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About Medford mail tribune. (Medford, Or.) 1909-1989 | View Entire Issue (April 14, 1959)
LEGAL NOTICES NOTICE OF ANNUAL SCHOOL ELECTION AND MEETING NOTICE IS HEREBY GIVEN, in ;ompliance with Sec. 331.010. ORS. to the legal voters of School District No. 94. of Jackson (Jounty, btate of Oregon, that the ANNUAL SCHOOL MEETING of said District will be held at Pinehurst School; to begin at tbe hour of 2:00 o'clock pm. on the first Mondav of May, being the 4th day of May. A.D. 1959, for the purpose of transaction of business usual at such meeting: and elect 1 School Board Member and 2 Rural School Board Mem bers at large 1 for a two year xerm ana l lor a 3 year term. Dated this 1st day of April. 19S9. Clyde Laird Chairman Board of Directors ATTEST: Mildred D. Laird District Clerk NOTICE OF ANNUAL SCHOOL ELECTION AND MEETING On Districts of the Third Class) NOTICE IS HEREBY GIVEN, in compliance with Sec. 331.010. ORS. to the legal voters of School Dis trict No. 40. of Jackson Countv. State of Oregon, that the ANNUAL SCHOOL MEETING of said District will be held at Applegate School: to begin at the hour of 2 o'clock p.m. on the first Mondav of Mav, being the 4th day of May. A.D. 19S9. for the purpose of transaction of business usual at such meetin?: and to elect one local director for five-year term. Dated this 26th day of March. ioa. Arthur L. Hoffman Chairman Board of Directors ATTEST: Jeanne H. Hill District Clerk NOTICE Or SCHOOL ELECTION UPON QUESTION OF INCREAS- IC TAX LEVY OVER AMOUNT LIMITED BY SECTION 11. ARTI CLE XL STATE CONSTITUTION Notice is hereby given that an lection win te neid in School Dis trict No. 94 of Jackson Countv State of Oregon, from 2:00 P.M. to 8 P.M. on Mav 4, 1959, at Pinehurst Schoolhouse 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 fiscal year 1959-1900 over xne amount limited by section 11, article XI, of the Constitution of Oregon. The reasons for increasing such levy are: No tax base. , The amount of tax, in excess of the 6 limitation, proposed to be levied for said fiscal year is S9.604.50. Dated this 1st day of April. 1959. Clyde Laird Chairman Board of Directors ATTEST: Mildred D. Laird District Clerk No. 10081 NOTICE OF SALE OF REAL PROPERTY IN THE CIRCUIT COURT OF THE STATE OF OREGON FOR JACK' SON COUNTY PROBATE DEPARTMENT la the Matter of the Guardianship ANSON V. THOMPSON. Incompetent Notice is hereby given that the undersigned, Lauretta N. Thompson, the duly appointed, qualified and acting guardian of the above en titled estate, under and by virtue i an order, duly and regularly made, rendered and entered by the Circuit Court of the County of Jackson, State of Oregon, under date of March 20. 1959. licensing. empowering and ordering her so to do, will offer for sale and will ell at private sale at the office ot KODert u. uames, l uoidy Build ing, Medford. Oregon, on or after the 23rd day of April, 1959. for casn in nana and subject to the further order and confirmation of said Circuit Court, all the right title, estate, lien and interest that she as guardian of said ward has in and to the following described firemises. lying and being situate n the County of Jackson, State oi Oregon, to-wii: . Beginning at the southeast corner of Donation Land Claim No. 73. in Township 37 South, Range 2 West of the Willamette Meridian in Jackson Countv. Oreeon: thence West along the south line of said Claim 150.00 feet; thence North, parallel with the east line of said Claim No. 75. a distance of 709.5 feet, to the north line of tract described in Volume 334. page 16 of - the Deed Records of Jackson County, Oregon; thence .asi aiong saia norm line 130.00 feet to the east line of said Claim ro. 75: thence South 0" 05' 45" West along said Claim line 7095 leet to the point of beginning. SUBJECT TO: 1. Right of way for road 30 feet in width along the south line reserved to the Countv. I. Right of way and easement granted to the Medford Irriga tion uistnct. Dated this 24th day of March, 1959. LAURETTA N. THOMPSON Guardian Robert S. Dames, attorney Medford, Oregon. MEDFORD HIGH SCHOOL MUSIC BUILDING ADDITION SPECIAL CONDITIONS Art 10. ADVERTISEMENT FOR BIDS Sealed bids will be received by Wilson G. Slater. Clerk, at School Administration Building, 500 Mon rote Street Medford, Oregon, until April 28, 1959, 8:00 a'clock pjn. for xne meaiora Hign school Music Building Addition, for School Dis trict No. 549-C, Jackson County. jvieatora. Oregon, and will then and there be opened and publicly read aloud. Bids received after the time fixed for opening will not be con sidered. Plans. Specifications and Contract Documents may be examined or may be obtained at the office of Hayslip. Tuft. Hewlett & Jamison. Architects. 2040 S.W. Third Ave nue. Portland 1. Oreeon. or at the office of the Superintendent of Schools. 500 Monroe Street, Med- iora, uregon. a iter April 7. 1959, upon a deposit of S25.00 for each set of documents. Building is con crete structure of approximately 10,000 square feet. All classifica tions are included In one General Contract. Up to two sets will be furnished each prime bidder at the stipulated deposit sum per set. Additional sets will be provided upon request at at the bidders expense at $25.00 fr set. Deposit sum will be re unded to all but successful bidder upon return of bid documents in f ood condition and within 30 days rom bid date, Attention is called to Bidders Prequalification. Sections 279.012, ZH.U14. Z7H.U16, 278.018. 279.0.0, 279.022. 279.024. O.R.S. which must be filed with the Clerk 10 days before date for opening of bids. Forms may be obtained at the office of the Architects. Successful bidder will be required to carry: Workmen's Compensation Insurance protecting his employees; Public Liability Insurance covering himself, his employees, also School District No. 549-C. its officers, agents and employees to the mini mum amount of $50,000.00 for in juries to one person and $100,000.00 minimum for one accident; property Damage Insurance to the minimum amount of $10,000.00. protecting himself, his employees. School Dis trict No. 549-C, its officers, agents and employees. He shall file with the Board of Directors of the School District evidence that all such in surance is being carried. No proposals will be considered unless accompanied by certified check, cashier's check or bid bond (with authorized surety company as surety) made payable to the Owner in an amount of not less than ' 5 rc of the amount of the bid. lOOo Surety Bond will be required in accordance with terms of con tract documents. ; The board of Directors of School District No. 549-C, reserves the right to reject any or all bids and to waive any informalities. No bidder may withdraw his bid after the hour set for the opening thereof or before award of the Contract, unless said award is de layed for a period exceeding 30 days. Wilson G. Slater, Clerk School District No. 549-C d Jackson County " Medford, Oregon - , NOTICE OF SCHOOL MEETING Notice is hereby given to the legal voters of school district No. 40 of Jackson County, State of Oregon, ihat a SCHOOL MEETING of the said district will be held at Applegate School on the 4th day of May, 1959, at 2 o'clock p.m., for .ie purpose of discussing the budget for the fiscal year beginning July 1, 1959 and ending June 30, 1960, hereinafter set forth, and to vote on the proposition of levying a district tax. Budget -Fiscal Year 1 959-60 Total All Funds General Funds Bond Interest and Sinking Funds Schedule I Estimation of . - Tax Levy 1. Total Estimated Expenditures $ 45,994.36 $ 43,610.03 $ 2,384.31 DEDUCT: 2. Total Estimated Re- ceipts and Available Cash Balances 13,335.00 3. Amount Necessary to Balance the Budget 27,659.36 ADD: 4. Estimated Amount of Taxes That Will Not Be Collected During the Fiscal Year for Which This Budget Is Made, In cluding Estimated Rebate on Taxes 2,765.94 15,950.69 27,659.36 2,334.31 .00 2,765.94 5. Total Estimated Tax Levies for Ensuing Fiscal ' Year 30,425.30 30,425.30 Analysis of Esti- mated Tax Levies: (a) Amount Inside 6 Limitation (b) Amount Outside 6 Limitation 30,425.30 30,425.30 (c) Not Affected by , f 6 Limitation INDEBTEDNESS -Amount of bonded indebtedness (Include all -negotiable interest-Bearing warrants issued lyider ORS 328.205) $ 13,500.00 4. Total indebtedness (sum of items 1, 2, 3) $ 13,500.00 GENERAL FUND Schedule II ESTIMATED RECEIPTS Item Ensuing Fiscal Year 10. Revenue From Local Sources 11.2 District Tax-Prior Years' Levy (net).... $ 3,253.29 19.9 Miscellaneous . 44.58 20. Revenue From Intermediate Sources 21.1 County School Fund ... 1,825.00 -ju. revenue rxom or ihrougn State Sources 31.2 Other Basic School Fund Receipts 8,4547.02 33.1 Common (irreducible) School Fund 116.80 36.2 Federal Money Rec'd Through State .. 934.00 50. Revenue From Other School Districts 51.0 Tuition and Transportation ... 30.00 Beginning Net Cash Balance Less Cash working Fund (or Deficit) .. 800.00 Total Budget Resources General Fund $ 15,950.69 , GENERAL FUND Schedule III ESTIMATED EXPENDITURES I. General Control 1. Personal Service: (2) Clerk (4) Compulsory Education and Census 2. Supplies .. 3. Elections and Publicity 4. Legal Service (Clerk's Bond, Audit, etc.).. 5. Other Expense of General Control 450.00 50.00 51.40 150.00 21.00 15.00 6. Total Expense of General Control $ 737.40 II. Instruction 1. Personal Service: (1) Principals . $ 6,200.00 (3) Teachers 17,850.00 (4) Substitute Teachers : . 300.00 2., Library Supplies, Repairs .... 20.00 3. Teaching Supplies 300.00 4. Textbooks : : 450.00 6. Other Expense of Instruction, Film 150.00 7. Total Expense of Instruction III. Operation of Plant 1. Personal Service: (1) Janitors and Other Employees Supplies Fuel : Light and Power . .Z Telephone '.....-. -...'... Other Expense of Operation .. "Z $ 25,270.00 2. 3. 5. 6. 7. 8. Total Expense of Operation IV. Maintenance and Repairs 2. Repair, Maintenance and Replacement (1) Furniture and Equipment . (2) Building Structure 3. Upkeep of Grounds : 5. Total Expense of Maintenance and Repairs V. Auxiliary Agencies . 1. Health Service (2) Supplies and Other Expenses '. 2. Transportation of Pupils (1) Personal Service . (2) Supplies and Repairs (4) Insurance . (5) Other Expense of Transportation . 3. Other Auxiliary Agencies (1) School Lunch ' a. Personal Service , .1 b. Supplies and Other Expenses .... 4. Total Expense of Auxiliary Agencies VI. Fixed Charges (Exclusive of items included under V-2) 1. Insurance . 2. Student Insurance " 3. Retirement State and Federal 4. Other Fixed Charges, Soc. Sec j Total Fixed Charges ........... : . VIL Capital Outlays 4. Library Books . 9. Total Capital Outlays VIII. Debt Service, Non-Bonded 1. Interest on Warrants 3. Total Debt Service. Nnn-BnnrUrl IX. Emergency ... X. Total General Fund Expenditures (Items 1-6, U-7, III-8, IV-5, V-4, VI-5. VII-9. VIH-3. IX) .: ... . $ 1,500.00 208.50 1,137.45 490.00 93.15 93.85 $ 3,522.95 $ 1,200.00 250.00 89.30 $ 1,539.30 $ 40.00 2,421.00 1,800.00 228.25 50.00 2,000.00 1,134.00 $ 7,673.25 $ 502.12 200.00 1,890.03 800.00 $ 3,392.15 $ 150.00 $ 150.00 $ 25.00 $ 25.00 $ 1,300.00 $ 43,610.05 ' ' ' BOND INTEREST AND SINKING FUND ESTIMATED RECEIPTS Ensuing Fiscal Year Total Recemts .. ot co 2. Beginning Net Cash. Balance"or'bcit"ZZZ 2,985!21 3. Total Budget Resources ... i . ESTIMATED EXPENDITURES 1, Principal on Bonds (Include negotiable interest-bearing warrants issued under ORS 328.260) ... ... 2. Interest on Bonds Reserve $ 3,082.89 $ 1,000.00 222.54 1,161.71 3. Total Expenditures $ 2,384.31 SPECIAL FUNDS CAFETERIA ESTIMATED RECEIPTS Federal contribution 2. District contribution 3. Paid lunches 4. Cook's salary " $ 934.00 200.00 2,896.00 2,000.00 Total Receipts $ 6,030.00 Total Budget Resources .. a n?n nn . ' . ESTIMATED EXPENDITURES" ' u 1. ij-roceries 2. Cook's salary . ZZZL.Z'. .4,030.00 2,000.00 Total Expenditures .... $ 6,030.00 Dated March 19, 195!. , Signed: Jeanne H. Hill, District Clerk. Arthur L. Hoffman, District School Board Chairman.' NOTICE OF SCHOOL MEETING Notice is hereby given to the legal voters of school district No. 9 of Jackson County, State of Oregon, that a SCHOOL MEETING of the said district will be held at Eagle Point High School on the 23rd day of April, 1959, at 8 o'clock p.m., for the purpose of. dis cussing the budget for the fiscal year beginning July 1, 1959, and ending June 30, 1960, hereinafter set fortli. BUDGET-FISCAL YEAR 1959-1960 SCHEDULE I SUMMARY OF ESTIMATED EXPENDITURES. RECEIPTS AND AVAILABLE CASH BALANCES. AND TAX LEVIES x Total General Bond Interest Estimation of Tax Levy All Funds Fund and Sinking 1. Total Estimated Expenditures $660,189.30 $593,959.30 DEDUCT: 2. Total Estimated Receipts and Available Cash Balances 155.523.10 166.617.81 3. Amount Necessary to Balance the Budget 504,666.20 427,341.49 ADD: 4. Estimated Amount of Taxes That Will Not Be Collected During the Fiscal Year for Which This Budget Is Made, Including Estimated Rebate on Taxes 29,099.00 21,367.00 .Fund $ 66,230.00 (11,094.71) 77,324.71 7,732.00 5. Total Estimated Tax Levies for Ensuing 533,765.20 448,708.49 85,056.71 6. Analysis of Estimated Tax Levies: (a) Amount Inside 6 Limitation 70,969.73 70,969.73 ' (b) Amount Outside 6 Limitation 377,738.76 377,738.76 (c) Not Affected by 6 Limitation 85,056.71 INDEBTEDNESS 1. Amount of bonded indebtedness (Include all negotiable interest-bearing warrants issued under ORS 328.205) -'- $450,500.00 4. Total indebtedness (sum of items 1, 2, 3) $450,500.00 SCHEDULE II Actual Receipts Fiscal Year Fiscal Year June 30, 1957 $ 24,450.00 1,036.00 June 30, 1958 $ 16,500.00 1,080.00 12,545.58 12,396.00 71,389.81 736.40 1,635.00. 1,836.26 45,779.64 . 2,812.48 162,221.17 7,784.32 70,135.31-774.75 1,500.00 1,935.21 38,158.00 142,479.27 (8,924.89) 170,005.49 133,554.38 GENERAL FUND ESTIMATED RECEIPTS Estimated Budget , Receipts Current - Item Ensuing Fiscal Year Fiscal Year 10. Revenue From Local Sources 11.2 District Tax-Prior Years' Levy $- 8,000.00 (net) $ 17,935.00 1,220.00 19.9 Miscellaneous - 1,220.00 - 20. Revenue From Intermediate Sources , 16,705.00 21.1 County School Fund . 18,103.54 30. Revenue From or Through State Sources a 100,340.15 31.2 Other Basic School Fund Receipts 111,133.92 1,114.35 33.1 Common (irreducible) School Fund 1,136.80 1,881.00 34.1 State Grants . . 2,020.00 34.2 Federal Money Received Through State 800.00 35.1 Driver Education : 800.00 36.2 Federal Money Received Through 3,250.00 State ' - 5,480.30 40. Revenue Direct From Federal Sources 41.1 Public Law 874 2,569.82 50. Revenue From Other School Districts 39,628.00 51.0 Tuition and Transportation 70. Transfers From Other Funds 6,218.43 172,938.50 Total Receipts ". ...166,617.81 Beginning Net Cash Balance Less Cash Working Fund (or Deficit) . ' ' Total Budget Resources 172,938.50 General Fund 166,617.81 MAIL TRIBUNE, Medford, Oregon, Tuesday, April 14, 19S9 11 SCHEDULE III Actual Expenditures Fiscal Year Fiscal Year .Ending ; Ending June 30, June 30, 1957 1958 GENERAL FUND - ESTIMATED EXPENDITURES Budget Allowance ? Current Fiscal Year Item, Estimated Expenditures Ensuing Fiscal Year 4,345.18 7,809.83 6,382.12 1,999.96 3,300.00 3,400.00 1,926.82 5,240.00 3,140.00 313,34 135.00 435.00 29,97 1,562.18 50.00 309.69 437.36 1,034.33 305.45 250.00 1,110.37 518.86 575.00 491.43 519,13 510.00 10,526.76 - 19,827.81 15,776.45 I. General Control 1. Personal Service: (1) Superintendent $ 7,000.00 Clerk .. 3,600.00 Clerical Assistants 2,400.00 Compulsory Education and Census 300.00 Other Services 2. Supplies 1,009.00 3. Elections and Publicity 300.00 4. Legal Service (Clerk's Bond, Audit, etc.) 700.00 5. Other Expense of General Control 650.00 (2) (3) (4) (5) 21,182.70 209,406.72 648.06 100.00 , 270.00 3,954.42 361.66 6,665.01 4,356.25 2,417.87 23,042.14 4,038.15 253,240.17 1,272.00 . 457.00 307.10 1,467.90 355.66 12,625.09 9,128.15 2,641.73 24,754.98 4,847.13 275,454.87 2,000.00 400.00 6,824.05 4,467.95 470.00 7,593.66 5,965.83 21,885.00 1,975.00 6. II. 1. Total Expense of General Control 15,959.00 Instruction Personal Service Principals $ 27,740.00 Supervisors .3,500.00 Teachers 289,900.00 Sub Teachers 2,000.00 Film 800.00 Librarian 6,950.00 Clerical Assistants 5,220.00 Library Supplies, Repairs 540.00 Teaching Supplies 7,854.00 Textbooks .... 7,885.00 Tuition to Other Districts 3,500.00 Other Expense of Instruction 1,940.00 (1) (2) (3) (4) (5) (6) (7) 249,362.69 308,575.09 356,638.47 22,336.39 23,275.00 28,200.00 6,544.53 3,783.42 5,522.50 10,668.16 ' 9,998.62 12,064.92 973,05 1,517.10 - 1,700.00 7,376.05 7,359.84 8,200.00 992.25 1,062.03 1,050.00 365.62 628.91 650.00 49,256.05 47,624.92 57,387.42 1,685.00 1,145.50 1,000.00 7. Total Expense of Instruction 357,829.00 III. Operation of Plant 1. Personal service: (1) Janitors and Other Employees 29,200.00 Supplies 5,567.00 Fuel 11,490.00 Water 1,800.00 Light and Power 8,523.00 Telephone 1,209.00 Other Expense of Operation 650.00 26,117.14 9,894.90 862.79 668.90 20,859.92 6,531.09 1,637.92 61.13 23.981.70 9,906.15 1,800.00 1,663.41 8. Total Expense of Operation 58,439.00 IV. Maintenance and Repairs 1. Personal Service 1,000.00 2. Repair, Maintenance and Replace ment (1) Furniture and Equipment 17,757.40 (2) Building Structure 14,069.00 3. Upkeep of Grounds 2,000.00 4. Other Expense of Maintenance and Repairs 475.00 39,228.73 30,235.56 38,351.26 198.04 18,873.27 13,864.28 12,888.72 1,674.65 12,135.52 3,323.17 164.19 '700.00 20,257.20 22,887.00 14,169.14 13,350.20 13,845.75 , 13,248.00 1,844.47 2,178.84 11.454.85 10,485.00 3,791.80 4,358.42 . . 39.45 1,825.42 3. Total Expense of Maintenance and Repairs .; V. Auxiliary Agencies 1. Health Service Child Guidance (1) Personal Service (nurse, etc.) .? (2) Supplies and Other Expenses 2. Transportation of Pupils (1) Personal Service (2) Supplies and Repairs .... (3) Replacement of Buses (4) Insurance (5) Other Expense of Transportation 3. Other Auxiliary Agencies (1) School Lunch a. Personal Service b. Supplies and Other Expenses .. (2) Other Auxiliary Services a. Personal Service b. Supplies and Other Expenses 35,301.40 160.50 696.00 23,467.00 13,342.75 11,863.00 2,272.00 3,495.00 5,964.70 5,480.30 1,125.00 . 650.00 62,957.65 65,527.40 69,072.33 5,486.81 1,254.00 10,339.09 5,671.47 22,751.37 1,811.05 50.16 1,861.21 601.80 4,725.97 5,327.77 3,812.64 2,083.00 12,600.99 5,852.99 24,349.62 5,104.67 2,895.73 315.00 8,315.40 532.88 1,333.33 1,866.21 6,976.78 2,076.00 14,755.40 6,702.05 30,510.23 2,582.95 3,950.00 4. Total Expense of Auxiliary Agencies 68,516.25 VI. Fixed Charges (Exclusive of items included under V-2) 1. Insurance $ 6,451.45 2. Rent. Student Insurance 2,736.00 3. Retirement-State and Federal 17,601.94 4. Other Fixed Charges 11,325.26 5. Total Fixed Charges VII. Capital Outlays 1. Sites and Improvements of Sites 3. Additions and Alterations to Bldgs. . 4. Library Books 6. Furniture, Fixtures and Other Equip. 8. Other Capital Outlays 38,114.65 9,000.00 4,000.00 $ .13,000.00 6,532.95 9. Total Capital Outlays VIII. Debt Service, Non-Bended 200.00 1. Interest on Warrants 2. Interest on Other Indebtedness and Bank Charges $ 1,800.00 1,600.00 1,800.00 6,500.00 3. Total Debt Service, Non-Bonded 1,800.00 IX. Emergency $ 5,000.00 i X, Total General Fund Expenditures - (Items 1-6, II-7, III-8, IV-5, V-4, 441,272.23 506,322.01 582,569.11 . VI-5, VII-9, VIII-3, IX) $593,959.30 They'll Do It Every Time ItllHIh By Jimmy Hatlo At a happy event the tv jews crew has a tough time GETTlbXb THE SUBJECTS AUO BYSTANDERS TO SMILE" CMON.' YOU'RE SUPPOSED TO BE UAPPV.' YOU WOW TIE SWEEPSTAKES.' SMILE..' CM OKI SLAP HIM ON THE BACK.' WHOOP IT UP YOU'RE GLAD Bur at a holdup, A FIRE OR A FLOOD, THE FOLKS TO BE TELEVISED 4GT like happy oys AT THE LAU6HIN6 ACADEMY MO un - - w YDU'DP cat I Don't uwuir Point to where TUP fc)AT5r A,Atr SHOT BE SERIOUS; GLUM New Transmitter Introduced by U PI Imbroves Pictures New York - (UPD - A new, lightweight picture transmit ter, designed to operate as a portable, under the most rug ged field conditions as well as in fixed locations, has been introduced by United Press International, it was announc ed by Frank Tremaine, vice president and general news pictures manager. The new machine weighs less than 50 pounds in its fibre-glass carrying case. In troductioif of the transmitter to the UPI Telephoto-Unifax system is part of a long-range program of improvement of UPI facilities and picture quality. First of the new units were used at Squaw Valley, Calif., LEGAL NOTICES . NOTICE OF ANNUAL SCHOOL ELECTION AND MEETING NOTICE IS HEREBY GIVEN, in compliance with Sec. 331.010, ORS, to the legal voters or School Dis trict No. 91, of Jackson County, State of Oregon, that the ANNUAL SCHOOL ELECTION of said District will be held at Butte Falls: between the hours of 2 P.M. and 8 P.M. on the first Monday of May, being the 4th day of May, AJ3. 1959. for the purpose of electing one local direc tor for a five year term; Two rural board members-at-large. one for a two-year term, one for a three year term. (In Districts of the Third Class) NOTICE IS HEREBY GIVEN, in compliance with Sec. 331.010. ORS, to the legal voters of School District No. 91, of Butte Falls, Jackson County, State of Oregon, that the ANNUAL SCHOOL MEETING of said District will be held at Butte Falls; to begin at the hour of 8 PM. o'clock on the first Monday of May, beihg the 4th day of May, A.D. 1959. for the purpose of transaction of business usual at such meeting. Dated this 13th day of April, 1959. Earl E. Remsen Chairman Board of Directors ATTEST: Zelda Edmondson District Clerk NOTICE OF SCHOOL ELECTION UPON QUESTION OF INCREAS ING TAX LEVY OVER AMOUNT LIMITED BY SECTION 11. ARTI CLE XI, STATE CONSTITUTION Notice is hereby given that an election will be held in School Dis trict No, 91 of Jackson County, State of Oregon," from 2:00 P.M. to 8:00 P.M. on May 4, 1959, at the High School in said school district, for the purpose of submitting to the legal voters of said district the question of increasing the tax levy for the fiscal year 1959-1960 over the amount limited by section 11. article XI. of the ConsUtution of Oregon, s The reasons' for increasing such levy are: Due to the present law, the School District does not now have a .tax base. The amount ot tax. in excess oi the 6 limitation, proposed to be levied for said fiscal year is ! S75.504.61. Dated this 13th day of April, 1959. 1 Earl E. Remsen Chairman Board of Directors ATTEST: Zelda Edmondson District Clerk during the recent North American ski championships. Still coming off the assembly line, the machines will be in stalled on theTjPI Telephoto--Unifax network during the summer and fall. The transmitter was de signed under the direction of Chief Telephoto Engineer Jerry Callahan and consultant John S. Long, and manufac tured by Acme Telectronix of Cleveland, Ohio. The simple operation of the machine re quires only that the picture to be transmitted be mounted on a drum and a single switch turned through a se quence of four positions. Prime features of the ma chines are compactness, re liability, light weight and simplicity of operation. Com pactness and reliability were realized by incorporation of the latest in transistorized and printed circuitry. Single package design makes it pos sible to utilize the machine for portable or fixed oper ation by mere removal or in stallation of a cover. Continuous Research The new transmitter is a product of the continued re search and development pro gram at UPI Newspictures. This began shortly after Uni ted Press took over Acme Newspictures in 1952 with production of a new Tele photo transceiver and the Unifax facsimile machine. Following installation o f the new transmitters, existing Telephoto and Unifax equip ment will be modified to take advantage of characteristics of the new units. This will make possible improvement in half-tone fidelity and high er definition of received pictures. Sonic Booms Said To Become More Common . Las Vegas - (UPD - Now that you're getting used to normal jet aircraft noise you can pre pare to live under a sky filled with horrendous sonic booms. Gen. Curtis E. LeMay, Air Force vice chief, bluntly dish ed out that information Mon day at the opening session of the first World Congress of Flight. Representatives of 50 countries were present for the congress meetings, airpower and missile exhibitions and new jet airliner demonstra tions. LeMay told a Jet Age Con ference, held as part of the Flight Congress, there is -no known scientific or technical solution to the sonic boom problem. Wide Wave of Sound He disclosed that some new planes, like the B58 bomber, "lay down a wave of sound and pressure which in some cases is as much as 100 miles wide. This sonic boom, goes with the aircraft over the full route of the flight. "It is not pleasant to imag ine, the hullabaloo that may arise," he said, "when large numbers of jets including pas senger planes begin to cruise at supersonic speeds. Not many planes can do that now, and sonic booms are so far heard only briefly when jet fighters dive through the sound barrier." Hood River -(UPD Tommy Thompson, noted chief of the WyAm Indians, died here Sun day at the age of 105. FOR RENT Largi Refrigerated Room suitable for any kind of froxen food. Plenty of park ing ipaee for trucks. Harper Meats - Phone SP 3-1715 or 2-6381 Home Grown Delicious Apples Fresh from cold storage, washed & graded, small, medium, large. NO CONTAINER NECESSARY. All wrapped and packed in polv- ethelene bags. FAST COURTEOUS SERVICE Open 8 to 5 Weekdays and Sundays at STAGECOACH ORCHARDS DISTRICT No. 9 (Continued)" Actual Fiscal Year Ending . June 30, 1957 5 22,864.27 BOND INTEREST AND SINKING FUND ESTIMATED RECEIPTS Fiscal Year Ending June 30, 1958 53,233.02 39,776.50 9,964.20 Budget Allowance Current Fiscal Year 57,835.67 (2,914.58) Item 1. Total Receipts .. 2. Beginning Net Cash Balance or Deficit .. Estimated Receipts Ensuing Fiscal Year ...$ 66,230.00 (11,094.71) 62.640.77 63,197.22 60.750.25 3. Total Budget Resources 77,324.71 42,500.00 10,495.00 41,814.55 14,448.95 ESTIMATED EXPENDITURES 1. Principal on Bonds (Include nego tiate interest-bearing warrants 44,500.00 issued under ORS 328.260) $ 52,500.00 14,810.25 2. Interest on Bonds 13,730.00 1,440.00 Reserve (11,094.71) 52,995.00 56.263.50 60.750.25 3. Total Expenditures 77,324.71 Actual Fiscal Year Ending June 30, 1957 4,145.60 20,817.79 302.62 4,836.11 30,102.12 321.87 30,423.99 Receipts Fiscal Year Ending June 30, 1958 5,224.95 21,318.90 912.68 1,988.62 29,445.15 2,099.47 31,544.62 SPECIAL FUNDS SCHOOL LUNCH FUND ESTIMATED RECEIPTS Budget Allowance Current Fiscal Year 4,158.42 21,998.50 230.00 6,775.00 1. 2. 3. 4. Item Federal checks Lunches Other .. District Estimated For Ensuing Fiscal Year 5,480.30 ... 23,704.96 ... 1,479.72 ... 5,964.70 33,161.92 Total Receipts 150.00 Beginning Net Cash Balance or Deficit 33,311.92 Total Budget Resources $ 36,629.68 19,247.41 7,935.14 1,432.21 2,101.32 30.716.08 20,902 87 10,783.02 1,282.71 2,078.82 35,047.42 ESTIMATED EXPENDITURES 20,934.25 1. Food 10,060.00 2. Labor 657.82 3. Equipment 1,659.85 4. Other .$ 21,024.25 13,045.00 600.00 ... 1,960.43 33,311.92 Total Expenditures $ 36.629.68 Dated April 3, 1959 Signed: Beryl Hickson District Clerk Darrel Stanley District School Board Chairman Approved April 2, 1959 Signed: Emory L. Cunningham Secretary, Budget Committee Fred W. Arens Chairman, Budget Committee