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