The Bismarck Tribune Newspaper, October 5, 1925, Page 6

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cea sR om PAGE SIX TREASURER'S REPORT | Report of Treasurer of Morton Schoo! District No. 47, County of Repert of Treasu Burleigh, State of Nort and ending June 30, 1 1, RECEIPTS IN By School Dis RAL FUND et Treasurer A. Cash in General Fund at begtning of duly 1, 1924.08 dat beginning of July 1, 1924..$ 1,498.05 | m vunix Heceived During the Year From the Following ved during the vewe Prom the pate retag erik, 1198-98 | A. Cash in General Fund at beginning of July 1, 1924..8 2,894.76 A. Cash in General Fund at beginning of July 1, 1924..$ 27 ortionment of S' nd Co, Tuition ads. .$ | Apportionm e Tuition Fund $ «, 67-6 me | Amounts Received during the yenr from the fol ; Amounts Received during the year from the following sources: Levied. by ict School Bourd 14 |Apperuignenent Minty Pintion ead : ‘Apportionment of State and Co. Tuition Pund !Apportionment of State and Co. Tuition Fund..$ “469.69 : s Levied by Distriet: Sehool Board ue 2,979 80 Taxes Levied by District School Bo: Taxes Levied by District School Board ... see 1,872.48 ved by easarer dur- ; is ee ey | Interest eeaee bs se Tuition of pupils residing in other districts....4 34.11 ur «of Certificates of Indek ess ...... 2,000.00 porate Ale | Interest : : : an 48.76 ved by Se Amount received by Sehool ‘Treasurer dare ‘Total amount te | Total amount re e ik nse hou rhe ef aur: ein dé ing the year 6,348.96 ing the year Sass . ; County baoaae hoot Dire ff 5.47.28 | Total amount receiv ‘ 8,743.72 | Total amount 4 rie : 3/300.41 Cash in Sinking and int i INKiNG AND f wee I, RECEIPTS IN SINKING AND INTEREST FUND i Hl. RECEIPTS IN SINKING AND INTEREST FUND Amount received from 4 Fund 31.45 il ‘ T | By County Treasurer | By County Treasurer Amount received during » Rund trom in 3. Cash In Sinkin B. Cash in Sinking and Interest. Fund .... 185.90 | Amount received from Taxes Levied for Fund... 141.80 terest thereon 18 86 (Amount received trom 1,211.44) amount received from Taxes Levied for Fund) .- 80.35 pipts in Sinking and Interest Fund... 141.80 Dalal receipts in a 70.31) Amount ved r into Fund from £ | Amount received during year into Fund from In- Total Rece! for yenr including All itane | aniou fee Into Ru cease ponte st yt MePCON a eee Bed’: 19 al eo horace es $442.21 Cash o 1, a0 3,081 79! Te eceipts in a rs os | Total receipts in Sinking an nterest Fund.. AT] EX PI rURES . ‘ERAL FUN aoe T Peceipts in Sin and interest’ 188 tt ee etal faeeeipin, tar eetdaine aii | EXPENDITURES OF GENERAL FUND NDITURES OF nd Total Mevelntn for year i ar District Treasu: chool Distriet Tr Cash on Hand July $343.14! wh on Hand July 1. 1 9,017.69 Following Purposes: nr for the Following EX FUN , i 1. EXPENDITURES nt Fund) 1,252.50 15 H hy S$ RURP. | ta uring fe schoo! District Treasurer : i col Offi 81.90 44.35 > Amounts Pa' uring Yenr for the Fe nterest on Warrants $3. on Bonds $8 87.16 106.78 nts Pala Denne Vane eye PERE) irs on Building ati | Transportation of Pupils. 86 1247 40 Peas 6 weeee ‘ext jooks: " 19 24.20 hers’ Salaries (less 1 tuna) Pere Janitor $ 521.55 | : 104 Salaries an 6100 cAY Relpenent iY laries (less Reti 2,907.00 | ares during Tuition to ot 108.00 | sand Expen : 39. Teachers’ Retirement Fund 18.00 j G 11,632.74 Books Libs S $25.68 156.30 ston Warrants £3.87, Salaries and xpenses of Scl | OF SINKIN All Other 108.81 prodness: : 248.87 Transportation of Pupils i y County ar by Distriet fon of Pupils’! -. ee : 28.50 | Text Books we ,| Interest_on Bonds sieve a 75.00 1,971.66 Tuition to other ool District || ee 69.00 aul other j Tota sxpenditures’ by (County ‘Tr 15.00 u. OF SINKING AND INTEREST FUND sibrary Hooks $5.13, Text Books $1u ents 5 srand Total Expenditures 1,207.74 fy County Treasurer | Reden of Certificates $2,500.00, Incidental, tered | Treasurer. : oo 5,410.35 | Interest. on Bonds 48.00 | $ idee Gy SW oe eam ee cers 3,636.08 { I. EXPENDITURES OF SINK) AND INTEREST FUN i Total Expenditures by County ‘Treasurer aso H Pet during year by District By County Treasurer * 1. IN GES ‘AL FUND. (s 's Hands.) de ‘Totnt & res 2.019. 68 opti von sctierasecain 2 5,497.34 on Bonds Fate epee eee ee eee ee eee 172.00 Cash on hand in General Fund 1,667. 67 BALANCES ' OF SINKING AND INTEREST FUND Total Expenditures by County Treasurer 172.00 | n ‘ 2 AND INTEREST FUN . LIN GENERAL PUND, (School District Tr ‘8 Hands) {Interest on J : 204.00 BALAN Total Cash ana jew) nine. 808" 2 ee ae Cash on hand in General Pind 69.70 | Total * Broasurer. 1277 303.00 For School Year Ending June 30, 1925 RMN Stal ee atone 20. 1,734.47 cann thy, EN,SENIISG AND INE Hands) : re RONDO soiced 1 IN GR hool District Treasurer's Handa) See UNIENES CTE rename CONN om Had Total Cash on Mand in iu Fund 1,062.14 | 5 ae oe ON SINK ND ID 7 Nis "iGo, THas Hendey ai aaal ES ELRI Ce eon Senco DIstEl bcnius 8 ts Gran dituren | L pasurera a ‘ash on hand In Sinking and J st Fund. . 102.17 | CLERK'S STATEMENT OF INDRETRD SEs ct No. 8: bate ieee ae 3,081.79 | Cash on Te ON ie Tetal Cash on Hand in all Funds June 20, 1936 449564 | Total amount of Warrants Outstanding Tone weet oe 900 # KS 8 INDI DNESS OF DIST. | Total Cash on Hand in all Funds June 30, 4 2441.80 THUR STRAND | Approved this 2ist day of July,lwn fo $002.00 Total amount ef W 3 178.20! rand T ixpenditures and Cash on Hi ae vr of Canfield School District No. 7. Order ee on 5 Fetal amount of Bond tanding 1,200.60 | 0 Balane 7 re 8,343.14) CLERK'S STATEMENT OF INDEBTEDNESS OF DIST. EDNA BROSTROM, Clerk a’? Of the District School Board: VoN ties met ay 1,378 205 JOHN K. SK wes" | Total amount bath (lee | aol otal eis allie Inala $ 88.39 ———_$_____—_ ae - = ved s y uly 7 . | re rer of Richmond School District No. 19. Certificates. of Indebtedness é 1,000.00 TREASURER'S REPORT ~ ——— Pees. crawrorlt | of the District Sehool Boards \ -¢ TRABNT OF INDEBTEDNESS OF DIST, Total amount of Bonds Outstanding June’ 30, "193 4,300.00 Repost ot Wreadurer “Gt eee we Oe ntot No. 4 eeunieea i WO MORRISON, President. | Total ame tes of Indebtedness Outstanding Total indebtedness of District June 30, 1925 5,388.39 | Burleigh, State of North Dakota, for th beg i Tos 7 ‘June 30, Aan SUN ~~ 2,000.00 Appreved! this 14th day of July 5 and ending June 30, 1925. eter they peginning July 1, 1924, v ae Re F 7 | Total amount of Ling June. 30, 9400.00 By Order of the District School Board: I. RECEIPTS IN R vg weepont, Of Treagurer of I t No. 48, County | Total indebtedness: of District June 30, 49 $'400.00 | CARL MOUDER, Clerk. ROY LITTLE, Pres. By Schocl District Tres, BHaren dine June 3 pee eee Approved this Mth day of ae a oS 3 REPORT pmo gan in General Fund at beginning of July 1, 1924 $ 60.03 rder of the District S : z Eaenitcd ol noure nie 1. TS IN ¢ ELLA HOLMBERG, Clerk. eer Se PARSON, President. Report of Treasurer of Gibbs School District No. 32, County of Bur- | Apportionment oF State ast’ Caceres, (he, following, sourcen: ‘ chool - = i ce ta “|leigh, State of North Dakota, for the year beginning July 1,924, and | Taxes Levied by District School Beumen Fund: -$ 238-46 fe und ot begin ! TREA PORT ending June 30, 1925. Total amount received by School wrecss Ge, EEE ite r x the yenr fro | Repert_of ‘Treasurer of Lein School District No, 22, County of IPTS IN GENERAL FUND ing the year peuier id une. Apportionment af State and Co. | Burleigh, State of North Dakota, for the year beginning July. 1, 19 By School District Treasurer Total amount 10 a Paxes Levied by District jand ending Jun 18 : Sone Duly, eae A hin General Fund at beginning of July 1, 1924 211.86 ° 1 pol r oe Be i a oR ENERA | Amounts Received during the venr from the following sou r . N INKING AND INTEREST FUND MOLL noun: rece Serer gs | By School District Tr Appertionment of State and Co, Tuition Fund..§ 296.60 B. Cash in Sinking and Interest Fund. otal amount Ived by Schoot Treasurer dare A. Cash in Genera] Fund at beginning of July 1, 1924..$ 1,763.87] Taxes Levied by District Sthool Board ; 2,295.09 | Amonnt reccivea trem Seed tee a 280.07 iraeulamou : = 6,809 Amounts Received during the year from the following so pire interest. os 6 3 . ues 200 Amount received during y Bunt tron: aa. aee08 otal amoun ¥ School Distriet 7 #183 Apportionment of State and Co, ‘Tuition Sale of Certificate of Indebtedness 2,000.00 terest’ thereon neereom Tn: : nm. SIN SINKING AND TN ST FUND | Taxes Levied by District School Boar Sale of old school houses se 513.80 Total receipts in Sinking and Interest Bund. _ 1! aa.ae en, ao. By County: Treasurer Ll Steve, Peni nd Tablets .... Total amount received by School Tre Grand Total Receli Eh und. 737.47 B. Cash in Sinking wid Interest Mund 3,763.55 | Toral amount by Schooi ing the year Oe Hae sane, Seat, including Alt Amount received from Taxes Leviec for, Fund 722.930 fing they vane Total amount received. by School T Cash on Hand July 2, 192 : 3,043.56 Amount received during: year in and from In- (7 mount 1 e pease " Th. RECEIPTS IN SINKING AND 1 1 EXPENDITURES | {ENERAL FUND " thereon 243.65 fy : "By County Treasure! Amounts Pi F ter: the Follen ina es pking and Interest Fund BR. Cash in Sinking and Interest. Fund.... 1,101.86 | Teachers: Salaries Cese Teter ne: ielowing: Purpo: PACT hiatal deel Cash in Sink 264.01 | Amount r d from Taxes Levied for Fund. 220.14" \ Teachers’ T nt Fund : to2d . Mt received tr . Amount 4 ed during: year into Fund from In- Salaries and ses of, ool ty VENDITURES OF GENERAL FUND erest thereon... 65.70 Interest on Warrants $027 Bien meee Amounts Pala Yenr for the 5 wing Purpones: | Total ren sts in Sinking and Inte 771.23 Nat arses ay Bones ‘penses. : : pairs on Building z \ Grand Total Receipts tor ye eure | ‘ash on Hand 5,817.04 Total Expenditures during year r Service $180.00 | Canvas 4 6,336. 82 i ee OE ee i Pe the wae : u A Gene etirement: Fund) tn Paid During Venr for the Following Purposes: Wages By County NDUNTEREST HU nas oe «Paid pairs on Building $205.90, other Improvements Interest. on Bonds Seek ae rr ei er pa on Building | app tteure cada metas 279.18 Total Expenditures by County’ Fre 10.60 Tuttion to other School District atus ae ipoee ee Ae Grand Total Expenditures... i 2,149.92 Text’ Books rue : 63 B. 2,149.92 Transfer to sinking fund Tench ers, Seaariee Users el 2,103.64 : For School Ye 5 iaciaental: “Hxnens a. sinrice wind Duxpenees: Of Genco! Of 9.90 I. IN GENERA er's Hands.) Total Expencitures’ during’ year ‘by Salaries and Expenses of School Off 40 Cash on hand in. Gene Oe an ae Orn COUnty Teens ee ee eae H Books $11.7 Tuition to other School District 216.00 Totar Cash on Hand in adi bande yee ct ae qeueal Inte on nd 300 Au gine " Text Books . . oe 217.68 Grand Total Expenditures and Canh on Hand 893.64 Total Expenditu 200/4 a All Other Expenses 172.57 Balan ‘otal Receipts. 2,043.5 vee 800.45, ‘a iva AND inveRnen FUND?” Total Expenditure IRS. vii 3,043.56 fe G AN NTE iT N ‘easurer. 4,065. 1 o ti. Banas y County Treasurer NM. EXPENDITUR TEREST FUND”! / CLERK'S STATEMEAT OF NDEBTEDNESS Of Dish”! saute Treas, Hangtt28| Grand: Tout Bapenditures 3,728.97 | Total Expenditures by County ae amount. of ends Ours ws, dune, 20, 1,600.00 - and Interest Le eeeuden asic Sancdsiatee Total Expenditures ag 4,488.78 Approved this Lith day of July, 1925," , a5 1 Punds June 247, . GENERAL eae AV ANCES By Order of the . Lain Tune 30; 19Eb S247 36! | IN GENERAL F School District Treasurer's Hands) Fr School Year Ending June 20, 1925 MRS. W. H. STARK, Clerk.” Of Ne Distrlet School Board: elie ; rrore.ga | C2 om hand in ‘iéo. HanaZtet RENERAL FUND. (School District Treasurer's Hands) 7 ~ aoe EDT PAS President, 2 N: Sines ep . So, Treas. Hands.) i soe wan 253.80 TREASURER'S REPORT i 1 Cash on ng er 6.23 G AND INTERES Ce Report of 3 1 chowl am lattlatine: 4a Sain Ob Band in Sinking. an 446.23 rs EST D (Co. Treas. Hands.) 1 porto: rer of Iowa School District Ne. 2, County of Ei CLERK'S 81 anes o ir - AR, dina ‘unds Ju 2,607.85 | Cash on hand im Sinking and Interest Fund..... ‘974.45 leigh, State of North Dakota, f eS yaa Hectont "1 nty of Bur- Tot) amount of B 2 SObE et 88 OF aren rand Total F: pceaitucen and Can ri. saa On Hand Funds June 30, 1925 1,328.25 , ending June 30, 5. ota, for the year beginning July 1, 1924, und “+ Tota td 1925.00 00200000 5,000. o ep ph 6,336.82 rand Totnl Expenditvres nnd Cash on Hand PTS IN GEN! DEAE eee of DI " i : 5,000:00 | a ERIK'S STATEMENT OF INDEBTEDNESS OF DIST, Balance Total Receipts . a cart.es| Schocl Distrlet Treasure rder of the Blatrict School Board: Total amount of Warrants Outstanding June 30, 1925......§ 433.11 MRS. EMITx SABOT. A. Ci 1 Fund a@ beginning of July 1 H. PILLSBURY, Clerk. MRS. Wo He} * Brenia | ota orotate ior Bonds Outstanding June 30, 1925 5,000.00 | Treasurer of Gibbs School District No, 32. | Amounts Received ‘ing the vear from the Toute shabaticta tbe Ash ‘Total iugehtedness' of District June 30, 1925 5,433.11 RK'S STATEMENT OF INDEBTEDNESS OF DIST. ; Apportionment cf State ané Co. Tuition fund ee REPORT — pproved this 1 day of July, 1925, Total amount of Warrants OUtstanding June 30, 1925......$ 17.85 | Taxes Levied by District School Board 4,414.12 a port of rhool Distriet No, 62, County of M. BIERKE, clerk, BY OTH? Of the District School Board: Total amount of Ronts Outstanding June 30, 1925- non nn tState Aid... TOSS cone eran Burleigh, State of Nerth Dakota, for the year beginning duly 1. i99e = MRS. J. 0. RISH, President. otal in det bell nba ee DUD ate Clay a S0ro1 925 8017.85 | Penalty and, Interest. 249.68 sind endings dunes y 1, I. ———— ee i Approved this 14th day ef July, 1925. Total amount received by Se eaprEa ng agi “YS IN GENERAL FUN oe UI BD) By Order of the District School Board: I. REQ! ‘SIN uNp? 788? -92 : : ¥y School District Treasure cot Per et ae i Bismarck Special School District No. 1,|F. H. TRYGG, Clerk. " y By County ‘Troms oREST FUND’ v7 A. Cash in General Fund at beginning of July 1, 1 1, 1922, and ending June 30, ives.) DAKot. for the year beginning July | ~ ork TRE Ba eg eaiing and Interest Fund 3 ounts Received during the year from the following Ee Oe eae , TREASURER'S REPORT Amount received from vied for Fun 7 Haahrae Apportionment of State and Co. Tuition Fund. ..8 + a NERAL FUND Renert of Treasurer of Florence Lake School District No. 14, Coun-|Amount received during year into Fund from In: sate Taxes Levie District School Board : anna eaten oct istrict Treasurer tv of Burleigh, State of North Dakota, for the,year beginning July 1, tereat thereon ........ 34.0 All Other Sources a amen cagh in Genera nd at beginning of July 1, 1924..§ 26,418.66 | 1924, ard ending June 20, 1925. Total receipts in Sinking Y " rote eth’ Ti aangle Petia ‘ 4.441.20 | Peken bevied be. Dee ecg pultion Fund. .§ 7,474.10 By School District Treasurer Canh on Hand July i otal amount received by’ Sehe ie. Stelo28 | Taxes (Ueviediis tr ool Board. 119/520.60 A. Cash in General Fund at beginning of July 1, 1924..8 50.86 1 OF GENERAL FUN Singers i ReECED ND INTEREST FUND 1009°80| Tuition of pupils residing other districts. 6,887.05 | Amounts Received during the yerr from the following sources: hool District Treasurer oe gan ae By County Treasurer Ai other ‘Bour fies sees 571.80 Apportionment of State Tuition Fund . 3 5 Amounts Paid Dui Yenr for the Following Pury B. Cash in Sinking and In Fund... deta ae a ie RO 11,586.30 Apportionment of County Tuition Fund : Repairs on Build Rae ss Posen: Amount ved fror for Fund hax al amount received by School Treasurer dur- Taxes Levied by District School Board. Apparatus ... : 19.52 Amount received during s rote te te eee eed’ wt seas 166,039.85 | Interest cigs Ruel $148.00, J: Service’ $4 earns “ terest thereon 5 10 ‘otal amount received by Schocl Dist. Treas. 192,458.61 | Certificate: nd ‘Teachers’ Salaries (less Retirement Fund) anes Total receipts in Sinking: 3 raquel ae ap pte Apter 30,999.46 Teachers’ Retirement. Fund saint Bead ; ACEIPTS NG AND INTERE UN! 8 Fz : Scho pees : for sear BS SINKING AND INTEREST FUND d.sea.og | Salaries and Expenses of ‘School Officers’ 136.20 tnt ii saa 5,374.41] Amount received from Taxes Levied for Fund.. 17,696.15 4518.90 I inrary Books $080, Rect Books sineae 111.00 School Disttit ree Amount received during year into Pund from I «| By County. Treasurer AN Other Expenses’ iene ee lowing Purposes: Total 1 aR ee Res 66.50 B. Cash in Sinking and Interest Fund...... 101.79 Total Expenditure: : Repairs on Building ne se te 17,661.65 | Amount received from Taxes Levied for Fund... 42.62 Treasurer ments $30.42....,.. 652.28 Nalaely aCe Ameunt received during year into Fund from In- ANCES 4547.19 Biche es 241,119.62 terest thereon .. 4.67 For School Year Ending Bane RES OIMUE VENERAL FUND Total receints in Sinking and Interest Fund. 47.29 1, IN GENERAL FUND, (Schovl District Préaburer's 1 Retirement Fund) so. Aimppdtuiebillinncne voces asurer Grand Total Receipts for year including Al Cash on hand in General Funda . i provarHands) Salari ung Rascares dee Re on Bunning on Cash on Hond July 1. 1924 i 149.08 I. IN SINKING AND INTEREST FUND (Co. T; 2,104.73, Gere, ane of School Officers te: eae I. EXPENDITURES OF GENERAL FUND +. |Cash on hand in Sinking and Interest Fund, co 7788 Hands.) TAH ett TeatitaveFeticoienn red Paid During Year for the Grand Total Expenditures and Cash bis mitheny Books $72 Thteipse See ek Salaries (lesa Retirement’ Fund) ieee) eos URE 8,162.03 All Other Expens nterest on ‘arrants $23 Te hi y Reth 7 aperae ke Total Exe Indebtedness $1640.00 feachers' Retirement Fund .......... i x Treasurer of Iowa Scho ict No. 2. otal Exp Library Boole $218dh, Text iiccha $4346.68 : Salaries and Expenses of School’ Officers. 74.00 CLERK'S STATEMENT OF INDEBTEDNESS OF DIST = ” U1. "EXPENDITURES OF SINKING AND INTEREST FF 3" 20| Interest on Bonds $9637 45. Mice” Siseer oe: BH Ebieient onc WaksAhis 31.58, on Certificates of In- otal ameune pe ‘penis Outstanding June 30, 1925 $ | 5,476.50 Tiereation Bonds By County Treasurer nap Teta! Expenditures during year by District rer.toa.ag |BERRRPOTtation ef Punta 230.80 Certifteate of Indebtedness Tens Sune 30, 1925. 14,000.00 ee Bonds aes P 1A . 21,793.33 ition to ot a Total indebtedness of District Jane 30, 19: : : H Total Expenditures by County Treasurer. 13300 UM. EXPENDITURE KING AND INTEREST FUND Text Bee Se ee % un Approved ‘this 27th day of Suly, 1928, °° i < 19,976.50 Grand Total Expenditures ......... : 3,433.70 ti a ‘Treasurer All Other Expenses; Certificates of In : : By Order of the Distri a BALANCES eae Jon of -Bonaki . 5. Ane 30,000.00 $1600.00... Nie 1,626.57 H. HELGESON, Clerk. pe Paeertet.Behool: Board: bay Genet Senge} Weak Ending June 30, 1925 gn, iaeasnrter rT Te 151,793.33 Total Expenditures during ee —— SIG RUPP, President. cash ton IY, GESERAL FUND, (School District Treasurer's Hands) y ye ‘Treasurer. a 3.536 RERASURER c RAL RUN! For 8 Aug 2 ; 3,626. 7 SR'S REPORT : aah on hand jin General F MRS sai glib iGo, rece neggta8 0] naw enya ade) eat Ending: June Lee I. EXPEND! TEREST FUND of BREpart ch Treasurer of Pleasant View School District No. 6, County Cash on hand in Sinking and Interest Fund...” PROP e.g | Coon Gh Nand in General Hind so. 70,665.18 | Interest _on Bonds 84.00 and ending June 30, 1926.) NOt for the year beginning July 1, 1924, Total Cash on hand in all Funds June 20, 1 1.940:71| Cash on nand In Sinking Fund eee FUND. (Treas, Hands) Total Expenditures i : 64.00 I.’ RECEIPTS IN GENERAL FUND a z en and Cash on Hi ! mc i enor 18,661. Grand Total F: : 3,600.65 : By School D t Tr ~ to Bal Total Cash on Hand in-all Funds F 5 ApRGOR AS 3,600.65 y School District Treasurer > ce Fatal Hecelptn oo sarsiat ond eal Bete ol Sunde June’ 90, i536.. 89:326. BALANCES A. Cash in General Fund at beginning of July/1, 1924..$ 2,43 Treat: CLiZb eg ate puesta on Han For School Year Ending June 20, 1925 Amounts Received K the yenr from the followin 9 438.92 CLERK'S § MENT OF Beppe eol, District, No. 63. yg para tt* 241,119.62 I._ JN GENERAL FUND. (School District Treasurer's Hands.) Apportionment of State and Co. ‘Tuition Funds og eg tOurcent .B STATEMENT OF INDEBTEDNESS OF DIST, JOUN A. LARSO Cash ¢n’hand In General Fund... esse... Taxes Levied by District Schoo! Bo: dina Hay @oral amount of Warrance Oca Treasurer of Bismarck Special 8 i ‘ gee 982.25 tf 9 ard ...... 4,388.82 Total amount of Bonds Out 2 AEP ing June 30, 1 49.33 CLERK'S STATEMENT OF i Specia choo} District No. 1. 1. IN SINKING AND INTEREST FUND. (Co. Treas, Hands) Intereat on Daily Balance ......... : 4 "66. HL amount of Bonds Outstanding Junc, 30, 1 3.20000 | Total amount of Warrants Ou sed NE UTEDNEMS OF DIST. | |, | Cash ob hand In Sinking and Interest Fund Co Rees 5.08 | Total amount received by School ‘Treasurer ‘dur- 116 Approved this 28th day of qavy, a » 1925. 349.33 | Total amount of Bonds Outstanding June ‘30, 193 2 195:600.00| Grand Total Fapem Deena Ooh ca a sabe Tamount reve! hoo! ‘D pr 848.59 . y iv, 192 4 5 600. Cash om Hand Total amount received by School Distrige *F 5 By Order of ‘the District School Board ma OF tem et ted eas ata seca 25,000.00 ce Total Heceipts I. RECEIPT: \G AND INGE 287.52 2 sre t ‘ot istrict 5 5,000. : Saad 667. ‘8 IN SINKING . 5 ELMER BLOOMQL IST, Clerk. MRS. 8. CLIZBB, President. eu aentasuems aay ahs 198,190.78 MRS. JOSEPHINE TEES R078 By County era fee eee FUND a TREARUR S ee By Order of the Dikrrict 2 i Treasurer of Florence Lake School District No. 14. Cash in Sinking and Interest Fund ....... Gopact ot @ecsanne ORT R. PENWARDEN, clee? strict School Board: CLERK'S STATEMENT OF INDEBTEDNESS OF DIST. Amount received from Taxes Levied for Fund of BeERgrt Of Treasurer cf Wild oxe School District No. 64, County | SW Mee ae A. P. LENHART, President. | Total amount of Bonds Outatanding June 30, 1925. $ 1,600.00] Total receipts in Sinking and interest Fund a Ce or ae th: Btat a akota, for the year beginning July 1, 1924, Tr RER'S REPORT Total indebtedness of District June 30, 1925...... 4,000.00 Grand Total Receipts for year incl: : J Ae er eeratinl Genbm A ERE Report of Treasurer of Clone Hie Ey wisinict Non SeuGeunty Approved this uth day at Aly, tees f _ Cash td Hand daly 1924......, 7,982.03 chool. Di RAL FUS f Burlet y Na: 29, y y Order of the Distri ) EXPENDITURES y ome: ‘A. Cash in General Bund at bese ee emer thd ends State of North Dakota, for the year beginning July, 1924, | MRS, L. R. JOHNS, Clerk. $F. STSCALLON, President. be By School District Trea FUND Amounts Received during the yenr from the f 1,466.33 1 RECEIPTS IV GENERAL FUND AABABURGRE REPORT ~ Amounts Pald During Yenr for the Following Purposent ee hed oe Uiciice etn oe | _A.’ Cash In General Fund at eee eater, Report of Treasurer of White School District No. 42. County et | Redemption of Certificate of Indebtedness 2,000 ase meres. Ley | Amounts Hecelven deri un ote ginning o} July 1, 1924. 1,765.16 | Burleigh, State of North Dakota, for the year beginning July 1, 1 Fuel. 113 4 ‘All Other Si $ Apportionment of State and Co. Tultion, renga ene, Roareees and ending June 39, 1925, Teachers’ Salaries (less Retirement Fun fas apace Bones a. sane ge | Tere tected be District Behsal Tuition Funds. .§° "335.50 : 1) RECHIPTS IN GENERAL FUND Feachers’ Retirement Pund a Rs 486.12] A : y School District Tre larles and Expenses 5 rand ‘Total Receipt for by cataee leaterae A. Cash in General Fund at beginning of duty, 1924.. 628.42 |Anterent on Bonds $195.00, cn ges ihieerts ¥ Hae July 1. 1924... mee 4,9) ing the year Al Received during the year from the following sources: debtedness $210.00. i } EXPENDITURES OF GEVERAL FUND Total amount received by 36 2957.68 Abborticament ‘of State ‘and Co. Tuition Funds--$ 9289 46 Bransportation of Puniis g Amount Paid During Year for the Following Parponens E ey School’ Dikteet anal FUND Saale (0 VT ear eben kas 4 ye Pa ilbrary Booka $39°39, Text Hook 206.65 a ict Treasurer Interest ....0.0.. ee js All Other Expenses | leachers’ 673-0 finnrovemend During Year for the Following Purposes: Total amount received by ‘School ‘Treasurer dur- ae Total Expendity i i : . : iio ear... = Salaries and Expenses of Senoot’Otticers 61.90 Len gators 8 Gacsitaqmount socnisea ny atte er pele a pehaeg SI 5,861.38 e epi Certificates of Inashtes noite 199.18 |-Teachers" Halarien Gless ‘Retirement Fund) ’” 158.10 I. EXPENDITURES OF GENERAL FUND By County Treasurer BAT FUND Tuiticn. to other. School District 13:10 Bante a reeepent. Mund ee 1 tn Pald During Venr far ihe Following Porposes! Total Expcnaivane 195.00 ne : 8 tiie Ae... Viganclepr, Betizement Bund .-.. os. Qn nring Year ‘ All Other Expenses: Redemption of tndebicdness Grdnaportation er Poni oonel, Ortieers 109.90 441.85, Janitor Service $45 00 nee te ‘ Grand ‘Total Expendivurce 195.00 $1,500.00; Incidental $176.44 so. 1,676.44 Tuition to other School District fone ED Salaries (less Retirement BALANCES 6,056.38 1 Expenditures during. year ‘by’ District Auton {0 gther chop Distric peeegerenmmee 11 ries and Expenses of School Officer : For School Year Ending June 30, 1925 : ae | ahiancu ee 3,345.97 Total Expenditures during year by District ¢ ice fer omer Be eat Bimziee . Caan an RSP NPEAL BUND. (School District Treasurer's Handa.) 001 Year Ending June 30, 1925 rand” oe : All Other Expenses q ppopsope 1,426.13 . IN GENERAL FUND, (School District Treasurer's Hands) | CeeRe Spey Papen alinrey Total Expenditure 4 hon Rand I Sin King ond Pee FUND (Co. Treas, Hands) Fe omitted In ait Bande sie 30: ia3e be r sichool Year fonding June 30, 1925 (ahead alee TT eee Dee ds and bn aI Eunge!y 1326.68 : Grand Total Expenditures wand. C: IN GENERAI, FUND, (School District Treasurer's Hand: n Eine |! n hand nds) For School Year Ending June 30, Fe Manners Metal Meee B BWANSON 4,952.45) IN 'SINKING. AN INTEREST FUND (Co Treas. Handed |Chah pa Read ih oe nd een meg TONES TARE Ae \ . B, a b - . n hand in General roasures of WIM eRe. eskoon District No. $4 I Funds June a0. ees" dog. a9 | S20, on, hand in General Pund : $27.30 cunRKes pgnhurer of Pleasant View Schoo! District No, rote ERK S STATEMENT OF INDEBTEDNESS OF DIST. Renee, Cane om: Hand Grand Total Expenditures 9° \ qotal amount of Warrents Dave ending June abe to2y, DUST. ‘otal indebtedness of Distric , - Approved this 14th day of duly, 1o5 "eo" Pe pate.e@ ‘res. Le aac 738-04 +4 cent Toten otal tndehted one of Distt ee ‘i , 100/00 e surer of Clea 4 strict June 30, i Bons : d ; 7 AFFER, Cork. ALBERT CHRISTRNSEN, Pragident. | MHS, P. M. GOSNEY, Clerk, PRESLEY M. GOSNEY, President. | JOHN ANDERSON, Clerk. '* DAyTiSt School Bosra: 2 i ’ é ie a Sterne ea SL od . ent, n Dakota, for the year beginning July 1, 1924,| of Burleig and encing MONDAY, OCTOBER 5, 1925 TREASUREL rer of Richmond IPTS IN GENE ool Distric School District No. 19, county | h Dakota, tor the year beginning July 1, 1924,1 purteigh, State of ee ER'S REPORT TREASURER'S REPORT Nan : ~ nfleld School District No. 7, ey, ot Report of Treasurer of Painted Woods School District No. 9, Coun- for the year beginning July 1, i924, ty of Burleigh, State of North Dakota, for the year beginning July 1, Repo! }1924, and ending June 30, 1925 ‘Ss IN GENERAL FUND | 1. ° RECEIPTS IN ( | ava ending June ENERAL FUND By Schoel District Treasurer By Schocl District Treasurer oe NEN St EONS EC a »

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