Medford mail tribune. (Medford, Or.) 1909-1989, March 25, 1963, Image 16

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    .i
6 6
MONDAY, MARCH 25. 1963
MEDFORD MAIL TRIBUNE. MEDFORD, OREGON
NOTICE OF SCHOOL MEETING
Notice Is hereby given to the legal voter of Pinnhurst school district No. 94 of Jack
eon County, State of Oregon, that a SCHOOL MEETING of the said district will be held
at School House on the 10th day of April, 1963, at 7:30 o'clock p.m., for the purpose of
discussing the budget for the fiscal year beginning July 1, 1083, and ending June 30, 1964,
hereinafter set forth.
BUDGET-FISCAL YEAR 1963-1964
SUMMARY OF ESTIMATED EXPENDITURES, RECEIPTS AND AVAILABLE CASH
SCHEDULE I BALANCES, AND TAX LEVILS
Total
A. Estimation of Tax Lew All Funds
1. a. Total Estimated Expenditures . $20,700.00
c. Total Estimated Expenditures and Reserve .
DEDUCT:
2. Total Estimated Receipts and Available Cash
Balances
3. Amount Necessary to Balance the Budget
ADD:
4. Estimated Amount of Taxes That Will Not he
Collected During the Fiscal Year for Which
This Budget Is Made, Including Estimated Re
bate on Taxes
5. Total Estimated Tax Levies for Ensuing Fiscal
Year
6. Analysis of Estimated Tax Levies:
(b) Amount Outside 6 Limitation
20,700.00
13,710 00
7,080 00
500 00
7,580.00
7.580 00
General
Fund
$19,500.00
19,500.00
12.51000
7,080.00
500.00
7,530.00
School
Lunch
Fund
$1,200.00
1,200.00
1,20000
SCHEDULE
Actual
Fiscal Year
Ending
June 30,
1961
7,922.82
, 371.48
395.00
2,083.78
3,320.44
310.00
3,870.49
II
GENERAL FUND
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
Receipts
Fiscal year
Ending
June 30,
1962
8,762.52
90.05
420.00
528.44
4,054.68
593.49
Budget
Allowance
Current
Fiscal
1962-63
750.00
480.00
Item
600.00
$ 3,392.00 $ 42.45
3,406.36
47.92
17.00
110.00
159.17
44.70
123.34
55.00
373.82
2,262 00
40.00
Estimated
Receipts
Ensuing
Fiscal Year
10. Revenue From Local Sources
11.1 District Tax received in year
levied
11.2 District Tax Prior Years' Levies $ 750.00
14.0 Other Rent 480.00
20. Revenue From Intermediate Sources
21 .0 County School Fund $ 600.00
22.1 Apportionment
22.2 Prior Years' Levies (Rural)
22.3 Other
30. Revenue From or Through
Stale Sources
31.0 Basic School Support Fund
(a) Off-set ARainst Tax Levy
(b) Olhcr Basic School Fund
Receipts $ 2,640.00
32.0 Common (Irreducible) School
Fund 40.00
33.3 Other
33.4 Other
33.5 Olher
Revenue Direct From Federal
Sources
41.0 Public Law 874
80. 90. Receipts From Oother School
Districts
40
$22,018.10 $18,404.86
5,329.00
$ 4,132.00 TOTAL RECEIPTS $ 4,510.00
BEGINNING NET CASH BALANCE (or
. DEFICIT) LESS CASH WORKING
FUND $ 8,000.00
2.000.00
$22,018.10 $23,823.86 $ 6.132.00
TOTAL BUDGET RESOURCES
GENERAL FUND $12,510.00
SCHEDULE III
Expenditures
Fiscal Year Fiscal year Allowance
Ending Ending uurrent
June 30, June 30, Fiscal
1961 1962 1962-63
GENERAL FUND
ESTIMATED EXPENDITURES
Budget
Item
$ 600.00 $ 600.00 $ 600.00
15.83 14.24 2000
119.45 137.08 125.00
24.50 35.00
4.05 12.42
6.21 20.00
$ 769.24 $ 804.93 $ 765 00
$ 5,400.00 $ 5,50098 $ 8.100 (10
9,000.04 5,200.00 5,500.00
72.08
127.00
. 17.98
202.15 271.02 150.00
179.89 247.98 300.00
29.30 75.12 250.00
54.78 35.00
$11,218.50 $11,565.88 $12,335.00
$ $ $ 360
10.76 10 00
$ 7 $ 10.76 $ 10.00
$ 243.00 $ 256.80 $ 1,150.00
$ 243.00 $ 258.80 $ 1,150.00
$ 1,504 00 $ 1,500.00 $ 1.500 00
218.80 65.00 100.0(1
375.00 322.50 375.00
320.18 266.52 400 00
$ 2.416.07 $ 2,184.92 $ 2,375.00
Estimalert
Expenditures
Ensuing
Fiscal Year
Receipts
100 Administration
110 Salaries
112 Office of Business Administration $ 780.00
120 Supplies 30.00
141 Elections and Publicity
143 Legal Service
144 Audit
190 Other Expenses of Administration.... 20.00
Total Administration Expenses $ 830.00
200 Instruction
210 Salaries $ 6,400.00
213 Teachers , ,
100.00
275.00
150.00
$ 4800
84 20
335.00
$ 467.20
220 TearhinR Supplies
226 Textbooks
227 Library Books. Periodicals,
Audiovisual Aids ..
200 Other Expense of Instruction
Tolnl Exoense of Instruction $ 6,025.00
300-400 Attendance and Health Services
300 Atlendance Services $
400 Health Services
420 Supplies 10 00
Total Attendance and Health Service... $ 10.00
500 Pupil Transportation Services
565 Payment in lieu of Transportation ... S 1,000.00
Tolnl Pupil Transportation Services ... $ 1,000.00
600 Operation of Plant
010 Salaries $ 1.500.00
620 Supplies 100.00
628 Fuel for Heat 375.0(1
630 Utilities except Fuel 350.00
7870
500 00
662.54
470.82
78.70
625 97
470.80
500.00
830.00
524.5(1
Total Onerntinn of Plant $ 2.325 00
700 Maintenance of Plant
710 Salaries $
720 Materials and Supplies $ 500.00
735 Replacement o( F.quipmcnt .
Total Maintenance of plant $ ,100.00
R00 Fixed Charqes
851 Retirement and Social Security
Expense , '. $ 500 00
852 liisiiram-e 500.00
$ 1,142.36 $ 1,105.67 $ 1,354.50
$ 675 00
150 17
$ 834.17
$ 1,128 47
675 00
123 34
675 00
' Tntnl Fixed Char stos $ 1,000.00
900-1000 Food Servires and Student.
Body Activities
000 Food Services
010 Salaries $ 810 00
70834
132 00
675 00
300 00
Total Food Sri-vires and Studonl-Podv
Activities $ 810 00
1200 Capital Outlay
1'.!7fi New Huildinc,s and Additions .. $
1277 Remodeling 100 00
1278 Equipment
$ 1.128.47 $ 132 00 $ 300.00
$ 1,880 00 $ $ 5,000 on
840 60 1.629 60 2.000 00
$ 2.729 60 $ 1,629 60 $ 7.000 00
$20.04 43 $18.567 60 $26.568 10
Total rapilal Outlay . $ 100 00
1400 Payment to Other School Districts
14(11 'In Other Districts in State
1461 1 Tuition $ 4.3 10 110
1461 2 Transportation 1.750.00
Total Payments to other School
Districts
TOTAL GENERAL FUND
FXPENPlTI'liKS
$ 6.000 00
$10,500 on
SCHEDULE V
Actual Receipts
Fiscal Year Fiscal year
Ending Ending
June 30, June 30,
1061 1962
SCHOOL LUNCH FUND
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
Budget
Allowance
Current
Fisral
1062 63
$ fin 00
500 00
675 00
$ 1.265 00
$ 1.205 00
Estimated
For
Hem Ensuing
Fiscal Year
36 Federal Money Received Through
Stale ,. $
77 Sale of Lunches
no no
3110.110
8to no
Total Receipts
Total Budget Resources
ESTIMATED EXPENDni lJES AND RESERVE-
675 00 $ 675 00 1110 Salaries
560 00 021 Food
30 00 0L'2 Supplies
123 34 Other
$ 708 34 $ 1.265 00
Approved by Budget Committee
Approved March 13, 1063
Signed:
Ginger Rriggs
Secretary. Budget Committee
Howard Moore
Chairman, Budget Committee
TOTAL
Posted March
1063
Sinned;
Mildred D Laird
District Clerk
NOTICE OF SCHOOL MEETING
Notice is hereby given to the legal voters of Butte Falls school district No. 91 of
Jackson County, State of Oregon, that a SCHOOL MEETING of the said district will be
held at the High School on the 9th day of April, 1963, at 7:30 o'clock p.m., for the pur
pose 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 AVAILABLE CASH
SCHEDULE I BALANCES, AND TAX LEVIES
Bond
Total Interest and School
A. All General Redemp. Lunch
Estimation of Tax Levy Funds Fund Fund Fund
1. a. Total Estimated Expenditures $153,604.05 $136,107.80 $10,786.25 $6,710.00
c. Total Estimated Expenditures and
Reserve 153 604.05 136,107.80 10,786.25 6,710.00
DEDUCT:
2. Total Estimated Receipts and Avail- . .... ,
able Cash Balances 73,038.82 65,280.71 1,046.11 6,710.00
3. Amount Necessary to Balance the
Budget 80,567.23 70,827.09 9,740.14
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 4,071 40 3,000.00 1,071.40
5. Total Estimated Tax Levies for En-
suing Fiscal Year 84,638.63 73,827.09 10,811.54
6. Analysis of Estimated Tax Levies:
(b) Amount Outside 6 Limitation.. 73.827.09 73,827.09
(c) Not Subject to 6 Limitation .... 10,811.54 10,811.54
B. CashWorking FmlScheduieVI D) $6.000 00
C INDEBTEDNESS
i. Amount of bonded indebtedness (Include all negotiable interest-bearing ...
warrants issued under ORS (328.205) !Z'
4. Total indebtedness (sum of items 1, 2, 3) $57,000.00
SCHEDULE II
Actual Receipts
Fiscal Year Fiscal Year
r.rrni t. rnwn
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
Ending
June 30.
1061
63,066.92
1,554.45
200.00
Ending
June 30,
1962
69,639.41
2,902.05
185.32
17.50
Budget
Allowance
Current
Fiscal Year
1962-63
2,000.00
Item
Estimated
Expenditures
Ensuing
Fiscal Year
200.00
3,725.00
300.00
200.00
$ 9,104.54 $ 3,046.47 $ 9,315.00
18,762.71
2,137.88
18.372.77
3,333.23
20.
30,
387.37 $ 1,394.42 $
19,895.58
208.84
433.25
703.48
4,738.22
28.64
19,864.70
234.81
1.648.30
635.48
11,644.00
2.16
19,000.00
203.00
300.00
700.00
$ 10,000.00
10. Revenue From Local Sources
11.1 District Tax received in year
levied I'
ll .2 District Tax-Prior Years' Levies
11.5 Local Tax as Tax Offset
14 0 Other
Revenue From Intermediate
Sources A
21.0 County School Fund $ 3.5B5.00
22.0 Rural School District
22.1 Apportionment
22.2 Prior Years' Levies (Rural)
Revenue From or Through
fitnta finiirees
31.0 Basic School Support Fund
(a) Off-set Against Tax Levy $
(b) Othjr Basic School Fund
Receipts 21,005.71
32.0 Common (Irreducible) School
Fund v 265.00
35 N D E A - 400.00
36 Schooi Lunch Fed. Funds 800.00
40. Revenue Direct From
Federal Sources ,.....
41.0 Public Law 874 $ 15,000.00
70. Sale of Property and
Insurance Adjustments
80.-90. Receipts From Other School
Districts
$121,311.88 $132,921.52 $ 41,718.00 TOTAL RECEIPTS . .. ......$ 45,280.71
BEGINNING NET CASH BALANCE (or
rvrvtriTi T.ESS CASH WORKING
FUND 20,000.00
$ 44.146.12 $ 46,124 74 $ 1,500.00
$165.458 00 $170,046 26 $ 43.218 00
TOTAL BUDGET RESOURCES
GENERAL FUND S 65,280.71
SCHEDULE III
Actual Receipts
Fisral Year Fiscal Year
Ending
June 30,
1061
Ending
June 30,
1062
$ 1,200 00
S 1 .?00 00
$ 810 00
370 on
20 00
$ 1 .200 00
$ 1.304 43 $ 1.478 65 $ 1.392.22
1,700.04 1,800.00 1,90000
140.33 243.07 173.54
278.65 217.42 275.00
100.00 100.00 100.00
26.25 15.00 05.00
126.00
136.80
483 50 725.00
$ 4,033.21 $ 3,901.84 $ 4,786.76
$ 1,200 00 $ 1,341.77 $ 1,300.00
57,305.66 62,163.02 64,150.00
90,06 564.00 2,800.00
1,020 00 1,200.00 1.200.00
835 50 520 00 , 1,100.00
4,344 84 6,103 07 3.429.91
319 53 2.823.72 1,773.55
1,228.43 3.023 54 2.492.60
544 20
724 43 631.91 1.299.95
$ 67.078.35 $ 70,014.32 $ 79,546.01
. GENERAL FUND
ESTIMATED EXPENDITURES
Budget ., . ,
Allowance , Estimated
Current Expenditures
Fiscal Year Item ' Fns umg
1962-63 Fiscal Year
100 Administration
110 Salaries .,.
111 Superintendent's Oftice z.uiu.uu
112 Off ice of Business Administration 2,000.00
120 Supplies
141 Elections and Publicity
142 Census Enumeration
143 Legal Service
144 Audit
Travel
190 Other Expenses of Administration..
103.24
275.00
100.00
140.00
126.00
725.00
Total Administration Expenses $ 5,569.24
200 Instruction
210 Salaries
211 Principals $ 1.300.00
213 Teachers 74.000.00
214 Other Instructional Staff 1,700.00
215 Secretarial and Clerical
Assistants 1,500.00
213 2 Sub. Teachers 1,100.00
220 Teaching Supplies ?'U"Si
226 Textbooks 1,353.83
227 Library Books. Periodicals,
Audiovisual Aids , 1.935.00
245 Travel
290 Other Expense of Instruction 1.424.06
23131 $ 350.08 $ 242.28
Total Expense of Instruction $ 87,430.56
300-400 Attendance and Health
Services
400 Health Services .
420 Supplies S 242.28
231.31 $ - 350.08 $ 242.28
2.417.77
1.410 23
11,183 00
412 47
537 60
$ 2,500 50
1 960 90
312 10
1,000 02
$ 2,825.00
2.540.00
400 00
1.060 00
Total Attendance and Health Services $ 242.28
500 Pupil Transportation Services
510 Salaries $ 2.575.00
520 Supplies and Repairs 2,516.00
535 Replacement of Vehicles
552 Transportation Insurance 400.99
565 Payments in lieu of Transportation 1,060.00
15.061 07 $ 5.872.52
7.678 12
1.046 64
2.556 36
1.585 30
8 531 02
1.262 56
3.864 03
1.787.17
6.834.99
7.865 00
1.669 01
4.400 00
1.500.00
Total Pupil Transportation Services... $ 6.560.99
600 Operation of Plant
610 Salaries $ 8.000 00
620 Supplies . 1,721.90
628 Fuel for Heat 4.400.00
630 Utilities except Fuel 1.500.00
$ 12.866 42 $ 15,444.78 $ 15,434.91
$
58 57
4,703 69
1 00 00
8,200 37
1.457 17
6,329 95
100 00
2.375.76
2.902.45
Total Operation of Plant $ 15,621.99
700 Maintenance of Plant
710 Salaries $ 100.00
720 Materials and Supplies 1.130.00
735 Replacement of Equipment 988.74
736 Contracted Service
$ 4.762 26
$ 4.821 75
2,038 05
441 00
$ 16.096 49
$
4.507 56
856 38
482 00
5.378 21
6.528 15
1.906 45
Total Maintenance of Plant $ 2.218.74
800 Fixed Charges
851 Retirement and Social Security
Expense $ 6.730 00
852 Insurance 2.200 00
Student Ins 580.00
$ 7.300 80 $ 5.845 94 $ 8.434 60
2.010 00
93 30
706 54
2.474 42
09 47
710 86
2.010 00
214 on
700 00
Total Fixed Charses $ 9.510.00
900-1000 Food Services and Student
Bodv Activities
900 Fond Services
010 Salaries $ 3.010.00
922 Supplies 244 00
Federal Funds 700.00
$ 2.809 64 $ 3.203 75 $ 3,854 00
Total Food Services and Student
Body Activities $ 3.954 00
$ 3.425 00 $ 4.000 00 $ 5.000 00
EMERGENCY $ 5.000.00
S1 15 133 26 $129 .909 72 $129.51176
TOTAL CENTRAL FUND
EXPENDITURES
$136,107 80
SCHEDULE IV
Actual
Fisral Year
Ending
Jure 30.
1961
$ 5.522 94
543 41
$ 8.066 35
Receipts
Fiscat Year
Ending
June 30,
1062
$ 11.315 98
1.163 85
$ 12.479 81
BOND INTEREST AND REDEMPTION FUND
ESTIMATED RECEITTS AND BEGINNING CASH BALANCE
Rudaet
Allowance
Current
Fiscal Year
1062-63
$ 10,030 00
1.008 75
11.128 75
Item
Receipts
Estimated
Ensuing
Fiscal Year
....$
Total Receipts
Besmnins Net Cash Balance
(or Peficitl 1.046 It
Total Budget Resources $ 1,046 11
ESTIMATED EXPENDITURES
1381.1 Principal on Bonds (Include
negotiable interest-bearing
warrants issued under
$ 2.000.00 $ 8,500 00 $ 8,500.00 ORS 328.260) $ 8,500.00
2,902.50 2,847.50 2,628.75 1382 Interest on Bonds 2,286.25
$ 4.902.50 $ 11,347.50 $ 11,128.75 Total Expenditures $ 10,786.25
SCHOOL LUNCH FUND
SCHEDULE V ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
Fiscal Year Fiscal Year Allowance Estimated
Ending Ending Current Item Ensuing
June 30, June 30, Fiscal Year Fiscal Year
1961 1962 1962-63
36 Federal Monev Received
$ 793.48 $ 635.48 $ 700.00 Through State $ 700.00
3.904.78 3.864.73 2.600.00 77 Sale of Lunches 3.000.00
2,106.36 2,657.27 2.854.00 Transferred from Gen. Fund 3,010.00
$ 6,804.62 $ 7,157.48 $ 6,154.00 Total Receipts $ 6.710.00
Beginning Net Cash Balapce
921.46 614.81 (or Deficit)
$ 7,726.08 $ 7,772.29 $ 6,154.00 Total Budget Resources $ 6.710.00
ESTIMATED EXPENDITURES ANn HF.SEBVU
$ 2,010.00 $ 2,474.42 $ 2,910.00 910 Salaries $ 3,010.00
3,792.78 4,007.84 3,000.00 921 Food 3,450.00
1,083.03 481.58 935 Replacement of Equipment
225.46 241.91 244.00 936 Other 250.00
$ 7,111.27 $ 7,205.75 $ 6,154.00 Total Estimated Expenditures $ 6.710.00
Reserved for Expenditure in Future
614.81 566.54 Years
$ 7.726.08 $ 7,772.29 $ 6.154.00 Total Expenditures and Reserve $ 6.710.00
SCHEDULE VI CASH WORKING FUND
A. Cash Balance in Cash Working Fund During Current Fiscal Year $4,500.00
B. ADD: Transfer from Unexpended Balance of General Fund as Authorized
by ORS 294.348 1,500.00
D, Balance in Cash Working Fund for Ensuing Fiscal Year .... $6,000.00
Approved by Budget Committee
Approved February 14, 1963 Posted March 22, 1963
Signed:
Clara Edmondson Signed:
Secretary, Budget Committee Zelda Edmondson
Roberta Burton District Clerk
Chairman, Budget Committee
Kennedy's Youth Corps Slated
For Trouble With House GOP
By YVONNE FRANKLIN
Mail Tribune Washington
Bureau
Washington (Special)-Pres-iHpnt
Kpnnprlv'fi nrnliferatinc
youth corps, particularly the
Youm conservation corps
nri the Home-Town Youth
fnms-ln sav nothing of the
Domestic Peace Corps trem
bling in the congressional
wings offstage-are in trouble
with the Young Turk Repub
licans in the House, as well
as some loyal Democrats on
the Education and Labor
Committee.
The controversial bill was
stopped last year by Demo
crat Howard Smith of Vir
ginia, chairman of the House
Rules Committee, which is
the traffic cop for bills to
be sent to the House for a
vote. He did not want Negro
boys mixed witn wnite in
the Vrr. eamns: and he has
the power to stop a bill from
reaching tne House u ne
doesn't like it.
The hill is expected to Dass
the Senate, as it easily did
last year, before Easter re
cess, and the House commit
tee thin week will reportedly
vote out a bill. Pressure is
being put upon Congress for
action before Easter so that
the Domestic Peace Corps
(the National Service Corps)
can be brought up. These are
the brain children of Attor
ney General Robert Ken
nedy, cadged from Sen. Hu
bert Humphrey.
Need for Consultation
There are conflicting views
on what Smith will do. His
office said they "thought" he
would probably oppose the
bill again. Administration
pressure is being brought to
hear not onlv upon the Demo
cratic leaders, but Rebulicans
as well. Rep. Charles Goodell
(R-NY) complained to Robert
Kennedy about the need for
consultation with Republicans
on getting bipartisan support,
so he and his colleagues on
the committee have been
courted by the liaison men
this week, and a luncheon
with Kennedy himself, in
hopes of getting a workable
bill.
There have been mutterings
too from Democrats about the
"vagueness" of the bill and
criticisms which echo Repub
lican sentiment. A member of
Mrs. Edith Green's staff said
she thought expansion of vo
cational training and the man
power restraining act might
be preferable. Goodell listed
the following criticisms of the
bill:
The YCC may encourage
young people to drop out of
school.
It will cost $100 million the
first year and more than $260
million per year at full op
eration, almost double tno
money spent for the vocation
al educational program the
first year alone.
The Secretary of Labor will
run the conservation (YCC)
program and he has no busi
ness running a conservation
program. He is given power
to establish a network of edu
cational facilities: he has no
business intruding in educa
tion. The YCC will teach youth
skills related to the 1800 s.
Six months in the corps is
not the training needed for
the technological age.
Goodell will move to amend
the bill in committee, as well
as related bills on youth
problems.
He also wants to expand
and redirect the vocational
education system, and en
large the manpower retrain
ing act which now spends
only 5 per cent of its funds
on retraining youth.
The bill is in two parts.
Part one. the YCC, has been
explained in a preceding ar-
icle. Part two, the Home-
Town Youth Corps provides
for funds on a 50-50 match
ing basis to assist States and
local public agencies and pri
vate non-profit community
service agencies, to provide
job opportunities and training
for boys and girls, aged 16-22.
Includes Employment
Tlia ,nrl, ,ill Innlnla osru.
Ice in public institutions and
n(W nuklir. nlar-oc eneh &
schools, hospitals, libraries,
public weitare agencies, cnu-
rfi-isn'e hnmoE rnnrla in nilh-
lie programs relating to con
servation, recreation ana oin
er community facilities. It
will include emDlovment in
private community service ag
encies sucn as visiting nurse
A con 4ho VWr A and VMCA.
the boy and girl Scouts, settle
ment houses, social agencies
and other civic organizations.
The youths will be paid $1
an hour and job counseling
and placement services will
he set un as well as in-train
ing for the jobs. The object
is to take boys ana gins on
the streets and give them a
chance for gainful employ
ment since they lack the edu
cation and skills now; educa
tion will also be stressed.
There are now 700.000 un
employed young people be
tween the ages of 16 and 22
out of a work force of 5.3
million youth, not including
240,000 in school.
Onp.third of hieh school
students now drop out of
Extradition Asked
On Two Israelis
Bonn, Germany -JUPH- The
West German government has
requested the extradition
from Switzerland of two al
leged Israeli agents wanted
In connection with the at
tempted murder of a German
missile scientist in Germany,
it was announced today.
The two men are being held
by Swiss authorities on
charges of threatening the
daughter of another German
scientist said to be working
for the United Arab Republic
In an official statement an
nouncing the move, the gov
ernment said it had been un
able "to determine with cer
tainty" the validity of Israeli
charges that German scien
tists in the United Arab Re
public are working on "attack
misriles."
'he statement said the gov
ernment "naturally disap
proves" of any such activity.
But it said West Germany can
do nothing to prevent scien
tists from traveling wherever
they want and doing what
they please.
The alleged Israeli agents
were arrested by Swiss pol-:c
Inst week in Basel. They are
Joseph Bengal, an Israeli,
and Otto Joklik, an Austrian.
school; in rural areas the per
centage is 61 per cent. Secre
tary oi Agriculture Orville)
Freeman warned that nni,
one out of ten rural youth
wuuiu una employment in an
increasingly ai,inm3iaj
culture. He further stated
i mucn of the unemploy
ment problem in cities is
caused by migrations of rural
workers, unskilled and unedu
cated, to the urban areas in
search of work.
He said that ink
t l naming
tor a technological timi i.
urgent to meet the demands
me post-war baby boom
crop, now at a inh.i.i-
age and growing larger every
.me J.BOU census showed
that 11.3 ner cent nf r,-
youth, aged 16-21, were out
work; and 5.4 per cent
over age 22 out of work.
One of the principal criti
cisms of this bill, however,
in committee hearings, w,i9
that the training for the youth
in the YCC would be inad
equate and "stop-gap" in tha
Home-Town Corps in so-call-
eu ao-gooa- work and that
the monev ($inn miiiim, -
year for four years) could ba
oetter spent In vocational edu
cation for the hiffhlu cirillarl
jobs that now go begging.
Stress was laid on the "ex
plosive" nature of the idle,
uneducated restless and bitter
youth, especially Ne
who bear the brunt of preju
dice in job opportunities in
moor crate unions as well as
business opportunities and the.
need to spend more money
naming tnese youngsters for
gainful emnlnvment -Thai
constitute the largest number
oi unempioyea youth.
Secretary of Labor Willard
Wirtz, in making his plea for
the program, said:
"The $100 million we are
asking for this year to pro
vide employment opportuni
ties for these young Ameri
cans is less than what we ars
spending in ONE DAY on defense."
Soviet Officials
Fired for Conduct
Moscow HIPP More than
16,000 Soviet officials have
been fired for undercutting
Premier Nikita Khrushchev's
pet "virgin lands" farm pro
gram by more than $15.4 mil
lion through theft, embezzle
ment and gross inefficiency,
it has been learned.
Kazakhstan Communist
party chief I. Yusopov said
$1,164,900 was swindled and
$14.3 million was lost by con
sumer cooperatives through
"mismanagement" in the re
public last year.
"All in all last year, 16,130
persons in the trade system
were fired." Yusopov said in
a Kazakhstan report on 1962
in the newspaper Pravda.
He said 2.340 officials and
employees of the Trade Minis
tery were fired for "theft and
embezzlement, violation of
trade rules and incompatibi
lity with their positions."
Science Shrinks Piles
New Way Without Surgerj'
stops Itch Keheves Pain
Yrk. X. T. (piM - For the
firjt tine science has found a new
nealtnjr suMtanre with the aston
ishing ability to shrink hemor
rhoid, stop itrhintr. and relieve
pam without surgery.
In case after eae. while (rently
relieving pain, actual reduction
(shrinkage) took place.
Most amazing of all result r
to thorough that sufferers roada
astonijhinjr abatements like "Pilet
have ceased to be a problem!"
The aerret is a new healing iuh
stance Dio-Dyne)-discovery of
a world -famous research institute.
This substance is now available
in tuppagitory or ointment orn
under the name Preparation
At all druf counters.