Image provided by: North Santiam Historic Society; Gates, OR
About The Mill City enterprise. (Mill City, Or.) 1949-1998 | View Entire Issue (March 21, 1963)
llngshead were Mr. and Mrs IxMils Henning, Dennis Sch- Faith Rebekah Lodge Dale Uiftin anil Mrs C. A wlndt. Max McCartney, George Plans Hobby Show Spoon of Salem, and Mr. and Neal. Edwin Sieg. ’Ibni Grimes. LYONS Mrs. Helen Johnston By Eva ItrvMler Mrs. O. K. Brock from John Alice Duugall, Joyce lambert, Warren Ewards left Wednes Day. Donna Asmussen, Orval Knut presided over the meeting of day morning fur White Rook. The pinochle party sponsored son. Jim Harnett and Bob Wal Faith Rclx’kah lodge Wednes Canada, where he will spend by Santiam Valley grange and ton. day evening Plain for (lie an the remainder of the wook at held at the grange hall Friday Mrs. Donna Asmussen and nual liobby and craft show to the home of his brother and evening was well attended, daughter, Mildred, are spend be held Friday, March 29 at wife. with Mrs. Joe Hince and Mrs ing several days this week at the Santiam Valley Grange hall Al Olster- Keith Phillips as hostesses the home of tier brother and wrre discussed Anyone In the Mr. and Mrs surroumling communities Is meter from Grants Pass are High scores were held by Mrs wife at Mt Vernon. Wn. visiting at the home of Mr. Sain Wiser and Mrs. Keith Edwin James, who suffered welcome to display their hob and Mrs. Hobaon Gunn. Mr. Ol- Phillips, low by Mrs Frank an arm injury at Simpson Ply bles Displays must be in place stermeier is a step brother of Basl and John Strochine. Re wood plant is now convalesc by 11 30 a. m. llierc will also be a cooked Mrs. Gunn and his wife is a freshments were served. ing at horn«. Their son. Mar German war bride having come food and apron sale Die Flying Pins and Needles vin, who underwent surgery at to this country a lx hi t two years 111 club held a meeting recent Santiam Memorial hospital is TWe lodge now has two lx>s- pital txxls and two wheel chairs ago. ly. The next meeting will be now at home also Earl Grace from Woonaocket, held March 29. when Miss Cbn- Sunday guests at the home lor ¡xiblic service. S. D. spent several days at the nle Meyers will instruct them of Mr and Mrs Van Prichard Refreshments, carrying out home of Mr. and Mrs. lx«onard on judging and modeling tor were Mr. and Mrs. Claude Bry the St Patrick motif were serv Blum, lie left for his home the style review to be given at ant of Albany Il>e Bryants are ed following the meeting On Wednesday. Albany. April 20 The club former residents of Rainier the coinmilt«-«' were Uila Myers Members of the Womens So m< mbers will make a tour of and long-time friends of the .ml Florence Branch ciety of Christian service will the Paris Woolen Mills in Stay Pi 1« hauls sponsor their annual silver tea ton Tuesday. Many were present for the St. Mehama Firemen Take to be held at the church on Spending their spring vaca Patrick card |>arty held Sun Tuesday, March 26 from 1:30 to tion at the home of their grand day night High scores In pln- In Hotcake Feed 4 p. m. Guest speaker for the parents. Mr. and Mrs llj Jrx*n llotierts Joe ochle were held by Mary Sieg MEHAMA A bus load of afternoon will be Grace La- Hince are buia, Ardice and and Jim Peterson; low by Monica from Italy, who is an Krista Hince of Springfield. Gladys Edwards and Bob Free. Mehama firemen aiul wives at exchange student from Italy Mrs. E. L. Roye, who was High score in 500 was held by tended a hotcake brenktnst In ittending Stayton Union High rushed to the lx*banon Com- Eulalia Lyons and Jake Sll- Bnxiks Sunday morning school. Firemen in aurnxindlng com munity hospital by ambulance tx-rnagel and low went to Katie Mac Mormon was admitted on Friday morning was report- Sieg and Phillip Pietrok In munities have I wen staging to Salem Genera! hospital on by Mr. Roye Monday to be Bunco, first prize went to Izmis«« breakfasts us a means of Thursday and underwent sur some improved. Pietrok, second to Beverly I »un raising money tor tire ««qulp- gery on his arm Friday to cor Weekend guests at the home born and third to Alvin Palmer. ment tor volunteer fire de rect a nerve condition. of Mr. and Mrs. Joe Johnson Mrs Dunham also drew tlx« lta rtments. Hir Mehama trip to Br<x>ks Mr. and Mrs. Joe Hince were and family was their daughter, traveling prize. The door prize Sweet Home vistors last Wed Mrs Ron Taylor and children was w«»n by Mary Sieg. Others was In appreciation of Hie pat nesday at the home of Mr. and from Medford. winning prizes were Evelyn ronage given to Mehuma at Mrs. Oscar Detrez. Th«« Standard First Aid Johnson, Katie Sieg. Henry their Valentine breakfast in Mr. and Mrs Leonard Blum course instructed by John Slml Diester. Mrs Ted Etzcl and February. At that time 40 had as their guests her aunt. of Ixbanon was complete«! on Mrs Henry Thomas. Brooks firemen and wives ar- Mrs. Eva I a wing from Marys Tuesday evening. Completing IXniglas Hampton, son of Mr rived by bus at Mehama. ville. Wn Sunday they nil vis the course and receiving cards and Mrs. Earl Hampton of Sa The bus this Sunday was ited in Newberg at the home were Robert Sexton, Evelyn lem ls spending several days at donated and driven by Ikxig of Mrs. Rose Ginble, a sister Sexton, Doris Miley, laither the home of his grandparents, Heater of Fem Ridge of Mrs. Losing and aunt of Miley. CoJleen McGuffin, Wills Mr. and Mrs Alex Bodeker. He Mrs. Blum. Gilson. Naomi IntVeld, Opal rode his bicycle out from Sa the home of Mn Ruth Lyons Recent viistors at the home Horn, Haruki Horn, Ernie Gros lem in about four hours. was her daughter, Mr» Keith of Mr. and Mrs James Hol- so. Dale Bilyeu, Cecil Grimes, Sunday overnight guests at Taylor and children from New port They returned home M<wv OPERATION OE PLANT day. Mr» Lyons with her 600 Scries granddaughter, Jane Taylor, 5,100.00 5.700 00 5.000 00 610 Salaries 5.000 00 left Monday to spend the week 1.300.00 1,300.00 1.300.00 oo Supplies 1,300 00 at the home of Mr. and Mrs 2.200.00 2.200.00 2.200 00 628 Fuel for Heat 2.200 00 Wayne Ransom in Klamath 1.500.00 1,300 00 1.400.00 630 Utilities except Fuel 1.500 00 Falla .Mr» Ranaotn 1» a daugh- 200 00 200 00 200 00 200 00 ter of Mrs Lyons. Mis» Veda Prichard and Misa 10.730.00 10,100 00 10.300.00 Total Operatiun of Plant 10.200.00 Kathryn Johnston are sending their spring vacation at the MAINTENANCE OF P1ANT homes of their parents. Mr and 700 S«'rifs 200.00 200.00 710 Salaries 21» 00 Mrs Dale Prichard and Mr 200.00 500 00 500 00 Xi in and Mrs Hugh Johnston, The 720 Materials and Supplies young ladles are students at 475.00 800 00 735 Replacement of Equipment osu. Walter Chiller, who is in a 675.00 700 00 1.500.00 Total Maintenance of Plant 700.00 serious condition at Salem Gen FIXED CHARGES eral hospital following head in 800 Series juries received Sunday when 4,700.00 5.000.00 5.000 00 851 Retirement and Social Security Expense 5.200 00 his pickup collldrd with a bus 850.00 950 00 800 00 852 Insurance Marlon Turner road 800 00 on the near Cascade High school Is 5.550.00 5,950.00 5.800.00 Total Fixed Charge» 6.000 00 reported to tie doing ns well as can be expected. FOOD SERVICES AND STUDENT-BODY ACTIVITIES 900-1000 Series 2,900 00 3.080 00 3.080.00 900 Fixxi Services 3.750 00 1000 Student-Body Activities 500 00 500 00 500.00 1010 Salaries 500 00 100.00 100 00 150 00 Supplies 450 00 LYONS NOTICE OF SCHOOL MEETING NOTICE IS HEREBY GIVEN to the legal voters of Mari-Linn school district No. 29-J of Linn County. State of Oregon. that a SCHOOL MELTING «4 the said district will be held at Mari-Linn School on the 4th day of April, 1963. at 8 o'clock p m for the purpoa«« 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 Schedule I Summary of Estimated Expenditures. Receipts, and Available Cash Balances, and Tax levies A. sh r Estimation oí Tax Levy (1) a. Tbtal Estimated Expendi tures c. Total Estimated Expend itures 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 be collected dur ing the Fiscal Year for which this budget is made, including estimated rebate on taxes 5. Tbtal Estimated Tax Levies for Ensuing fiscal year 6. Analysis of Estimated Tax Levies: (b) Amount Outside 6% lim itation (c) Not subject to 6% Limita tion 1 2. I 1. 123.463 00 109.583 00 5.120.00 8.760 00 123.463.00 109.583.00 5.120.00 8.760 00 57,800 62 48.020 00 1.020.62 8.760.00 65,662.38 61.563 00 4.099 38 4.672.92 4.140.00 532.92 70.335 30 65.703 00 4.632.30 65.703 00 65.703.00 4.632 30 4.632.30 Cash Working Fund (Sched ule VI D) $ 2,500 00 Approved by Budget Committee Adopted by District School Board C. INDEBTEDNESS Approved February 20, 1963. 1. Amount of bonded Dated February 20, 1963. , Signed: Indebtedness (Include CHARLOTTE C. THIEL, all negotiable inter Secretary, Budget Committee Signed : est-bearing warrants CHARLOTTE C. THIEL. DONALD R. HUBER. issued under ORS District Clerk 328.205) ............. $34.000 00 Chairman, Budget Committee B. Posted, March 14. 1963 4 Total Indebtedness CHARLOTTE C. THIEL, HUGH M. JOHNSTON. (sum of items L 2, District Clerk District School Board Chrm. 3) .................................. $34,000.00 GENERAL FUND ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE Schedule n Actual Receipts for Two Fiscal Years Next Preceding Cur Budget rent School Year Fiscal Yr. Fiscal Yr. Allow'nee Ending Current Ending 6-30-62 Fis. Yr. 6-30-61 (3) (2) (1) 31.690.99 1,649.23 29,221 66 7.511.23 4.210.49 7.802.32 3,545.71 23.832 66 395.96 4,722.44 22.805.00 459.00 4.065.54 July 1. 1963 to June 30, 1964 Estimated Receipts Ensuing Fiscal Year (5) Item (4) 10. REVENUE FROM LOCAL SOURCES 11.1 District Tax received in year levied 11.2 District Tax—Prior Years' Levies 4.000.00 $ 3.500.00 20. REVENUE FROM INTERMEDIATE SOURCES 21 0 County School Fund .............................. 22.2 Prior Years’ Levies (Rural) ............................... 3.820.00 3,500.00 30 REVENUE FROM OR THROUGH STATE SOURCES 31.0 Basic ■ School Support Fund (a> Off-Set Against Tax Levy 30.000.00 (b) Other Basic School Fund Receipts 27,000 00 400.00 32.0 Common (Irreducible) School Fund 400 00 Other ............................. ............................. REVENUE DIRECT FROM FEDERAL SOURCES 41.0 Public I-aw 874 3,500.00 Forest ................ ............................................................................ 40 3,778.53 I 1,000.00 74.827.01 3.500 00 1.000.00 76.364.75 13,309.74 15.949.65 93,135.75 92,314.40 $ Schedule III 38,900.00 TOTAL RECEIPTS 100 00 18 00 130.00 500 00 500.00 1,400.00 200.00 200.00 50.00 18.00 130.00 500.00 500.00 2,498.15 2,748.00 2,998.00 6,600.00 54,500.00 1,000.00 1,200.00 2,000.00 800 00 1,350.00 440.00 6,800.00 55,800.00 1,000.00 1.200.00 2,000.00 2,400.00 1,350.00 440 00 6,800.00 51.900.00 1,000.00 1,600.00 2,000.00 2,400.00 1,350.00 440.00 67,890.00 70,990 00 67,490.00 ADMINISTRATION 100 Series 110 Salaries 112 Office of Business Administration 120 Supplies ____ 141. Elections and Publicity 142 Census Enumeration ____ 143 Legal Service 144 Audit .... Pupil Insurance .. . ........... 190 Other Expenses of Administration .. 25.00 25.00 25.00 Total Attendance and Health Services 4,460.00 2,600.00 1,500.00 600 00 5,000.00 2,600.00 1,500.00 525.00 10,460 00 9.160.00 9,625.00 7,200.00 51,900.00 1.000.00 1.800.00 2.000.00 2.000.00 1,500.00 400.00 5,500.00 3.900.00 3,900.00 21000 150 00 270.00 270.00 270 00 270.00 3,000.00 3,000.00 3,000.00 110,397.50 110,623.00 108,848.00 3,100.00 EMERGENCY TOTAL GENERAL FUND EXPENDITURES $109,583.00 Total Budget Resources 4,000.00 1,400.00 ESTIMATED EXPENDITURES 1381.1 Principal on Bonds (Include negotiable interest 4,000.00 bearing warrants issued under ORS 328 260) 1,260.00 1382 Interest on Bonds 5,400.00 5,260.00 1,309.36 5,561.83 2,900 00 9,771 19 1.700 00 4,732.61 3,080.00 9,512.61 687.39 1,000.00 4.500.00 3.080.00 8,580 00 500.00 9,771.19 10,200.00 9,080.00 Total Budget Resources Schedule VI CASH WORKING FUND A. Cash Balance in Cash Working Fund During Current Fiscal Year Balance in Cash Working Fund for Ensuing Fiscal Year "Net so long ago wo couldn't get him to oat • thlngl" 1,020.62 You'll Like Our Food 1.020.62 Steaks, Chicken Sea Food Live Music Every 5,120.00 SCHOOL LUNCH FUND ESTIMATED RECEIPTS AND BEGINNING CASH BAI-ANCE 36 Federal Money Received Through State 1,000.00 77 Sales of Lunches . 4,010.00 Salaries 3,750 00 Total Rec'ipls 8,760.00 Beginning Net Cash Balance (or Deficit) Total Expenditures and Reserve D. 270 00 3.000 00 Total Receipts Beginning Net Cash Balance (or Deficit) .... 270 00 BOND INTEREST AND REDEMPTION FUND ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE July 1. 1963 to June 30. 1964 Total Expenditures MM 600 00 1,000.00 1,500.00 Total Payments to other School Districts ESTIMATED EXPENDITURES AND RESERVE 910 Salaries 921 Food 922 Supplies .............. Total Estimated Expenditures 9,825.00 360 00 Total Capital Outlay 270.00 68,400.00 500 Series 510 Salaries ........ . ................ 520 Supplies and Repairs 535 Replacement of Vehicles 552 Transportation Insurance Total Pupil Transportation Services 4.700 00 CAPITAL OUTLAY 1200 Series 1271 Professional Services for Sites 1273 Improvement to Sites 1277 Remodeling 1278 Equipment PAYMENTS TO OTHER SCHOOL DISTRICTS 1400 Series 270.00 1461.1 Tuition SERVICES 4,460.00 2,500.00 3,000.00 500.00 300.00 300.00 2.200 00 1,100 00 3,028.00 Total Expense oí Instruction 25.00 300 00 300 00 1.500.00 1.800 00 Schedule IV INSTRUCTION 200 Series 210 Salaries 211 Principals 213 Teachers 214 Other Instructional Staff . 215 Secretarial and Clerical Assistants 220 Teaching Supplies 226 Textbooks 227 Library Books, Periodicals, Audiovisual Aids 290 Other Expense of Instruction 25.00 1,400.00 225.00 235.00 300.00 300 00 2.500.00 2,300.00 18.00 200.00 550.00 400.00 Total Administration Expenses ATTENDANCE AND HEALTH SERVICES 300-400 Series 25.00 420 Supplies Total Food Services and Student-Body Activities COMMUNITY SERVICES 1100 Series 1120 Supplies and Other Expenses 210 00 1121 Community Recreational Activities 1122 Civic Activities 2,500.00 Estimated Expenditures Ensuing Fiscal Year (5) Item (4) 3.730 00 Total Community Services 41,900.00 TOTAL BUDGET RESOURCES—GENERAL FUND ..$ 48,020.00 GENERAL FUND ESTIMATED EXPENDITURES July 1. 1963 to June 30, 1964 1,200.00 200 00 200.00 100 00 45,520.00 BEGINNING NET CASH BALANCE (or DEFICIT) 3,000.00 LESS CASH WORKING FUND .............................. 1,000.00 200.65 200.00 50.00 17.50 130 00 400.00 500.00 3.680.00 3,800.00 1,000.00 80-90. RECEIPTS FROM OTHER SCHOOL DISTRICTS (b) Transportation ........ 3,500 00 Expenditures for Two Fiscal Years Next Preceding the Budget Current School Year Fiscal Yr. Fiscal Yr. Allow'nce Current Ending Ending 6-30-1961 6-30-1962 Fis. Yr. (2) (3) (1) - 3,750.00 Subscribe To The Mill City Enterprise Only $3.00 a Year 8,760.00 3,750.00 4,930 00 80.00 8,760 00 Friday and Saturday Don’t mitts having the best meal of your life with u«t. Our clean, wholesome food and refreshing drinks are served in most pleasant sur roundings by prompt, cour teous personnel. Eat with us tonight for a new thrill. Chris Campbell, Owner Phone 859-2801 8,760.00 $ 2,500.00 $ 2,500 00, A ¿ OU/W'é M t H A M A