IEGAL NOTICES
NOTICE OF FINAL HEARING
Probate No. '10308
IN" THE CIRCUIT COURT OF THE
oSTATE OF OREGON FOR JACK
SON COUNTY
IN THE MATTER OF THE ESTATE
of RALPH UPTON BOUTELLE.
also known as Ralph U. Boutelle,
Deceased
Notice i hereby given that Seth
M. Bullis. executor of the above
stt- has filed in the above en
titled Court and cause his Final ac
count and Report and said Court
has fixed May 25th. 1959 at the
hour of 90 o'clock ajn.. In the
Court Room of said Court at the
Court House in Medford. Oregon
as the time and clace for hearing
objections thereto and for the set
tlement thereof.
Dated this 15th day of April,
1959.
Seth M. Bullis. Executor
Farrell & Blackhurst
Attorneys for Executor
NOTICE OF ANNUAL SCHOOL
NOTICE IS HEREBY GIVEN, in
compliance with Sec. 331.010 ORS.
rict No. 9. of Jackson County. State
of Oregon, that trie a-.li.
net will be held at Eagle Point
Hign scnooi, tm-iraii ac omoj
frrm twhuMn hmira nf 2 P.M.
and 8 P.M. on the first Monday of
May, being the 4tn day oi aiay,
A.D. 1959 for the purpose of elect
ing One director for a five year
orm vlac-tinn nf twA "Rural Board
Members-at-Large. One for a two-
year term ic one lor a mree year
Dated this 15 day of April, 1959.
nAPin. STA7CT.F.V
Chairman Board of Directors
ATTEST:
Beryl Hikson
District Clerk
No. 10132
NOTICE OF HEARING ON FINAL
ACCOUNT
IN THE CIRCUIT COURT Or THE
STATE OF OREGON FOR JACK
SON COUNTY
PROBATE DEPARTMENT
In the Matter of the
Estate of Frank B. Payne,
deceased.
Notice la hereby given that the
undersigned has filed his Final Ac
count and Report in the above en
titled estate and that by Order of
the Citcuit Court in and for Jack
son County. Oregon. Probate De
partment, a hearing upon the same
has been set for Thursday. April
30, 1959. in the circuit Court Room
at tne court House in jvieaiorn.
Jackson County. Oregon, at the
hour of 9 -JO o'clock. A.M.
All nersons having objections
thereto are hereby notified to pre
sent the same on or Detore sucn
time.
Dated this 1st day of April. 1959,
Guy E. Payne
Administrator with the
Will Annexed
Roberts, Kellington & Branchfield
Attorneys for Administrator
NOTICE OF SCHOOL MEETING
Knt1 Is herebv eiven to the leeal voters of school district No. 59 of Jackson County,
State of Oregon, that a SCHOOL MEETING of the said district will be held at Prospect
hign scnooi, journalism room, on xne nm aay ox amy, 000, at .uu u uuv.a u.,
purpose of discussing the budget for the fiscal year beginning July 1, 1959, and ending
June 30, 1960, hereinafter set forth.
BUDGET FISCAL YEAR 1959-1960
SCHEDULE 1
SUMMARY OF ESTIMATED EXPENDITURES. RECEIPTS AND AVAILABLE tASH
BALANCES. AND TAX LEVIES
Estimation of Tax Levy Total
All Funds
Total Estimated Expenditures $199,287.87
DEDUCT:
2. Total Estimated Receipts and Available
Cash Balances 4,zbh.i
Amount Necessary to Balance the Budget...:. 149,998.96
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
Bond Interest
General and Sinking
Fund Fund
$177,852.87 $ 21,435.00
49,288.91
128,563.96
SYNOPSIS OF ANNUAL
STATEMENT
For the year ended
December 31, H58
Of the
r SAFEGUARD INSURANCE
COMPANY
f Hartford, in the State of Con
necticut, made to the Insurance
Commissioner of the State of Ore
gon, pursuant to law:
ADMITTED ASSETS
Bonds $17,323,839.09
Stocks
Mortgage loan on
real estate
Seal estate, less 10
encumbrances .
Cash and bank de
posits . .-
Agents' balances or
uncollected p T e
miums .
Other assets
7.959,809.98
14,088.80
185.888.9S
3,827.499.44
2.141,937.04
360,307.91
Total admitted
assets $30,722,358.18
LIABILITIES. SURPLUS AND
OTHER FUNDS
Losses $ 6,218.398.00
Loss adjustment ex
penses 589.673.00
Unearned premiums 12.940,928.04
All other liabilities - 1,066,846.46
Total liabilities.
except capital ..$20.815,843.50
Capital
paid up $1,500,000.00
Special
surplus
funds 84,000.00
Cnassigned
funds
(surplus) 8,352.511.69
Surplus as regards
policyholders $ 9.906,912.69
Total :. $30,722,356.19
STATEMENT OF INCOME
9.. I..m. i-n4 1n 38R 12.i 98
Losses incurred 8,162,403.77
Loss expenses In
curred 1,433,012.16
Other underwriting
expenses incurred- 6,934,904.21
Total underwriting
x deductions 16,830520.16
Net underwriting gain
or loss
.142,196.18
931.184.32
- 15.485.92
266.497.78
- 64.117.42
. 162,380.36
1.344,652.12
Investment Income
Other Income
Total, before federal
incomes taxes
Federal income taxes
Incurred
Net income
Other items affecting
surplus (net)
Total capital ana
surplus items
(net) 1,344,652.12
Increase In surplus
as regards policy
holders .. 1.182.271.T6
BUSINESS IN OREGON
FOR THE YEAR
Km nremiums received S 376.686.94
Net losses paid 148,300.88
Principal office in Oregon, Portland.
Hrt Mi Asauraaw Ccrpoffcon, Ud.,
3ss ef foonsytasms. mass SvSfes
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of Qrtwnm, pursuant t In:
jumma assejs
- i 70iJMM
S 7V9T40?C
Murtgra lows as nal
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SUXMEHJ OF 5C0E
fusil I md $ 6A.8VJ.3ra W
last Tud 377a,J633
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I lam ia mi itai m
MSiME&S W OREGON FOR THE VEAl
Direct premiums N-
eahwd $ 39353.98
Dinct hnsas paid 282,49504
Dmdaads pmi or cred
it to polieyweMsis Nsaa
orfics m das ii Qmaem
Offica. K) imcok sMsms.
16,418.00 16,139.33
none
21,435.00
278.65
5. Total Estimated Tax Levies for Ensuing Fiscal
Year
166,416.96 144,703.31 21,713.65
6. Analysis of Estimated Tax Levies:
(a) Amount Inside 6 Limitation 100,34 i.w iuo,a.o
(b) Amount Outside 6 Limitation 39,355.85 39,355.85
(c) Not Affected by 6 Limitation..
21,713.05
21,713.65
1. Cash Working Fund - $ 4,414.78
INDEBTEDNESS
1. Amount of bonded indebtedness (Include all negotiable interest-bearing
warrants issued under ORS 328.205) $100,318.86
4. Total indebtedness (sum of items 1, 2, 3) $100,518.86
SCHEDULE II
GENERAL FUND
ESTIMATED RECEITPS
Fiscal Year Fiscal Year Budget
Ending Ending Allowance
June 30, June 30, Current
1957 1958 Fiscal Year
$ 8,397.78 $ 13,923.06 $ 12,000.00
1,464.36 1,615.16 1,320.00
5,397.40 4,793.89 3,648.00
11,626.06
33,016.10 40,224.91 29,078.96
328.10 326.88 258.40
1,399.40 1,315.57 1,258.04
11,219.19 1,637.62 3,000.00
5,656.45 5,218.79 5,385.07
67,878.78 80,679.94 55,948.47
6,630.69 2,510.61 4,414.78
74,509.47 83,190.55 60,363.25
Item
Estimated
Receipts
Ensuing
Fiscal Year
10. Revenue From Local Source
11.2 District Tax Prior Years' Levy
(net) $ 10,000.00
19.9 Miscellaneous 1,320.00
20. Revenue From Intermedial Sources ' ,
21.1 County School Fund 4,361.11
29.9 Miscellaneous
30. Revenue From or Through State
Sources
31.2 Other Basic School Fund Receipts . 29,017.96
33.1 Common (irreducible) School Fund 252.00
36.2 Federal Money Received Through
State 1,484.00
40. Revenue Direct From Federal Sources
41.1 Public Law 874 2,853.84
50. Revenue From Other School Districts
51.0 Tuition and Transportation
Total Receipts 49,288.91
Beginning Net Cash Balance Less Cash
Working Fund or (Deficit) none
Total Budget Resources
General Fund 49,288.91
SCHEDULE III
Actual Expenditures
GENERAL FUND
ESTIMATED EXPENDITURES
Fiscal Year
Ending
June 30,
1957
Fiscal Year
Ending
June 30,
1958
Budget
Allowance
, Current
Fiscal Year
$ 1,588.88 $ 1,844.44 $ 2,200.00
1,258.00 1,408.00 1,508.00
25.00 5.00 25.00
682.58 70.00 630.00
50.00 50.00 50.00
75.00 75.00 220.00
23.00 25.00
3,704.45. 3,452.44 4,658.00
1,150.00 800.00 1,050.00
77,075.00 71,679.29 89,000.00
720.00 510.76 1,000.00
2,150.00 2,300.00 2,750.00
2,942.00 2,737.12 2,892.00
185.00 134.89 100.00
3,364.89 3,225.50 4,850.00
1,000.00 1,860.00 1,440.00
434.43 208.12 800.00
89,021.34 83,455.68 103,882.00
Estimated
Expenditures
Item Ensuing '
Fiscal Year
I. General Control
1. Personal Service: '
(1) SuDerintendent $ 2,211.11
(2) Clerk 1,508.00
(4) Compulsory Education and Census 25.00
(5) Other Services. Adm. Expense 630.00
2. Supplies 50.00
4. T.psal Service (Clerk's Bond.
Audit, etc.) 220.00
5. Other ExDense of General Control
In-Service Train 25.00
6.
II,
1.
Total Expense of General Control.... 4,669.11
Instruction
Personal Service:
(1) Principals 1,050.00
(3)
(4)
(6)
(7)
Teachers
Sub-Teachers .
Librarian
Clerical Assistants ....
Library Supplies, Repairs
Teaching Supplies
Textbooks 2,160.00
Other Expense of Instruction
Visual Education 285.00
91,025.00
1,000.00
2,800.00
2,892.00
100.00
5,402.46
3,300.00
2,060.00
5,100.00
727.16
6,493.90
2,397.16
488.37
20,766.59
2,000.00
4,183.86
4,071.34
544.00
3,400.00
2,060.00
5,918.61
980.41
5,571.01
2,397.16
457.06
20,784.23
1,678.75
2,129.68
3,330.20
400.00
3,080.00
4,000.00
450.00
980.00
6,500.00
2,400.00
450.00
17,860.00
5,440.00
1,765.00
5,000.00
3,060.00
7. Total Expense of Instruction 106,714.46
III. Operation of Plant
1. Personal Service:
(1) Janitors and Other Employees,
H. S. and Gym 3,180.00
(2) Elementary
(3) Cafeteria
2. Supplies
3. Fuel :
5. Light and Power
6. Telephone
4,100.00
550.00
917.00
6,500.00
2,400.00
450.00
8. Total Expense of Operation 18,097.00
IV. Maintenance and Repairs
1. Personal Service 5,440.00
2. Repair. Maintenance and Replacement
(1) Furniture and Equipment 1,484.00
(2) Building Structure 4,478.60
3. Upkeep of Grounds 60.00
! :
10,799.20 7,338.63 15,265.00
57.90 50.85 50.60
100.00 62.00 100.00
3,272.00 3,632.00 4,490.00
2,752.34 2,800.00 4,000.00
4,425.10 5,101.20 5,101.20
576.22 576.22 598.07
. 2,500.00 2,500.00 2,500.00
1,358.45 2,195.72 1,734.00
15,042.01 18,917.99 18,573.87
2,915.91 2,329.12 2,905.01
526.00 493.50 631.50
4,365.25 2,708.34 5,943.18
1,970.50 2,052.83 2,843.50
9,777.66 7,583.79 12,323.19
882.60 788.89 1,279.00
882.60 798.89 1,279.00
100.00 214.34 250.00
100.00 214.34 250.00
1,000.00 1,000.00 2,500.00
5. Total Expense of Maintenance
and Repairs
V. Auxiliary Agencies
1. Health Service
(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
3. Other Auxiliary Agencies
(1) School Lunch
a. Personal Services .
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. Security..
11,442.60
63.00
100.00
4,590.00
4,000.00
5,200.00
607.50
2,500.00
2,234.00
19,294.50
4,021.69
624.00
6,343.18
2,946.33
5. Total Fixed Charges
VII. Capital Outlays
4. Library Books
13,935.20
950.00
9. Total Capital Outlays
VIII. Debt Service, Non-Bonded
1. Interest on Warrants
950.00
250.00
3. Total Debt Service, Non-Bonded 250.00
IX. Emergency 2,500.00
151,093.06 141.746.01 176,591.06
X. Total General Fund Expenditures
(Items 1-6, II-7, III-8, IV-5, V-4,
VI-5, VII-9, VIII-3, IX) 177,852.87
Actual
Fiscal Year
Ending
June 30,
1957
I 4,482.75
16,652.26
Receipts
Fiscal Year
Ending
June 30,
1958
$ 37,026.13
541.26
BOND INTEREST AND SINKING FUND
ESTIMATED RECEIPTS
Budget
Allowance
Current
Fiscal Year
$ 18,334.77
1,668.09
Estimated
For
Ensuing
Fiscal Year
1. Total Receipts $ 21,435.00
2. Beginning Net Cash Balance or Deficit
Item
21,045.00 37,567.39 20,002.86 3. Total Budget Resources 21,435.00
17,000.00
3,503.75
17,000.00
3,086.25
ESTIMATED EXPENDITURES
1. Principal on Bonds (Include negotia
ble interest-bearing warrants issued
17,000.00 under ORS 328.260) $ 19,000.00
2,852.50 2. Interest on Bonds 2,435.00
CASH WORKING FUND (Chapter 873 O. L. 1337)
Actual Receipts
Fiscal Year Fiscal Year
MAIL TRIBUNE, Medford", Oregon, Wee'ectd'ar, Aerfl 22, If 39 SA
Ending
June 30,
1957
Ending
June 30,
1958
Budget
Allowance
Current
Fiscal Year
4,414.78
Item
1. Transferred from Unexpended Bal
ance in General Fund June 30, 1958.
Not in excess of 2V2 of expendi
tures for 1958-1959
2. Carried Forward
Estimated
For
Ensuing
Fiscal Year
none
4,414.78
4,414.78 3. Total 4.414.78
Actual
Fiscal Year
Ending
June 30,
1957
$ 1,399.40
7,534.57
2,435.80
20,503.75 20,086.25 19,852.50 3. Total Expenditures
21,435.00
11,369.77
1,513.12
Receipts
Fiscal Year
Ending
June 30,
1958
1,194.77
6,676.88
2,580.00
10,451.65
1,854.84
SPECIAL FUNDS
SCHOOL LUNCH FUND
ESTIMATED RECEIPTS
$
Budget
Allowance
Current
Fiscal Year
$ 1,484.00
6,200.00
2,750.00
10,434.00
2,000.00
Item
1. Federal Reimbursement
2. Sale of School Lunches
3. Received from School District-
Estimated
Expenditures
Ensuing
Fiscal Year
S 1,484.00
6,500.00
3,250.00
Total Receipts 11,234.00
Beginning Net Cash Balance or Deficit 1,017.49
12,881.89 12,306.49 12,434.00 Total Budget Resources 12.251.49
6,826.90
4,047.07
8.36
145.72
7,071.55
4,070.57
22.30
124.51
ESTIMATED EXPENDITURES
7,992.00 1. Food
4,047.00 2. Cash Value of Labor
250.00 3. Equipment .
145.00 4. Other
7,278.54
4,072.95
750.00
150.00
11,028.05 11,288.93 12,434.00 Total Expenditures $ 12,251.49
Dated April 17, 1959
Signed:
Faye Orgain
District Clerk
Frank Boothby
District School Board Chairman
Approved April 13, 1959
Signed:
Georgia A. McKillop
Secretary, Budget Committee
David Neville
Chairman, Budget Committee
MacCLELLAN IN MOSCOW
Moscow -(LTD- Harold Mao
Clellanj who will be in charge
of the American exhibition
opening in July has arrived
here. He was met by rep
resentatives of the Soviet
Chamber of Commerce.
The planet Pluto was dis
covered from Lowell Observa
tory near Flagstaff, Ariz.
No. 10506
NOTICE to creditors
IN THE CIRCUIT COURT OF THE
STATE OF OREGON FOR THE
COUNTY OF JACKSON
PROBATE DEPARTMENT
In the Matter of the Estate
of
WILLIAM SPURCK. also known as
William Spurck, Jr. and William
Spruck,
Deceased.
NOTICE IS HEREBY GIVEN that
the undersigned has been duly and
regularly appointed administrator
of the estate of William Spurck.
deceased, by virtue of an order of
the circuit court of the state of
Oregon for Jackson county, probate
department, duly made, rendered
and entered on April 7. 1959; and
all creditors having claims against
said decedent are hereby notified
to present the same duly verified
to the undersigned at his office.
Room 209 Franklin Building. Med
ford, Oregon, within six months
from the date of this notice.
Dated at Medford.' Oregon, this
8th day of April. 1959.
H. Dewey Wilson
Administrator for the
Estate of William Spurck,
Deceased
Duncan. Brophy. Wilson & Duhalme
Attorneys for Administrator
Akron, Ohio, was named for
the Greek word "Akron,"
meaning high.
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