330.00 45.00 $ 1,500.00 $ 500.00 $ 400.00 $ 330.00 $ 45.00 $ 1,200.00 $ 500.00 $ 350.00 $ 200.00 $ 45.00 $ 1,050.27 S 522.07 S 362.40 $ 183.80 $ 41.36 ....$ 2,775.00 $ 2.775.00 $ 2,775.00 $ 2,295.00 $ 2,159.90 $ 1,359.84 V. MAINTENANCE AND REPAIRS 1. Repair and maintenance of furniture and equlp- 2. Repair and maintenance of: (1) Buildings $ (2) Grounds $ 200.00 $ 200.00 230.00 350.00 250.00 350.00 30.00 250.00 350.00 34.40 253.18 '4. Total Expense of Maintenance and Repairs $ 800.00 $ 800.00 $ 800.00 $ 800.00 $ 287.58 $ 106.28 VI. AUXILIARY AGENCIES 1. Health service: (2) Supplies and other expenses , 2. Transportation of pupils: (1 Personal service 3. Other Auxiliary Agencies: (1) Personal Service (2) Supplies and other expenses . Total Expense of Auxiliary Agencies ... ..$ 60.00 $ 60.00 ..$ 730.00 $ 750.00 ..$ 673.00 $ 675.00 ..$ 50.00 $ 50.00 $ 60.00 $ 750.00 $ 1,440.03 $ 300.00 $ 100.00 S 261.00 ..$ 1,523.00 $ 1,525.00 $ 1,525.00 $ 1,200.00 $ 1,701.03 $ 883.19 VII. FIXED CHARGES 1. Insurance ..$ 200.00 $ 200.00 $ 250.00 $ 112.68 4. Total Fixed Charges ' $ 200.00 $ 200.00 $ 200.00 $ 250.00 $ 112.68 $ 139.80 VIII. CAPITAL OUTLAYS 3. Alteration of buildings (not repairs) $ 500.00 $ 4. New furniture, equipment and replacements ..$ 500.00 $ 6. Other capital outlays: (1) Library books $ 50.00 $ 500.00 500.00 50.00 $ 300.00 500.00 $ 178.26 $ 75.00 7. Total Capital Outlays $ 1,050.00 $ 1,050.00 $ 1,050.00 $ 875.00 S 178.26 S 711.57 X. EMERGENCY 750.00 $ 750.00 $ 750.00 Total Schedule II General Fund Total estimated expenses for the vear sums of items 1-6. 11-5, 1II-7, IV-8, V-4, VI-4, VII-4, V1H-7, IX-3, X.".. $16,660 00 $14,335.00 $13,222.44 $ 7,821.31 Schedule III Bond Interest and Sinking Fund DEBT SERVICE BOND INTEREST AND SINKING FUND 1. Principal on bonds (include negotiable Interest-bearing warrants Issued under section 111-1016, O. C. L. A.) $ 1,000 00 2. Interest on bonds , 67.50 $ 1,00000 $ 1,000 00 97.50 97.50 3. Total Schedule III Debt Service-Bonds and Interest $ 1,067.30 $ 1,067.50 $ 1,097.50 $ 1,097.50 $ 1,112.50 Schedule VI Summary of Estimates of Expenditures, Receipts and Available Cash Balances, and Tax Levies ESTIMATION tr TAX LEVY (11 Total All Fundi (3) General Fund Bond Interest Total and Sinking Schedule II Fund Toal Schedule III (S (41 Total estimated expenditure -..$17,727.50 $16,660.00 $ 1,067.50 DF.DUCT: Total estimated receipts and available cash balances (Schedule 1) 8,110.30 Amount necessary to balance the budget 8.617.00 Balance to be raised by taxa tion ADD: Estimated amount of taxes that will not be collected during the fiscal vear for which this budget is made 9.617.00 900 00 7.830.00 9,010.00 9 010.00 750 00 460.30 607.00 607.00 150 00 Totnl eitimated tax levies for ensuing fiscal year 10,517.00 9,78000 757.00 Analysis of estimated tax levies! Amount inside 6 limitation , Amount outside 6 limitation , ..$2,661 97 7,108.03 Indebtedness 1, Amount of bonded Indebtedness (include all negotiable Interest-bearing warrants is sued under section 111-1016. O. C. L. A.) $5,000.00 4. Total indebtedness (sum of items 1, 2, 3) $5,000.00 Indicates principal items used in Third Class District-. Dated this May 23, 1943. Signed: MYRTLE WILSON, District Clerk. HAROLD E. TOLLE. Chairman, Board of Director.. (Districts Other Than Third Class) Approved by Budget Committee Mav 24, 1B45. Signed: MYRTLE WILSON, Secretary, Budget Committee. HAROLD E. TOLLE, Chairman, Budget Committee. Notice of School Election Upon Question of Increasing Tax Levy Over Amount Limited by Section 11, Article XI. State Constitution Notice is hereby given that an elrctinn will be held In School District No. 2 of Jackson County. Stale of Oreaon. at School House in said school district, for the purpose of submitting to the legal voters of said district the question of increasing the tax lew for the year 1945 46 over the amount limited bv section 11, article XI,' of the Constitution of Oregon. The resons for Increasing such levy are: Increase In salaries and general operating expense. The amount of tax, in excess of the 6'i limitation, proposed to be levied for said year is S7. 108.03. Dated this 23th day of May, 1945. Attest: MYRTLE WILSON,. District Clerk. HAROLD E. TOLLE. Chairman Board of Directors