Medford mail tribune. (Medford, Or.) 1909-1989, April 01, 1963, Image 14

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

    14 A
MONDAY. APRIL 1. 1HS
MEDFORD MAIL TRIBUNE. MEDFORD, OREGON
NOTICE OF SCHOOL MEETING
Notice Is hereby given to the legal voter of Plnehurst school district No. 94 of Jack
on 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, 1963, and ending June 30. 1964,
hereinafter set forth.
BUDGET-FISCAL YEAR 1963-1964
SUMMARY OF
SCHEDULE I
ESTIMATED EXPENDITURES. RECEIPTS AND AVAILABLE CASH
ALAnCEs, AND TAX LEVIES
Total
All Funds
$20,790.00
20,790.00
A. Estimation of Tax Levy
1. a. Total Estimated Expenditures
c. Total Estimated Expenditures and Reserve
ueuvvf.
2. Total Estimated Receipt and Available Cash
Balances .. 13,710.00
3. Amount Necessary to Balance the Budget 7,080.00
ADD:
4. Estimated Amount of Taxes That Will Not be
Collected During the Fiscal Year for Which
This Budget Is Made, Including Estimated Re
bate on Taxes 500.00
5. Total Estimated Tax Levies for Ensuing Fiscal
Year 7,380.00
6. Analysis of Estimated Tax Levies:
(b) Amount Outside 6 Limitation 7.580.00
General
Fund
$19,590.00
19,590.00
12.510.00
7,080.00
500.00
7,380 00
School
Lunch
Fund
$1,200.00
1,200.00
1,200.00
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
SCHEDULE
OF
I
ESTIMATED EXPENDITURES. RECEIPTS AND AVAILABLE CASH
PALANCES, AND TAX LEVIES
SCHEDULE II
Actual Receints
Fiscal Year Fiscal year
GENERAL FUND
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
Ending
June 30,
1961
7,922.82
371.48
395.00
2,083.78
3,329.44
319.00
3,870.49
Ending
June 30,
19(2
$ 8,762.52
90.05
420.00
528.44
4,054.68
593.49
Budget
Allowance
Current
Fiscal
1962-63
750.00
480.00
600.00
Item
750.00
480.00
600.00
$ 3,392.00 $ 42.45
3,406.36
47.02
17.00
110.00
159.17
44.70
123.34
35.00
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 $
14.0 Other Rent
20. Revenue From Intermediate Sources
21.0 County School Fund $
Z2.I Apportionment
22.2 Prior Years' Levies (Rural)
22.3 Other
30. Revenue From or Through
State Sources
31.0 Basic School Support Fund
(a) Off-set Against Tax Levy
(b) Other Basic School Fund
Receipts $ 2,640.00
32.0 Common (Irreducible) School
Fund 40.00
33.3 Other
33.4 Other
33.5 Other
40. Revenue Direct From Federal
Sources
41.0 Public Law 874
10. 90. Receipts From Oother School
Districts
Estimation of Tax Lew
1. a. Total Estimated Expenditures
c. Total Estimated Expenditures and
Reserve
DEDUCT:
2. Total Estimated Receipts and Avail
able Cash Balances
3. Amount Necessary to Balance the
Budget
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
5. Total Estimated Tax Levies for En
suing Fiscal Year
6. Analysis of Estimated Tax Levies:
(b) Amount Outside 6 Limitation..
(c) Not Subject to 6 Limitation ....
Total
All
Funds
$153,604.05
General
Fund
$136,107.80
Bond
Interest and
Redemp.
Fund
$10,786.25
School
Lunch
Fund
$6,710.00
2.000 00
2.902.50
8,500.00
2.847.50
ESTIMATED EXPENDITURES . .
1381.1 Principal on Bonds (Include
negotiable interest-bearing
warrants issued under
; 8.500.00 ORS 328.260) . S '
o eio ts no-) Tnioritct nn Rnnds OD J
$ 4.902 50 S ll.347.50 S ll. 128.75
Interest on Bonds
Total Expenditures
S 10.786.25
153,604.05 136,107.80 10,786.25 6,710.00
73.036.82
80,567.23
4.071.40
84,638.63
73,827.09
10.811.54
65,280.71
70,827.09
3,000.00
73,827.09
73,827.09
1,046.11 6,710.00
9,740.14
1,071.40
10,811.54
10.811.54
SCHEDULE
Fiscal Year
Ending
June 30,
1961
S 793.48
3,904.78
2,106.36
V
Fiscal Year
Ending
June 30,
1962
ESTIMATED RECEIPTS ANDNBEGINNING CASH BALANCE
Ensuing
Fiscal Year
Item
S 6,804.62 $
921.46
635.48
3.864.73
2.657.27
7,157.48
614.81
Allowance
Current
Fiscal Year
1962-63 . .
36 Federal Money Received
$ 700.00 Through State
2,600.00 77 Sale of Lunches
2.854.00 Transferred from Gen. Fund
S 6,154.00 Total Receipts 6,710.00
Beginning Net Cash Balance
(or Deficit)
..$ 700.00
.. 3,000.00
3,010.00
$ 7,726.08 $ 7.772.29 $ 6,154.00 Total Budget Resources
S 6.710.00
2,010.00
3,792.78
1,083.03
225.46
ESTIMATED EXPENDITURES AND RESERVE
2,474.42 $ 2,910.00 910 Salaries 5 J."'" ""
921 Food t j.iou.uu
935 Replacement of Equipment
936 Other 250.00
4,007.84
481.58
241.91
3,000.00
244.00
$ 7,111.27 S 7,205.75 S 6,154.00
B. Cash Working Fund (ScheduleVI D) $6,000.00
INDEBTEDNESS
Amount of bonded indebtedness (Include all negotiable interest-bearing
warrants issued under ORS (328.205) 557,000.00
Total indebtedness (sum of items 1, 2, 3) $57,000.00
SCHEDULE II
Actual Receints
Fiscal Year Fiscal Year
GENERAL FUND
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
Endinc
June 30,
1961
63,066.92
1.554.45
200.00
Endinc
June 30,
1962
69,639.41
2,902.95
185.32
17.50
Budeet
Allowance
Current
Fiscal Year
1962-63
Item
Estimated
Expenditures
Ensuing
Fiscal Year
2,000.00
3,725.00
300.00
200.00
$22,018.10 $18,494.86 $ 4.132.00
3,329.00
2,000.00
TOTAL RECEIPTS $ 4,510.00
BEGINNING NET CASH BALANCE (or
DEFICIT) LESS CASH WORKING
FUND $ 8,000.00
$22,018.10 $23,823.88 $ 6,132.00
TOTAL BUDGET RESOURCES
GENERAL FUND $12,510.00
SCHEDULE III
Expenditures
Tiscal Year Fiscal year
. GENERAL FUND
ESTIMATED EXPENDITURES
Budget
Ending
June 30,
1961
600.00
13.89
119.45
24.50
4.03
Ending
June 30,
1962
600.00
14.24
137.06
33.00
12.42
6.21
Allowance
Current
Fiscal
1962-83
600.00
20.00
125.00
Hem
20.00
Estimated
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
769.24 $ 804.93
5,400.00
5,009.04
72.06
127.00
17.96
292.15
179.89
29.50
$11,218.50
$
$
$ 243.00
$ 243.00
$ 1,504.00
216.89
373.00
320.18
5,599.98
3,200.00
271.02
247.98
75.12
34.78
$1 1,563.88
$
10.76
$ KU6
$ 256.80
763.00
6.100.00
3,300.00
130.00
300.00
230.00
35.00
Total Administration Expenses $ 830.00
200 Instruction
210 Salaries $ 6,400.00
213 Teachers
220 Teaching Supplies
226 Textbooks
227 Library Books, Periodicals,
Audiovisual Aids
290 Other Expense of Instruction
100.00
275.00
150.00
$ 9,104.54 $ 3,046.47 S 9,315.00
18,762.71
2,137.88
18,372.77
3,333.23
$ 387.37 $
19.895.58
208.84
433.25
793.48
1,394 42
19,864 70
234.81
1.648.30
635.48
19.000.00
203.00
300.00
700.00
4.738.22
28.64
$ 11.644.00 $ 10,000.00
$ 2.16
$121,311.88 $132,921.52 S 41,718.00
S 44.146.12 $ 46.124.74 $ 1,500.00
$165.458.00 $179,046.26 S 43.218.00
10. Revenue From Local Sources
11.1 District Tax received in year
levied $
11.2 District Tax-Prior Years' Levies
11.5 Local Tax as Tax Offset
14.0 Other
20. Revenue From Intermediate
Sources
21.0 County School Fund $
22.0 Rural School District
22.1 Apportionment
22.2 Prior Years' Levies (Rural)
30. Revenut From or Through
State Sources
31.0 Basic School Support Fund
(a) Off-set Against Tax Levy $
(b) Other Basic School Fund
Receipts 21.005.71
32.0 Common (Irreducible) School
Fund
35 N.D.E.A
36 School Lunch Fed. Funds
Revenue Direct From
Federal Sources
41.0 Public Law 874 S
70. Sale of Properly and
Insurance Adjustments
80.-90. Receipts From. Other School
Districts
TOTAL RECEIPTS $
BEGINNING NET CASH BALANCE (or
DEFICIT) LESS CASH WORKING
FUND 20.000.00
TOTAL BUDGET RESOURCES
GENERAL FUND
614.81
7.726.08
566.54
7.772.29
$ 6.154.00
Total Estimated Expenditures $ 6,710.00
Reserved for Expenditure -in Future
Years
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
Signed:
Clara Edmondson
Secretary, Budget Committee
Roberta Burton
Chairman, Budget Committee
Posted March 22, 1963
Signed:
Zelda Edmondson
District Clerk
40.
They'll Do It Every Time
By Jimmy Hatlo
SCHEDULE III
Actual Receints
Fiscal Year Fiscal Year
GENERAL FUND
ESTIMATED EXPENDITURES
budget
feL5Sg!Sl47 ( wonderful W'irfcl X
3,585.00 - -. R Bn0UKLEVEVV0"...M'iB
- L 2) t I NOT DOUBLEVEWV .- jib ."'.,
$12,333.00
$ 3.60
10.00
10.00
258.80
1,500.00
65.90
322.30
266.32
$
$ 1,150.00
$ 1,130.00
$ 1,500.00
100.00
375.00
400.00
Total Expense of Instruction $ 6,925.00
300-400 Attendance and Health Services
300 Attendance Services $
400 Health Services
420 Supplies 10.00
Total Attendance and Health Service
300 Pupil Transportation Services
365 Payment In lieu of Transportation .
$ 10.00
$ 1,000.00
Total Pupil Transportation Services ....$ 1,000.00
$00 Operation of Plant
610 Salaries $ 1.500.00
620 Supplies 100.00
628 Fuel for Heat 375.00
630 Utilities except Fuel 350.00
$ 2,416.07 $ 2,184.92 $ 2,375.00 Total Operation of Plant $ 2,325.00
700 Maintenance of Plant
$ 48.00 $ $ 710 Salaries $
84.20 78.70 300.00 720 Materials and Supplies $ 500.00
333.00 735 Replacement of Equipment
$ 467.20 $ 78.70 $ 300.00 Total Maintenance of Plant $ 500.00
800 Fixed Charges
851 Retirement and Social Security
$ 862.54 $ 625.97 $ 830.00 Expense $ 500.00
479.82 479.80 324.30 852 Insurance 500.00
483.50 725.00
$ 4,033.21 $ 3,991.84 $ 4.786.76
$ 1,200.00 $ 1.341 77 $ 1,300.00
57.305.66 62,163.02 64,150.00
99,96 564.00 2,800.00
1,020.00 1,200.00 1.200.00
833.50 529.00 1.100.00
4.344.84 6.193.07 3.429.91
319.53 2.823.72 1.773.55
1,228.43 3,023.84 2,492 60
544.29
724.43 631 91 1.299.95
$ 67,078.35 $ 79.014 32 $ 79.546.01
$ 1.142.36 $ 1,105.67 $ 1,334.50
$ 675.00
159.17
$ 834.17
$ 1,128 47
675.00
123.34
675 00
Total Fixed Charges $ 1.000.00
300-1000 Food Services and Student
Body Activities
900 Food Services
910 Salaries $ 810.00
798.34
132.00
300.00
Total Fond Services and Studcllt-Budv
Activities $
1200 Capital Outlay
1276 New Buildings and Additions $
1277 Remodeling
1278 Equipment
100 00
$ 1,128.47 $ 132.00 $ 300.00
8 1.880.00
849.60
1.629 60
3.000.00
2,000.00
Total Capital Outlay S 100.00
1400 Payment to Oilier School Districts
1461 1o Other Districts in Slate
1461 1 Tuition $ 4.340 00
1461 2 Transportation 1.750.00
$ 2.729 60 $ 1.629.60 $ 7.000 00
Total Payments to other School
Districts
S 6,090 00
Endinc
June 30,
1961
1.304.43
1.700.04
140.33
278.65
100.00
26.25
Ending
June 30,
1962
Allowance
Current
Fiscal Year
1962-63
Item
Estimated
Expenditures
Ensuing
Fiscal Year
1.4 78.65
1,800.00
243.07
217.42
100.00
15.00
136.80
1.392.22
1,900.00
173.54
275.00
100.00
95.00
126.00
100 Administration
110 Salaries
111 Superintendent's Office $ 2,010.00
112 Office of Business Administration 2,000.00
120 Supplies 193.24
141 Elections and Publicity 275.00
142 Census Enumeration 100.00
143 Legal Service 140.00
144 Audit 126 00
Travel
190 Other Expenses of Administration.. 725.00
350.08 $
242.28
Total Administration Expenses $ 5,569 24
200 Instruction
210 Salaries
21 1 Principals
213 Teachers
214 Other Instructional Staff
215 Secretarial and Clerical
Assistants
213.2 Sub. Teachers
220 Teaching Supplies
226 Textbooks
227 Library Books. Periodicals,
Audiovisual Aids
243 Travel
290 Other Expense of Instruction 1.424.06
Total Expense of Instruction $ 87 430 56
300-400 Attendance and Health
Services
400 Health Services
420 Supplies 5 242.28
1.300.00
74.000.00
1.700.00
1.500.00
1.100.00
3,117.67
1.353.83
1.935.00
Stranded on Jagged Rock
River of Time Heavily Shoaled
By Daylight Saving Confusion
231.81
2.417.77
1.410.23
1 1.183.00
412.47
537.60
350.08 S
2.509 50
1.960.90
312.10
1.090 02
242.28
2,825.00
2.540 00
409.99
.060.00
2.575.00
2,516.00
S 18,881.07 $ 5.872.52 $ 6.834.99
7.678.12
1.046.64
2,888.38
1.585.30
8,531.02
1,282.86
3.864 03
1 787.17
7.865.00
1.669.91
4,400.00
1.500.00
Tolal Attendance and Health Services $ "4, ''8
500 Pupil Transporlation Services
oiu salaries
520 Supplies and Repairs
535 Replacement of Vehicles
552 Transportation Insurance 409.99
565 Payments in lieu of Transportation 1.06000
fatal Pupil Transportation Services
600 Operation ol Plant
610 Salaries
620 Supplies
628 Fuel (or Heat !.!""!"!"'
630 Utilities except Fuel
12.866.42 $ 15.444.78 S 15.434 91
58 57
4,703 69
100.00
8.209 37
1.457.17
6.329 95
100.00
1.375.76
1.902.45
$ 6.560.99
$ 8,000.00
1.721.99
4.400.00
1.500 00
Total Operation of Plant s 15 621 99
700 Maintenance of Plant
710 Salaries $ 100.00
20 Materials and Supplies 1.130.00
735 Replacement of Equipment 988 74
736 Contracted Service
$ 4.762.26 $ 16.096 49 $ 5.378 21
820,054.43 $18,367.60 $28,568.10
TOTAL GENERAL FUND
EXPENDITURES
$19,590 00
SCHEDULE V
Actual Receipts
Fiscal Year Fiscal year
SCHOOL LUNCH FUND
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
Ending
June 30,
1961
Ending
June 30.
1962
Budget
Allowance
Current
Fiscal
1962-63
$ 00.00
300.00
673.00
$ 1.265 00
Hem
36 Federal Money Received Through
Slate
77 Sale of Lunches
Estimated
For
Ensuing
Fiscal Year
90 00
300.00
810 00
4.821 75
2,038 05
441 00
4.507 56
856 38
482.00
6.528.15
1.906.45
$ 7.300.80 $ 5.845.94 $ 8,434.60
2,010 00
93.30
796 54
1.474 42
99 47
719 86
$ 2.910 00
244.00
700.00
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 380 00
Total Fixed Charges
900. 1000 Food Services and Student
Body Activities
900 Food Services
910 Salaries
922 Supplies
Federal Funds
By DICK WEST
Washington - IUP1I - The most
widely used four - letter word
in the English language may
very well be
"t i m e." I'm
speaking, o f
course, of four
letter w o r ds
that can be
printed in a
family news
paper. In one
thesaurus that
I c 0 nsulted.
West the word
"time" appears in approxi
mately 180 familiar quota
tions, give or take ' time out
of mind" and "time is money."
None, I might add. is more
eloquent than an original
quotation uttered by Sen.
Norris Cotton (R.-N.H.) this
week as lie introduced a bill
in the Senate.
"Our river of time is heav
ily shoaled, filled with jagged
rocks and treacherous eddies."
spake Cotton, and I couldn't
agree with him more.
The avowed j. urposc ol
Cotton's bill is to eliminate
some of the confusion fhat
daylight saving time causes
in this country each spring.
1 dutifully tried to under
stand his explanation of the
bill, but Tin afraid I never
got past the first shoal. 1 got
caught in nc of those treach
erous eddies and wound up
stranded on a jagged rock.
Daylight time docs cause
confusion That much I can
understand I have always
been good at understanding
confusion.
For instance. Richmond
the capital of Virginia, ob
serves day-light time from I
Memorial Day to Labor Day.
In Fairfax county, where I
am domiciled, daylight time
runs from the last Sunday in
April to the last Sunday in
October. The city of Bristol
ignores it entirely
already introduced, would
improve matters any.
Under these proposals, as
I get it, areas wanting to ob
serve daylight time would no
longer move their clocks
ahead an hour as they do now.
Instead, they would move into
a different time zone.
Take Washington, for ox-
ample. It would spend (he
Thus, for about one month, winter in the Eastern lime
Richmond has the same time
as Bristol but is an hour be
hind Fairfax county. Then
Richmond has the same time
as Fairfax county, but is an
hour ahead of Bristol. Then
Bristol catches up with Rich
mond, which again falls be
hind Fairfax county.
All of that is perfectly
clear to me. What I do not
understand is how Cotton's
bill, and similar measures
zone, its present habitat. But
in the summer, it would move
into the Atlantic lime zone,
which begins about 200 miles
cast of here. That point is
about 125 miles out in the
ocean.
Proposals that (he capital
be dumped into the sea are
not exactly novel, but are. I
submit, totally impractical.
The weather here is humid
enough already.
Grange News
Upper Applegatc Grange
The Jackson county Pomo
na "traveling agate" was
brought to Upper Applegatc
(..range by Eagle Point recent-1 hire hou
ly. About 230 Grangers at- explained
in the valley. h-J: :.cn a con
tinuing community service
project of SpjkS Applcgate
Grange, and following the Ice-
leadcr Bill Barker
the trophy collect-
tended the scatinc drill bv 1 Hon Hlonlou v... u.
Eagle Point officers who con- Mary Ann Cantrall. president
ducted opening and closing of the Ruch Sheep dub and
ceremonies. William Travis, president of
Bob McGoey and Joe Casad ; the Swine club, presented a
presented the Ralston-Purina plaque from the Ruch clubs
trophy to Granger Mary Ann ; to Kenneth Cearly of Eagle
Barker who raised the Jaclg- Point Grange for hi. i
" - in
S 9,510.00
Oregon Lagging in
Professor Salaries
Total Receipts $ 1.200 00
$ 1.265.00
Total nmtgrt Resources S 1.200 00
ESTIMATED EXPENDITURES AND RESERVE
673 00 $ 673.00 910 Salaries S
560.00 921 Food
30.00 922 Supplies
123.34 Other
3.010.00
244.00
700 00
Oregon
son county 4-H champion bar
row in 1962.
Reading the original poem.
"Twenty Years Too Late." by
Pauline Smith opened the lec
ture hour. Mary Ann Can
trall told of the 4-H guide dog
program and Fritz Ramsay
showed the golden retriever
he has been raising this year.
Each of them has raised0 pup
pics for the guide docs for
810 00
370.00
20.00
Total Food Services and Student
$ 2.899.84 $ 3.293 73 $ 3.854.00 Body Activities $ 3,954.00
$ 3.425.00 $ 4.000.00 $ 3.000.00 EMERGENCY $ 3.000 00
TOTAL GENERAL FUND
$113,133.38 S128.909 72 $129.511.76 EXPENDITURES $136.107 80
Salem
utWRng ociuno oincr states the blind program. wliiSi has
j in salaries paid to college i.id i headquarters in San Rafael.
1 uuivEioivj icacucro, alio 1:
losing professors to higher
$ 798.34 $ 1.265 00
TOTAL
Approved by Budget Committee
Approved March 13, 1963
Slg..ed:
Ginger Brings
Secretary, Budget Committee
Howard Moore
Chairman, Budgel Committee
S 1.200.00
Posted March 22. 1963
Signed:
Mildred D. Laird
District Clerk
SCHEDULE IV
Actual Receipt
Fiscal Year Fiscal Y
Ending
June 30.
1961
S 5.522.94
BOND INTEREST AND REDEMPTION FUND
ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE
DUUMVI
$
Endii
June 30.
1962
11.315 96
543 41
6.066 35
1.163 S.
12.479 81
Allowance
Current
Final Year
1962-63
$ 10.030.00
1. 098.75
11 128.73
Item
Receipts
Estimated
Ensuing
Fiscal Year
$
paying slates. .
This was the theme express
ed at a special salary sub
committee of the Ways and
Means committee.
Chancellor Roy E. Lieual
len said the University of Ore
gon and Oregon State univer
sity ranked cighih among 20
Calif
A shadow movie. "Home on
the Range. " was narrated bv
Dana Gemardt. The cast in
cluded Glen Saltmarsh. cattle
king: Pat Saltmarsh. h i s
daughter: Clarence Rolloft.
rustler; and Fred West. hero.
The program closed with
solos and ducts with audience
participation. Songs w'ere led
H" several years in trans
porting animals tor club mem
bers. Visitors introduced by Mas
Id' Edmunc'"T?amsay were
State Overseer Rrscoc Robert
Pomona '.lastor Melvin Lattie1
and Masters Frances Moffatt,
r m ,VY, : "crman Ramping,
pld Hill; Harold Van Hoy,
Like Oak: Cliff Moore. Eagle
Point; Ernest Radomskc. Sams
Valley. Wayne Marshall. Lake
v-.vv. james Cornutt.
irai point; Jterling
iv . uioya
fhoenix; and
Griffin CreeK
Ccn-
Frycar,
Whitsidc.
Virgil Wilkes.
The traveling agate will be
aken to Bellvicw Grange in
UtSTh A nnl
Grange Tuesday. April 2
Ashland by
Total Receipts
Beginning Net Cash Balance
lor Deflcili 1.046 1 1
Total Budget Resources $ 1.046 11
"""""u" oer me nation - oy .Mildred Redhead George
in 1957, and now have slipped Redhead. Bill Barker Mad
to 14th place. j elame Boehnker and Dana
sue Kosernor nas rccom- 1 tjernardt. Martin Grier
mended salary hikes totaling Grier and Nell Ramsey
si.ii minion, inc ooara ot Saltmarsh. lecturer
Higher Education is asking ! the Drocram
$8 million. I Support of the 4-H prograi
S3 .'.EX?.; V. - ! s-10-15 tbT
' oruci-., Bllm.ui..
5gP" co"trol sppetlte.
lkes reducing stttr.
, "sier, more eni.