Image provided by: University of Oregon Libraries; Eugene, OR
About Medford mail tribune. (Medford, Or.) 1909-1989 | View Entire Issue (June 12, 1959)
I Actual Expenditures Budget , Budget 1956-57 1957-58 1958-59 Object Hera 1959-60 FUND ACCOUNTING & PROPERTY TAX LEVY COMPUTATION: Total Estimated Gen'l Fund Expenditures .... $934,361.00 . : Less: Estimated Balance July 1, 1959 . $ 13,247.00 Estimated Revenue other than property tax: 568,348.00 581,595.00 Amount necessary to balance budget ; $352,766.00 Tax Levy Inside 6 Limitation .: $352,766.00 (1958-59 Levy $332,874.00) . (Plus 6 19,972.00) (Allowable 1959-60 Levy ..$352,846.00) MRS MAINTENANCE FUND: FIRE DEPARTMENT PERSONAL SERVICES: m ,355.00 $ 7,080.00 $ 7,080.00 Fire Chief (1) .... 5,640.00 6,180.00 6,180.00 Asst. Fire Chief (1) . 5,400.00 5,880.00 5,880.00 Fire Marshall (1) 8.560.00 31.440.00 31.440.00 Caotains (6 at 450-470) 4t,740.00 48,240.00 48,480.00 Engineman II (10 at 430) 7,695.00 85,730.94 87,810.00 Fireman (20 at 350-390) .... 837.00 1,113.00 1,500.00 Volunteers 10,767.71 11,832.79 14,222.00 Retirement, Ins. & Soc. Sec, $174,994.71 $197,496.73 $202,592.00 Total Personal Services $216,093.00 ...... UiEKATlUW AiNiJ JVlAiINlJ!.iNAJNr.: $ 8,394.21 $ 7,288.09 $ 9,935.00 Commodities : $ 4,787.62 4,4Z3.B4 4,yeu.uu contractual services 1,406.37 670.34 , 500.00 Repair & Maint. Bldg. .. 1,662.41 4,290.69 2,015.00 Repair & Maint. Eqpmt, $ 16,250.61 $ 16,672.96 $ 17,410.00 Total Operation and Maintenance $ 21,817.00 CAPITAL IMROVEMENTS: $ . $ $ 475.00 Equipment $ 450.00 922.99 847.14 1,050.00 Improvements Bldg. 922.99 $ 847.14 $ 1,525.00 Total Capital Improvements '. '. $ 450.00 J192.168.31 $215,016.83 $221,527.00 GRAND TOTAL .' $238,360.00 Fund Accounting & Property Tax Levy Computation: . Total Estimated Expenditures $238,360.00 Less: Estimated Balance July 1, 1959 $ 177.00 Estimated Revenue other than property tax: Permits, Refunds & Misc. 280.00 Rural Fire District Contract 41,000.00 Transfer General Fund 91,555.00 $133,012.00 $ 7,380.00 6,480.00 6,180.00 32,880.00 51,600.00 93,080.00 1,500.00 16,993.00 9,695.00 4,642.00 500.00 6,980.00 Amount necessary to balance budget Tax Levy Outside 6 Limitation (1958-59 Levy $ 99,385.00) (Plus 8 5,963.00) $105,348.00 $105,348.00 (Allowable 190-60 Levy ....$105,348.00) SlVAX STREET FUND: STREET DIVISION j t,95.00 3,311.56 2,375.93 3,533.95 5,538.96 ,656.32 15,374.12 3,654.60 """876770 $776.83 3,928.72 3,180.00 3,669.78 2,210.08 5,984.72 34,889.92 3,954.33 13,693.76" 1,862.47 , 4,200.00 "456!98 9,350.63 4,040.29 3,120.00 3,675.00 2,580.00 8,100.00 43,970.00 5,160.00 25,000.00 4,240.00 4,200.00 1,500.00 "js729.00 PERSONAL SERVICES: Public Works Dir. (13 at 810) General Foreman (23 at 515) Mechanic Foreman (k at 450) General Mechanic (1) . Equipment Operator (8Vi at 315-420) Utility Foreman (1) Utility Worker (6 at 285-410) Carpenter (1) Principal Clerk (1) Senior Clerk (1) .... Overtime . Temporary Employee Retirement, Ins. & Soc. Sec 3,240. 4,120. 2,700. 4,440. 38,040. 5,400. 26,010. 4,710. 4,440. 3,330. 1,500. 7,125.00 $ 71,325.69 $ 87,492.96 $107,274.00 7,274.54 31.41 9,520.68 20,702.35 8,591.19 230.37 6,146.62 16,962,32 i 9,690.00 9,940.00 10,000.00 29,599.00 Total Personal Services OPERATION AND MAINTENANCE: Commodities Contractual Services Repair & Maint. Eqpmt. Repair & Maint. Streets ..$105,055.00 ..$ 9,720.00 48,150.00 10,000.00 30,000.00 S 37.528.98 $ 31,930.50 $ 59,229.00 Total Operation and Maintenance $ 97,870.00 32.647.89 S 18.274.10 $ 15.000.00 Equipment 2,452.59 3,742.33 .....x ; Improvements Bldg. 19,979.36 , 14,434.49 ..$ 15,800.00 56,106.00 Improvements Streets , 64,501.00 t 55,079.84 $ 36,450.92 $ 71,106.00 Total Capital Improvements ....$ 80,301.00 a tl63,93.51 $155,874.38 $237,609.00 GRAND TOTAL :.. ..;.........$283,226.00 Fund Accounting: - ... - Estimated Balance July 1, 1959 $ 84,716.00 Estimated 1959-60 Receipts: State Highway Department $158,000.00 Current Services : , : :. : 27,060.00 Transfers . 13,450.00 198,510.00 Total Estimated Funds Available 1959-60 Property Taxy Levy $283,226.00 none LIBRARY MAINTENANCE FUND: LIBRARY DEPARTMENT 4,750.00 4,071.76 3,000.00 8,162.97 2,880.00 2,343.30 1,850.00 1,578.75 1,953.34 1,761.75 240.00 1,80441 4,980.00 514.00 2,000.00 9,208.11 4,835.75 2,400.00 2,305.00 1,646.40 1,651.35 1,905.00 T,766"03 5,400.00 4,800.00 4,500.00 10,200.00 7,920.00 ' 2,400.00 4,800.00 1,800.00 1,600.00 700.00 PERSONAL SERVICES: Library Director (1) Adult Librarian (1.4 at 420) Children's Librarian (1.2 at 370) Senior Clerk-(3 at 285-315) Junior Clerk (3 at 210-240) Bookmender (1 at 210) Branch Custodian (11 PT at 10-200) Janitor (0.5 at 285) Pages (3 ET at 150-170) Temporary Employee i Fireman . . 6,000 7,140 5,180 10,620 8,340 .2,520 4,216 1,710 1,500 500 00 00 00 .00 .00 .00 00 00 00 00 2,300.00 Retirement, Ins. & Soc. Sec. 2,875.00 $ 34,396.28 $ 33,211.64 $ 4,426.9 $ 2,877.47 - $ 2,850.00 6,195.20. 9,500.00 1,306.07 2,500.09 . 100.09 150.00 1 $ 10,528.74 $ 14,750.90 $ 989.01 $ 1,200.00 9,485.57 9,800.00 $ 10,420.48 $ 10,474.58 $ 11,000.00 $ 53,051.12 $ 54,214.98 $ 72,170.00 $ 1,933.39 5,170.58 928.93 20iT4 $ 8,234.36 . . $ 1,683.46 8,737.02 Total Personal Services $ 50,601.00 UFJSKAT1UJM AND MAJUN XJSNANCE Commodities $ - 2,600.00 Contractual Services . : , 27,740.00 Repair & Maint. Bldg 1,000.00 Repair & Maint. Eqpmt. 150.00 Contingency 1 Total Operation and Maintenance $ 31,490.00 CAPITAL IMPROVEMENTS: Equipment . , $ 1,350.00 Books & Periodicals , 9,540.00 Total Capital Improvements .. .. GRAND TOTAL .. 1. Fund Accounting: ; Estimated Balance July 1, 1959 Estimated 1959-60 Receipts: Jackson County Contract .i State Library Grant - Ubrary Jees Transfer General Fund 36,000.00 19,000.00 4,200.00 26,751.00 PARK AND SWIMMING POOL FUND (Continued) Actual Expenditures Budget 1956-57 1957-58 1958-59 Object Item Fund Accounting & Property Tax Levy Computation: Total Estimated Expenditures Less: Estimated Balance July 1, 1959 $ 1,296.00 Estimated Revenue other than property tax: Pool and Park Fees 10,425.00 Transfer General Fund . 106,539.00 10,890.00 92,981.00 7,030.00 85,951.00 Total Estimate Funds Available 1959-60 Property Tax Levy . PARK AHJ SWIMMING POOL FUND: PARK AND RECREATION DEPARTMENT $ 92,981.00 525.00 $ 590.00 $ 4,464.00 7,074.34 4,562.74 . 644.84 4,680.00 7,337.10 "5,520.00 704.13 1,371.25 1,555.50 544.50 1,101.00 993.35 1,100.00 481.17 1,077.97 1,568.00 2,100.00 574.63 - 1,151.68 1,043.69 1,353.64 540.00 468bTo'd 7,560.00 "i',120.06 720.00 1,568.00 2,450.00 794.09 1,388.00 1,430.00 1,500.00 PERSONAL SERVICES: ' Park and Recreation Director (1) Clerk Steno II (4 mos. at 270) Park Maintenance Supervisor (1) Park Utility (1) Park Gardener II (1) Park Laborer II (1) 1,207.03 1,550.00 $ 25,4956 $ 27,829.90 $ 31,300.00 Park Laborer I (28 mos. at 270-300) - Recreation Supervisor (3 mos. at 430) Recreation Leader II (18 mos. at 315-350) Recreation Leader I (7 mos. at 255-285) Aquatic Supervisor (3 mos. at 450) Guard-Instructor (6 mos. at 285-315) Guard-Instructor I (10 mos. at 270-300) iasmer io mos. at zuu) . Pool Attendents (9 mos. at 180) . Temporary .Employee Overtime , : Retirement, Ins. & Soc. Sec. Total Personal Services none 7,080. 1.08Q. 5,040. 3,960. 3,960. 3,780. 7,905. 1,290. 6,300. 1,894. 1,350. 1,710. 1,890. 1,200. 1,620 Budget 1959-60 $144,596.00 118,260.00 Amount necessary to balance budget Tax Levy Outside 6 Limitation $ 26,336.00 $ 26,336.00 (1958-59 Levy (Plus 6 ..$ 24,846.00) 1,490.00) (Allowable 1959-60 Levy ....$ 26,336.00) SEWAGE TREATMENT PLANT MAINTENANCE FUND: . SEWAGE TREATMENT DIVISION PERSONAL SERVICES $ 5,160.00 $ ' 5,160.00 15,540.00 16,080.00 988.63 2,000.00 1,117.20 1,372.00 $ 4,920.00 14,661.77 963". Plant Supervisor (1) Operator (4 at 315-370) Temporary Employee Retirement, Ins. & Soc. Sec. ..$ 5,760.00 .. 16,695.00 . 2,000.00 .. 1,581.00 $ 20,545.19 $ 980.58 6,173.37 954.61 2,896.00 .$ 52,955.00 $ . 3,131.10 1,984.25 ' 1,322.38 443.66 $ 6,881.39 1,554.58 396.75 $ 3,436.32 2,059.06 975.60 1,937.35 8,408.33 919.88 489.18 3,700.00 2,495.00 4,250.00 "iiboSrdo OPERATION AND MAINTENANCE: Commodities Contractual Services .... Repair & Maint. Eqpmt Repair & Maint. Grounds Repair & Maint. Roxy Ann Park $ 22,805.83 $ 2,246.30 6,624.57 3,128.59 $ 24,612.00 3,300.00 7,911.00 3,810.00 $ 8,108.56 $ 11,999.46 $ 15,021.00 $ 193.09 68.47 3.20 746.68 $ 261.56 $ 28,915.31 $ 749.88 $ 35,555.17 $ 4,200.00 500.00 $ 4,700.00 $ 44,333.00 Total Personal Services .. OPERATION AND MAINTENANCE: Commodities Contractual Services . Repair & Maint. Plant , Total Operation and Maintenance CAPITAL IMPROVEMENTS: Equipment Improvements Bldg. Total Capital Improvements GRAND TOTAL . ..$ 26,036.00 ..$ 3,000.00 7,854.00 .. 5,400.00 ..$ 16,254.00 300.00 4,555.00 3,420.00 1,000.00 1,000.00 1,500.00 $ 11,445.00 $ 75,00 500.00 75,000.00 Total Operation and Maintenance CAPITAL IMPROVEMENTS: Fnnnmnt Improvements Bldg.- Improvements - Swimming Pool" Fund Accounting: Estimated Balance July 1, 1959 ..... Estimated 1959-60 Receipts: . Sewer Service Charge .... $ 22,500.00 Transfer General Fund : 16,789.00 ..$ 300.00 ..$ 42,590.00 $ 3,301.00 39,289.00 Total Estimated Funds Available 1959-60 Property Tax Levy .. .-. AIRPORT BOND CONSTRUCTION FUND $117,944.91 $ 27,127.48 $ 88,235.00 Construction Fund Accounting: , Estimated Balance July 1, 1959 .: Estimated 1959-60 Receipts Total Estimated Funds Available 1959-60 ..$ 11,475.00 ..$ 2,366.00 500.00 . 77,300.00 $ 1,951.33 $ 1,409.04 $ 75,575.00 Total Capital Improvements $ 34,328.38 $ 37,647.27 $118,320.00 GRAND TOTAL $ 80,166.00 .$144,596.00 $ 42,590.00 none . .$ 4,845.00 .$ 4,845.00 !!$ 4"!845bb Property Tax Levy AIRPORT RECONSTRUCTION FUND 483.92 $ 2,672.95 $ 13,848.00 Construction Fund Accounting: Estimated Balance July 1, 1959 . 1 . . Estimated 1959-60 Receipts: Property Rentals none 4,645.00 $ 1,285.00 3,360.00 Total Estimated Funds Available 1959-60 .1 $ 4,645.00 Property Tax Levy ,. none ARTERIAL STREET BOND CONSTRUCTION FUND $ $ 80,747.50 $4.19,718.00 Construction $429,900.00 Fund Accounting & Property Tax Levy Computation: Total Estimated Expenditures $429,900.00 Less: Estimated Balance July 1, 1959 ...:.....$161,800.00 Estimated Revenue other than property tax: , Bond Sale 120,000.00 Current Services 4,500.00 286,300.00 Amount necessary to balance budget 143,600.00 Tax Levy Outside 6 Limitation $143,600.00 CAMP WHITE SEWER BOND CONSTRUCTION FUND 2,359.15 $ 77.71 $ 49,324.00 Construction . $ 49,447.00 Fund Accounting: , . Estimated Balance July 1, 1959 L. $ 49,447.00 Estimated "1959-60 Receipts: . : . Friday, June 12, 1959 A MAIL TRIBUNE, Medferd, Or. Total Estimated Funds Available 1959-60 Property Tax Levy 1 $ 49,447.00 none SANITARY SEWER CONSTRUCTION FUND 84.21 $ $ 32,976.00 Construction $ 37,662.00 Fund Accounting & Property Tax Lexy Computation: Total Estimated Expenditures , $ 37,662.00 Less: Estimated Balance July 1, 1959 . 12,737.00 Amount necessary to balance budget Tax Levy Outside 6 Limitation STORM SEWER BOND CONSTRUCTION FUND ... $ 96,845.59 $ 92,623.00 Construction . Fund Accounting & Property Tax Levy Computation: i Total Estimated Expenditures . ........ Less: Estimated Balance July 1, 1959 Amount necessary to balance budget . Tax Levy Outside 6 Limitation . $ 24,925.00 $ 19,000.00 ..$102,470.00 $102,470.00 54,970.00 $ 40,210.00 186.43 $ ARMORY BOND CONSTRUCTION FUND .. . Construction Balance July 1, 1959 .... Tax Levy . 47,500.00 $ 47,500.00 none none FIRE DEPARTMENT BOND CONSTRUCTION FUND 3,271.83 Construction 1 Balance July 1, 1959 Tax Levy none none LIBRARY BOND CONSTRUCTION FUND 39.59 Transfer General Fund Balance July 1, 1959 Tax Levy OFF STREET PARKING FUND . . $ 7,000.00 Development of Off St. Parking .... Balance July l, Tax Levy ....... r none none PARK & SWIMMING POOL BOND CONSTRUCTION FUND 250.30 $ 167.00 Construction Balance July 1, 1959 Tax Levy .... none none none none RECREATION FUND $ 5,000.00 Development of Recreation Balance July 1, 1959 Tax Levy J. TRUNK SEWER BOND CONSTRUCTION FUND $ 3.13 Transfer General Fund Balance July 1, 1959 . Tax Levyi . GENERAL BOND SINKING FUND 70,500.00 $ 76,000.00 $ 93,000.00 Bonds Redeemed 14,526.25 17,621.55 22,761.00 Interest none none none none Actual Expenditures Budget 1956-57 1957-58 1958-59 Object Item CAMP WHITE SEWER BOND SINKING FUND $ 20,000.00 $ 20,000.00 $ 20,000.00 Bpnds Redeemed 7,250.00 6,650.00 6,050.00 Interest . : Budget 1959-60 ..$ 20,000.00 . 5,500.00 $ 27,250.00 $ 26,650.00 $ 26,050.00 Totals . Fund Accounting: Estimated Balance July 1, 1959 Estimated 1959-60 Receipts: Sewer Service Charge . Total Estimated Funds Available 1959-60 Property Tax Levy ..$ 25,500.00 ..$146,840.00 27,500.00 ..$174,340.00 None $ 2,000.00 $ ...$105,000.00 . 21,673.00 85,026.25 $ 93,621.55 $115,761.00 Totals .' $126,673.00 Fund Accounting & Property Tax Levy Computation: Total Estimated Expenditures a $126,673.00 Less: Estimated Balance July 1, 1959 . 6,407.00 Add: 7 for delinquencies and discounts Levy not subject to 6 Limitation $120,266.00 9,052.00 WATER BOND SINKING FUND 46,000.00 $ 60,000.00 $ 61,260.00 Bonds Redeemed 4,948.39 Transfer Water Fund 21,754.92 . Transfer Water Constr. Fund . . 261.30 Kings Highway Water District 150.00 CONSOLIDATED BOND FUND $ . Bonds Redeemed j i Transfer General Fund . $ 2,000.00 $ 150.00 $ 28,000.00 $ 34,599.50 6,145.62 13,807.82 315.28 186.86 22.50 Totals - Balance July 1, 1959 . Property Tax Levy . IMPROVEMENT BOND FUND $ 40,000.00 Bonds Redeemed 8,105.00 Interest 300.00 Bond Sale Expense Lien Report None None ....$ 50,117.00 11,199.00 450.00 $ 34,483.40 $ 48,594.18 $ 48,405.00 .. Totals ... Fund Accounting: Estimated Balance July 1, 1959 Estimated 1959-60 Receipts: Special Assessment Principal Special Assessment Interest Total Estimated Funds Available 1959-60 Property Tax Levy ..$ 61,766.00 ..$199,349.00 . 52,000.00 8,000.00 $ 44,365.48 985.12 $129,318.00 ..$ 67,260.00 2 37i4bb!bb 50.948.39 $ 82,01ff!22 $ 61,260.00 Totals Fund Accounting & Property Tax Levy Computation: Total Estimated Expenditures Less: Estimated Balance July 1, 1959 , 640.00 , Other Revenue A 59,820.00 Add: 7 for delinquencies & discounts Levy not subject to 6 Limitation .$104,660.00 $104,660.00 60,460.00 $ 44,200.00 3,326.00 $ 47,526.00 5,000.00 700.00 SEWAGE DISPOSAL BOND SINKING FUND 5,000.00 $ 5,000.00 Bonds Redeemed 500.00 300.00 Interest 5,964.00 Transfer Airport Bond Constr. Fund 10,382.03 $273,790.56 5,576.12 30,957.28 v38,554.33 SPECIAL ASSESSMENT FUNDS $150,000.00 Warrants Paid 2,313.00 Interest 70,257.00 Transfer General Fund . Transfer Water Fund , Transfer State Tax Street Fund ...... ..$259,349.00 None ..$140,000.00 . 1,500.00 . 65,458.00 I 4,b"ob".bo $ 55,732.63 $348,878.29 $222,570.00 Totals ... ....i. . $210,958.00 Fund Accounting: Estimated Balance July l,r1959 Estimated 1959-60 Receipts: Bond Sale , Special Assessments ... Interest .2 .-..$100,000.00 100,000.00 3,500.00 Total Estimated Funds Available 1959-60 jl Property Tax Levy .. SUMMARY OF PROPERTY TAX LEVIES For Fiscal Year 1959-60 General Fund : '. $352,766.00 Fire Maintenance Fund 105,348.00 Park and Swimming Pool Fund 26,336.00 General Bond Sinking Fund 129,318.00 Water Bond Sinking Fund 47,526.00 $ 5,000.00 100.00 $ 5,700.00 $ 5,500.00 $ 11,264.00 Totals Fund Accounting: Estimated Balance July 1, 1959 Estimated 1959-60 Receipts: Interest ..$ 5,100.00 .$ 45,737.00 20.00 Total Estimated Funds Available 1959-60 Property Tax Levy ..$ 45,757.00 . None Arterial Street Fund Sanitary Sewer Fund Storm Sewer Fund Total City General Property Tax Levy $ 38,404.00 203,500.00 $241,904.00 . . None 143,600.00 19,000.00 47,500.00 $871,394.00 Airport - - $183,000.00 Armory Construction 32,000.00 Arterial Streets ..... 100,000.00 Fire Department ... 26,000.00 Jackson Street Bridge 12,000.00 Library 11,000.00 Park Improvement 32,000.00 Sanitary Sewer . 32,000.00 Sewage Plant : 3,000.00 Storm Sewer zua.uou.uu Trunk Sewer . 55,000.00 STATEMENT OF INDEBTEDNESS CITY OF MEDFORD. OREGON July 1, 1959 Sewage Disposal 5,000.00 Camp White Sewage Disposal .... 220,000.00 Water System Enlargement 2,495,000.00 Kenwood Water District . 38,000.00 Grandview Water District 78,000.00 Improvement Bonds (Including .Water) : 380,535.54 Improvement Warrants (Includ ing Water as of April 1, 1959) 313,658.30 Total ..$4,221,193.84 BUDGET MEDFORD WATER COMMISSION WATER FUND 1 July. 1959 to 30 June, 1960 Actual 1956-1957 RECEIPTS: Water Revenue .:..$376,598.73 Service Connections and Work for Customers Equipment Rental Connection Fees : Water District Operation Sale of Forest Products Rents Interest Miscellaneous 6,207.70 473.00 1,785.00 7,839.05 32.04 240.00 2,830.12 2,909.88 Actual 1957-1958 $401,497.52 798.82 934.19 2,400.00 5,200.96 1,305.00 240.00 6,300.73 268.50 Estimated Total 1958-59 $403,995.69 2,227.49 734.57 4,800.00 5,469.76 1,992.90 240.00 3,517.44 83.00 Estimated Budget 1959-60 $410,000.00. 800.00 ' 100.00 3,200.00 5,470.00 1,500.00 240.00 1,250.00 Total Receipts $398,915.52 Estimated Cash bn Hand 30 June, 1959 Total EXPENDITURES: Operating Expenses $418,945.72 $423,060.85 $135,473.68 3,559.50 57,667.50 Franchise Taxes Interest on Bonds ... Capital Expenditures 197,687.93 Increase in Inventory of Supplies 65,135.91 Transfer to Water Bond Sinking Fund Transfer to Water System Construction Fund $136,458.12 4,341.04 58,735.00 199,473,70 (63,918.17) 20,000.00 $154,640.77 4,663.72 56,372.50 313,883.98 21,072.09 5,000.00 Total ExDenditures $459,524.52 $355,089.69 $555,633.06 ESTIMATED BALANCE 30 JUNE, 1960 $ $ -.: ' BUDGET MEDFORD WATER COMMISSION $422,560.00 $119,022.44 $541,582.44 $175,820.00 4,670.00 53,880.00 232,340.00 227l39"49 $488,849.49 $ 52,732.95 WATER SYSTEM CONSTRUCTION FUND 1 July,, 1959 to 30 June, 1960 RECEIPTS: Transfer from Water Fund $ $ 20,000.00 Interest . 1,993.26 3,025.65 Sale of Material 21,769.64 11.00 712.32 . 3,324.09 Total Receipts . ....... .,$ 23,762.90 Estimated Cash on Hand 30 June, 1959 $ 23,036.65 $ 712.32 $ 3,324.09 .$127,595.07 Total .1 EXPENDITURES: New Construction Total Expenditures '. ESTIMATED BALANCE 30 June, 1960 ..$130,919.16 $130,919.16 O LEGAL NOTICES NOTICE TO CREDITORS have been appointed by the Circuit Court of the State of Oregon for Ta.lfBnn fnimiv AHmfnifitratriY nf the estate of Geraldine F. McDon ald, deceased, and nave quaimea. All persons having claims against the estate of said decendent are hereby notified to present them Wlin proper voucners uuiy vwiura to me at the office of Skyrman & Heisel. attorneys for said Admin- i.mM. . Pnnm 991 MpHiral Center Building, Medford, Oregon, wiinin six monms irom uie unic of this notice. ' Dated and first Published May 22 1959. 1 Audrey Mary Robbing Administratrix Skyrman & Heisel Attorneys for Estate No. 10545 NOTICE TO CREDITORS IN THE CIRCUIT COURT OF THE STATE OF OREGON FOR JACK SON COUNTY Probate Department IN THE MATTER OF THE ESTATE of MARY V. JOHNSON, Deceased. NOTICE IS HEREBY GIVEN, that the undersigned by an order of the above entitled Court duly made on the 25th day of May, 1959. was regularly appointed administrator of the estate of Mary V. Johnson, deceased. . Alk persons having claims against aid estate are hereby notified to present them duly verified as re quired by law to him at the office of his attorney, Brian B. Mullen, 3rd floor of the jacKson county Courthouse, Medford, Oregon, with in six months from the date of pub lication of this notice. Dated and first -published this 5th day of June, 1959. Raymond Allan Roth, Administrator Brian B. Mullen Attorney at Law Courthouse Medford, Oregon LEGAL NOTICES CITATION No. 10505 IN THE CIRCUIT COURT OF THE STATE OF OREGON FOR THE COUNTY OF JACKSON PROBATE DEPARTMENT In the Matter of the Estate of SAMUEL JESSE FREDENBURG, Deceased. To the unknown heirs of the above named decedent: You are hereby cited, summoned and ordered to appear before the duly elected, qualified and acting Circui" Judge of Jackson County, Oregon, in the Circuit Courtroom in Medford. Oregon, at the hour of 10:00 AJtl. o'clock on Monday, June 29, 1959. and then and there show cause, it any there be, why an order should not be entered authorizing and directing the Ad ministrator of the above entitled estate to sell the following de scribed real property of said estate for the purpose of paying and satis fying the costs and expenses of ad ministration and the charges and claims against said estate. Said real property is described as folr lows: Lot 11, Block 9. Deekum's Ad dition to City of Gold Hill, Jarksnn Countv. Oreeon. Dated at Medford. Oregon, this 28th day of May. 1959. -JAMES MAIN - Circuit Judge IRRIGATION ASSESSMENT Sec ond quarter 1959 Irrigation Assess ments now due; delinquent after June 15th. Pay at office Grants Pass Irrigation District, Courthouse Annex., entrance on 5th Street, Grants Pass. v NO. 10395 NOTICE OF FINAL ACCOUNT IN THE CIRCUIT COURT OF THE STATE OF OREGON FOR THE COUNTY OF JACKSON Probate Department In the Matter of the Estate of .TOWN TIMBS. Deceased Notice is hereby given that The Final Account of Ken McCulloch, as Administrator of the above-named estate, has been filed herein v and that 10:OO o'clock ajn. on July 13, 1959, in the courtroom of the above court in the courthouse in Med ford. Oreeon. has been appointed as the time and place for hearing objections to such final account and settlement thereof. Dated and first published June 12 1959. Ken McCulloch, Administrator The U. S. Navy uses more than 20,000 flags per year. LEGAL NOTICES NOTICE OF FINAL SETTLEMENT In the Circuit Court of the State of Oregon for the County of Jack son, Probate Department. , in tne Matter oi xne estate or C. G. Van Valzah, also known as Caryl G. Van Valzah, Deceased, No. 10350. NOTICE IS HEREBY GIVEN that the undersigned has filed her Final Account as executrix of the above estate with the Circuit Court of said County, and the Court has fixed the 13th day of July, 1959, at the hour of 930 A.M.. of said day, and the Circuit Judge's office in the County Courthouse in Medford, Oregon, as the time and place respectively for the hearing of ob jections, if any there be, to the said Final Account, and you are, hereby notified to file objections, if any you have, to the said Final Account on or before the time fixed for hearing. . . . Dated and first published this 12th day of June, 1959. ANNE G. VAN VALZAH, . Executrix KENNETH G. DENMAN Attorney for Executrix No. 10115 NOTICE IN THE CIRCUIT COURT OF THE ' STATE OF OREGON FOR JACK SON COUNTY IN THE MATTER OF THE ESTATE OF ANTON WILLIAM LTNGAAS, also known as A. W. Lingaas. also known as Anton W. Lingaas, known as A. William Lingaas, deceased. NOTICE IS HEREBY GIVEN that the undersigned administratrix of the above estate has filed herein her final report and account and that Monday, July 13, 1959, at 9:30 o'clock A.M. at the courthouse in the city of Medford in said county, has been fixed by the above named court as the time and place of hearing objections to said final re port and account and for the ex amination and allowance thereof. Dated and first published this 29th day of May, 1959. Mary P. Lingaas, Administratrix Neff, Frohnmayer & Lowry, attorneys for administratrix London's 1952 smog was blamed for about 4,000 deaths.