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THE BISMARCK TRIBUNE THURSDAY, SEPTEMBER 20, 1928 _ STATE! ver h Dakota MI mR FP CATION ‘ATEMENT FOR PUBLICATION STATEMENT FOR PUBLICATION ig gts . wiclork, Wilton, Nort! 0! Gibbs School District Nor dh ke He Th Ke. clerk, Route 1, Blemarck, N. D. ‘Wild Ros school District No_ 64. ue Brownawell, Clerk. Trygg School District Ea Arthur, Magnus. clerk, “Wing, North Dakota. | Wilson Scheol District No. hare ieneral Tena eects ner jecet Fane \s 4A. Cash in General Fund (in hands of District Treasurer and A. Cash in General Fund Cn Re ‘As Caplin cénerat/ Sune Ce Ranta ee Diaeriee. Treakuee’ and e100] 2 Cashin osietina ia) bul ae Wp aipeecmehete BRA TS $1,771.80 excluding Sinking Fund) July 1, 1927 ...... ceeeeee $2,345.89 excluding Sinking Fund) July 1, 1937 excluding Sinking Fund) July 1, 1927 9 451.00) excluding Bir Qs vie ‘by bisirict ‘choo aya 0 Total Amount received from apportionment of State and Total amount received from spporiionmen’ Total amount received from apportionme: by tee County Tuition Fund ......... 0... .0es eee eee $ 341.29 : County Tuition Fund... 0... ; County Tuition Fund . ir ‘ Amount received from Interest... Am rom Ta: rer during the year $1,520.93 . 3,766.24 : Re mai he Stal Amount ‘received hcg Duatrict eperersey Ue 3,292.43 Amount ' received from 1,000.00 ‘Amount received from State Aid . 9 laareae rece ‘cash on hand) alg + 3,292. Amount received from State A: 371.70 Amount received from Interest on Deposit 14.88 Amount received from Thauraaes . fet ‘Amount received from Interest 18.24 Total Amount received by School Treasurer during the year... $3,204.06 |Amount received from Certificates’ of Indebiedness $4,500.22 Amounts Patd During Total Amount received by Sc ssaozar | Total Amount recetved by School District Treasurer «including ca cagsae (eo Amount, "recta School Treasurer during the ii ee a Totsl Amount received i by ‘Schooi District’ Treasurer (in- eee pe Rae oS CARN ON NENG) a ccs Gena inead 4,951.31) El ei “Unpenditeres cf General Fena : Amounts Paid During Year.tor the Following 1 Purge Rithaimene ae Amounts Paid During Year for the Following Perposce: Permanent Improvements: Buildings and repairs Fransportetion of Publis, 2; Perm: Improvements: Buildings and repairs, etc. ate .. ition to other Schoo! ‘Teachers Retirement ee OG see Fuel and Janitor Other Expenses—Hauling ceal and wood for Schooi Fuel and Janitor Service Transportation of Puplis Teachers’ Salaries . he Salaries ... ask Tuition to other School "Distr ta Stlaries and Expenses of School Officers ...: relat toependitis Ss ‘hool Officers Books . erest . Receipts g of indebted wand Interest Other Expenses Retirement Fund « ec) 3 ation of Pupil sree Total Expenditures During a + $3,703.28 ioe Peery ‘aaah Seeial Receipts a rf t ran ‘ota! 4 Tuition to. other School BY iets Grand Total Receipts .. $4,495.32 | Total Expendi $4,064.76 Grand Total Expenditur 3 6. tbat t Grand Total Expenditure: oi + $108.28 |r cceipts Recel .$ 703.65 |Grand Total Cash on Hand in both Fund: june 30, ‘ ; as.r52.c1 | 28nd Total hon Hand i i 1192.04 | Receipts YS eae ATRMENT FOR PUBLICATION | Re STATEMENT FOR PU! "ATIO: Ghylin School District No. 41. as. 5 . 5 2 Receipts ... $ 138-28] Apple Creek School District No. 39. OG. Davenport clerk, R. 2, Bismarck, Grand Total Expenditures. S14. comh tn Goneell MMe Te Renee @! a Expenditures He North Dakota. adie ia CE wel: Grand Total Cash on Hand in both Funds, June 36, 1938’. + Sean alte sinking Fundy Sury TAT $ 640.93 ¢ ry Ei Grand Total Receipts A. Cash in General Fund (in hands of Di i ™ Amount received from Taxes ae 1 Grand Total Catheon Hand in POU Teen ean TrSEk LeboP HOH $BATTAI) Prances School District Rondh. Alta, W. Dletaman. clerk Menoken, N. D. eet reel aD Grand Total Cash on Hand in both funds, June 30, Total amount received from apportionment of ‘Stat a aitse iia eae eceipes tu Gamotal Bawa Peer awcnt secpived by School Treasurer during the yea $3,515.29 County Salon ar + ; trict ‘Treasurer tincludin STATEMENT FOR PUBLICATION Amount received from Taxes Levied by District School A. Cash in General Fund ce hands Pt District Treasurer and $1,069.54 | Total Amount received by School Dis ju « bearyraty : Lincoln School District No. Falconer, Clerk, Bismarck N. D. Board > 8,347.63 irotar smount: recetyed from apportionment ot State and : cash on hand) “expenditures of General Fund A. Cash in General Fund tin hands ot District Treasurer and ARGH Netsat seed By SERB chee Mesaarer Unctuding can County aed” Fond Amounts Paid During Year for tHe Following Purpose Amount receives rom fermanent Improvem: } excluding Sinking Fund) July 1, 1 es on hand) ..... sae Meare aieieeant bene Total amount received from apportionment of State, nat ft General Fei Penchets etrement ta i County Tuition Fund ... $117.59 Amounts Pald During Year for the Following, Purpos id TOLL AW Onne cloea OP Sehoot DI Melee centien ‘ Amount received from Taxes by District School Board... 1,606.63 Fuel and Janitor Servi 8, 261.05 AL Amour he aeiriee ane Bape be Amount received from Tuition of pupils residing in other ites Teachers’ ranlaries a 2,360.00 aig s hiskeratwuea, Tuition to ether School Districts fs Ce aa nay aries and Expenses ’ H Beant resaived irom tnierest on Checking Account: 12.51 Transportation of Pupils 403.00 Pil end A erAR ES for the Following Purpose : heen j Amount received from State Ald. auctng tga Tuition to other School Districts 162.00 Pepchers: Baleares 71.06. : Total Expenditure: ng aie aah sie soe pasurer 4 $3142.26 ‘otal Amount received by School ‘Treasurer dur! _ | Books Salaries and Expenses of School Ofticers : Receipts and Expem i 5 5s $1,823.77 | Other Expenses |... 239. 3 oe S if $1,657 02 i Camount pecived iby School District’ Treasurer’ tin: Total Expenditures During Year by Shooi District, treasurer. $3,429.29 Ree eT Le nniee Wenael ea : Ll ies ‘ cluding cash on hand) + 4,465.86 Receipts and Expendit st Interest Fund Books. Ex pediticeee of Receipts .. $1,129.27 | Other Expense: Grana Total Receipts, Q $5,813.23 Amounts Paid During Year for the Follow! ses Expenditures 1,080.00 | Total Expenditures D iar $2,217.19 |G, 4/382. Permanent Improvements: Buildings and repairs, peel Receipts and Expenditares in Sinking and Tutercet Fe Grand Taet Come on Nand in both Funds, June 30, i938": Apparatus ..... 12.90 Grand Total Receipts ... $8492.06 | Receipts $ 573.48 Fuel and Janito 170.31 Grand Total Expenditures Bupenditures *. 560.00 STATEMENT FOR PUBLICATION Teachers’ Salaries... d 4 891.00 Grand Total Cash on Hand in both Funds, June 36, i Bebe Tyman Schoo! District Noo18. | Marthe, Moilanen, clerk, Wing, North Dakota, Insurance. _ oe id STATEMENT FOR PUBLICATION Gran ‘otal Exnenditu: “ ‘ash in General Fun in Ae et Retirement Fund PHY Lake School District Neva, Vernon Le Hecd juist, Clerk, Wilton, N. D |Grand Total Cash on Hand in both Funds, June 30, i928 excluding Sinking Fund) July 1, 192 $1,289.43 tee eons! re ve 4-21 h 1 Fund Un hands of Distriee v CT STATEMENT FOR PI CATION Total ameui facetaa! tom mete 3$ 595.37 4 rT Cash in Genera’ ‘und (in hands o1 strict ‘reasurt an ME. b . Other Expenses’: Lik) excluding Sinking Fund) July 1, 1937 ++ $1,436.18 | Glenview School District No. 18 Mrs, C. strom, Clerk, Baldwin, N. D.| Amount received from Taxes Levied by District’ School $ Total E Total amount received from apportionm leceints in Genera’ tr Ra ee wenn + 2,415.93 urer : $1,461.03 County Tuition Fund $ 436.70 A. Cash jin General Fund (in hands of District ‘Treasurer and Amount received from Cert cates ‘of Indebtedness... 1: ~'500.00 Receipts Interest Foaa Amount Fecelved from Taxes excluding Sinking Fund) July 1, 1927 . + $4,520.06 ieee Le te m_ Checking Account .... 8.38 Receipts - . : Total amount received from appo tionment of St: and” Total Amount received by ‘Schoo! "rreasurer during the year. $3,519.70 Det eer ecine Amegnunty Tuition Fund $ 628,55 Total Amount received by Schoo! District . Treasurer “Gneiuding ‘adeds Grand Total Receipts . mount received from Ta 5 seseeeeee 45808. Grand Total Expenditu: 2.3 1 abba hd ole 7 Expen General Grand Total Cash on Hand in bot Wome lAingant recel veletrotn Interest ar ‘port 4 exeens Setmuner atin During Year fer ihe Following Purvor 5,778.38 | Total Amount recelved hy School Treasurer during the ,086.16 | Permanent improv 8: Building and r STATEMENT FOR PUBLICATION apen 1 Fu Total Amount rerelved by School District Treasurer cincluding \pparatus ......... Ft. Rice School District 3 Mrs. Ruth Asbridge, Clerk, Bismarck, Amounts Paid During Teer for the Following: Purpo cash on hand) 7,606.22 iietand” Janitor Service”. Wee Fun Permanent Improvements; Buildings and repal ’ Penditures of General Fund: Salaries and: if School’ Ott 31 A. Cash in General Fund of District Treasurer and Teachers’ Retirement Bad Amounts Paid During Year for the Following Purnoses Ui ‘alaries and Expenses of School cers x t excluding Sinking Bund) July trie? #8 ra $ 622.26 | Teachers’ Salaries 2,692.80 Rermanent Improvements: Buildings and repairs, etc. 28.85 IRCr eR oa of Babli”: as i Total amount received from Cada of State an Salaries and Expenses of School Officers . 136.50 ratus . . ea 1. Fund ........ : cee 8 23545 8.0" Teachers’ Salaries 62. Tuition to other School Di 2 172/00 j Peincrrcared trom Pacbe kavied’ by ‘Di ool ieepioet an He Salaries and Expens ¥ Redemption of Certificates GL Tamautcanean’ : 900.00 f ener i Tuition to other sehso! District : Taltion to other Schoo! Sther Expenses 2f0t \ Bameunt tecclved Com intern Oiner Bceensea: 4H Books: Total Expendit oat Diakrict 3 Tieksirer 34,017.10 tal A t received by School Treasurer during the 3,806.39 | Other Expenses im reat i apes aby ich hool District Treasurer (in ceed nae ee Purine Grand Total Bal ergy | Talal Expenditures Buting Grana’ Total Batence eee papeaaiurse SEN q cluding cash on hand) eed Moca ee A LT a Grand Total Receipts .. $7,606.22 ‘ Grand Total Gaen‘on Heaariniioinimundscs ane a0, i838 Grand Total Expenditures ++ 2,954.02 | Grand Total Receipts . . + Amounts Paid During Year for the Following Pur rand Total Cash on Hand in both Funds, Jun Grand Total Cash on Hand in both Funds, June 36, 1928 ..: 4.652.20|Grand Total Expenditur F Permanent Improvements: Buildings and repal: raeitnicn Wea DACEbIEARIEN Grand Total Cash on Hand in both Funds, June 36, i928 oa aaa Painted Woods Schoo! District No f Mrs, Edna Loremtrem, Clerk, Wilton, N. D. Schrunck School District fet Nowa, 0. O- Sperrnclerh, “Regan, North Dakota. nig gh og heh ag Salaries and Expenses of School Officers Receipts In General Fund Recetgts ta 1 wena : Manning School District No. 45. Mrs, Bam Robinsons clerk, Bismarck, N. D. dg Ce es A Gaeh gin General Fund (in hangs of District Treasurer and |. || 4. cash in General Fundrcinr “hands, ety irs Treasurer and Receipts tm General Fund ‘Ouse Tuition to other School Districts. excluding Sinking Fund) July 1. 1927 ........ oo ++ $2,445. excluding Sinking Fund) July 1 : $ 799.99] A. Cash in General Fund (in hands istrict Treasure: 0866 ia Total amount received from apportionment of State and Tolar AOUNe Tose Hae apportionment ot’ iate ad; excluding Sinking Fund) July 1, 1827 vcr ccsssesresste sees $ 706. en Boat eee entaréa Di = eepieeoay cs Amount received from Taxes’ Levied’ by “Disisict ‘Schoai® 2° Amount eeceieed eons os: = sehen pe ae a a Lea pppoe teed ae ‘otal Expenditures uring ‘Fear by chook District rea unt F Lantae Amount received -from Ta. 0 aumugen Clonee ea ; : si i Amount received. from Tornado insurance oe AH acer f Amenente tom 2.26793 ' mount received from Interest on Checking Account jount receive aS He j ek ES ated Total Amount received by School Treasurer during the year. $1,693.20 PoMeadh on hand) by School oe 1| Total Amount recelved by School Tr $2,351.59 i ne el Sole els Total Amount received by School District Treasurer (including cash Foes eer Total ‘Amount en y School Di ieneds on hand) . + 4188.95) Amounts Pata During Year for the Follawing Purses e and) -... os. peg { : ‘of General Fund Arena Schoo! DITATEMEST FOR PUBLICATION “AmguntdaPsldDuriig Yorrtee tesmononinees Termanent Improvements: Buildings and repairs, ete. Amounts Paid During Year for the Following Purpo rena School District Ne P iN. D. Permanent Improvements: Bulidingw eua renaiee oe Fuel and saniior Service : Fermanent Improvements: Buildings and repairs, etc. - ' a . ‘eachers' Salaries os rouectuding Sinking Puna) duly 3 eve Testes O°! g grag |Tenehere Shlarlen 00 ais Rencheta Norircment rong Whale Oe oe eaacazass Ecleres and-cxpegeet of Scheel Gtticera'- | Total amount received trom apportionment of Ror a Transportation of Puniin = Transportation of Pupil : Tuition to Other School Districts. = } Amount received from Taxes Levied by District School Rooks” ae eS Other F Other E: jen... aes 93 Board tees 3 Other Expenses” aL i Total Expenditures Dur! Schoot'-District $2,331.16 penses . 89.97 Total Expenditure: Yea ur $1,716.13 Pen old received from State ‘Aid °- Berea ch Total Expenditures During Year by Schoo! District Treasurer... $1,708.64 Receipin and Expenditarce in Sinking aud Watcrest «| necetpes Merete. rest Fund 613 Total Amount received by School ‘Treasurer during the year + $6438.15 | peceiptan ree g Hee aes ade it) ay Pd X Total Amount received by School District Treasurer (including ay Expenditur xpendituren: , <3 on hand) ..... 6 Grand Total Receipts... Grand Total Expenditures Expenditures of General. Fan : ‘ Gtand Total Receipts... for the Following Purposes: Cra En arta nincelne =» $4.85; EE diyh « 733.23 : Mencken School District No Woot, cletk, Menoken, N. D. TATEMENT FOR, PUBLICATION Recei ral STATEMENT FOR PURLICATION w bere : . ling, N. D. Riverview School District No. 23. Clara Hogue. Clerk, Bismarck, N. D. puierecheo! District ecstete haisacanoeea. Se feed st fg ante of District Treasurer and re nt nts th Gemera uding Sinking Fund) duly 4, 1937 jeceipta In Generel Fun a ‘A. ‘Cash in General Full Tin Nendstet eter Breese: ana A. Cash tn General Fuad. — hands of District Treasurer an ab otais ‘amount received from apportionment Grand Total Cash on Hand in‘both’ Funds, June 36, 1928)... Amounts Paid During Ye «+ $4,664.41 | Grand Total Expenditure 2241. Permanent Improvements: Bulldings and repairs, etc. Cena CHE nT, Peos rt See Se ae eee See ees a ae SRL as Hos AM In eit Bae eae TEMENT FOR PUBLICATIO paratus . ig "305. Fuel and J Teachers’ Salarie Salaries and Expenses of Sch Interest . Transportation of Pupils Tuition. to. other School Districis ; $14,913.83 dud Fund ; excluding Sinking Fund) July 1, 1927...6...0 00. c.ceeseceecn tees $1,688.28 | Total amount received from -apportions 590.60 aceived from apportionment of Retirement Fund « Total amount received from apporiionment of State “and Ds County ‘Tu ‘und Levan oe Amount received from Taxe Other Expenses. county Tuition “Fund ........ TS i. Amount yecelved "trom Amount received from Refund. | Total Expenditures During Year by Schoo $6,122.17 |Amount received from Taxes Levied by District ‘School mie Board Amount received from Building Sold Rca ee Tne Mapenditures in Sinking: $3,008.24 | Amount received from Tuition of pupils residing in’ other Total Amount received by School ing the fatal Auename vectivek ip Repent te Expenditures | : 2,920.00 Districts 35.00 Total Amount received by Echool: District. ‘Treasurer Cinch 3; Grand’ Total Balances Amount received from Interest Total Amount received cash on hand) je the year .... yy, School District, Mesesnrec dncluding Grand Total Receipts... Total Amou it received by Schor 4 cash on hand) ‘b ‘reasurer. ‘during the ar $ 768.58 pend! 1 Fund jeneral 1 Fund id tal Expenditures i? Total Amount mecelree by ‘School. District sense nelea ‘cash Amounts Paid marine yar for the 'Followine | ‘burpe! Amounts Paid During Year for Ne Following Purposes: Grand Total Cash on Hand tn be nee spueey Dibdaiesid| rr sdrep ee hee Schoo! Ofticers * eee Fermanent Improvements: Bulldings and repairs, etc, ..$12,264.12 ve Amounts Paid During Year for the Following, Pur Tran: Srtaen: of "Pu ils 2 123.38 r 646: ATEMENT FOR: PUBLICATION Permanent Improvements: Buildings and repairs 'e Rooke # bisa ENsughion School pistriet No. Robert Solberg, Clerk, Bismarck, N. D. | Fuel and Janitor Service Fuel, 2. 195.44 deters ee rl ee of School Officers ... Rece Fun Tenchera’ Sainrien -- y Total Expenditures ‘During Year by. Schoo! District Tredsan 91,813.73] Falariee aed, Expen A. Cash in General Fund (in Salaries and Exnenses of School Officers excluding Sinking Fund) July Grand Total Ba Retiremént Fund Books .... <$ 363.75 Other Expenses . Total amount received from apportionment Grand Total Receipts County Tuition Fund $3,286.76 ‘Transportation ot Grand Total Expenditure: Panis see 43 Retirement Fund . Be 3 ‘ 93.58 Grand Total Cash on Hand in both Fun 909.03 | Genera amount ance saeree Total Expenditures During euaraby Schaal , District Tregsurer......$1,153.92 $20,494.88 2,667 . Grand Total NI . are Prpiead trom Baie of School ‘House and’ Interest sinae Grand Total Receipts $2,450.68) Bcklund Schoo! Dusty Ned i ath er Easton, clerk, Wilton, N. D. Recelpts edt ia trand Total Expenditures ecelpts ixpenditur . 1.3 Total Amount received by School Treasurer during the year........$3,311.87 a Tot f 2 Total ay received by School Diatrict Treasurer (including cash” SEARS alien ninnpie et initetb PRRs Taaeiajt2s aI Cash gn andra Rand eninge DRE tse Seonmsrer “and $3,911.16] Grand Total Receipts srepeeeerss SBTBOZOR on hand ++ 3,786.83 . STATEMENT FOR PUBLICATION Total amount received from rtionment of State and rand Total. Expenditu . Bei aits Praia Dicivg © aieees, Crofte School District No. 52. Ralph Falkenstein, Clerk, Baldwin, N. D. County Tuition Fund . i Gfand Total Cash on Hand ia both Funds, June 36, 1938. Eutheae Permanent Improvements: Buildings and repairs, etc.. tn In General Ford Amount received from ‘Taxes Levied. by District’ School Teachers’ Retirement A. Cash in General Fund (in hands of District Tr oars « 7,316.27 Cap Sonera FOR PUBLICATION on excluding Sinking Fund) July 1, 1927. ; ve ‘ition: of puplis: Feiding in ‘other Cromwell School District No. Hazel Morris, clerk, Baldwin, North Dakota wel and Janitor Ser Total’ amount received from apportionment of State and Districts . i 48.00 Receipts in General Teachers’ Salaries . soe Rio ek CR a epee egaroay:, $ 225.47 Amount receiv: Oth Hae A. Cash in General Fund (in hands ot District Treasurer and Salaries and Expenses of School Amount received from Taxes Levied by District School Total Amount received by School Tressurer during $8,610.21 excluding Sinking Fund) July 1, 1927 $3,059.35 Interest .....5..... ard 1,942.98 Total Amount received by: Scliool Dt al amount received from ts Transportation of Pur) Amount received from Interest on Checking Account. 41.94 cash on hand) . 12,521.36 County Tuition Fund. Tuition to other Behoel “Districts Total Amount received by School Treasurer during the 2 Expendite nd Amount received from Ti i eee Ease aie $2,209.49 Amounts Faia During Year, forthe} Following Parpsee hues sicaal genta Ant Kal 3 Amount receives vy Schoo! istrict Tre: rmanent Improvement ui ings and repairs, etc. . es During 2,735.37 os Total Amount received by School Treasurer during ihe y $1,820.95 Receipts. and Eixpel Cling <aeh On Rene) stthssee AB EOE eco SRS EREEN » : Total Amount received by School District ‘Treasurer "Uneluding Receipts ..... $ 546.31 rs’ ~Salaries Ss 81 cash on hand) . peytbytts 4,880.30 Expenditures . + 540.00 sabi) ; Salaries and Expen : ‘1 Expenditures of General Fund 69. Interest i Amounts Paid During Year for the lowing Purposes: Grand Total Receipts ; . Grand: Total Expenditui ae 9 Transport pi . 95.90 ‘yanitor ‘ements: Buildings and repairs, etc. Grand Total.Cash on Hand h Fun it 1187 : TATEMENT FOR PUBLICATION Canfield School ‘Biseret ee Berl Bfowder, Clerk, Regan, 99,110.07 Boul a ne A, Other Expenses Misia i ef Total Expenditures During. Year by’ School District ‘A. Cash’ tn General Fund Cn nando oe Dies acatptat 0 Sree Bevel Receipts. +: 110. Receipts and Expenditerce in Sinking and Interest Fund excluding Sinking Fund) July 1, 1927 f Grand Total Cash on Hand in both Funds, June 30, .29| Receipts .. ‘otal- amount received from eppertianment of, Piste ut Grand Total Receipts Al pat ae eiveat oa a Grand T endl STATEMENT FOR PURLICATION hak sie a -H re ers| ecein reereeA et lg Grand Total Gash’ Hy $78.18 | Aurora School District No. € Aire, Harry Ulfers, clerk; Arens, Breet fet eek in oumcpaing daiese Amount re Hand Districts . Amount receive @ine in ‘ATEMENT FOR PUBLICATION a ih in General Fund ( Benes, at District ‘Treasurer ome pls er Phoenix School Distrlet 8 No. 13. ey Clerk, Arena, N. D. excluding Sinking ee yup ENT FOR BLICA’ Doe tut ceceived tran Gtate ht Pe an ee Recein «In , Genera al Fe Mi ds ; al aa Beate ; Thelma School pistriee No. 15. feag: iz Miegen clerk, Driscoll, N. D. “FE fimoune Facsives By oho thames sete | radian Sink Fn a eee cicero A cash dn Cenatel, Bane Meet etgae Dire, PeMaearer nd, gy sen ctl acing, Bapenaiveres of General’ rend” TE Varennes alice’ ay suai wee at Amount rect Hom Got aid ints Polak Hog Rung eerss cron. apperwionment of (County 4, mounts Paid During Year tor the Following Purpos pee Total Amount received by Scheol Treasurer during the $3,293.20 | Amount received from Taxes Levied by District ‘School manent Improvements: Building: and repairs, ete. Boa Total Aours zeveined Sy Rekewl: Pustciet . Teeseaew: * dnehodinig 4,060.69 | Amount received. by Behipoi ‘Treasurer aes ars...” sisiesa LF ‘Mena res of General Hund Total Amount recelved by School District “Treasurer e ; Amounts Paid During Year for the} ‘cash on hand) = 3,402.76 pe .. 2,487.66 | Apparatus... Amounts Paid During Yeur for the Following Purposes Eanes Panter sere : tert Improvements: buildings and repairs, etc Salarion and’ Expenses of Bchool Otticers Transportation of Pupils ; Ks Gate? Binpousas = Total Expénditur Receipts a Amount Teceived from Other Source: Amount received from Other Sources Total Amount received by School Treasurer Total pert ees received by Schoo! District Tr on hand) . el and Janitor Service Teachers’ Salaries Salaries and Papenace of School Otticers potirement Fused ‘Trasportation o} Books Apparat: Fuel and er itor 1° ‘Retvice Teachers’ Salaries .: . pelariee and Expenses of School Officers .. Fuition to other School Districts tirement Fund Baponate During Tear wy Schosi Biatvis i garer t?) 43,374.13 [Interest penditures nd Expenditures ia Staking and ‘Interest Fund Transportation of Puplis Grand Total Recep : SUL 958.54 Receipts nee neteerscreieee .8 188.20] Tuition. to other Behool Grand To tal Expendicar 034835 Books and Total Cash on Hand in both Funds, June 20, i928. 5,610.38, gk, Pemeaer er. 83,200.48 Grand Total Receptn |. “8 3643 1GreRd doth aah om Heed ta > |grat te Met ag arr “apt aay Peek ete n enditures . by Grand Total Cash on Hand in both Funds, J Nee Burnt Creek senool Distslet Ne. 24 pei 26 Total Cook on Hand: ‘ipeent General Fund (in pants of Diatriet Peesaurer and Fand) ao seeee es $1,650.58 STATEMENT FOR PUBLICATIC Wo. 17.0 HC, Tota} amount aed D apporel meni or y Clear Lake tenoot District Now zh, ee, Emme Shatter, clerk, Driscoll, N. Dy County Tuition Lap ' A Cash in General ¥ 4 it A al Fund, (in hands excluding Sinking Past) uke tie Treasurer and ss.see.zs | Amount received from Ta: sth {p Gener {iq Bands of District Treasurer, and Total amount received ‘rom a portionment of Btate aud, Sor ‘spport! ‘Total Amount” Total Saeee vee B 81886 County Tuition +e .! 5.76 an Fees a $4,109.16 maga tion ne teesives ay School ‘District’ Treasurer, . 4332.58 Amogst secetred, . Tote smount 3 received Receipts . INT FOR PUBLICATION “Morton School Distriee Ne None 47. Elvira 8. Crawford, Clerk, Moffit, N. Recel; General HOR PUBLICATION Paul + -$1,513.69 ‘TATEMENT FOR a Christiania Schoo! Distrlee No. 17-0 H.C. c Olson, Clerk, Sterling N. >. Srcluding Ceti He gayle ‘cluding cash on hand) .. aeeet 6,769.78 a) of General Fund Darton Se eneres Fané a 5 Follow! year * Amounts Year tor the ‘Follewise Parpesess cH t reesived & $3,200.30 Tot eal ae received By School Sormansnt tewprovemente: Buildings and repairs. fe. ....$/ 110.00 amount ‘receh : +$3.588.87 Fuel and Janitor Service. oe A i mounts. ae a Duriog aoe sez the Folie jes hewry li cash o1 2,948.87 vem ee the of $2,854.74 oe i nar 593,136.06 pest, ae se Pate oa Peat Expenallases SORE Oa,