Image provided by: North Santiam Historic Society; Gates, OR
About The Mill City enterprise. (Mill City, Or.) 1949-1998 | View Entire Issue (June 1, 1950)
7—THE MILL CITY I.NTERPRISE NOTICE OF SCHOOL ELECTION UPON QUESTION OF INCREASING TAX LEVY OVER AMOUNT LIMITED BY SEC. 11, ART. XI, STATE CONSTITUTION the High School in said school dis trict, for the purpose of submitting to the legal voters of said district the question of increasing the tax levy for the fiscal year 1950-1951 over the amount limited by section 11, article XI, of the Constitution of Oregon. The reasons for increasing such levy are; Grounds $500 00; Alteration of Buildings $100 00; New Furniture and Equipment $3,800 00 The amount of tax. in excess of the 6% limitation, proposed to be levied for said fiscal year is $4.400.00. Dated this 31st day of May, 1950. DONALD E. SHEYTHE. Chairman Board of Directors ATTEST: CHARLES C. KELLY. District Clerk. NOTICE OF ANNUAL SCHOOL MEETING Notice is hereby given, in compli ance with Sec. 111-908. O. C. L. A., to ST. CATHERINE CATHOLIC the legal voters of School District No. CHURCH. MILL CITY Notice is hereby given that an elec 129-J. of Linn and Marion counties. tion will be held in School District Mass at 9 A.M. State of Oregon, that the ANNUAL No. 129-J of Linn-Marion counties. Confessions heard before Maas. SCHOOL MEETING of said District State of Oregon, from 8 PM. to 9 Altar Society 2d Wednesday 8 pm. will be held at the High School; to P.M. Pacific Standard Time (7 PM. begin at the hour of 7 P M. o’clock. Father C. Mai, Paster to 8 P M, Daylight Saving Time) at P.8.T. (8 o'clock P.M. Daylight ST.) • • • on the third Monday of June, being UD.S. OF JESUS CHRIST CHURCH the 19th day of June, A.D. 1950. Detroit This meeting is called for the pur pose of electing one director for a Sunday school each Sunday 10 a tn. NOTICE IS HEREBY GIVEN to the legal voters of School District No. 129-J. of Linn-Marion Counties, State of Oregon, that a SCHOOL MEET term of three years and the transac in high school building, Detroit ING of the said district will be held at the High School on the 26th day of June. 1950. at 8:00 (Daylight Saving Time) o'clock PM. (7:00 P.M. Pacific tion of business usual at such meet Priethood meeting 11 a.m. Standard Time) for the purpose of discussing the budget for the fiscal school year, beginning July 1, 1950. and ending July 30, 1951, hereinafter set ing. forth, and to vote on the proposition of levying a district tax. Zealand Fryer, Presiding In districts of the second and third • • • classes the ballots shall not be counted until one hour after the time set for IDANHA COMMUNITY CHURCH the meeting to begin. Until the count Sunday School 10 A M Schedule I ESTIMATED RECEIPTS AND AVAILABLE CASH BALANCES begins, any legal voters of the district Morning Service 11 A M. shall be entitled to vote upon any Total All Youths Hour 6:15 P.M. ITEM business before the meeting. Funds Dated this 29th day of May, 1950 Evening Service 7 P.M. Estimated Receipts from DONALD E. SHEYTHE. County School Fund ......... Thursday prayer meeting 7:30 PJL Chairman Board of Directors Basic School Support Fund__ Eldon Haley, Pastor ATTEST: State Irreducible School Fund • • • CHARLES C. KELLY. High School Tuition ............... GATES COMMUNITY CHURCH District Clerk. High School Transportation First publication June 1, 1950- 2t OF CHRIST Cafeteria ______ _______ ____ Sunday school at 10 a.m. Rentals ...... ................... ............ NOTICE IS HEREBY GIVEN to Morning worship 11 a m. the legal voters of School District No. Estimated Total Receipts.... $45,588.81 129 and Zone No. 2, Rural School Dis Christian Endeavor 6:30 p.m. trict of Linn County, State of Oregon, Evening worship 7:30 p.m. that an ANNUAL ELECTION of the ESTIMATED EXPENDITURES Schedule II—GENERAL FI ND Walter Smith, Pastor Expenditures for 2 Fiscal Linn County Rural School District • • • Years Next Preceding the will be held in School District No. 129 FIRST PRE8HYTERIAN CHURCH at the same time and place of the Current School Year Estimated Budget Estimated Annual School meeting of said Dis Morning worship 11 a.m. Expenditures Expenditures Allowance Detailed trict on the third Monday of June, In Detail Music by choir. for the for the High Elementary Expenditures First Year being the 19th day of June, 1950, for for the Ensuing Ensuing Schools Schools ITEM Dr. David J. Ferguson, Preaching for the Last Give the purpose of electing one director Current School Year School Year Year of the Yearly Young People at 6:30 p.m., Mrs. from Zone No. 2, Rural School Dis by Totals School Year In Detail Two-Year Totals trict, Linn County, Oregon, for a term Arthur Krelver, leader. « Period I. GENERAL CONTROL of three years. • • • Dated this 29th day of May, 1950. 1. Personal service: DETROIT CHRISTIAN CHURCH $ 475.00 $ 950.00 $ 475.00 Superintendent ........................ . .................. ALTA McCORMICK, Chairman Sunday school at 10 a.m. $ 70000 700 00 350 00 350 00 $ 600 00 Clerk .............................................................. J. M. BENNETT, Secretary 50.00 100 00 50 00 50 00 40 00 Morning worship 11 a m. Compulsory education and census . ......... . First publication June 1. 1950—2t 500.00 1,500.00 Other services _______________ ___ ___ Youth meeting 6:45 p.m. 50 00 40.00 25.00 25.00 2. Supplies ......................................................... Youth night Saturday 7 p.m. 100 00 4600 50.00 50.00 3. Elections and publicity _______________ Warren Knape, Pastor 50 00 2500 25.00 50.00 50 00 4. Legal service (clerk’s bond, audit, etc.) ... • • • 350.00 325.00 ..... 5. Other expense of general control: (1)... By ELSIE MYERS COMMUNITY CHURCH $ 1,950.00 $ 1,950.00 $ 1,786.00 $ 975.00 $ 975.00 $ 2,515.00 $ 895.00 6. Total Expense of General Control ........ * Louis Ray who recently had the Full Gospel Preaching misfortune to be struck in the eye Sunday school 10 A.M. IH. INSTRUCTION—Teaching by a flying sliver, while working at Morning worship 11 A.M. 1. Personal service: the Elkhorn Frank's mill, has recov $52,218 00 $21,694.00 $73,384.00 $48.011.40 $51,690.00 Evangelistic service 8 P.M. Teachers ----- ------ ------- -------------------------- 500.00 460.00 ered sufficiently to be on the job 200 00 300 00 360.00 Substitutes ----------- --- ---- ---------------------- Preaching services Wednesday and 100 00 7500 50.00 50.00 100.00 again. While he was not hospital Friday 8 P.M. 2. Library supplies, repairs ......................... ...... 1,000.00 400 00 1,000 00 1,400.00 750.00 ized It was necessary for him to make — 3. Supplies (chalk, paper, etc.) ....... Rev. Wayne W. Watkins, Pastor 2.500 00 100 00 2.600.00 2,100.00 650 00 several trips to a Salem hospital for 4 Textbooks----- ----------- -- ------------------------ • • • 1,100.00 1,100 00 1,200.00 600 00 treatment and observation. 5. Tuition to other districts_____ __ ___ ___ 400 00 400 00 400 00 FIRST CHRISTIAN CHURCH 6. Other expense of teaching, manual training Steve Dark and Ixe Myers went to Services every Lord's day $22,844.00 $56.640.00 $79,484.00 $79,484.00 $57,453.00 $50,471.40 $42.570.00 Salem Monday evening where they 7. Total Expense of Teaching Morning worship 11:00 A.M. attended the meeting of the Farm Young People’s meeting 6:30 P.M. IV. OPERATION OF PLANT and Labor organizations. Evening worship 7:30 P.M. 1. Personal service: $ 3,000.00 $ 3,000.00 $ 6,000 00 $ 5,100.00 $ 2,700 00 FARMERS UNION MEETING Janitors and other employees — T. Courtney, Jr., Pastor 1.700 00 1,200.00 500 00 1,500.00 600 00 • • • 2. Janitors* supplies ... ..................... - Mehama local of the Farmers Un 1.000 00 2.800.00 1,800 00 3,100 00 1,897.00 3. Fuel _______________ __ ______ FREE METHODIST CHURCH 1,400 00 ion held an open meeting at the 700 00 700 00 400 00 300 00 4. Light and power ............ ............. 60 00 60.00 120 00 96 00 Women's club Friday night. Colored 100 00 North MUI City ............................ 5. Water ....... 50.00 50 00 100 00 100 00 100.00 movies and slides were shown by Mr. Sunday school at 10 a.m. 6. Telephone _______ __ _____ ■■—— and Mrs. W. E. Myer of Albany, Morning worship 11 a.m. $ 6,010.00 $ 6,110.00 $12,120.00 $12,120.00 $10.296.00 $ 5,697.00 $ 4,870.00 taken recently on a practically around 8. Total Expense of Operation ----- Junior church 11:00 a.m. the world tour. The trip had been V. MAINTENANCE AND REPAIR Evening service 7:30 p.m. made to visit their son who is em- 1. Repair and maintenance of furniture and Wednesday prayer meeting 7:30 p. U. S. Rubber company ployed by the 250 00 $ 20000 $ 450.00 $ 70000 $ 30000 $ equipment ................................................... Phone 1906 on the Malay peninsula. 2. Repair and maintenance of: Rev. L. C. Gould, Pastor 1.00000 4,000.00 5.000.00 3.500 00 750 00 Mrs. Myer also exhibited many Buildings ___ ___________________ _____ _____ 500 00 250 00 750 00 articles made by the natives and Grounds -------- ---------------------- -------------------- SANTIAM Fraternal Order of Fsgtad 50 00 3. Other expense of maintenance and repairs ...... picked up along the route. Especial 2745 meets at Ladies Auxiliary Hall $ 1,750.00 $ 4,450.00 $ 6.200.00 $ 6,200.00 $ 4,250.00 $ 1,050.00 $ 900.00 ly beautiful was the very fine needle each Tuesday at 8 p.m. 4. Total Expense of Maintenance and Repairs work done by the native women. Mill City Lodge No. 144. Refreshments were served follow VI. AUXILIARY AGENCIES IO.OF. meets every Friday ing the program by the ladies of the 1. Health service: $ 300.00 $ 600 00 $ 550.00 $ 300 00 $ 500.00 night. Visiting brothers welcome. union. Personal service (nurse, etc.) ......... 30 00 30 00 60 00 60 00 35 00 Supplies and other expenses 2. Transportation of pupils: 606 00 606 00 57600 1.200.00 Personal service ................ . ............. 800 00 1,200 00 400 00 700 00 450.00 Supplies and other expenses ---- --- 2,200 00 3,000.00 3.000 00 1,518.00 Repair and replacement of busses 3. Other auxiliary agencies: 1,500 00 1.500.00 630 00 Personal service, cook ..................... 1.000 00 1,000 00 320 00 Supplies and other expenses .......... 1.000 00 Lunch room ....... -.......... LOTS, and HOMES FOR SALE 1.000 00 Musical instruments ------ ----------- $ 3,730.00 $ 4,236.00 IF YOU’RE A G.L, SEE $ 7,966.00 $ 7,966.00 $ 5,036.00 $ 5,703.00 $ 2,730.00 4. Total Expense of Auxiliary Agencies Church Activities NOTICE OF SCHOOL MEETING BUDGET ELKHORN Thomas Housing Project VTT. FIXED CHARGES 1. Insurance 3. Other fixed charges, retirement fund 4. Total Fixed Charges vni. 1. 2. 3. 4. 5. 6. $ 1.200 00 3,900 00 $ 1,200.00 2,600.00 $ 5.100.00 $ 3,800.00 CAPITAL OUTLAYS New sites New buildings ................ Alteration of buildings (not repairs) New furniture, equipment and replacements Assessments for betterments ........................ Other capital outlays, library books ...... 100 00 3,500 00 $ 4.230.00 $ $ 600 00 5.650 00 30000 100 00 3,800 00 300 00 930 00 660.00 $ 4,830.00 $ 4,830.00 3. Total Debt Service, Nun-bonded X. EMERGENCY------------------------------------------------------------------ ------- -------- ------- 1.000 00 1.000 00 $ 4.000.00 $ 4,000.00 Total Schedule II—General Fund—Total estimated expenses for the year—sum of items 1-6. III-7. IV-8, V-4, VT-4. VTI-4. VHI-7, IX-3, and X ............... .................... $ 3.500 00 10 000 00 3,000 00 6.500 00 1.000 00 600 00 $ 5,000 00 7.500 00 1,000 00 5,395 50 $24,600.00 $19,345.56 $ $ 1,000 00 $126,450.00 G. E. THOMAS, Mill City $ 1,489.80 4,040.63 $ 5,330.43 $ $ 630 00 7. Total Capital Outlays IX. DEBT SERVICE—NON-BONDED 1. Interest on warrants $ 2,400 00 6.500.00 $ 2,957.30 450 00 $2 500 00 80000 800 00 $ 3,000.00 $114.021.00 Schedule III—BONI) INTEREST AND SINKING FUND Debt Service-Bond Interest and Sinking Fund 1. Principal on bonds (include negotiable interest-bearing warrants issued under section 111-1016. O. C. L. A.) 2. Interest on bonds $15,000 00 4.600 00 $19,600.00 $. Total Schedule HI—Debt Service-Bonds and Interest ___ LMLJJ-lll 1 J. Schedule VI—SUMMARY OF ESTIMATES OF EXPENDITURES. RECEIPTS AND AVAILABLE CASH BALANCES, AND TAX LEVIES General Fund Bond Interest and Sinking Fund Total All Funds Total Schedule II Total Schedule III ESTIMATION OF TAX LEVY Total estimated expenditures DEDUCT: Total estimated receipts and available cash balances (Schedule I) Amount necessary to balance the budget Balance to be raised by taxation----- ------- TOTAL ESTIMATED TAX LEVIES FOR ENSUING FISCAL YEAR Analysis of estimated tax levies: Amount inside 6'7- limitation Amount outside 6*c limitation 4. Total Indebtedness First pubiication^June l^195O-~2£i $126,450 00 $ 19.600 00 $ 57 36« 83 $ 23.494 3« INDEBTEDNESS I Amount ot bonded indebtedness (include all negotiable interest-bearing warrants ismied under section 114-1016. O C L. A ) $126.450 00 $ 91.00 00 $ »1.7M 00 Dated this May 18. 1950 Signed: CHARLES C KELLY. DONALD E SHEYTHE Chairman. Board of Directors District Clerk Approved by Budget Committee May 18. 1960 Signed LEE 8 ROBS. R L FAUST. Secretary. Budget Committee Chairman, Budget Committee Posted thia June 1. 1950 CHARLES C KELLY, Dtotrtct Clerk