Image provided by: North Santiam Historic Society; Gates, OR
About The Mill City enterprise. (Mill City, Or.) 1949-1998 | View Entire Issue (March 27, 1969)
Work Smarter., Not Harder Notice Of School Budget Hearing 3—The Mill City Enterprise, Thursday, March 27, 1969 THE MILL CITY ENTERPRISE NOTICE is hereby given that a meeting of the governing body of Detroit School District No. 123J of Marion-Linn County, P. O. Box 348 Phone 897-2772 Mill City, Ore. 97360 State of Oregon, will be held at Detroit Elementary School on the 10th day of April, 1969 at 7:00 p. m. o’clock for the purpose Published at Mill City, Marion Comity, Ore. every Thursday of discussing with interested persons the budget for the fiscal year beginning July 1, 1969 and ending June 30, 1970, herein By Bernice Strawa Entered as Second Class Mail Matter at the Postoffice at Mil) after set forth. The budget was prepared on a basis of accounting consistent with that used in the preceding year. Major accounting Extension Home .Manacement City, Oregon, under the act of Congress of March 3, 1879. Specialist Oregon State The Mill City Hnterprise assumes no financial responsibility changes, if any, and their effect on the budget are set forth in an accompanying statement. HERE’S A RECIPE FOR for errors in advertisements. It will, however, reprint A copy of the budget document is available for inspection at Detroit Elementary School between the hours of 8:00 a. m. HOURS OF OUTDOOR FUN without charge or cancel the charge for that portion of an and 4:00 p. m. The budget document may be obtained for $1.00, or parts of it may be obtained for 10c per sheet. far preschoolers from Mrs. Ro advertisement which is in error if The Enterprise is at fault. Signed: U. S. Floyd, berta Frasier, family life spec District School Board Chairman. An independent newspaper, dedicated to the development ialist with the Oregon State of the timber industry and agriculture in this area. FINANCIAL SUMMARY University Extension Service. For the Ensuing Fiscal Year Beginning July 1, 1969 AAtMtttK Take one old truck tire and cut in half. Fill one half with Lunch Bus Building ■|»‘¥SPAPtR Debt. Total General TAX LEVY COMPUTATION water to provide many happy Fund Fund Fund Service All Funds Fund k PUBLISHIRS hours of safe water play. (7) (4) (5) 2 (6) 3 1 -'ASSOCIATION Fill the other half with sand' Association - Founded 1885 $12,350.00 $10,000.00 for a roadway for all the $25,100.00 $35,265.00 Total Budget Requirements ................... $326,560.00 $243,845.00 tracks and cars that delight the Deduct: Total Budget Resources Subscription Rates $12,350.00 $10,000.00 heart of the small fry. Then $25,100.00 94,171.00 Except Tax to Be Levied .................... 141,621.00 Marion-Linn Counties, per year........................................... — $4.00 put the tires where Mother $35,265.00 184,939.00 149,674.00 Revenue Necessary to Balance Budget can keep a watchful eye as she Outside Marion-Linn Counties, per year ................................ $4 50 Add: Est. of taxes to be levied but not carries out her homemaking Outside Oregon, per year ............................................................. $6.00 400.00 8,400.00 8,000.00 rec’d in ensuing year ............................ duties. DON W. MOFFATT.......................................... Editor and Publisher 35,665.00 157,674.00 Taxes to be levied for Ensuing Year .... 193,339.00 Society and News Editor GOLDIE RAMBO Analysis of Taxes to Be Levied— MELTED PLASTIC IS A ROSE CREE ..... 35,665.00 157,674.00 157,674.00 ........ Local News Editor Outside G% Limitation............................... MODERN - DAY HAZARD, GEORGE LONG . ................................. Printer 35,665.00 Not Subject to 6% Limitation ................ judging from calls received at 35,665.00 Total Taxes to Be Levied ........................ $193,339.00 $157,674.00 CORRESI’ONOENTH our county Extension offices. When a plastic bag or boat Detroit-Idanha............................................................. Boots Champion For the Current Fiscal Year Beginning July 1, 1968. gets too near a heater or iron Gates................................................................................. Betty Johnson I Ainch Bus and melts into a puddle, let it Mehama....................................... Mrs. Jahn Teeters - Jean Roberts Building General Debt. Total TAX LEVY COMPUTATION Fund Fund cool, then sponge the remains Lyons ................................................................................ Eva Bresslei Service Fund Fund All Funds (7) with acetone or nail polish re (6) (4) 2 3 1 (») mover. This will soften it. Rub I $11,075.00 $ 9.200.00 gently with fine steel wool ta $19,150.00 $36,175.00 Total Budget Requirements .................... $295,810.00 $220,210.00 Deduct: Total Budget Resources Except take off the residue. 11,075.00 9,200.00 19,150.00 307.00 96,096.00 Tax to Be Levied .................................... 135,828.00 35.868.00 Why Don’t You Subscribe to 159,982.00 124,114.00 Revenue Necessary to Balance Budget The Mill City Enterprise Add: Est. of taxes to be levied but not 400.00 8,400.00 8,000.00 rec’d in ensuing year ............................ 36.268.00 132,114.00 Taxes to Be levied for Ensuing Year .... 168,382.00 BUILDING FUND Analysis of Taxes to Be Levied— $318,453.30 $113,784.03 $ 13.500.00 Available Cash on Hand .................................... $ 19,000.00 132,114.00 Outside 6% Limitation................................ 132,114.00 Revenue from Ixx'al Sources except 36,268.00 36,268.00 Not Subject to 6% Limitation .................. 18,218.22 1,918.39 tax to be levied ................................................... 1,100.00 650.00 36,268.00 Total Taxes to be Levied.......................... $168,382.00 $132,114.00 120,747.80 Proceeds from sales .......................................— 6,109.25 7,500.00 Transfers from other Funds 5,000.00 5,000.00 Approved by Budget Committee: March 3, 1969. Total Budget Resources except Statement of Indebtedness $163,528.57 $123,166.42 $ 19.150.00 tax to be levied .................................................. $ 25,100.00 Signed. Robert C. Young, Secretary Actual Estimate TYPE OF Sam Leffler, Chairman. July 1, 1968 INDEBTEDNESS July 1, 1969 $463,528.57 $123,166.42 $ 19,150.00 TOTAL BUDGET RESOURCES $ 25,100.00 Current Year Ensuing Year $ 2,845.95 $ $ Capital Outlay—Sites .............................. .......... Adopted by District School Board: March 3, 1969 348,832.39 —Buildings ............................................ 76,708.62 Signed: Ruth Miller, Clerk $384,000.00 $362,000.00 Serial Bonds 18,122.72 —Equipment .......................................... U. S. Floyd, Chairman. Operating Contingency BUDGET SUMMARY 5,550.00 19,150.00 Reserved for Expenditures ......................... $ 25,100 00 GENERAL FUND 10,000.00 Transfers to Other Funds .................................. $364,382.39 $ 97,677.29 $ 19.150.00 HISTORICAL DATA Total Estimated Expenditures .......................... $ 25,100.00 Budget For 99,146.18 25,489.13 Actual Budget Unappropriated Balance .................................... $ Ensuing Year Second Year First Year Current Approved $463,528.57 $123,166.42 $ 19,150.00 Budget Resources TOTAL BUDGET REQUIREMENTS $ 25,100 00 Preceding Year Preceding 6 4 1 2 3 N^&A pep Advertising in The Mill City Enterprise Brings Results—Try It Every Week In Case You Wanted To Know Jean Roberts $ 4,270.09 $ 48,720.24 $ 15,000.00 25,000.00 25.000.00 25,000.00 Available Cash on Hand .................................. Unappropriated Balance ................................... Revenue from Local Sources except tax to be levied ................................................ Revenue From Intel-mediate Sources ........ Revenue from State Sources........................... Revenue from Federal Sources ..................... Transfers from other Funds ........................ Total Budget Resources except tax to be levied ................................................ District Tax Received in Year Levied ........ District Tax Required to Balance Budget $ 12,000.00 $ 25,000.00 MEHAMA—March 17 or St. Patrick’s Day is a bank holi 8,250.00 day in Ireland but passes un 8,200.00 22,899.74 20,988.43 4,391.00 observed in America except 16,699.51 4,400.00 15,781.77 30,930.00 for school children who insist 31,896.00 34,033.50 31,326.21 13.000.00 that it is the day for the 14,444.50 11,100.00 11,889.00 600.00 “Wearin’ of the Green” and 600.00 500.00 600.00 anyone without green gets $ 94,171.00 pinched. $109,855.50 $147,852.99 $ 96,096.00 Ask any school youngster 97,236.27 107,712.30 $149,674.00 who St. Patrick was and he $124,114.00 will probably reply that St. Patrick is credited with chas $207,091.74 $255,565.29 $220,210.00 $243,815.00 TOTAL BUDGET RESOURCES ing the snakes out of Ireland. BUDGET SUMMARY This is presumably why he is GENERAL FUND still mentioned on our calen HISTORICAL DATA dars and the color green is Budget For Budget Actual synonymous with St. Patricks Ensuing Year Day. Nothing could be farth Second Year First Year Current Approved Budget Requirements Year Preceding Preceding er from the truth. 6 4 3 1 2 St. Patrick was born about the year 389 and abducted at Administration—Salaries and Wages ............. the age of sixteen by a band $ 8,800.00 S 9,500.00 $ 10,100.00 —Other ..................................................... 2,178.01 2,615.00 2,625.43 of Irish marauders and taken 106,100.00 Instruction —Salaries and Wages .................... 97,797.21 86,526.26 to the Mediterranian. After 6,880.00 —Other ..................................................... 7,495.91 6,217.10 six years he escaped and tried 25.00 —Other ..................................................... 7.59 24.87 to return home when he de Pupil Transportation Services—Salaries cided to become a missionary. 4.900.00 4.480.79 and Wages ........................................................... 3.924.11 Studying for a few years in 3,780.00 —Other ..................................................... 4.627.62 2,851.44 Gaul he was ordained a Dea 9.600.00 9,514.00 8,051.19 Operation of Plant—Salaries and Wages ...... con; spent most of his time in 8,760.00 —Other ..................................................... 8.743.82 5,488.06 Northern Ireland where he 1.03.3.28 600.00 Maintenance of Plant—Salaries and Wages .. 259.50 was a fearless champion of 3,100.00 2.391.37 —Other ..................................................... 3,475.09 Christianity over paganism. 15.440.00 11,075.88 Fixed Charges ......................................................... 11,605.52 He also crusaded against slav 5.200.00 4.434.77 Food Services—Salaries and Wages................ 4.235.72 ery which was an accepted 1,900.00 1.295.00 Student Body Activities—Salaries and Wages bounty of war at that time. 950.00 789.00 —Other ..................................................... 100.90 In 450 St. Patrick baptized 682.60 800 00 Community Services—Salaries and Wages ... 722.00 the reigning king in the Coun —Other ..................................................... 55.20 42.80 ty of Tipperary one hundred Capital Outlay—Sites .......................................... 200.00 200.00 2.100.00 miles south of Dublin, near a 300.00 —Buildings ............................................. 300.00 5.31.37 1,052.15 huge rock. This rock a lime 1,200 00 960.00 —Equipment ........................................... 2,546.49 2,803.34 stone formation, according to 6,000.00 Operating Contingency ........................................ 6.000.00 legend, was spat out by the 6.000.00 Transfers to Other Funds.................................... 10.500.00 7.000.00 8.500.00 devil after he bit it from Dev-| Total Estimated Expenditures .......................... $218,845.00 il’s Bit mountains. Defenses $159,397.30 $179,697.25 $195,210.00 Unappropriated Balance ...................................... $ 25,000.00 were built on the summit, and $ 25.000.00 $ 25,000.00 $ 25,000.00 a round tower known as St.! — -—____ TOTAL BUDGET REQUIREMENTS $243,845.00 Patrick’s Cathredal bearing an $184,397.30 $204,697.25 $220,210.00 ancient cross where Munster |. ‘ I- BUDGET SUMMARY—OTHER FUNDS kings were crowned. HISTORICAL DATA Some of the bishops were Budget Budget For Actual warriors who defeated the Ensuing Year Second Year First Year Current Norse invaders nearby. Year Budget Resources Approved Preceding Preceding In time the Cathedral was 4 3 6 1 2 ruined and then rebuilt until in 1870 St. Patrick’s became LUNCH FUND the national cathedral. The in $ Available Cash on Hand ........... 891.72 $ 1.233.01 $ 1.000.00 $ 1,000 00 stallation of the Knights of St. 1,500.00 1.629.64 1,216.74 1,450.00 Revenue from Federal Sources Patrick were originally held 7,500.00 7.887 12 7,817.89 Proceeds from sales ..................... 7.350.00 there. 600 00 600 00 Transfers from other Funds 600.00 500 00 How snakes and the wearing Tota' Budget Resources except of green have been adopted as i $ 9,926.35 $ 10,749.77 $ 9.800.00 tax to be levied........................ $ 10.000 00 symbolic of St. Patrick is hard | to define The Knights of the $ 9.92635 $ 10,749.77 $ 9.800.00 TOTAL BUDGET RESOURCES $ 10.000.00 order of St. Patrick wore col-I Food Services—Salaries and Wages lars alternated with red and $ 8.693.34 $ 9.720.78 $ 9.250.00 --Other ........................ $ 9.400.00 white leaved roses linked with Transfers to Other Funds................. 600.00 $ gold knots. The Irish flag of St. Patrick is a cross borne dia $ 8,693.34 $ 9,720.78 $ 9,250.00 TOTAL BUDGET REQUIREMENTS $ 10,000.00 gonally red on white and dates DEBIT SERVICE FUND back to the twelfth century. 422 98 $ Available Cash on Hand .............................. $ 5,100.00 $ Revenue from Local Sources except 8.56 307.00 tax to be levied .......................................... Total Budget Resources except 431 54 5,160 00 307.00 tax to be levied ............. „......... $ 36.065.03 25.587.50 District Tax Received in Year levied $ 35.868.00 District Tax Required to Balance Rudget $ 35,265.00 OLd. "Women might not be able to add. but they can certainly distract.” 30.687.50 $ 36.496 54 $ 15,000.00 $ 21.000 00 $ 15.687.50 15.083 75 36,083.75 30.687.50 41279 $ 30.687.50 $ 36.496.54 $ 36.175 00 TOTAL BUDGET RESOURCES Debt Service—Principal .......... ..... —Interest ...... .................... Total Estimated Expenditures Unappropriated Balance ..... TOTAL BUDGET REQUIREMENTS .... $ 35.265 00 ... $ 22.000.00 13.265.00 $ 35.265.00 $ 35.265.00 BUS FUND 2,181.49 $ 5,320.25 $ 8,625.00 138.76 3,(WOO 106.93 3,000 00 450.00 2,000.00 $ 5,320.25 $ 8,427.18 $ 11,075.00 $ 5,320.25 $ 8,427.18 $ 11,075.00 $ 5,320.25 $ $ 5,320.25 $ Available Cash on Hand .............................. Revenue from Local Sources except tax to be levied .......................................... Transfers from other Funds ....................... Total Budget Resources except tax to be levied ......................................... $ 10,850.00 $ 12,3.10.00 8,427.18 $ 11,075.00 TOTAL BUDGET RESOURCES ......... Unappropriated Balance Reserved for Expenditures .................... 8,427.18 $ 11,075.00 TOTAL BUDGET REQUIREMENTS 500.00 1,000.00 $ 12,350.06 .... $ 12,350.00 $ 12,360.00