Image provided by: North Santiam Historic Society; Gates, OR
About The Mill City enterprise. (Mill City, Or.) 1949-1998 | View Entire Issue (March 26, 1970)
7— The Mil) City Enterprise, Thursday, March 26, 1970 Notice of School Budget Hearing i» hereby glven that a meelin8 of the governing body of Detroit School District No. 123J of Marion-Linn Coun ty, State of Oregon, will be held at Detroit School on the 9th day of April, 1970 at 7:00 p. m. o’clock for the purpose of dis- set forth*11" lnterested Persons the budget for the fiscal year beginning July 1, 1970 and ending June 30, 1971, hereinafter BUS FUND $ rhe budget was prepared on a basis of accounting consistent with that used in the preceding year. Major accounting s $ changes, if any, and their effect on the budget are set forth in an accompanying statement. tbe document is available for inspection at Detroit High School between the hours of 8:00 and 4:00 p. m. The budget document may be obtained for $1.00, or parts of it may be obtained for 10 cents per sheet. Signed LEE BOECKSTIEGEL, District School Board Chairman FINANCIAL SUMMARY For the Ensuing Fiscal Year Beginning July 1, 1970 TAX LEVY COMPUTATION General Fund (1) (2) Total Budget Requirements.............. ...... $269,698.00 Deduct Total Budget Resources Except Tax To Be Levied ..... ...... 129,250.00 Revenue Necessary To Balance Budget . . ...... 140,448.00 Add Est. of Taxes To Be Levied But Not Rec’d in Ensuing Year.......... 8,000.00 Taxes To Be Levied for Ensuing Year .... ...... 148,448.00 Analysis of Taxes To Be Levied Outside 6% Limitation .... ............... ..... 148,448.00 Not Subject To 6% Limitation .................................. TOTAL TAXES TO BE LEVIED .... $148,443.00 $ Debt. Ser. (3) $35,335.00 Bldg. Fund (4) $23,100.00 Bus Fund (5) $14,385.00 Lunch Fund (6) $10,100.00 Fire Replace. (7) $12,000.00 23,100 00 34,385.00 30,100.00 32,000.00 42.34 25.00 4,480.79 4,627.62 9,514.00 8,743.82 1,033.28 2,391.37 11,075.88 4,434.77 3,863.57 3,522.21 10,124.79 8,641.70 551.01 2.756.31 18,069.62 4,837.31 62.04 1,803.00 2,000.24 1,065.78 81.68 5,200.00 4,315.00 10,200.00 9,060.00 400.00 4,950.00 21,560.00 5,100.00 1,295.00 789.00 682.60 55.20 2,900.00 800.00 800.00 200.00 300.00 1,200.00 6.000.00 6,000.00 7,000.00 10,500.00 $179,697.25 $192.491.45 $218,845.00 $ 25,000.00 $ 25.000,00 $ 25,000.00 636.00 3,009.65 531.37 2,546.49 $204,697.25 $217,491.45 $243,845.00 $ 48,720.24 $ 68,899.67 $ 12,000.00 25,000.00 25,000.00 25,000.00 22,899.74 16,699.51 34,033.50 14,444.50 500.00 15,741.87 17,126.53 32,733.40 17,141.00 600.00 8,050.00 4,391.00 34,933.00 13,000.00 600.00 147,852.99 107,712.30 152,242.47 106,657.50 97,974.00 145,871.00 $255,565.29 $258,899.97 $243,845.00 $ 1.01 1,629.64 7,887.12 s 10.340.70 10,749.77 s 10,749.77 $ 1,028.99 $ 1,000.00 1,500.00 1,449.62 7,500.00 7,862.09 s 10,000.00 10,340.70 $ 10.000 00 200.00 207.75 $ 178.50 8,700.00 9,276.88 9,042.28 600.00 600.00 500.00 9,720.78 $ 10.084.63 $ 9,500.00 500.00 256.07 1,028.99 S 10,749.77 9 10.340.70 $ 10,000.00 8.56 14.09 431.54 36,066 03 426.88 35.863.01 $ 36,496.54 $ 36,289 89 9 35.265.00 TOTAL BUDGET REQUIREMENTS Revenue from Federal Sources ............. Total Budget Resources Except Tax To Be Levied 1,316.00 TOTAL BUDGET RESOURCES ...... 8,000.00 153,871.00 400.00 35,665.00 ..... 153,871.00 $12,350.00 $10,000.00 $ 2,454.18 $ 2,738.68 $ 25,100.00 12,350.00 10,000.00 $ 2,738.68 $ $ 2,738.68 $ 35,665.00 $35,665.00 Approved by Budget Committee: March 10, 1970. Signed DAVID WHITE, Secretary SAM LEFFLER, Chairman Y Budget For Ensuing Year Approved (6) (4) Administration—Salaries and Wages .............. $ 11,513.00 2,985.00 —Other ..................................................... Instruction—Salaries and Wages .................... 133,950.00 7,815.00 —Other ..................................................... Health Services—Salaries and Wages ........... 25.00 —Other ..................................................... Pupil Transportation Services— Salaries and Wages......................................... —Other ....................... .............................. Operation of Plant—Salaries and Wages........ —Other _____________ ________ ____ Maintenance of Plant—Salaries and Wages —Other ..................................................... Fixed Charges ............................... . ........ —............ Food Services—Salaries and Wages ................ —Other ...... .............................................. Student Body Activities—Salaries and Wages —Other.... .................. ..................... . ...... Community Services—Salaries and Wages .... —Other .................................... ................. Capital Outlay—Sites ........................................... —Buildings .................... ................................ —Equipment ................................................. Operating Contingency ......................................... Transfers to Other Funds..................................... TOTAL ESTIMATED EXPENDITURES . .. Unappropriated Balance ..................................... Budget Resources TOTAL BUDGET REQUIREMENTS ......... $269,698.00 Available Cash on Hand ..................................... $ 20,000.00 Net Working Capital............................................. 25,000.00 Revenue from Local Sources Except Tax To Be Levied ......................................... 10,100.00 Revenue from Intermediate Sources................ 4,850.00 Revnue from State Sources................................. 49,300.00 Revenue from Federal Sources ........................ 20,000.00 Transfers from Other Funds (Cafeteria)........ Total Budget Resources Except Tax To Be Levied __________ ___ ____ _____ 129,250.00 District Tax Received In Year Levied .......... District Tax Required To Balance Budget 140,448.00 TOTAL BUDGET RESOURCES TAX LEVY COMPUTATION General Fund (2) (1) LUNCH FUND Available Cash on Hand ...................... Revenue from Federal Sources .......... Proceeds from Sales .............................. Total Budget Resources Except Tax To Be Levied _________________ $ TOTAL BUDGET RESOURCES $ 10.100.00 500.00 1,500.00 8,100.00 $ 10,100.00 Food Services—Salaries and Wages .............. $ —Other __________________________ Transfer to Other Funds—General . ..... TOTAL ESTIMATED EXPENDITURES $ 9,700.00 Unappropriated Balance ................................... $ 400.00 TOTAL BUDGET REQUIREMENTS $ 10,100.00 Debt Service—Principal __________________ $ 23,000.00 ——Interest 12335.00 TOTAL BUDGET REQUIREMENTS 7’. '. $ 35335 00 Available Cash on Hand __________________ 8 380.00 Revenue from Local Sources Except Tax To Be Levied ______________ _________ Total Budget Resources Except Tax To Be Levied _________ __ ____________ 380 00 District Tax Required To Balance Budget .... TOTAL BUDGET RESOURCES ............ . 25.100.00 31.888.87 123,166.42 $123.166.42 $ 31.888.87 s 25.100 00 474.21 $ $ 2.845.95 $ 6.000.00 76.708.62 3 275.77 18,122.72 6.000.00 3.749.98 97.677.29 19.100.00 28,138.89 25,489.13 Available Cash on Hand ________ ___ Revenue from Local Sources Except Tax To Be Levied.......................... .................. Transfers from Other Funds (General) .... Total Budget Resources Except Tax To Be Levied _____________ TOTAL BUDGET RESOURCES Capital Outlay—Sites ..................................... —Buildings ........................... —Equipment ______ TOTAL ESTIMATED EXPENDITURES Unappropriated Balance . ....................... $123.16642 $ 31.888.87 $ 25,100.00 TOTAL BUDGET REQUIREMENTS 1,918.39 7.500.00 1.060 84 14.390.75 1,100.00 5,000.00 s By Eva Bressler 34,955 00 $ .35,335 00 $ 16,900.00 1,200.00 5.000.00 « 23,100.00 23,100.00 23.100.00 ... « 23.100.00 $ 14,385.00 $ 12,000.00 1,263.00 $ 1,316.00 35,265.00 14,385.00 TOTAL BUDGET RESOURCES $ $25,100.00 BUILDING FI ND $113.784 03 $ 16,437.28 s 19.000.00 I 118.15 1,263.00 $ 97,974.00 145,871.00 685.00 1,000.00 $ 12,000.00 $ 12,000.00 $ 12,000.00 2,454.18 I ..... ...... 12,700.00 Capital Outlay—Sites ................................ —Equipment ................ TOTAL BUDGET REQUIREMENTS Available Cash on Hand ......................... $ $35,265.00 $ 14,385.00 $ 14,385.00 FIRE REPLACEMENT FUND 35,735.00 $35,735.00 District Tax Received tn Year Levied , 35.265.00 TOTAL BUDGET RESOURCES PUBLIC LAW 89-10 FUND DEBT SERVICE $ 21,00000 S 22,000.00 $ 22.000.00 13.265.00 14,275.00 15,083.75 $ 36,083.75 $ 36.275.00 $ 35.265.00 412.79 $ 422.98 S 8,427.18 $ 10,852.05 $ 12,350.00 1,108.00 $ 36.85 BUDGET SUM AR Y—OTH ER FUN DS HISTORICAL DATA Budget Actual Current First Yr. Second Yr. Year Preceding Preceding (3) (2) (1) 12,350.00 1,916.00 $ 538.18 BUDGET SUMMARY GENERAL FUND 24.87 10,852.05 $ STATEMENT OF INDEBTEDNESS Actual Estimate TYPE OF July 1, 1969 July 1, 1970 INDEBTEDNESS Current Year Ensuing Year $339,000.00 Serial Bonds .................................... $362,000.00 HISTORICAL DATA Budget Actual Current Second Yr. First Yr. Preceding Year Preceding (3) (2) (1) $ 9,500.00 $ 10.163.00 $ 10,500.00 2,685.00 2,575.01 2,178.01 105,152.36 119,675.00 97,797.21 6,533.84 6,975.00 7,495.91 500.00 1,000.00 400.00 35,735.00 .... $243,845.00 ...... $153,871.00 8,427.18 424.87 2,000.00 35,335.00 For the Current Fiscal Year Beginning July 1. 1969 Total Budget Requirements........................................ Deduct Total Budget Resources Except Tax To Be Levied ......................................................... Revenue Necessary To Balance Budget............... Add Est. of Taxes To Be Levied Bui Not Rec’d in Ensuing Year ..................................................... Taxes To Be Levied for Ensuing Year................... Analysis of Taxes To Be Levied Outside 6% Limitation ................................................. Not Subject To 6% Limitation ................................. TOTAL TAXES TO BE LEVIED............................ 8,427.18 $ 10,852.05 $ 12,360.00 8,427.18 $ 10,852.05 $ 12350.00 5,320.25 $ 8,427.18 $ 10,850.00 Unappropriated Balance Reserved for Expenditures...... ..................... TOTAL BUDGET REQUIREMENTS Available Cash on Hand ................................ Revenue from Local Sources Except Tax To Be levied..............-.............................. Transfers from Other Funds (General) .... Total Budget Resources Except Tax To Be Levied ................................... ......... U. S. Navy after 20 years of I service. Mrs. Effie Anderson return ed home Saturday after spend ing the week of spring vaca tion in Washington with het mother. Mrs. Herman Afrank at McClarey and with her daughter, Mr. and Mrs. L. G. Hannaford and family a t Olympia. Mr, and Mrs. E. L. Roye with Rev. and Mrs. R. A. Feenstra of Falls City visited Thursday at the home of Mrs. Flo Stauffer of Cloverdale. John Vann of Hood River was a weekend guest of Richie Manning. Both boys are stud ents at Mt. Hood College in Gresham. 1 Special Holy week and East er services are being observed throughout the week at all Lyons churches. Communion services Friday night and spe cial programs and music by the Sunday school and church choirs. | , Chester Grimes is convalesc ing at his home after major surgery following 28 days in a Salem hospital. Mr. and Mrs. Robert James and children Debbie and Scott of Klamath Falls spent last week with relatives in Lyons. They visited her parents, Mr. and Mi-s. Otto Weidman and his mother, Mrs. Vernon James and other relatives in Lyons and Stayton. Dr. Richard Lyons of Fair banks, Alaska visited with re latives in Lyons over the week end. He was called here by the death of his grandmother, Mrs. Ardie Mack. Mrs. Milton Roten and son, Bob, are spending several days in Seattle at the home of her son-in-law and daughter, Mr. and Mrs. Dennis Morley. The First grade students of Mari-Linn will make a field trip to Portland Friday where they will visit a dairy. They will be accompanied by their teacher, Mrs. Viola Helsel and bus driver Leland Good. Mrs. Paul Yost was hostes? for the meeting of the St Patrick Catholic club at hei home Monday afternoon. Mrs Marshall Blackburn presided over the meeting due to the absence of Mrs. Florent Frit chi, The usual business was carried out and a report was heard from their card and bunco party. The next meeting will be held April 20. Attend ing were Mmes. Marshall Blackburn, Mike Schwindt, Le land Manning, Andrew Sieg, Ben Voltin, Henry Holzfuss, Charlie Bouche, James Peter son, Mike Fink, George Van Aan Agtmael, Mrs. Anne Pie- trok Father Bernard and the hostess Mrs. Yost. Eulalia Lyons was hostess for the Wednesday afternoon card club, playing of 500 fol lowed a one thirty dessert lun cheon. High score was held by Bertha Allen, second high by Gladys Nygaard and low prize went to Doris Roy. Others at tending were Alma Olmstead, Ruth Lyons, Helen Lyons, Bea Hiatt, .June McPheeters, Laura Neal, and Bemeice Bridges. Mrs. Leota Worden spent the first of the week at Reeds port at the home of her daugh ter and family, Mr. and Mrs. Frank Bernard and children, She went with her daughter and husband, Mr. and Mrs. Wayne Lierman who attended the basketball tournament at Coos Bay. Mrs. Ernest Schiewek and her sister, Mrs. Ida Sabo are visiting in Bremerton, Wash ington at the home of Mrs. Schiewek’s son, Mr. and Mrs. Walter Barlow. Paul Schiewek received a letter from Andy Hawakson from Firth. Norway, that he has built a home there and likes it fine. He is a former resident of Mill City, having MANLEY J. STONE worked for the Hammond MEHAMA—Manley J. Stone Lumber Company and the Fer died Sunday in a Salem hos res Lumber company. Mrs. Josephine Kuhel and pital of injuries received in an daughter from Aumsville were auto accident March 12 on Wednesday afternoon visitors Highway 22 East of Salem. The at the home of Mrs. Ethel Huf- deceased was a pioneer of the area coming to Mehama in man. Mr. and Mrs. Jay Smith and 1902. He was a retired farmer 1 family from Lincoln City, Mrs. and spent many years as a i Barbara Smith and children logger. He was 82 years old j and a veteran of World War 1.1 from Stayton and Virgil Smith He is survived by one bro from Portland were Sunday guests at the home of Mr. and ther, Fred, of Florence. Funer al services will be held Thurs Mrs. Van Prichard. Mr. and Mrs. Harley Scott day at 2 p. m. at Weddle Fune with his brother and wife, Mr. ral Home in Stayton. Burial will be at the Fox Valley cem I and Mrs. Vem Scott of Union Hill visited in Scappoose Sun etery in Lyons. day. Students at Mari-Linn school enjoyed a week of spring va cation. They resumed classes again Monday, March 23. Ronald Schwartz, 24, of Tui ner was reported in fair con dition at Santiam Memorial hospital following injuries he a song of value on received at Freres Lumber co. when a load of veener toppled car, home and life on him. He suffered a broken insurance. Contact pelvis and crushed vertebra in me today. the Monday afternoon accident. BILL Mr. and Mrs. Robert Rey ALLMAN nolds Jr., and family who re cently «meed at the home of I’h. 769-573» his parents. Mr. and Mrs. Ro-| 715 First bert Reyn »Ids from Charles Stayton ton, North Carolina have mov er! into th ' Elmer Trip house. I irgli hi « Mr. Reynolds will assist his father at Bob’s fo d market , STATE FARM He recently received his dis-1 C m « mi IKIUUNtl charge for retirement from the v». OBITUARIES Instruction—Salaries and Wages —Other .............................. Capital Outlay—Sites...................... —Equipment ..... TOTAL ESTIMATED EXPENDITURES