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(STATEMENT FOR PUBLICATION) Receipts in General Fund aan” in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 seeeee $1,894.65 Total amount received during y State and County Tuition Fund . ‘Amount received during year from State ‘ Amount received during year from tee ah School Board . Amount received Interest on bank depos ts. -$ 318.63 101.08 Total amount received by School Treasurer during the year Grand Total amount received by School District Treasurer = cash on hand . . expenditures of Genera ‘Amounts Paid During Year for the Following Purposes: General Control. (School Board Salaries, §158.40; Expenses, $8.76 ..... ‘ {$167.16 Instructional ‘Service. eachers’ Salaries, $1,976.70; Text Books, $86.20; Teachers Retirement Fund, 80 ......- 2,082.70 Auxillary’ Agencies. (Transportation, $ Tuliton, $222.00 . one 94749 Operation of Plant. “(itu applic: 184.30 10.40 3 Maintenance of Plant (Includes upkeep and repairs) . z | 5 | Fixed Charges. (Includes insurance, rents, etc.) Total Amount Paid During School Year by District ‘Trea’ - $3,564.35 | Receipts and Expenditures in Sinking and Inter | Receipts .. . 410.52 +8 Expenditures... 40.00 | ind ‘Total Balances 5 Grand Total Receipts .... BR | 4 Grand Total Expenditures. aes v4 Grand Total cash on hand in both, Fund June 36, 1932 81.23 | Burnt Creek School District (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of District Treasur Sinking Fund) July 1, 1931 . i ‘ Total amount received during State Tuition Fund Total amount received during y County Tuition Fund . Amount received during ) Amount received during School Board i Amount received durin Tuition from other Interest on bank de: Amount received during Amount received during Indebtedness _ Amount received from other non= $1, m State Aid fre ‘ f es ae ed by | District Te of Bonds of Certiti r from § ar from Sale ites of Teceipts venue Total amount received by School Treasurer during the year. ed by School District Tre: Grand Total amount r cash on hand including eee net ng Purpos Expenses Amounts Paid During for General Control. (School Board § $68.63) Instructional Books, Fund ‘$55.12 Auxiliary Agencie Operation of Plan $109.96; Janitor’s Maintenance of Plant les upkeep a Fixed Charges. (Include: urance, rents, Debt Service. (Interest on Certificates of Indebtedness). Sale of Certificate of Indebtedness . Salaries, §) 218.73 Supplies, $116.54 Total Amount Paid During School Year by District 1 Receipts and Expenditures in Sinking and Interest F Receipts Expenditures Grand Total Balances Grand Total Receipts .. exes wens ons Grand Total Expenditures ... Grand Total Cash on Hand in be Linden School District No. h Funds, June 36, (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1. 1931 .... Total amount received during ear from State Tuition Fund ‘ Total amount received du County Tuition Fund ... Amount received during year from Taxes Levied by District School Board Amount received during year from other Tkevenue Re Interest on bank deposits . ; Transfer of sinking fund . $1 ‘apportionment of Total amount received by School Treasurer during the year........$1,398.71 Grand Total amount received by School District Treasurer including cash on hand ... +S ‘General’ Fund Amounts Paid During Year for the Following Purposes: General Control. (School Board Salaries and Expenses) Instructional Service. (Teachers’ Salaries, $1 Books, $15.00; Library Books, Teacher's Retirement Fund, $1 Auxiliary Agencies. (Transportatio Operation of Plant. (F Maintenance of Plant. (Inciu Fixed Charges. (Includes insurance, rents, etc.). Total Amount Paid During School Year Receipts and Expenditures Receipts .... . : Expenditures . by District Treasurer $1,961.14 8.86 | 89.7% | Grand Total Receipts .. Grand Total Expenditures A Grand Total Cash on Hand in both ‘Pande, June 30, 1932 Highland Schoo! District No. 3 3 3: $ a MRS. ANDI (STATEMENT FOR PUBLICATION) Receipts in General Fand 4 Cash, in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 $ Total amount received during year from County Tuition Fund - Amount received during Amount received during School Board ... Amount received during year from other Re Interest on hank deposits . . Amount received during year Indebtednes: ; ear from ear from Taxes Levied 1 ! Distric veipts 2.45 > of Certificates of sees 8 800.00 ne Tt (STATEMENT FOR PUBLICATION) Receipts in General F Cash In General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 be beb i bbc reas wsssabu sivas Total amount received during year from ‘apportionment of ate and County Tuition Fund 2 Amount received during year from Taxes Levied by District School Board .... 1 Amount received during year from’ other Revenue Receipts Interest on bank deposits $7.44 878.52 Total amount received by School Treasurer during the year . ++ $1,447.17 Grand Total amount received by School District Treasurer including, cash on hand Expenditures of General Fa Amounts Paid During Year for the Following Purposes: General Control, $6.48) . Instructional Rooks, $13.6 $10.80) (School Board Salaries, $91.50; Expense: A Maintenance of PI Fixed Charges. insurance, rents, etc. Total Amount Paid During School Year by District Treasurer . Recelpts and Expenditures in Sinking and Interest Fi Rec Expe rand To nd To z ! Grand Total Cash on Hand in, Schrunk School District No. = 82,904.00 «$1,599.76 $1,304.24 Clerk. poth Funds, June 30, 12, NOLAN, MRS. FE. M. Receipts in General Fund ral Fund (in hands of District Treasurer and 1 eketuding, Cash in Gen Sinking Fu mow e Tuition mount received during ‘ounty Tuition Fund t received during yt hool Board . i July 1, 1932 ved during year from pest “und s Amount received during ¥ Interest on bank deposits. - Total amount received by School Treasurer during the year .. Grand Total amount received } cash o School District Treasurer including. seen $2,901.11 Xpenditures of General Fund aid During Year for the Following Purposes: ntrol. (School Board Salaries, $122.06; Expenses $1, Amounts P: Books, poe . $41.92; Library nt Fund, $20.00) : Auxiliary Agencte (Tuition) Operation of Plant. (Fuel) Maintenance of Plant (Includes upk and repairs) Total Amount Paid During School Year by District Treasurer . Receipts and Hixpenditeres te Sinking and Interest Fund ipts . 7: penditures rand ‘Total Balances and ‘Total nd Total 1 Tot Lein ints... xpenditures shou Hand in both Fund chool District N June 3 “(STATEMENT FOR F Receipts in Gener: Cash in General Fund (in hands of District Fund) July 1, 1931 i received du ion Fund ceived 4 mnty Tuition Fund Amornt received during y School Board . Amount received Indebtedness Tota Grand Total amount received by School District Treasurer including amount received by School Treasurer during the year .. cash on hand . Has Sea a Te OR $1,374.02 Amounts Paid During Year for the Following Purposes: General Control. (School Board Salaries) . 98. i Instructional Serv (Board of Children) Maint) e of PI (includes upkeep and_repa 1.50 Debt Service (Certificate of He | $250.0 . j $8.86) : naa 258.86 | Total Amount Paid During School Year by District Treasurer . $1,070.98 Grand Total Balances nd Total Receipts 2 nd Total Expenditur He 070.98 on Hand in both’ Funds, June 30, 1933" $ 303.04 rview School District No. 2 RITA HOGUE, Clerk. (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 . Total amount received during year from apportionment of te and County Tuition Fund .. Amount received during year from Taxes Levied by District School Board Amount received during year from ‘other Revenue Receipts. - Interest on bank deposits 8.76 Amount received during year from Sale of Certificates of Indebtedness ....... 1,000.00 74. $4, Grand Total amount received by School District Treasurer including hoon hand ... o # Total amount received by School Treasurer during the year . pendituren eneral Fund. Amounts Paid During Yeer for the Wollowing, Purpores: General Control. (School Board Salaries and Expenses) .... Instructional Service. (Teachers’ Salaries, $2,079.40; Books, Teacher's Retirement Fund, $2 Auxiliary Agencies, (Transportation, $26.4 Operation of Plant. (Fuel, $98.90) Maintenance of Plant (Inclides upkeep and rep: Fixed Charges. (Includes insurance, rents, etc.) . Debt Service (Interest on Certificates of Indebted: Total Amount Paid During School Year by District Treasurer . ‘and Total Rec ‘and Total and Total Cas s Lake chool District No. 3. VERNON L, NORDQUIST, Clerk. $1,810. Total amount received by School Treasurer during the year. Grand Total amount re cash on hand eived by School District Treasurer including 7.10 nd for the « Amounts Paid Durin Follo General Control. {nstructional Service 1 $40.00; Teacher's Retirement Fund, $13.95) | Operation of Plant. (Fuel, $82.04; Janitor’s ' Supplies, § Maintenance o: Fixed Charges. Debt Service. (Includes. in ees Tents, ete.) ‘e (Interest on Certificates of Indebtedness). Total Amount Paid During School Year by District Tri Receipts and | Expenditures im Sinking and Interest Fu Receipts ... oe : Grand Total Receipts . Grand Total Grand Total ¢ din both, Manning School District No. 45. MRS. 5AM ROBINSON, Clerk. (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of Disi | Treasurer and excluding Sinking Fund) sams: ha Total amount recei State and County $40.81 Amount received during 3 School Board Amount received during y Interest on bank deposits Amount received during year from Sale of Bonds . Total amount received by School Treasurer during the year. $4,198.81 Grand Total amount received by School District Treasurer including cash on hand $5,039.62 Expenditures of General Fund” Amounts Paid During Year for the Following Purposes: General Control. (School Board Salaries, $114.00; Expenses, $18.21) 22.0.2 e eee $132.21 Instructional "Service. "(Teachers laries, $1,074.15; Text Books, $111.45; Supplies, $17.02; Teacher's Retirement | Fund, $14.80) < ‘A coe 185708 Auxillary Agencies. (Transportation) + 1/235:85 eration of Plant. (Fuel, $48.63; Janitor's wages, $17.00).. "65.63 laintenance of Plant. (Includes upkeep and repairs) +, 60.84 Debt Service. Total Amount Pala During School Year by District Treasurer...... eceipts and Expenditures in Sinking and Interest Fund Receipts ........4+ : : Expenditures: (Interest on Certificates of Indebtedness) 08.35 Grand ‘Total Balances Grand Total Receipts ..... Grand Total Expenditures Grand Total Cash on Hand in both Funds, June 36, 1932 Gibbs School District No. 32. F, H. TRYGG, Clerk. (STATEMENT FOR PUBLICATION) Cash in General Fund (in hanas of District Tress in General Fund (in hands of District Treasu d excluding Binking Fund July 1, 1931 cee yer nna ee! $ 442.28 1 amount received during year irom apportionment of »$ 317.45 Fy State get Vraed Tuition apne es eeeeces mount received during year from Taxes Levied District t Bohool Board .. if ti damnat received during year from other Revenue ite Interest on bank deposits ... Arena School Distric ‘Total amount received by School Treasurer during the year .. Grand feist pmaent received by School District Treasurer including Amounts Paid prin Control. InstFuctionsi. Boris i vice, ‘Text Books, $9.84; Library Books, 320.00; $2.83 ee ts Retirement Fund, $11.20) encies. (Transportation, $14.30; ‘Tuition, $30.00) ee, iar {Wels $45.57; Supplies, $5.32) . of Plant (Includes upkeep and repairs) Includes insurance, rents, ete.) . rest on Certificates of Indebtedness). $1,441.26 | itures of General Fund Your for tne sollewine Purhese ehool Board Salaries, $07.12; Expens $1,038.04; Supplies, tion o: (STATEMENT FOR PUBLICATION) Receipts in General Fu Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 ......+..+ ae Apportionment of State and County Tuition Fun Amount received during year from State Ald . 101.08 Amount received during year from Taxes Levied by District 909.23 School Board 899.69 Amount received during year from other Revenue Receipts 1181 Interest on bank deposits $1191 Sale of Stove .. ‘ Amount received from other non-revenue recéipts Total amount received by School Treasurer during the year . +++ $1,231.06 Grand Total amount received by Sch6ol District Treasurer including cash on hand ... $2,140.29 xpendNures of General Fund Amounts Paid During Year for the Following Purpo: General Control, (School Board Salaries, $89.26) . Instructional Service. (Teachers’ Salaries, $1 Books, $35.04; Teacher's Retirement Fund, § Auxiliary Agencies. (Transportation, $70.00 Operation of Plant. (Fuel, $46.81; Supplies, $7 Maintenance of Plant (Inciudes upkeep and repairs) - Fixed Charges. (Includes insurance, rents, etc.) . Debt Service (Interest on Certificates of Indebtedness). $8 Total Amount Paid During School Year by District Treasurer . Grand Total Balances Grand Total Cash on Hand, June 30, 1932 Wild Rose School District No. 54. +e-$ 340.56 Ww. (STATEMENT FOR PUBLICATION) H. BROWNAWELL, Clerk. Rece! in General Fund Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 ,... $ Total amount received during year from apportionment of State and County Tuition Fund ...... 2$ 442.63 Amount received during year from Taxes Levied by ‘District School Board ‘ api - 1,860.00 Interest on bank deposits’ “de ce aaa Total amount received by School Treasurer during the year . + $2,315.40 Grand Total amount Renelved by School District Treasurer including, cash on hand & Fu Purposes Expenses Amounts Paid During Tor the Followin General Control, (School, Board Salaries an Instructional Service. (Teachers’ Salarie: $ 167.50 er's Retirement Fund, $16.13) . * Auxiliary Agencies. (Transportatio! Operation of Plant. (Fuel, $142.60) Maintenance of Plant (Includes upkeep Fixed Charges. (Includes insurance, rents, etc.) -- Total Amount Paid During School Year by District Treasurer ......$2,326.24 Receipts and Expenditures in Sinking and Interest g Receipts ..... me -% 105.78 Grand Total Receipts .. san + $2,851.90 Grand Total Egpenditures | co $2,326.24 Grand Total Ca#h on Hand in both une 30, 525.66 Wilson School District No. MRS, FRED LANGE, Clerk. (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund July 1, 1931 .. Total ameunt received during year from apportionment of State and County Tuition Fund ...... see e$ 194.40 Amount received during year from State Aid | 129.96 107.17 86.91 Amount received during year from Taxes Levied by District School Bo: Amount received during year from Bale of Certificates of Indebtedness 400,00 irand Toial amount received by School District Treasurer including cash on hand . $1,018.44 {Operation of Plant, if | Debt THE BISMARCK pe! MONDAY, AUGUST 29, 1932 (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in han Sinking Fund) July 1, 1931 . Total amount received during y: State and County Tuition Fund . Amount received during year from Taxes School Board Amount received during year from other Revenue Receipts. Interest on bank deposits ... $1. Amount received during year from Sale of Bonds”. « 1,500.00 Amount received during year“from Sale of Certificates of Indebtedness . . 500.00 Amount received from other non-revenue receipts . 4.68 ++ $3,024.09 Grand Total amount received by School District Treasurer including cash on hand ... Total amount received by School Treasurer during the year $3,885.07 Kxpenditures of General Fi Amounts Paid During Year for the Following Purposes: General Control, (School Board Salaries, $77.20; Expenses, 3 +3 ce. (Reachers' Salaries, $673.2 r’s Retirement Fund, $6.80) Agencies. (Transportation, 109.40 $403.00 (uel, $45.24; Light, Water, ete., $20.0 Supplies, shad) sven . % Maintenance of Plant (Includés wipkeep and’ repaita) Fixed Charges. (includes insurance, rents, etc.) $4.65, $49.40 Debt Service (Certificate of Indebtedness, $2,000.00; Interest, 3.25) $3,477.12 +$ 157.86 Receipts and Expenditures in Sinking and Interest Fund . ee ‘ Mave TEI "10.96 ceipts ... <penditures Grand Total Receipts . Grand Total Expenditu Grand Total Cash on Hand ‘in both Funds, June 30, i932. Thelma School District No, 15. WILHELM ROSVOLD, Clerk. (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1981 ..........sssescseseeseeeee awanaad $1,061.12 Total amount received during year from apportionment of State and County Tuition Fund .. 0.0.02... ccc eeeeeeeene Amount reccived during year from Taxes Levied by District SOWOOL OMG i. si vitawucs ss as ced cotta iee sae Amount received during year from other Revenue Receipts. Transferred from sinking®fund . i at Tuition from other districts . Interest on bank deposits ... Total amount received by School Treasurer during the year $1,606.60 Grand Total amount received by School District Treasurer including, cash on hand .. + $2,667.72 Expenditures of nounts Paid During Year for the Following Pt 1 Control (School Board Salaries, $97. Instructional Se Books, $3.7 Auxillary Operation of Plant. Supplies, $1.20) . Maintenance of Plant. Fixed Charger. ice. (Teachers' Teacher's Retirement Fund, $7.20) gencies, (Transportation, $514.36; Tuition, $240.00) (Fuel, $68.35; Janitor's Wages, $5.00; incindes upkeep ‘and’ repairs). (Includes insurance, rents, ete.) ... Total Amount Paid During School Year by District ‘Treasurer: Receipts and Expenditures in Sinking and Interent Fi penaitures nd Total Cash on Hand in both Fund Morton School District No. 47. ) Tune 30, 1932 (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of District Treasurer and ‘excbudiay Sinking Fund) July, 1, 1931 +e +$ 4,156.08 Total amount received during ‘eat State Tuition Fund .. $ 211.98 Total amount received during year irom apportionment of County Tuition Fund ‘ 168.68 Amount received during year from’ Si 216.60 Amount received during year from Taxes Levied by District School Board 6,670.01 Amount received during year from other Revenue Receipts, '430.94 Tuition from other districts $ 336.00 Interest on bank deposits . 28.74 Other sources ‘ 66.20 Amount received during year from Sale of Bonds.:......+.$4,000.00 Total amount received by School Treasurer during the year.. $11,698.21 Grand Total amount received by School District Treasurer including, cash on hand ++ $15,854.29 Amounts Paid During Year for the Following Pu posce: General Control. (School Board Salaries, $181.40; Ex- penses, $71.60) ...... sees 8 252.66 Instructional Service. " (Teachers’ Salaries, $4,165.43; “Text Books, $16! 6; Library Books, $3 Supplies, $505.3 Teacher's Retirement Fund, $42.07) sportation) (Tra (Fuel, $161.71) Auxiliary Agencies. Operation of Plant. $765.00; Supplies Maintenance of Plant. Janitor’s (STATEMENT FOR PUBLICATION) Receipts in General Fan Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 ...ssssseessooece Total amount Pris ard ‘during year from apportionment ise Motel amount received during year from ‘apportionment of sae igcelved during year irom State Aid ; jurin; wae Amount recetved, during year from Taxes Levied by District School Board ‘ Amount received @ on bank deposits . 10.72 Total amount received by School Treasurer during the year.cesce+$1, Grand Total amount received by School District Treasurer including, cash on hand .. oom oo $2,489.01 General ‘Fund pel Amounts Paid Durin, Year for the Following Purposes: General ‘Control. (School Board —e i .50; Expenses, $6.84) .. Instructional Service.’ (Te: a 254.56; Text Books, $32.42; Supplies, $4.75; Fund, $12.45) Auxiliary Agencies. (Transportation, ith, Operation of Plant. (Fuel, $29.10; Janitor's wages, Maintenance of Plant. (Includes upkeep and repal Fixed Charges. (Includes insurance, rents, etc.). Debt Service, (Interest on Certificates of Indeb' Total Amount Paid During School Year by District Treasurer. Receipts and Expenditures in Sinking and Interest Receipts ... Expenditures . Grand Total Receipts Grand Total Expenditures . Grand Total Cash on Hand in both. “Funds, June 30, 1932 Naughton School District No. 25. FRANK A. JOHNSON, Clerk. (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 .......+.+-++ sees a aeeeeeees Total amount received during year from apportionment of State and County Tuition Fund . -$ 469: 3 Amount received during year from State Aid 173.28 Amount received during year from Taxes Levied by District 2940.89 21.31 499.91 School Board aesees seeseeee Amount received during year from other Revenué Receipts. . Interest on bank deposits $ 6.09 Insurance refund ....... 3.82 Coal sold ... 11.40 oy $3,604.92 Grand Total amount receiv: a by School District Treasurer including cash on hand seen ee $4,282.48 Total amount received by School Treasurer during the year. i ren of General Fund Amounts Paid During Year for the Following Purposes: General Control. (School Board Salaries, $135.50)..... Instructional Service. (Teachers’ Salaries, $1,965.15 er's Retirement Fund, $21.00) ..$ 135.50 ‘Teach: + 1,986.1 i Auxillary Agencies, (Transportation, $101.34; Tuition, $231.00) "332.34 Operation of Plant. (Fuel, $111.55) . soceeees 112.85 Maintenance of Plant. (Includes upk 122.87 Fixed Charges. (Includes insurance, rents, etc. 127.34 Printing bonds, $34.00; Interest on Certificates ness, $58.50 . 102.50 +$2,918.20 Total Amount Paid During School Year by District Treasure Receipts and Expenditures tn a cf Interent Receipts 617.63 Expenditu oe 82.70 Grand Total Receipts .... «$4,900.16 Grand Total Expenditures . . “32.978 Grand Total Cash on Hand in both June 30, . Telfer School District No. 46. MRS. B, G. BUCKLEY, Clerk. (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund Cin hands of District Treasurer and excluding. Sinking Fund) July 1, 1931 ........sseesseeeeee eee cece $1828.78 Total amount received during year from apportionment of. State and County Tuition Fund . 218 173.28 Amount received during year from State Aid - . Amount received during year from Taxes Levied by District BCHOOl BORG, .vsesveceseosesssenrscses teeeseeeeees 1,253.55 Amount received during year from’ other Revenue Receipts 3 Interest on bank deposits ..........+65 steeeeee . 10.31 Total amount received by School Treasurer during the year . $1,546.45 Grand Total amount received by School District Treasurer including cash on hand ... 20 Amounts Paid During Year for the Following Purposes: General Control. (School Board Salaries, $152.00) Instructional Service. (Teachers’ Salaries, $1,603.80 Books, $20.00; Library Book Teacher's Retirement Fund, $ Auxiliary Agencies, (Tuition, $43. Operation of Plant. (Fuel, $174.3 Supplies, $17.75) . Maintenance of Plant, pkeep Fixed Charges, (Includes insurance, rents, ete.) Debt Service (Interest on Certificates of Indebtedi Total Amount Paid During School Year b; Receipts Expenditures in Sinking Receipts .... see Expenditures Grand Total Receipts . a 152.00 1,668.60 43,36. District Treasurer .. terest Fund $24 +$ 222.20 . 60.06 Grand Total Balances + $3,091.46 Cneludes upkeep and’ repairs). ; (includes insurance, rents, ete.) Capital Outlay, (New equipment) .’.. Serv! (interest on Certificates’ of “indebtedness, $399.60, and Certificate of Indebtedness, $4,000.00). 4,399.60 Total Amount Paid During School Year by District Treasurer. Receipts and Expenditures in Sinking and Interest Fixed Charge: $15,098.63 Receipts . Expenditures Grand Total Receipts . Grand Total Expenditu Grand Total Cash on Hand | Menoken School District No. 33. (STATEMENT FOR PUBL Receipts in neral Fund Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 Total amount received during year from apportionment of State and County Tuition Fund .... see$ 255,74 $1,207.7; Amount received during year from State Aid 2 144.40 Amount received during year from Taxes Levied by District School Board . 2,231 Amount received during year from oth 10.02 Interest on bank deposits Interest on sinking fund Tévenue Receipts +8 855 147 Total amount received by School Treasurer during the year... + 0 $2,641 Grand Total amount received by School District Treasurer including cash on hand ... ‘ aes $3,854.54 Expenditures of General Fund Amounts Paid During Year for the Following Purposes: General Control. (School Board Salaries, $113.17; Expenses, 96.12) ..... etesenes . 22.8 119.29 Instructional ‘Service. |" (‘Teachers"’ ‘Salaries, $1,782.00; ‘Text Books, $18.00; Supplies, $9.00; Teacher's’ Retirement Fund, $18.00) sees + 1,827.00 Auxiliary’ Agencies, (Transportation, "$129. $366.00) i i . 495.20 Operation of Janitor’s wa 201.65 Maintenance of Plant. (Includes upkeep and Fixed Charges. (Includes insurance, rents, ete.) Grand Total Expenditures Grand Total Cash on Hand in both Funds, June 30, ‘y931. Sibley School District No. 53. + $2, +$ 544.65 ELMER BLOOMQUIST, Clerk. (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 . +o $1,045.18 Total amount received during y: r from’ apportionment ‘of State and County Tuition Fund ..... 88.83 Amount received during year from State Aid. . 8176 Amount received during year from Taxes Levied by District School Board .. 1593.36 Amount received during’ year from other Reventie Receipts." 7-70 Interest on bank deposits . RAYS at | Total amount received by School Treasurer during the year........81,7¢9. cash on hand . Grand Total amount received by School cease ‘Treasurer pretences téa83 Amounts Paid During Year for the Following Pur) General Control. (School Board Salaries) Instructional Service. (Teachers’ Salaries, Books, $6.86; Supplies, $17.0! Teacher's Fund, $8.10) . ° Auxillary’ Agencies. DO} » $1414; Operation of Plant. (Fuel, $14.13; Supplies, $12.05) Maintenance of Plant. (Includes upkeep and repaii Fixed Charges. (Includes insurance, rents, etc.)... Debt Service. (Interest on Certificates of Inde! in $43.13; Patd on Cert. of Indebtedness, $200.00)...... Total Amount Paid During School Year by District Treasurer. Grand Totpl Balances 111.30 905 ry Retirement Grand Total Receipts .. #rand Total Expenditures . Grand Total Cash on Hand in both Funds, June 30, 1932 White School District No. 42. Reece! Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 Total amount received during year fron State and County Tuition Fund ... Amount received during year from State Aid ... Amount received during year from Taxes Levied by District School Board Stee s ee ceeesesesesssesene Amount received during year from other Revenue Receipts. . Interest op bank deposits . 3 4.89 Refund on swing ... Transferred from Sinking Fund; apportionment of.” ”"” +$ 237.48 36.10 Total amount received by School Treasurer during the year. $2,466. Grand Total amount received by School District Treasurer including cash on hand Expenditures of General Fund Amounts Paid During Year for the Following Purposes: 483. Total Amount Paid During School Year by District Treasurer. H tx and Expenditures in Sinking and Interest Ful Receipts . 147 Expenditu 147 Grand Total Receipts . 4.54 Grand Total Expenditures 2.57 Grand Total Cash on Hand in both 1.97 Hay Creek School District No. 31. ‘‘ MRS. RAY BREEN, Clerk. (STATEMENT FOR PUBLICATION) Receipts in General Fund Cash_in General Fund (in hands of District Treasurer and excluding Ainking Wind) July 1, 98T ,,......5000cecssecesses ses ++$ 806.31 Tota! amount received during year from ‘apportionment of * State Tuition Fund ..... seeceesseees : 45.50 Total umount received during year from ‘apportionment of County Tuition Fund . ‘ 32.76 Amount received during year from State Aid . 43.32 Amount received during year from Taxes Levied by District School Board ..... caeree 360.13 Amount received during year from other Revenue Receipts 6.15 Tuition from other districts .............. Gran ea ee $ 615 Total amount received by School Treasurer during the year. $ 487.86 Grand Total amount received by School District Rrenanrer including: cash on hand .... Expenditures of Gene Amounts Paid During Year for the Following Purpose: General Control, (School Board Salaries) .. Instructional Service. (Teachers’ Salaries, $757.35; Text Books, $24.90; Supplies, $22.97; Teacher's Retirement Fund, $7.65) . . CAG Oper: 01 € Shines nance of Plant. (Includes upkeep and repairs: Fixed Charges. (Includes insurance, rents, etc.). Total Amount Paid During School Year by District Treasurer. Grand Total Balances $1,009.95 1,294.17 Grand Total Receipts Grand Total Expenditur see 1,009.95 Grand Total Cash on Hand ‘in unds, ‘30, 1932: $284.22 Fort Rice School District No. 51, MRS. RUTH ASBRIDGE, Clerk. (STATEMENT FOR PUBLICATION) Recelp' General Fund Cash in General Fund (in hands of District Treas! rer and excluding Sinking Fund) July 1, 1931 .... nye r17$1,282.45 Total amount received during year from ‘apportionment of, State and County Tuition Fund .. +.$ 280.07 Amount received during year from Taxes Levied by District eA 61.72 School Board . see Amount received during year from other Revenue Receipts Tuition from other districts . 39.30 Interest on bank deposits . 12.42 ‘Total amount ved by School freasurer during the year ........$1,016.38 ved by School District Treasurer including Grand Total amount rec + $2,248.83 cash on hand ... ‘ollowing Purposes { Amounts Paid During Y ries, $102.40; Kxpe General Control. (School Board “"Rxggnditures of General Fund” He Amounts Paid During Year tor the Following Purposes: meral Control. (School Board Salaries, $103.75; Hxpenser, CEA RARE bc eat aR A rh Instructional Service,“ (Peachérs’ ‘Salaries, | $1,113. Books, $70.00; Supplies, $8.00; Teacher's Retirement Fund, $11.25) i A Auxiliary “Agencies. "" (Pransportation, | $69.46 $236.00: Publishing Steport, 36.48) .. Operation of Plant. (Fuel, $43. 87; Hauling Fuel, $53.61) 10. ixed Charges. (includes insurance, rents, etc.) Debt Service (Interest on Certificates of Indebtedness) . Total Amount Paid During School Year by Distefet Treasurer Grand Total bigest te _ WM. D. DECKERT, Clerk. | Grand Total Receipts eas Expenditure Tota Cath on Hand tn lear Lake Senoot District ry ‘J apenas, June’ 30,1983": PAUL PASLAY. Clerk. ee, +8 $28.00) + 150.40 Instructional Service, “(Peacher laries, $1,119. Library Hooks, $10.00; Supplles, § eacher’s Retirement ! i Fund, $11.20) | Auxillary Agencies, Sf | Operation of Plant, (uel, 4148.00) Maintenance of Plant (Includes upkeep and repairs)’ | Fixed Charges. (includes insurance, rents, ete.) ..+ Total Amount Paid During School Year by District ‘Treasurer Receipts and Expenditures In Sinking and Interest Fun Receipts . . + 1,182.16 9 «$8 847.81! Ht 596.64 1,574.28 MRS. HARRY ULFERS, Clerk. ana ori ‘a Barsneen and Tota’ Reesipts ..... rand Totil Bzpenditures .. : and Total Coch on Hand in boih ivunds, June's, 1932 Aurora Schoo! District No. 4, 56; $1,294.17 | Total Amount Paid During School Year by District Tr sonar Control. (School Board Salaries, $66.00; Expens: 3 7.32) . 006 seseses . 13.32 Instructional’ Service, " (Teachers’ Salaries, $891.00; Text Books, $59.32; Library Books, $50.20; Supplies, $100.87; Teacher's Retirement Fund, $9.00). + 1,110.39 Auxillary Agencies. (Tuition) . 268.80 | Operation of Plant. (Fuel, $129.55; Janitor’s’ Wag Supplies, $31.15) . Maintenance of Plant (inclu oS Charges. (Includes insurance, ren’ New equipment . Debt Service. In Retiring of Certificates) Recet; nd E: Receipts pts a ‘xpenditures in Sinking and Expendit Grand Total Receipts . Grand Total Expenditu Grand Total Cash on Hand in oth Fun Lincoln School District No. 38, ‘WM. B, FALCONER, Clerk. ee (STATEMENT YOR PUBLICATION) x Receipts in General Fund Cash_in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1931 +$1,736.90 Total amount received during year from apportionment o State and County Tuition Fund . . $ 512.06 Amount received during year from State Aid. , 324.90 Amount received during year from Taxes Levied by District School Board .. ass 5,005.12 Amount received during ert, ‘from’ other Revenue Receli 667.69 Tuition from other ricts .. $ 483.00 Interest on bank deposits 39.42 Sale of Books ...., reer see 145.27 Amount received during year trom Saie of Certificates of In- debtedness .... + 1,000.00 Amount received in transfer eee Xt Total amount received by School Treasurer during the year. $7,603.67 Grand Total amount received by School District Treasurer including h on hand eG vin vee ener $9,837.37 jures of Gencral Fund Amounts Paid During Year for the Following Purpos General Control. (School Board Salaries, $124.00; Expena Instructional Service, | (Deachers’ Salaries, "$4,489,203 angst Books, $226.33; Library Books, $33, ‘Supplies, ‘$74.45; Teacher's Retirement Fund, $55.50) ee 4,878.78 Auxillary Agencie (Transportation, $54 Play ‘Equip- ment, etc. $3.74) 3) Operation of Haat (Fuel, $273.84; Janitors Wages, $480.00; jupplies, oe see 2 Maintenance of Plant. “(includes ‘upkeep ‘and’ repairs) Tass Fixed Charges, (Includes insurance, rents, etc.) 418.06 Capital Outlay. (New equipment, $60.00) | Total Amount Paid During School Year by District Treasurer. Seasinen Reecipts and Pixetadiioes in onbiass ‘and Interest | Expenditures a Grand Total Receipts .. Grand Total Expenditures Grind Total Cash on Hand in “he Long Lake School District No. 48,