Vernonia eagle. (Vernonia, Or.) 1922-1974, October 30, 1925, Image 5

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NOTICE OF DISTRICT ROAD
.... MEETING
to exceed ten mills on the dollar, on J. N. Miller, County Commissioner
all taxable property in said Road T. B. Mills, County Commissioner
District.
U-8t
Road District No. 16, Columbia
---------
4
---------
County, Oregon.
Done at St, Helens, Oregon, this
You can say this for long engage­
NOTICE is hereby given that In 19th day of October, 1925.
pursuance of a petition duly signed John Philip, County Judge
ments; they postpone hostilities.
by 16 freeholders,resident taxpayers
and legal voters of Road District
NOTICE OF CITY BUDGET MEETING
Number 16 of Columbia County,
Notice is hereby given to the taxpayers and legal voters of the City
Oregon, and presented to the Cour.' of Vernonia, Columbia County. Oregon, that a special meeting of the Com­
ty Court of Columbia County, Ore­ mon Council of said City will be held in the City Hall in said City on the
gon, a District Road Meeting of ths 2nd day of November, 1825, at eight o’clock in the evening, for the pur­
pose of fixing the tax levy for all municipal purposes for said eity for the
LEGAL VOTERS of said Road Dir- year 1926, and to hear any discussion or objections to the following esti­
trict Number 16 will be held in the mates.
Vernonia Grange Hall in City of
The total amount of money needed by the city during the fiscal year
Vernonia, Oregon on the 9th day beginning January 1st. 1926 and ending December 81st. 1926, is estimated
of November, 1926, at the hour of in the following budget and includes estimated amounts to be received
from fines, licenses and all other sources.
--
2 p. m. of said day, said meeting to
BUDGET
OF
MUNiCIPALTEXPENSES
be for the purpose of voting a
SPECIAL ROAD TAX in said Road GENERAL FUND
Administration Expense
District, of not to exceed ten mills
Rent, light, fuel and accounting ................
I 600.00
on the Hollar, on all taxable prop­ Recorder’s Office
erty in said Road District.
Salary ..................................................................
1200.00
Supplies, incidentals ......................................
300.00
Done at St. Helens, Oregon, this
Treasurer’s Office
19th day of October, 1925.
Salary ................................................................
120.00
John Philip, County Judge
Supplies, incidentals ....................
......
30.00
J. N. Miller, County Commissioner Legal Expense
«00.00
Attorney Salary ..............................................
T. B. Mills, County Commissioner
ll-3t Police Department
1200.00
Salary, Marshal ..............................................
-----------♦-----------
200.00
Supplies, jail expense .....................................
NOTICE OF DISTRICT ROAD
Fire Department
.... MEETING
100.00
Supplies anj equipment .................................
Road District No. 9, Columbia Coun Health Department
Service and supplies ........................................
75.00 —
ty, Oregon
Street Department
Repairs and maintenance k street lighting
900.00
NOTICE is hereby given that In
................................ •......... ........................
50.00
pursuance of a petition duly signe 1 Elections
Legal Publications ...................................................
50.00
by 17 freeholders,resident taxpayer Enginter’s Office Supplies .....................................
50.00
and legal voters of Road Distric Emergency ................................................................
1000.00
Number 9 of Columbia County
16475.00
Total .................................................
Oregon, and presented to the Coun WATER OPERATING FUND
1500.00
Water Superintendent’s Salary ....................
ty Court of Columbia County, Orc
Assistant’s Salary ............................................
600.00
gon, a District Road Meeting of the
Supplies
and
maintenance
A
extra
help
.......
3300.00
LEGAL VOTERS of said Road Dis
Total ............. .....................................
................. $5400.00
trict Number 9 will be held in th-»
WATER BOND FUND
8. V. Malmsten’s Barn in said Dist
Sinking Fund ......
2220.00
No. 9 on the 9th day of November
Interest ..............
. 3600.00'
1925, at the hour of 10 a. m. of said
Total ...
...................... $5820.00
day, said meeting to be for the pur SEWER BOND FUND
Sinking Fund .............................................................. 1700.00
pose of voting a SPECIAL ROAD
Interest ........................................................ ............... 2400.00
TAX in said Road District, of n<>t
Total ........................................................... ................. $4100.00
OUTSTANDING WARRANTS
l’uyment of outstanding warreuls and interest .... 3920.00
Total................................................................................... $3920.00
GENERAL BOND FUND
Sinking Fund ...................... .......... .......................... -,
600.00
Interest ................................. ........................................
360.00
Total .................
$960.00
•
Grand Total ......
$26675.00
ESTIMATED RECEIPTS
• •
•“'rim fines, licenses, etc. ...
......... 2500.00
From water system ...........
......... 10000.00
Total ...........
$12500.00
Balance, amount to be raised by direct tax .................................... $ 14175.00
We estimate that a levy of Fourteen Thousand One Hundred Seventy-
Five ($14,175.00) will be required to produce the amount of money needed
for all municipal purposes for the year 1926.
Certified Correct:
(Seal) •
G. R. MILLS, Mayor •
Attest D. B. REASONER, Recorder
EMIL F. MESSING. Secretary Budget committee
C. S. HOFFMAN, Chairman Budget committee.
where you
want
it*
anywhere m the house
You need never
dress, bathe or dine in
a cold room with a
portable oil heater and
Pearl Oil in your home
— necessary auxiliaries
to the fireplace and
furnace!
Pearl Oit is refined
and re-rtfned by the
Standard Oil Compa­
ny’s special process —
so it burns cleant Nt
odor — »«»-corrosive.
Order by name— “Pearl
Oil.”
STANDABD OIL COMPANY
PEARL
HEAT ¿-LIGHT
Notice of School Meeting
NOTICE IS HEREBY GIVEN to the legal voters of Union High School
District No. One of Columbia County. State of Oregon that a SCHOOL
MEETING of said district will be held at school building, on the 14th day
cussing the budget hereinafter set out with the levying board, and to vote
of November. 1925, at 2 o’clock in the afternoon for the purpose of dis-
on the proposition of levying a special district tax.
The total amount of money needed by the said school district during
the fiscal year beginning on June 30, 1925, and ending June «0, 1926, is
estimated in the following budget and includes the amounts to be received
from the county school fund, elementary school fund, special district tax,
and all other moneys of the district:
BUDGET
ESTIMATED EXPENDITURES
PERSONAL SERVICE:
No.
Salary per year
2. Principals «
1
$2200
$2200
3. Teachers.....
1
1800
1800
1
1620
1620
1
1530
1530
1
1440
1440
1
1395
1395
4. Janitors ..........
810
1
810
5. Clerk ...............
1
100
100
7. Other services
50
50
Total ...........................
$10945
MATERIAL AND SUPPLIES:
1. Furniture (desks, stoves, curtains, etc.) .....................
$500
2. Supplies (chalk, erasers, etc.) ......................................
175
3. Library books............................. ....... _.....
...
125
4. Flags ..................................................................................
15
6. Janitor’s supplies ................ .................................... ......
150
7. Fuel ....................... ...........................................................
550
8. Light ........................................ .........................................
100
9. Water ...............................................................................
100
10. Postage, stationery ar^ printing ......................... j.... I
75
Total ........................................... ...................
$1790
MAINTENANCE AND REPAIRS:
............ building and grounds ...............................
Total............................................. ...............
ASSESSMENTS (Higrways, Reads, Streets, Bridges):
INDEBTEDNESS»
1. Bonded and interest thereon ......................................... .1 $3730
2. Wnrrant and interest thereon ........................................
4964
Total .....................................................
$8684
TRANSPORTATION OF PUPILS:........................................................
$3500
INSURANCE: ..............................................................................
$580
MISCELLANEOUS:
1. Premium clerk’s bond ........... ..............................
2. School bus body and magasines ......................
3. Audit if clerks books and graduation expenses
Total ....................................................
$1070
Total estimated amount of money for ail purposes __
during the year___ ...........___ ........... ................................
I $27389
ESTIMATED RECEIPTS
Estimate of probable unexpected balance at end of current
year .....................................................................
| $8352 I
Estimated amount to be received from all other sources during the coming
school year Tuition.............................. —............... -..I» 1750 |
(Do not include the money to be recoined from the proposed tax)
I $10102
Total estimated receipta, not incluling proposed tax
RECAPITULATION
Total estimated expenses for the year.............................. I $97359
Total estimated receipts not including proposed tax .... I 10102
’ Balance, amount to be raised by district tax................................... i__. $17257
_____
The Indebtedness of Union High bistrict Me. One la aa follows:
Total bonded indebtedness ------ ----- —............. $17500
$17500
4954
Total warrant indebtedness ..... —.............._•.................. $ $ 4954
Total amount of all indebtedness ....... —........
$22454
Dated this 14th day of October, 1915. O. G. WEED, Board of Directors
Attest: Mrs. Chea. Malmsten, District Clerk.
VKRNOÑÍA EAGLÍ
-JL
A Knockout. “How is this? You
have had three positions and have
no testimonial!” “Well, you see, I
stayed in each place until my em­
ployers dtod.”
London police recruits are said to he *
men of good social standing and home
om you
even college educatiin.
It is, of
" - 1 —
course, much nicer to be run in by Re*d the advs. carefully.
American gray squirrels, im­
ported into England, have driven
the native British red squirrel from
the parks. In America the red squir­
rel is considered the best fighter of
the two.
Women managing a restaurant In
Canton, China, found cooks of their
own sex incompetent and were com­
pelled to “man” their kitchen.
In
China the sphere of woman does not
include housework.
STATE LAUNDRY CO
For Good Laundry Work
We call and deliver TUESDAYS and FRIDAYS.
Leave orders at the Columbia Barber Shop.
The Polite Pinch. Many of the
Original Estimate and Accounting Sheet—Budget
This original estimate is made in compliance with Chapter 118 of 1921 Session Laws of Oregon, and shows
in parallel columns unit costa of the several years services, materials and ¡supplies for the three fiscal years next
preceding the current year,the detailed expenditures for the last one of said preceding years and the budget al­
lowance and expenditures for six months of the current year.
EXPENDITURES
ITEM
Expenditures and budget al-(Expenditures for three years next pre-
Estimated ex. lowance for last six month*!
coding the last year
pendi tures for
and 1955
/------------------------------------- -----------------
Detailed exp
the ensuing
Third
Second
enditures for
year.
Budget
Expenditure in
year
year
last year of 3
detail
1925
Total
total
year period
GENERAL FUND
ADMINISTRATION EXPENSE:
$ 400.00
Rent, light, fuel & accounting $ 600.00
$
16 00
$ 430.52
$
37.45
I 658.45
RECORDER’S OFFICE
Salary .................................
1200.00
1200.00
600.00
376.92
21.95
297.42
Supplies, incidentals .........
300.00
119.03
TREASURER’S OFFICE
Salary .................................
120.00
60.00
Supplies, incidentals .........
30.00
1.48
LEGAL EXPENSE
Attorney salary ..................
600.00
600.00
1049.31
262.50
106.89
Special attorney ................
POLICE DEPARTMENT
1200.00
846.96
1800.00
2564.78
982.70
Marshal salary ....................
598.07
97.43
600.00
Supplies, jail expense .......
200.00
FIRE DEPARTMENT
500.00
958.50
128.65
100.00
Supplies and equipment ...
72.69
HEALTH DEPARTMENT
103.00
100.00
26.01
42.00
Services and supplies .......
75.00
STREET DEPARTMENT
Street lighting, repairs and mainten
115.60
960.00
264.56
550.93
900.00
231.15
ance .............................................
100.00
94.60
9.00
50.00
ELECTIONS ................................
140.75
360.00
482.05
69.50
50.00
38.20
Legal Publications .......................
ENGINEER’S OFFICE
4.55
200.00
50.00
34.71
Supplies, incidentals ...................
1000.00
762.44
218.43
728.18
Emergency ................................... 1000.00
WATER OPERATING FUND
4001.14
750.00
1500.00
1500.00
736.09
Water Superintendent’^ salary
600.00
Assistant’s salary .....................
Extra help .supplies and
2099.87
maintenance —......................... 3300.00
WATER BOND FUND
3100.00 , 2220.00
2220.00
2220.00
Sinking fund ...............
1050.00
3600.00
2775.00
2900.00
3600.00
Interest .......................
SEWER BOND FUND
2000.00
Sinking Fund .............................. 1700.00
1775.80
2400.00
Interest ................. .-.................... 2400.00
OUTSTANDING WARRANTS
Payment of outstanding
1850.00
3920.00
warrants and interest .....
GENERAL BOND FUND
00.00
Sinking fund .....................
Interest ................................................ ¿0.00
....__________ -
TOTAL _.......... ........ ................. «26675.00
$13160.49 $27470.00
$16087.37
$4088.13
$1614.5»
t ff.B. Jlerisoncr, do hc’ c’ certify^thaf’the abort estimate of expenditures for the year 1926 was jwe-
pared by me and tlir-.t ‘he c- --~n.r tires and budget allowance for six months of the current year and the ex­
penditures for thw three fisc..l ye—s next preceding the current year as shown above have been compiled fro
the records in my charge and are true and correct copies thereof.
(Seal)
D- B- REASONER, City Recorder.
Original Estimate and Accounting Sheet
UNION HIGH SCHOOL DISTRICT NO. 1
ITEM
Estimated
expenditures
for the en­
suing school
year.
EXPENDITURES
Expenditures and budget Expenditures for throe fiscal years
preceding the last school yes
allowance for six months of
Detailed ex­
last school year.
penditures Second yenrThir<1
Expenditures Budget allow for the last
yearly
F**»/
year of the
in detail
ance in de­ 3-year per­
totale
»oteta
tail
iod
This original estimate shows in parallel columns the unit costs of the several services, materiel im
for the three fiscal yean next preceding the current year, the detail expenditures for the last one of a
preceding fiscal yean and the budget allowances and expenditures for six months of the current y— (
the of the current year” means six months of the last school year.)
PERSONAL SERVICE:
——
$2200.00
2. Principals
$1333.33
$1933.33
$1400.00
7425.00
3050.00
3. Teachers
1800.00
4810.00
4110.00
3137.50
1620.00
1530.00
1440.00
1395.00
4. Janiton ........................... ... 810.00
540.00
540.00
810.00
850.00
202.68
5. Clerk ................................
100.00
40.00
40.00
60.00
60.00
68.08
7. Other services ...............
50.00
$ 33,33
Total—Personal Service .. $10945.00
$8723.33
$6056.66
$5407.50
$8335.00
$8184.60
MATERIALS AND SUPPLIES:
1, Furniture (desks, etc.) ..
500.00
$ 335.64
$ 366.66
$ 444.69
2. Supplies (chalk, etc.) .... .... 175.00
79.46
233.32
353.59
3. Library books................. ..... 125.00
327.62
s-
-, • 4
*6 *
4. Flags. T............................... ..... 15.00
6. Janitor’s supplies ............. ... -150.00
66.52
16.33
y
15.48
7. Fuel .................................. ..... 550.00
261.00
233.32
140.00
8. Light ................................ ..... 100.00
117.74
93.33
36.55
9. Water................................ .... 100.00
10. Postage and stationery .... 75.00
44.26
33.33 ..
Total—Material and supplies$1790.00
$ 905.12
$ 975.99
$1317.93
$2298.88
$ 648.47
MAINTENANCE AND REPAIRS:
. $ 700.00
Buildings and grounds
Total-Maintenance A repairs $ 700.00
$ 532.10
$ 96.66
ASSESSMENTS (Highways, Reads. Streets. Bridges):
Total—Assessments ........... .. $ 120.00
$ 93.32
. 4
INDEBTEDNESS:
1. Bonded, A interest th«reoa$3730.00
$2586.66
$246« 66
$3970.00
2 Warrant, A interest thereon 4954.00
2784.64
2700.66
34. 68
a
Total—Indebtedness .......... .*..$8684.00
$5371.30
$5167.32
$4004.56
$ 38.60
TRANSPORTATION OF PUPILS :
Total—Trans, of pupils...... .$3500.00
$1763.50
$1000.00
$ 737.58
$1688.08
$1827.78
INSURANCE:
Total—Insurance ----------- ...$ 580.00
$ 48.66
$ 16.66
$ 26.08 —----
----------------------
-------------
MISCELLANEOUS:
$ 148.16
Total—Miscellaneous ........ $1070.00
$ 333.33
$ $o«eè
| 288.88
« «»7.88
EMERGENCY:
Total—Emergency ............. ...
$ >40.00
GRAND TOTAL ................. $27389.00
$15788.65 $13863.91
411264.79 ----- Üúoeoe—
I. Mrs. Chas. Malmsten , do hereby certify that the *bove estimate of expendRi •roe far the year 1
was prepared by ma and that the expendítwee and bud yet allowance for six month a of the current yu
.
On inland Highway