Medford mail tribune. (Medford, Or.) 1909-1989, March 21, 1961, Image 13

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    MEDFORD MAIL TRIBUNE, MEDFORD. ORE.
TUESDAY, MARCH 21, 1961
rap -"(isra
TRACKS BLOCKED When officials decided to try out
the miniature train at the Children's Zoo in Cincinnati,
they discovered that a goose from the zoo's wild fowl pond
had laid four eggs in a nest between the railroad tracks.
The goose hissed angrily at the train as it approached
the nest. (UPI Telephoto)
Corps Use Urged For Tongue Point
Salem -(UI'll- Gov. Mark Hat
field Monday agreed with
Sen. Wayne Morse (D-Ore.)
that the Navy's station at
Tongue Point could be used
as a regional base for Presi
de nt Kennedy's "Peace
Corps" proposal.
The governor has suggested
a number of uses for the As
toria facility by the govern
ment, in the process of de
activating it.
Hatfield and Astoria resi
dents have vigorously pro
tested closure of Tongue
Point.
Hatfield said Tongue Point
has "good possibilities" for a
Peace Corps training center.
But the "basic thing is to
have it utilized."
Hatfield told his weekly
news conference that he dis
approves of Rep. George An
nala's plan to reapportion the
Oregon legislature by increas
ing its membership to 92, add
ing one member to each
house.
The governor prefers re
apportionment on the present
constitutional basis of popu
lation, giving each county the
number of seats it deserves.
The English walnut had its
origin in Persia.
Oregon FFA Elects
Halfway Youth
Salem - IUPD - Oregon Fu
ture Farmers of America elect
ed as their new president Don
ald Reed of Halfway.
The star farmer award went
to Dwight "Eddie" Macy of
Culver.
Other new officers include:
' William Blatchford, Hills
boro, vice president; William
Butner, Enterprise, secretary;
Ernest Bolz, Phoenix, treas
urer; Lyn Reaon, Vale, report
er; and Dwight Cummins of
Monmouth, sentinel.
Sales Increase
Washington - lOT - Durable
goods manufacturers sales and
new orders increased in Feb
ruary for the first time in
months.
The Commerce Department
has reported there was a 2
per cent rise in new orders,
due largely to increased gov
ernment defense spending.
Sales rose 1 percent, the first
increase since last May.
Grange News
Central Point Grange
At the Central Point Grange
meeting recently, Delmar
Smith, reporting on agricul
ture, said the outlook for agri
culture is better for the com
ing year.
The legislative chairman
discussed state tax bill 1540
and the O and C funds.
Henry Conger, Fred Kuest
and Benton Boyee discussed
taxes.
Mrs. Morris Frink, chair
man of the HEC club, report
ed that the recent rummage
and plant sale held at the
Grange hall was a success.
She thanked the Crater FFA
boys for the clothes racks
they made. The next HEC
meeting will be at the home of
Mrs. Frink on Linden lane,
Wednesday, March 22, at
1:30 p.m.
Sales slips should be turned
in to Mrs. Frink. Mr. and
Mrs. Smith exhibited several
varieties of daffodils. Smith
told about care and growing
habits of bulbs.
Mr. and Mrs. Walter Ricks
were given the third and
fourth degree obligation by
Dee Hendrickson. The Ricks
received the two first degrees
March 4, at Williams Grange,
with the Phoenix Grange ex
emplying the degrees.
Lecturer Dee Hendrickson
presented the literary pro
gram, which consisted of the
following numbers: a reading
"The Cremation of Dan Mc-
Gee," by Charles Morehouse,
a short skit including 10
members, and a game with all
members participating.
HEC chairman Mrs. Frink
announced that a reliable
baby sitter has been engaged
for Grange meetings and
urges that parents bring tneir
children with them. The
Youth committee has charge
of the next program and are
arranging for a 4-H boy 10
show pictures.
Dates for Grange visitations
are March 28, Phoenix, April
4, Bellview Grange. An invi
tation to Butte Falls Grange
meeting Apirl 3 will feature
a hat show, and there will be
a small admission charge. All
ladies attending are asked to
bring cookies.
Serving committee for the
evening included Mr. and
Mrs, Walter Mang, Mr. and
Mrs. William Straus, and Mr.
and Mrs. Walter Foote.
Crown Zellerbach
Receives Award
Coos Bay - IUPI1 - The Ore
gon Coast Sportsmen's Coun
cil has announced presentation
of its 1960 award for out
standing contributions toward
natural resource preservation
to Crown Zellerbach Corp.
Robert Mcllroy, council
president, cited the firm's
stream clearance and rehabili
tation programs, cooperation
with sportsmen in opening
lands to hunting and fishing,
and construction of camp
grounds, boating facilities and
picnic areas for public use.
Seaside Spreads Carpet
For Pushers of Lounge
Seaside-IUPII-Eight adventurous University of Washington
students were treated like royalty here Monday.
The reason for the kingly reception was that they ar
rived here Monday afternoon after pushing a wooden chaise
lounge all the way from Seattle.
They left Senttle at 2 a.m. Saturday and arrived here
at 3 p.m. Monday.
On hand to greet the adventurers were Seaside mayor
Maurice Tvsher, and 20 bathing beauties. They were pre
sented a key to the city and wound up their three-day trip
by carrying the lounge onto the beach and into the Pacific
Ocean.
The trip was not all roses, however, as some culprit
sole a four-post bed that they originally planned to push all
the way here. The chaise lounge was a last minute substitu
tion. The eight students are Greg La Brache, Rich Petit, Don
Lysons, Bill Engel, Alan Tobst, Jim Corbin, Don Noble and
Curt Pearson.
A 13
Youngster Killed As Bus Overturns
Waycross, Ga. -IOT- A child
was killed and at least 20
other persons were injured
early today when a Chicago
to Miami Greyhound bus
skidded on a rain-slick high
way, slammed into an em
bankment and overturned.
The victim was identified
as David Earl Engel, 4, Belle
Glade, Fla. State police said
the boy was thrown from the
bus and crushed beneath the
vehicle when it overturned.
Four ambulances rushed the
injured from the crash scene,
located on the edge of Oke
fenokee Swamp, to a hospital
here. The first 10 who were
x-rayed all were found to be
suffering from back injuries.
Sbome had broken bones but
none of the injured were con
sidered to be in critical condition.
Mrs. Clark Gable
Gets View of Son
Hollywood- IUPII- Clark Ga
ble's widow awoke briefly
Monday night to inspect her
new son and exclaimed: "Ha
looks just like Pa!"
Mrs. Kay Gable, 43, who
earlier in the day had given
birth to the eight-pound boy,
inspected him from her hos
pital bed while a nurse held
the black-haired tot.
"His ears are of an average
size," said a doctor. "Other
wise he has a definite resem
blance to his father."
Mrs. Gable was expected to
give the boy a name today.
Gable said before his death
he did not want a son to be
named Clark Gable Jr., fear
ing the famous name would
be a handicap.
Rosellini Signs Bill
For Megler Bridge
Olympia-IUI'l) - Gov. Albert
D. Rosellini Monday signed a
bill allowing the state to join
with Oregon in construction
of a bridge across the Co
lumbia river between Megler,
Wash., and Astoria, Ore.
A similar measure is now
before the Oregon legislature.
LEGAL NOTICES
They'll Do It Every Time
- By Jimmy Hatlo
Don't tell school kids that
teachers aren't clairvoyant
f'rinstance when elmo's prepared
H0WE'ER,THE ONE TIME ELMO
DOESN'T DO WHAT HE WAS
SUPPOSED TO OH-OH
BS' THAT YOU ALL "asa ELMO
C'MON.' Vf DID YOUR HISTORY SAZ9&E" fes1
CALL ME.' OUTLINE-SO I I. VT TELL WHAT
-fx PUT IN TWoV) WON'T BOTHER WOT MrA WE ZS 115
iBinlL JlJw llAi felBN
LEGAL NOTICES
NOTICE OF SCHOOL MEETING
WMinn Is linrphv pivpn to the Ieeal voters of Central Point, school district No. fi of
Jackson County State of Oregon, that a SCHOOL MEETING OF the said district will be
held at Central' Point Jr. High Cafeteria on the 6th day of April, 1961, at 2 o'clock p.m., for
the purpose of discussing the budget for the fiscal year beginning July 1, 1961, and ending
June 30, 1962, hereinafter set forth.
BUDGET-FISCAL YEAR 1961-1962
SCHEDULE III
Actual Expenditures
Fiscal Year Fiscal Year
Ending
June 30,
1959
Ending
June 30,
I960
Allowance
Current
Fiscal Year
1960-61
Hem
4,821.00 4,800.00 5,925.00
3,900.00 4,200.00 6,800.00
450.00
552.72 750.43 800.00
317.03 489.35 350.00
51)6.42 750.00
140.00 702.00 130.00
350.00 500.00
924.94 553.00 800.00
$ 11,602.09 $ 11,494.78 $ 16,525.1)0
$ 33,452.18 $ 32,619.34 $ 38,363.00
4,822.00 4,800.00 5,175.00
484,039.95 516,352.78 586,500.00
8,600.00
11,966.32 12,911.43 12,200.00
34,381.00 34,010.49 27,400.00
7,389.82 14,337.41 14,200.00
6,108.82 6,864.15 , 5,721.00
' 4,589.78 7,872.62 6,550.00
$586,749.05 $620,768.22 $704,709.00
GENERAL FUND
ESTIMATED EXPENDITURES
Budget
owance Estimated
Expenditures
Ensuing
Fiscal Year
100 Administration
110 Salaries
111 Superintendent's Office $
112 Office of Business Administration
113 School Elections
120 Supplies
141 Elections and Publicity
142 Census Enumeration
143 Legal Service
144 Audit
190 Other Expenses of Administration..
5,840.00
7,240.00
450.00
800.00
350.00
150.00
150.00
500.00
800.00
1,500.00
50.05
1,500.00
423.71
100.00
1,500.00
1,220.00
Total Administration Expenses $ 16,280.00
200 Instruction
210 Salaries
211 Principals $ 39,273.00
212 Supervisors, Consultants,
Directors, 5,840.00
213 Teachers 659,230.00
214 Other Instructional Staff 9,500.00
215 Secretarial and Clerical
Assistants 14.S00.00
220 Teaching Supplies 30,770.00
226 Textbooks .. 8,668.00
227 Library Books, Periodicals,
Audiovisual Aids ,
290 Other Expense of Instruction
Total Expense of Instruction
300-400 Attendance and Health
Services
300 Attendance Services
310 Salaries
400 Health Services
410 Salaries
9,906.00
7,135.00
..$784,822.00
100.00
1,500.00
420 Supplies 1,220.00
$ 1,550.05 $ 1,923.71
$ 37,642.70
15,802.45
13,580.65
1,622.14
$ 38,878.03
17,565.55
32,501.59
1,027.69
3,543.52
2,820.00
41,093.00
19,000.00
30,000.00
2,200.00
3,550.00
..$ 2,820.00
Total Attendance and Health
Services
500 Pupil Transportation Servicei
510 Salaries $ 45,900.00
520 Supplies and Repairs 20,000.00
535 Replacement of Vehicles 14,000.00
552 Transportation Insurance 2,200.00
566 Trans, other than Home to School 4,000.00
SCHEDULE I
SUMMARY OF
ESTIMATED EXPENDITURES, RECEIPTS
BALANCES, AND TAX LEVIES
AND AVAILABLE CASH
A Total
All Funds
Eslimation of Tax Levy c .
1. a. Total Estimated Expenditures 51,250,701.50
b. Total Reserved for bxpenemure in
Future Years
DEDUCT: .
2. Total Estimated Receipts and Available .,. .
Cash Balances 479,9.1.-1.77
3. Amount Necessary to Balance the Budget 770,767.73
4. Estimated Amount of Taxes That Will Not Be
Collected During the Fiscal Year Cor which
This Budget Is Made, Including Estimated
Rebate on Taxes .- 35.000.00
5. Total Estimated Tax Levies for Ensuing
Fiscal Yc------::--- : B0n.i07.i3
6. Annlvsls of Estimated fax Levies: ,...
(a) Amount Inside 6 Limitation 127,810.15
(b) Amount Outside 6 Limitation 565.1 84. 8a
(c) Not Subject to 6 Limitatkin 1 12.772.73
General Bond Interest
Fund & Redemption
Fund
$1,133,409.00 $117,292.50
470.414.00
662,995.00
30,000.00
9.519.77
107,772.73
5,000.00
$ 68,648.03 $ 94,416.38 $ 95,843.00
$ 22,698.56 $ 26,396.68 $ 26,000.00
9,567.95 9,891.71 9,500.00
9,200.46 8,618.66 10,500.00
15,377.72 15,703.11 19,100.00
$ 55,844.09 $ 60,610.16 $ 65,100.00
$ 22,698.56 $ 26,396.68 $ 26,000.00
20,173.33 4,062.00 16,357.25
20,173.32 22,088.16 28,090.00
$ 63,045.21 $ 53,306.84 $ 70,447.25
$ 36,608.03 $ 39,663.24 $ 47,500.00
' 6,681.03 6,795.91 6,700.00
2,814.45 2,531.00' 2,500.00
2,179.87 1,750.48 2,000.00
$ 48,283.38 $ 50,740.63 $ 58,700.00
Total Pupil Transportation Services $ 86,100.00
600 Operation of Plant
610
620
628
630
Salaries $ 29,475.00
Supplies 11,050.00
Fuel for Heat 10,500.00
Utilities except Fuel '. 19,100.00
602.995.00 1 12,772.73
127,810.15
565,184.85
c INDEBTEDNESS
1. Amount of bonded indebtedness (Include all negotiable interest-bearing
warrants issued under ORS 328.205)
4. Total indebtedness (sum of items 1, 2. 3) . ...
. $1,206,570.00
SI, 296, 570.00
Total Operation of Plant $ 70,125.00
700 Maintenance of Plant
710 Salaries $ 29,475.00
720 Materials and Supplies 13,405.00
735 Replacement of Equipment 42,950.00
nr- - - -
A ,
800
851 852
855
Total Maintenance of Plant $ 85,836.00
Fixed Charges
Retirement and Social Security
Expense , 48,000.00
Insurance
Interest on Current Loans ,
856 SIAC
8,050.00
2,500.00
2,000.00
2,751.91
6,175.00
SCHEDULE II
Actual Receipts
Fiscal Year Fiscal 'ear
Ending
Juno 30,
1959
Ending
June 30,
I960
GENERA", FUND
ESTIMATED RECEIPTS
AND BEGINNING CASH BALANCES
Budget
Allowance
Current
Fiscal Year
1960-61
Item
Estimated
Receipts
Ensuing
Fiscal Year
$ 60,947.90 S 28,227.65 $ 37.500.00
576.00
3,208.21
3,907.92
500.00
3,000.00
37,307.17 69,583.22 100,800.00
$327,373.13
2.177.92
3.214 12
1.920.00
$355,117.05
2.282.28
4.306.30
77.115.00
2.000.00
3.000 00
2,000.00
S 36.998. 73 S 45.330.40 S 17.000.00
$ 22.491.20 $ 1.480.27 $ 2.500.00
$406,214.38 $510,325.09 $445,415.00
10. Revenue From Local Sources
11.1 District Tax received in year
levied
11.2 District Tax Prior Years'
Levies $ 35,000.00
12.2 Tuition From Patrons Adult
Program 500.00
14.0 Other 3.500.00
20, Revenue From Intermediate
Sources
21.0 County School Fund 45.000.00
30. Revenue From or Through
State Sources
(b) Other Basic School Fund
Receipts
32.0 Common (Irreducible) School
Fund
33 1 Vocational Education
Regular Priwram
33.2 Vocational Education
Adult Protrram ,
80. 90. Receipts From Other School
Districts
(a) Tuition
Beginning Net Cash Balance (or
Deficit) Lss Cash Working Fund .
TOTAL BUDGET RESOURCES
$ 2,751.91 $ 6,175.00
$ 450.00
298.20
$ 1,575.00
3,100.00
5,500.00
$ 10,175.00
$ 450.00
..$ 61,450.00
Total Fixed Charges
900-1000 Food Services and
Student-Body Activitiei
900 Food Services
910 Salaries
922 Supplies 2,000.00
935 Replacement of Equipment 3,420.00
1000 Student-Body Activities 5,700.00
..$ 1,000.00
200.00
Total Food Services and
Student-Body Activities $ 12,120.00
1100 Community Services
11 10 Salaries . $ 450.00
1120 Supplies and Other Expense
112) Community Recreational
Activities 400.00
20,072.19
$ 748.20
$ 3,285.41
25.460.57
650.00
1,498.00
14,500.00
Total Community Services $ 850.00
1200 Capital Outlay
1273 Improvement to Sites
1276 New Buildings and Additions
1278 Equipment 9,006.00
$ 29,072.19 $ 28,751.98
$ 15,998.00
$ 4,000.00
Total Capitol Outlay 9,006.00
EMERGENCY $ 4,000.00
SR67.547.50 $938,025.90 $1 ,044,067.25
TOTAL GENERAL FUND
EXPENDITURES
. $1,133,409.00
SCHEDULE IV
Actual Expenditures
Fiscal Year Fiscal Year
BOND INTEREST AND REDEMPTION FUND
ESTIMATED RECEIPTS AND BEGINNING CASH
Ending
June 30,
1959
$ 93,738.30
5,984.50
Ending
June 30,
19(1(1
87.528.75
3,177.50
Budget
Allowance
Current
Fiscal Year
1960-61
$125,703.00
24,715.35
BALANCE
Estimated
Expenditures
Item Ensuing
Fiscal Year
1900-61
Total Receipts $117,292.50
Beginning Net Cash Balance (or Deficit) 9,519.77
65.000 00
2.714.00 j
4,000,00 I
2,200,00 j
10.000,00
2.500.00
$ 99.722.89 $ 84,351 25 $100,987.65
Total Budget Resources
$107,772.73
$ 62,000.00
25,060.25
62,400.00
21,051.25
ESTIMATED EXPENDITURES
1381.1 Principal on Bonds (Include
negotiable interest-bearing war
72.000.00 rants Issued under ORS 328.260) $ 76.000.00
44,740.00 1382 Interest on Bonds 32,702.50
Reserve 8,590.00
$ 87.066,25 $ 84,351,25 $118,740.00
Total Expenditures
$117,292.50
GENERAL FUND
$470,414.00
Approved by Budget Committee
Signed:
Lester E. James
Secretary, Budget Committee
Approved March 8, 1961
Donald E. Morrow
Chairman, Budget Committee
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Medford Mail Tribune