Medford mail tribune. (Medford, Or.) 1909-1989, February 27, 1963, Image 21

Below is the OCR text representation for this newspapers page. It is also available as plain text as well as XML.

    WEDNESDAY, FEBRUARY VI, 19EJ
E
UGAl NOTICES
LEGAL NOTICES
LEGAL NOTICES
LEGAL NOTICES
LEGAL NOTICES
LEGAL NOTICES
LEGAL NOTICES
LEGAL NOTICES
LEGAL NOTICES
MEDFOHD MAIL TRIBUNE, MEDFORD, OREGON
NOTICE OF SCHOOL MEETING
Notice is hereby given to the legal voters of Medford school district No. 549C of Jackson Countv, State of Oregon, that
SCHOOL MEETING of the said district will be held at Hedrick Junior High Speech Room 224 on the 15th day of
March, 1963, at 7:30 o'clock pm,, for the purpose of discussing the budget for the fiscal year beginning July 1, 1963, and
ending June 30, 1964, hereinafter set forth.
BUDGET-FISCAL YEAR 1963-1964
SUMMARY OF ESTIMATED EXPENDITURES, RECEIPTS AND School
SCHEDULE I AVAILABLE CASH BALANCES, AND TAX LEVIES Lunch Fund
Not Included
Bond Interest in Totals
Estimation of Tax Levy Total General & Redemption No Levy
All Funds Fund Fund Necessarv
1. a. Total Estimated Expenditures $5,061,057.07 $4,683,457.00 $377,600.07 $303,623.56
b. Total Reserved for Expenditure in Future Years 89,561.40 89,561.40
c. Total Estimated Expenditures and Reserve 5,150,618.47 4,683,457.00 467.161.47 303.623.56
DEDUCT:
2. Total Estimated Receipts and Available Cash Balances 1,521.986.17 1,407,784.35 114.20181 303,623.56
3. Amount Necessary to Balance the Budget 3,628.632.30 3,275,672.64 352,959.66
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 170,295.87 135,000.00 35,295.97
5. Total Estimated Tax Levies for Ensuing Fiscal Year . $3,798,928.27 $3,410,672.64 $388,255.63
6. Analysis of Estimated Tax Levies:
(a) Amount Inside 6rr Limitation 044,400.00 644,400.00
(b) Amount Outside 6 Limitation 2,768,272.64 2,766,272.64
(c) Not Subject to 6 Limitation 388,255.63
Cash Working Fund (Schedule VI D) .". S 97.000.00
INDEBTEDNESS
1, Amount of bonded indebtedness (Include all negotiable interest-bearing
warrants issued under ORS 328.205) $3,786,250,00
4. Total indebtedness (sum of items 1, 2, 3) $3,786,250.00
GENERAL FUND
SCHEDULE II ESTIMATED RECEIPT'S AND BEGINNING CASH BALANCE
Actual Receipts Budget Estimated
Fiscal Year Fiscal Year Allowance Receipts
Ending Ending Current Item Ensuing
June 30, 1961 June 30, 1962 Fiscal Year Fiscal Year
10. Revnu From Locl Sources
$1,191,030.76 $1,380,830 69 S 11.1 District Tax received in year levied $
109,401.57 85,556. !8 72,800.00 11.2 District Tax Prior Years' Levies 72,000.00
2.950.42 194.00 14.2 Earnings from Temporary Investments
3.055.02 3.237.57 3.0110.0(1 12.1 Tuition From Patrons Regular Program 2.500.00
4,288.58 12.828.07 4,850.00 14.0 Other 4,850.00
1,032.10 1,797.25 500.00 12.9 Other Tuition 500.00
20. Revenue From Intermediate Sources
445,505.90 162,431.37 161.1 19.50 21.0 Countv School Fund 163,000.00
22.0 Rural School District
854.502.77 922.435.18 22.1 Apportionment
88.18fi.67 81,902.66 71,600.00 22.2 Prior Years' Levies (Rural) 7i,bl!0.00
6,195.58 29.0 Other Revenue Non High
30. Revenue From Or Through Stats Sources
31.0 Basic School Support Fund -
865,456.15 985,387.44 920.000.00 (b) Other Basic School Fund Receipts 960,000.00
10,098.57 12,065.90 10.450.00 32.0 Common (Irreducible) School Fund 11.500.00
16,390.07 33,459.69 6.232.00 33.1 Vocational Education Regular Program 7,000.00
4,880.00 3,000.00 H4.0 Driver Education 6.800.00
4,817.25 11.512.73 11.512.00 35.0 NDEA 6.381.50
19,595.69 26.913 42 20,8110.00 38.0 Special Education 21.652.86
2,000.00 1,746.60 2,500.00 39.0 Other 8,000.00
4,114.05 8,165.86 1,000.00 70. Sale Of Property And Insurance Adjustments 1,000.00
80.-90. Receipts From Other School Districts
41,506.4.1 4,599.44. (a) Tuition
$3,675,007.56 $3,735,064.05 SI. 289, 393. 50 TOTAL RECEIPTS $1,336,784.36
BEGINNING NET CASH BALANCE (or DEFICIT)
509,369.92 317,971.46 99,382.85 LESS CASH WORKING FUND 71,000.00
$4,184,377.48 $4,053,035.51 Sl.388,776.35 TOTAL BUDGET RESOURCES GENERAL FUND $1,407,784.36
' GENERAL FUND
SCHEDULE III ESTIMATED EXPENDITURES
Actual Evrmnriilm-ns Rliricet Estimated
Fiscal Year Fiscal Year Allowance . Expenditures
F.nHinrt Knrtmp Current Horn Ensuing
June 3(1. 1961 June 30. 1902 Fiscal Year Fiscal Year
100 Administration
110 Salaries
$ 38.788.67 $ 34.945.20 S 35.8K6 00 Ul Superintendent's Office $ 37.071.00
12 876 14 12.803.03 13.070.00 1 12 Office of Business Administration 13,420.00
611.50 601.23 1.510.00 113 School Elections 1'SiSJ'2!!
4 002.73 4.200.00 114 Census Enumeration 2d0.00
L950.00 115 Courier
3fi0.no 119 Research 1.000.00
5,877.72 5,036.02 8.077 00 120 Supplies 8,157 .i Mi
4:jH 77 415.66 OHI'. OO 141 Elections and Publicity 602,00
29qgn 275.00 142 Census Enumeration Supplies
1.302.70 2.582.33 2,080,00 143 Legal service ' "
1,300.00 1,500.00 1.500.00 144 Audit ....... :
2 H97 96 3.352. no 145 Exp. of Adm. Supervisors In-Service 3.35.00
3 410 02 3,397.82 3,735.00 190 Other Expenses of Administration 3.(85. 00
6,310.00 136 Contracted. Data Processing t 8,900.00
$ 70,850.75 $ 64,780.10 $ 80,997.00 Total Administration Expenses $ 81,987.00
200 Instruction
$ 150,207.50 $ 152.814.50 $ 168.302.00 211 Principals ........ - H??
71 113 11 59.532.08 70,713.00 212 Supervisors, Consultants, Directors el'SIn '2
2,069:337.85 2,144.503.87 2,360,853.00 213 Teachers ; ,?o,4 nn
71 445 74 137 233 57 150,369.00 214 Oilier instructional Staff IB7.9Z4.UIT
43 589 75 6o'.431.8t 64,663 00 215 Secretariat and Clerical Assistants 67,Ma.O0
10 010 43 15.764.00 219 Teachers Aides Courier .-. , . S ,'nn
100.775 14 123.238.40 114.755 00 220 Teaching Supplies 1 S-a-SS
58.134. 16 68.35903 53.357.00 22(1 Textbooks , ....... Inillan
30 116 52 34 591 55 37.294.00 227 Library Books. Periodicals. Audiovisual Aids 40.804.00
4.100.00 236 Contracted Services Student Records 5.350.00
a 172 33 II 219 91 1 1.108.00 245 Exp. of Supervisory ft Special Services 11,365.09
9:563.89 4.097.78 7,220.00 290 Other Expense of Instruction 8,070.00
$2,613,475.99 $2,806.038 91 S3.058.563.00 Total Expense of Instruction .. ' $3,361,978.00
300-400 Attendance And Health Service!
300 Attendance Services
$ 630.00 $ 630.00 $ 675 00 310 Salaries $ 720.00
3000 320 Supplies 50.00
. 90.00 108.00 345 Travel 108.00
400 Health Services
14 425 00 11.612.25 18.510.00 410 Salaries 22,943.00
3 649 22 2.295 89 2.391.00 420 Supplies 2.530.00
'08 00 800.00 436 Contracted Health Services 800.00
775.43 1.400 00 445 Home Calls Car Expense 1.505.00
$ 18.704.22 S 15.701.57 S 23.934.00 Total Attendance and Health Services : $ 28,656.00
500 Pupil Transportation Srvicc
$ 51 510 67 $ 57.163 99 $ 64.733.00 510 Salaries $ B9.031.00
34 740 70 30 654 29 30.400.00 520 Supplies and Repairs 27,720.00
22.983.13 27.000 00 535 Replacement of Vehicles 16,800.00
2 593 42 2 810(10 3.000.00 552 Transportation Insurance 3,600.00
880.00 1.850.51 1.789.00 566 Trans, other than Home to School 1,839.00
451 60 545 00 590 Other Expenses of Pupil Transportation 545.00
$ 89,724.79 $ 115.913.52 S 127.467.00 Total Pupil Transportation Services $ 119.535.00
BOO Operation Of Plant
$ 150 409 00 $ 169 404 54 $ 138,206.00 61(1 Salaries $ 184.553.00
5 670 04 20 31 1 37 28.779 00 620 Supolics 26,980.00
37 604 65 42.765 5( 43.084 00 628 Fori for lirat 43.084.00
68 373 17 76.523 63 74.949 00 630 Utilities except Furl . 79,099.00
9.89143 10.590 00 636 Contracted service for operation of plant 10,894.00
2.285 09 3 98 550 00 690 Other Expense Oner, of Plant 550.00
$ 284.342 85 S 324.905.56 $ 346.158 00 Total Operation of Plant $ 345.160.0f!
700 Maintenance Of Plnt
$ 148 308 95 $ 134.040 ! S 133.645 00 710 Salaries : $ 127.287.00
106.360.71 71.276 33 00.115 00 720 Materials and Supplies 50.884.00
26.306 85 34.669.27 29.95! 00 735 Replacement of Equipment 36.895.00
975 68 11.885 55 12.629.00 736 Contracted Service 18.977.00
420.18 868 10 600 00 790 Other Expense of Maintenance of Plant 600.00
$ 282,372.37 S 252.740 23 $ 236.940 00 Total Maintenance of Plant $ 234.639.00
800 Fixed Charges
$ 178.160 14 $ 180,695 32 S 187,625 00 85! Retirement and Social Security Expense .. .' $ 205 963 00
36.320 00 23.794 36 43.280 0(1 852 Insurance 46 877 00
429 89 1.803 75 2.OU0.0O 855 Interest on Current Loans 5 100 00
3.000 00 1.277 45 4.76600 8au Other Fixed Charges 2.815.00
$ 217,910.03 S 207.570 83 $ 237,671 00 Total Fixed Charges $ 260.755.00
900 1000 Food Sric And StutUntBedy AeimSi
900 f ood Serv ices
$ 8.325 28 S 8.88'i 00 $ !M.Y 00 910 Salaries $ 0 610 00
13.878 00 15.209 00 935 Replacement of Equipment 4 983 00
315 00 350 00 990 Oiher Exp. for Food Service 350 09
iimmj .luoem-ooov flcnvmrs
3.579 43 1020 Supplies & Other Expenses
I 11.904 77 S 23.079 00 $ 25.014 09 Total Food Services and Student-Body Activ.tirj $ 14,943.00
i I
Actual Expenditures
Fiscal Year Fiscal Year
Ending
June 30. 1961
50431
Ending
June 30, 1962
66851
976.21
30000
1.016.00
5793
1.365 00
2.820.31
12.25750
24.314.15
1.734 80
81.80806
133,271.71
500.00
4,067.65
4.483.80
14,003.35
5.162.90
17.34! 63
85,397.16
Budget
Allowance
Current
Fiscal Year
904.00
1,000 00
25.00
3,300.00
5.229.00
600.00
12.500.00
13.015.00
750 00
9.020.00
53.894 00
$ 253,886.22 $ 126.38884 S 89,779 00
$ 20,413.72 $ 32,466.40 S 2,540.00
20,413.72 $ 12,468.40 $
2.540.00
20,000.00
$3,866,406.02 $3,953,652.66 S4.254.292.00
ESTIMATED EXPENDITURES
Estimated
Expenditures
Item Ensuing
Fiscal Year
1100 Community SsrvieM
II 0 Salaries
1111 Community Recreational Activities $ 1,028 90
1112 Civic Activities 690.80
1120 Supplies and Other Expense
1121 Community Recreational Activities 25.00
1122 Civic Activities ,
1128 Textbooks for Non-Public School Pupils
Total Community Services. $ 1,653,00
J 200 Capital Outlay
1271 Professional Services for Sites $ 200.00
1272 Sites and Site Additions 14.453.00
1273 Improvement to Sites .. 9,700 00
1275 Professional Services for Buildings 750.00
1276 New Buildings and Adcfittuiis 118,750.00
1277 Remodeling 7,704 00
1278 Equipment 59,548.00
1227 Library Books
Total Capita! Outlay S 211,105.80
1400 Payments To Other School Districts
146 1 To Other Districts in State
1461.1 Tuition $ 3,048.88
Total Payments to other School Districts $ 3,048.00
EMERGENCY 20.000.00
TOTAL GENERAL F'UND EXPENDITURES $4,683,457.00
BOND INTEREST AND REDEMPTION FUND
SCHEDULE IV ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
S 454,267.42 $ 339.162.78 $ Total Receipts , $
127.302.49 212,074.28 179,714.03 Beginning Net Cash Balance (or Deficit) 114,201,81
S 581.569.91 $ 551.237.04 S 179,714.03
Total Budget Resources $ 114.2Ql.8t
$ 234.000.00
135,495.65
ESTIMATED EXPENDITURES
1381.1 Principal cm Bonds (Include negotiable interest-bearing
$ 246.000.00 $ 253.000.00 warrants issued under ORS 328.260) $ 259,000.00
136,886.89 126.488.32 1382 Interest on Bonds 118,600,07
95,081,60 Reserve for Bonds and Interest 89,561,40
$ 369,495.65 $ 382.896.89 S 474,567.92 Total Expenditures
. $ 467,161.47
SCHEDULE V
$ 32,711.78
207.658. 2S
8,325.28
SCHOOL LUNCH FUND
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
KTITfOW FOR EJCCttSrasf
Part of Tram No. 33H
fff THK MATTER Of THE AP.
PUCATfO.V of
ELK LUMBER COMPANY, e Catt-
forma corporation.
The Petition of Ilk Lumber
Company thews:
i That the Petitioner it She
owner m fee of the following de
scribed iamt. situate in Jackton
County Oregon, to-wltr
Beeinmnj at S. W. Comer ef
BLC. S in Sec. S. T ST S,
R W. W.M ; mence North
isms ft., thentre East SfiS ft.
the true point of bestnnmjfr
trtetwe North IS3A ft. thence
Easterly osi 8 ft thence South
182 & ft. iheftee Westerly 5ff J tf
ft to the true jsomt of beammnij.
Contatnmt 2. is acres more or
lea
' That ssia above described
(an!! cRRititute a portion f th
Rtvgue Riser Valley irrssEitton Dti
triet, a public corporation orjfsrr
ied and existing tinder and pur
suartt to the provision of hpte
( the Ueneral Laws of Greeaa
lor 1H1
a. That your Petitioner desires
to have said latvct exehiitrd trsiirs
said Irrigation District for lb
follwwina sraurtds- and reason.
that is to sav : FiM- thf, rfstm ,t
is no loneer to be devoted to asri
cultural use and will noi fee sutt
able tnr tbe production of croos.
vnE.K,f UHE. vouf Petitionee
prays that said land be excluded
(ronv assessments by the Roau
River Valtev tme&tum District and
that the Board of Directors of said
Ulsmcl make and file- an order la
that effect.
ELK LUMBER COMPANY
By George c. Flanagan
Vtce-President.
STATE OF OREGON!
1 SI.
COtWTY OF JACKSOffi
November 2. urtiZ
Personaffv aooeared Genrir. ff.
FlanattHn. who. being duly sworn,
did my that he Is the Vice-Prest
dent of Elk Lumber Company ami
r(r tne seat arrfjrea to tne tore
jfotni instrument is the cornorata
seal of Kgtd corporation and that
safrf instrument was atsned and
sealed in behalf of the said cor
poration bv authority of tt froartf
of dtreeiorsr and he aefsnoiviedged
srtio instrument to ere iu vommarar
act and deed.
Before me:
B. Sam Taytor.
Notary Public for Oregon,
My Comntissten Expires
June X3. X3&,
248.695.24
3,568.28
33.812.37
253.861.57
23,079.00
270.752.94
3,601.50
$ 34,785.78
243,503.19
25,014.00
$ 302,882.89
38 Federal Money Received Tbrough State $
77 Sale of Lunches
80 From District :
38,320.58
252.380.00
14,943.00
Tots! Receipts S 303,823.56
Beginning Net Cash Balance tor Deficit!
S 252,261.52 $ 274,354.44 S 302,882,89
Total Budget Resources $ 383,823.56
96.721.51
149,438.51
2,500.08
$ 248,660.02
3,601.50
$ 105.657.3 1
149,220.73
2,508.00
9,726.59
315.00
$ 287,419.93
6934.81
ESTIMATED EXPENDITURES AND RESERVE
110,908.90 950 Salaries
173,914.99 92 1 Food
2,500.00 922 Supptir
15,209.00 935 Replacement of Equipment
350.00 890 Car Allowance
112.846.82
183,143.94
2,500.00
4,983.00
350,00
$ 302,882.89
. $ 303,829.58
S 252,281.52 $ 274,354.44 S 302,882.89
Total Estimated Expenditures
Reserved for Expenditure in Future Years ,
Total Expenditure and Reserve S 303,823,58
SCHEDULE VI CASH WORKING FUND
A. Cash Balance In Cash Working Fund During Current Fiscal Year $ 97,000,00
B. ADD: Transfer from Unexpended Balance of General Fund as Atithorued by ORS 294.348
C. DEDUCT: Transfer to General Fund it Balance in Item A is in Excess of 'f Itat Authorized by ORS 294.348
NOTICE TO CREDITORS
N'Q. P-tt-Sl
W THE CIRCUIT COURT Or THE
STATE OF OREGON f OR JACK
SON County, Probate Depart
ment
In the Matter of the Esiaie
of
JOE S KOSSER, Deceased
Notice is hereby given that the
undersigned has been appointed
and qualified as Administratrix of
the Estate of Joe S. Fosser, De
ceased, and ail persons having
claims against said estate are
hereby notified to present the
same, with proper vouchers. t
the office of my attorney, Robert
D, Dames, i Goidy Building, Sfrti
fifrsf, Oregon, within six month
from the date hereof.
Dated and first pabllshed thi
13 day of February. ffftf3.
Beatrice Fesser,
Administratrix,
Rnbert D, Dantes
: Attorney for administratrix
jwsatord, Oregon.
D. Balance in Cash Working Fund for Ensuing Fiscal Year 97,000.08
Approved by Budget Committee
Approved February 19, 1963
Signed:
Marion C. Friend
Secretary, Budget Committee
A. N. Potter
Vice Chairman, Budget Committee
Posted February 27, 1963
Signed:
Wilson G, Slater
District Clerk
ALL DAUGHTERS-Four boys meet their
new brother but in this case all of the boys
are Daughters. Mrs. LeRoy Daughters re
cently gave birth to her fifth son, Michael
Todd, at Kankakee, HI. Viewing their new
brother arc, left, Robert, 8; Richard, 5;
Mark, 2, and Allen, 3. According to the
Daughters, there are no daughters in the
immediate family. tUPI)
Actress Celebrates
Her 3tst Birthday
London -t'PIi- Actress Eliza
beth Taylor today spent most
of her 31st birthday watching
her good friend Richard Bur
ton do retakes for the film
"Cleopatra' in which they
star.
Her parents, Mr. and Mrs,
Francis Taylor, arrived here
from New York last week to
be on hand for the birthday.
They planned a small family
party for tonight, but it was
not certain Burton would at
tend. Burton has been Miss Tay
lor's almost constant com
panion since they worked to
gether in the movie "Cleo
patra" in Rome. They are botsi
currently involved in the film
ing of "Very Important Per
sons" at a studio outside Lon
don. The actress recently under
went manipulative surgery
for an injured cartilege in her
left leg and still walks with
a slight limp.
She was born in London but
was sent to live wtih her
grandmother in Pasadena,
Calif., before World War II
started, later becoming a child
movie actress In Hollywood,
I
Try and Stop Me
By BENNETT CERF
71 TOREY AMSTERDAM tells about the first time two
pinochle addicts attempted a round of golf, Mr, L shot
the first hole in 47, nosing out Mr. G. by two strokes. As
they approached the sec
ond tee, Mr. If. mused,
"You know something,
Mac, this golf has Inter
esting possibilities. What
do you say we play for a
nickei a hundred?1
Apt thumb-nail aummary
of the current state of af
fairs in Movtedom by Critic
Jease Zunncr; 'This is a
time in Hollywood in which
a fivc-million-dollar picture
costs twenty miilioitj in
which a ton-mi iiioiv dollar
picture to brought in for
thirty-five miiiion; and in which ons irate producer referrfnjf to
tars Kky-higfi 'vanity ataries ftnj temperamental petulant
eraeketf, The Jtmatic are taking over the ajtyhim"
A sweet but sad U!e concerns a srey-baired lady waiting for a
IMadiion Avenue bus tn New York City. She waa overweight and
obviously crippled with rheumatism. Her arms were foacfoi with
packages.
As she prepared to climb aboard the bus, a men behind her
volunteered a helping hand. The Jd Sady declined with a sad
smile. "I'd best manage atone," she explained. "If I get help
today I'll want it tomorrow."
O 1962, by BenoU Cert SiaUibuted by Kiass FesUu
NortCK ro citirnrTORS
In the Circuit Court of Ute State
nf Oregon lot the County of
Jaeftaori
In tne Mutter of the r.nltit of
John DcCweffcr. rfpccnsed.
NOTfCK IS HEREBY GiVEiV.
iftni fhe- tmtie-Tnigncii hit been
Hppafntrrf as Arfmtnistnrtar with
Wiii A r-mexfrf of She estate of John
uetwerrer. occcbsco, nntr air per
smv having Hatm affitiitsi iafcf e
tftJe are irerrby iifiert to preservt
tfvt1- sfliiic, with pmper vmrriWnr, at
IS iirwptiy Btttitiinff, Motors, Oit
Stfrr. within trx mem t ha 1 rom the
date hefwf.
iftitrcf thi 20fh day of February,
f?ftrj?fJ K. Denmsm,
Arimitvisirsior wfih
Wiii Anrrexeif.
NOTICE iiV RVI.E or BEAU
PUUFEJITY
Va. um
IN THE CIRCUIT COURT OF THE
STATE OF OH EG ON FOR
THK COUNTY OF JACKSON
Primle DcpariiHsrvt
In the Matter I 5 he tt
CLAUDE AUGUSTUS GROVE. SUS
ktwws s Claude A. Ureve,
Deceased.
Nirfire it hereby sives that the
WfKieritiBtvpft Admiriiiinttsr J the
ihs krMsws as Ciautie A. Grove,
rieteaseti, pursuant te an rrfer ef
SFffie of th Circuit Court of the
Ktte stf Qrcgim. for the Csanty
ttt Jafewm, maei m errfereei in
the aive eftiitird psiatr rm tne
2th day rf Kehraary, iSfiS. wiii
offer fr atftie and eii from and;
after the 3m rtay of March. iW3.
fnr exxh, at iig 15. Sixth Street,
MetffJiTfi, Oregf-m, the foiiowfns dc
jtrritiert rr-ai properiy oeiotiging to
arrf Mtate, to-wttr
Bcginmng at the Quarter Section
corner between Section! 2T and
2ft, T(3wnhip as South, Range 4
Weit of the Wfifamette Merirfiart
in Jack ion County, Orcgotu
thenca Eait 723 ft feet to the
center line of the Emt Evani
VHitey County Road; (hence
North K Sft West along aaid
rnact tine SMflfl feet to a -pin-,
thence North 0 30' Wett MS
feet to a jnn the true point of
beRinnins; thence Piorlh 0 3U'
Went IH feet to a ptnt thence
South 8a 0r 3tU 5 feet to pin;
thence Suuth fl 5r EaL Ittft
feel to a pin; thence Westerly
0S teet a in-che to the point of
heifinnln containins one and
nne-hatf acre, more or lew. ex
cepting. County Road ushl-af-
The ie witt he nuhiect to the
cm(.rjnttji I the above entilied
Court,
T. C Hnpktna
Af!mirvitrtor
Van Dyke. nellcnhacJc U
Mcfioodwtn
Attornev lor Administrator
1 in E Sixth Street
McrtJrd, OregjsR
Dale of Firit puhik-ation: rh.
Date of Ut Buhilcatloni March
2fi,
Deserted Wife Bill
Gefs House Approval
WasiiitiKlort-itfPii-The Kouse
Tuesday approved a b that
woutrt give a woman whose
husband deserted her the
same opportunity to deduct
ehild care expenses &t,t now
permitted widows.
The Inter nl Revenue code
now xtfaw work.ng widows
to dedttet tip to $S0S lot care
of a eftftrf ttrrder 12 years or a
depRdent who eartnot care
tor himseif.
In open fields, wind erosion
begin when wind velocity is
iju mties per hour meas-
ared one foot above the
ground ur facte
K
PETiTiGiV FOR TiVCttSFGW
IN TttK MATTER OF TKE APPLt
CAT EON of
ELK LUMBER COMPANY, a Caii
furma eorporation.
The Peiitven f Eik Lumber
i-oiivpany ahawir
i.
Petitioner is the owner in ?e
af the fiiwirtK deseriseci i-mci.
sitiiste is Jacksors GoaKty, Oregon,
Besinnlrra; at the SfSEithweat Car
ner ol S UC, SH, in Sec 14r T
373, R. 2W, WM thesses NaEtts
ISS4 feet to the true point &t
IjGginnisiS: thence Westerly par
aifel to tle South boundary oi
reMi property deseribefi iri Vet
Mie 4:i3: prj pas! to 32S
of the Deed Record of Jackson
Cotinty, Gresott:. a distarsee o
75tt.O JeeU thence North 226S.0
feet more or less to a point 12 0.
feet South oX the Southerly
riflht-of-WHV bouotiHrv of a pub
lic roadway known a Beii-tt
lane: thence Easfcri v para Met ia
the Southerly boundary fine of
Nfiid 0caii Lane a ctisfiincc of
217.3 feet, thence South ?-t9
feet; thence Easterly parallel ta
the Southeri?" boundary of satrf
Healt Lane a distance of tiTu0
feet; thence North feett
thence EaaterTy parallel to the
Southerly boundary of sard
Besil Lane a diatarree of HTS ?
feetr thence South 3S&.& fecti
thenee Esateriy paralfei to the
Southeriy boundary of said Beaii
Lane a riialance of 2 .10 fecti
thence Korih 35. feet: thenc
Easterly paraiiei to the Souther
iy hoanEiariy of said Beali L,an
a dmance of i32.Q fectr thenc
South Sim feet; thwee Wet
erty- parafiei to the Sowtherfjr
boundary of reai properly tic
scribed irr Vefiimn is3 &rs p&gef
32 to 32 of tiie Deed R?eord
of Jarksen Caniy. Oregon: m
dtatanee &f 3S2.& feet; iivervca
Soitih ii t ieet; thence Westeriy
paralet 5o toe Southerly oeon
dsry of shove described prop
erty distance of fec-tf
therree South 2fi?9 feet ts ih
true point of beginning,
Gorviairsinj; J. acre more af
less. ,
Point delivery tar said traet
being the aante aa that cieseribed
im that area designated: as
Tract No. 5?H in the record J
the Roue River Vaiiey Irrtjja
tioR DiJtrict.
H.
That Mid iand S adiacent t 4h
haundaEle at the Rosue Hive
Vahey Irrigation District,
nle-lpai orsjaRizatiorw daly oran
iied and exuima; under and pur
auant to the Saw a j ihj Siat
ot Oreson, and further thazt said
land ia auilabte tor asrieuiturai
ajvd hartieuitUFal purpoaea, arHft i
rj-.'t platted in tract ol leu than
on acre.
itt.
That your petitioner desire to
have the approximately sa.-t acrea
above deseftbed; and to be knov&
a an addition to Tract 35!H in
eluded ta said Rogue EUver Valley
Imsatten Diatrict and i willinsf
to pay the expenae tncurred by
the btsard at direciora in this pro
ceeding and to contract and here
by doci contract to become li
able, under band isaue or othef
form of indebtednesa incurred nr
thai nay be incurred by the dia
trict. to said dutrtct auch re
spective auni aa aaid petitioner
could have been, required to pay
to aaid district as assessment for
the nay meat of the oro-rate ahara
of the above-said described land
of ait bonda and the Interest there
on, which mar have been included
in satd district the time tha
same was ortginntiy tGft.i.$ of
when raid bonds were issued.
IV.
The petitioner agrees to ftjmtsft
rtaht of way from the nearest use
able dtstrrct dttchr' and bmfd a
dttrh or us an esttattnf wafer
w to its property which wiii b
attfrtorv in the rftstrtcf.
WHEREFORE, your petttfonrr
prayr that sarrf fand be inchrded
in the District, and that the btwrrf
of directors or said dvatrtct mak
and file an order to that effet-i.
ELK LUMBER COMPANY
By CJeorge C. Fianagan,
Vice-President,
STATE OF REGO.V
COUNTY Or JACKSOtfs""
January tf, fS3.
Pertonaiiy appeared Geofjfe C
Flanagan, who, bema tftriy aworrt,
dtd aay that he ta the Vice-President
of Eih Lutnber Company and
that the seat affixed to the fore
going instrument in the efptrat
seal of aaid corporation and that
satd imrtrumeni was signed and;
aeaiert in behaif of the aaid cor
poration hy authority f ifa board:
of direriorar and ha aeknewiertgett
said instmment to b itr vofuntary
ac ami deed.
Before me,
Lnrraine H. Beard,
Notary Pwhiic for Orejprft,
Mir Cmnmision Expires.
May 17, ism.