The Bismarck Tribune Newspaper, September 7, 1935, Page 8

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STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND ‘ash ing Sinking Fund) July 1, 1936 . ition Fund County Tuition Fund Amount received during year from trict School Board Amount received during y: Tuition from patrons Amount received from other ing cash on hand General control. (School Board Salaries, $70.0 [| Instructional Service. (Teachers’ jalaries, $398.70; Text Books, $2.88; Supplies, $11.19; Teachers’ Retirement 03) Supplies, Maintenance of Plant (inclu p and repairs) Debt vice (Interest on Certificates of Indebtedness) Total Amount Paid During School Year by District wa GRAND TOTAL BALANCES Grand Total Receipts .. Grand Total Expenditures F NORTH DAKOTA, County of Burleigh, ‘White ‘School District BNO. 42 as School Treasurer. Subscribed and sworn to before me this 9th day of in General Fund (in hands of District Treasurer and exclud- Total at oe during’ year from apportionment of ‘Total mount received during year from apportionment of P} Total amount received by School Treasurer during the year rand Total amount received by School District Treasurer includ- EXPENDITURES OF GENERAL FUND mounts Paid During Year for the Following Purposes: ee Grand Total Cash on Hand in both Funds, June 30, 1935 . STATE I do solemnly swear that to the best of my knowledge and belief the within is a true and correct report of all moneys received and paid out by me MRS. JOHN ADAM! Treasurer of White School Diatrlet No, 42, Mrs. H. Swindiing, Director. $716.45 30.42 962.46 92.80 $1,122.34 $1,613.53 19.58 416.80 276.50 jurer July 1935, STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Sinking Fund) July 1, 1934 Total amount received during year from apportionment State and County Tuition Fund Amount received during year from Ei Amount received during year from Taxes Levied by trict School Board Amount received during ~ oe er re eORRNRNTE eA ACR Nee cash on hand ... i EXPENDITURES OF G Cash in General Fund (in hands of District Treasurer and excluding ‘Total amount received by School Treasurer during the year Grand Total amount received by School District Treasurer including ERAL FUND, ‘i 99.31 of 658.92 Receipts 171.45 $1,201.41 .- 1,300.72 Amounts Paid During Year for the Following Purposes: 96.55 General Control. (School Board Salaries, $69.00; ees Insthacilonal’ Service.” Greachers” Sai Books $1661; Library. Books, $5.00; ‘supplies Teachers’ Retirement Fund, $6.32) Auxillary Agencies. (Tuition, $3: pe Operation of Plant. (Fuel, $47.69; Sup! Maintenance of Plant (includes upkeep and repairs) Fixed Charges. (Includes insurance, rents, etc.) Debt Service (interest on Certificates of Indebtedness and Warrants) ... Total Amount Paid Daring. School Year by District Treas GRAN: NCES D TOTAL BALA) Grand Total Receipts ... Grand Total Expenditures .. | Grand Total Cash on Hand in both Funds, June 3 i STATE OF NORTH DAKOTA, County of Burleigh. 88. Harriet School District No. 21 Aas School Treasurer. I do solemnly swear that to the best of my knowledge and belief the / within is a true and correct report of all moneys received and paid out by me. GEO, DECKERT, Treasurer of Harriet School District No. 21. Subscribed and sworn to before me this 9th day of July, a ii ae 01 et urer STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND } Total amount received during year from apportionment i State Tuition Fund ... | Total amount received during year from County Tuition Fund .. “Amount received during ye trict School Board Amount received during Total amount received by School Treasurer during the year Grand Total pene received by School District Treasurer includ- ing cash on han General Control. (School Board Salarie: .51) Instructional "Service. “¢ Books, $22.71; Supplt Operation of Plant. Supplies, = 30) Maintenan PI of Plan! Ital Outlay. (New equipment, $346 Debt Service (Interest on Certificates of Indebtedness) upkeep and repairs) 5.69 ~Total Amount Paid ct ee! School Year by District er eeeateee ND TOTAL BALANC! Grand Total Receipts ... Grand Total Expenditures ... Grand Total Cash on Hand in both Funds, STATE OF NORTH DAKOTA, County of Burleigh, ss, Macomber School District No. 44 I do solemnly swear that to the best of my knowledge and belief the within is a true and correct report of all moneys received and paid out by me as School Treasurer. EXPENDITURES OF GENERAL FUND Amounts Paid During Year for the Following Purposes: $10.00; et 60; Text Retirement JOHN G. PFAU, Treasurer of Macomber School District No. 44. Subscribed and sworn to before me this 13th day of July, 18 . McGinnis. of 1,216.92 18.00 $1,519.72 $1,519.72 20.51 909.10 STATEMENT FOR RUBUICASION Sinking Fund) July 1 Total amount received ating State Tuition Fund .. Amount received during trict School Board .... ‘Total amount received by School Treasurer during the yea! cash © mounts Paid During Year for the Follow! jeneral Couto (School Board Salaries, $57.00; Expe: | nstructional Service. (Teache Books, $11.00; Library. Books, Teachers’ Retirement Fund, $5.40) (Transportation, i “3 iH of plies, $12.77) Bice arges. (Includes insurance “tee Gspenattares t ‘irand Total Receipts nd pol Expendi jrand Total Cash on Hand STATE OF NORTH PAOD As. County of Burleig! 58. Uleasant View School District No. 6. GRAND TOTAL BA! -n@ as School Treasurer. “3rand Total amount received by School District Treasurer including m han EXPENDITURES OF GENERAL FUND rei 23. Debt Service. (Interest on Certificates, te Indebtedness) 70.00 Paid During School Year by District Treasurer. $1 (Rucpivts ano EXPENDITURES IN SINKING AND INTEREST FUND, I do solemnly swear that to the best of my knowledge and belief the “athin is @ true and correct report of all moneys received and paid out by MRS. WILLIAM HICKEL, ‘Treasurer of Pleasant View School District No. 6. Subscribed and sworn to before me this 9th day of July, 1935. Purpos 8, STATEMENT FOR PUBLICATION CRIP IN GENERAL FUND RE in General Fund (in hands of District Treasurer and exclud- ‘ash ing Sinking Fund) July 1, 193¢ .. ‘otal Bane received during year fr: Tuition Fund $ 13,491.12 ‘otal amount received during year trom apportionment 5 noe County Tuition Fu: nds transferred from Building Fund to P.W.A. | Fund 5219 New High School imount recsived during year "som Federal” Grant New High School .. ‘mount received during year from Taxes Levied by District School Board ...... {mount received during year from other Revenue Paltion from patroni ks and fuppiics Interest on bank Ges tS on. Sale of property (Dwelling mount received during year from Sale of Bonds mount rec: ivet during year from Sale of Certific ness jmount received from other non-revenue receipts cluding cash on hand ....... EX! Lscret ong School] Board Salaries, $810.00; Expen 5.96 Library Books, "340. 26; Sup. ment ‘Fund, C (Fuel, $4,356.93 ie a Janitor’s wages, $7,301.49; Supplies, nce of B Plant (Includes upkeep and repairs). (Includes insurance, rents, etc.) (New buildings, $253,892.4: 85.77) (Certificates of indebtedness paid, Interest on Certificates of Indebtedness, on Hand in both Funds, June 36, i836 ‘this balance $64,000.00 = repr. bonds whie! have and are now held as-an invest ure nd Interest fu gee it of oo 2 ys jotal amount received by School Treasurer during the year ‘rand Total amount received by School District Treasurer in- PENDITURES OF GENERAL FUND Amounts Faia During Year for the Following Purposes: pie FOR PUBLICATION ST. RECeTEte FoR on PUBLICATION STATEMENT vou Oa ie CEIPTS IN GENERAL FUND ECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and exclud- Cash, in, General Fund (in i Comte ge nt sini ine, Fura) say isas ees s 977.77 an : un hing Fund) A ie ane of District Treasurer 2 iota héshibate? | aise bry: tS ba General ARTS rae of Dinter trekserer and excising, 647.86 re nm ‘otal ‘ane ceive ite o ae Senin ane Total amount tecelved during yeur trom apportionment of” Te Amount * and Con e, multion fun ee r Frey cy Me on she Nsatiienae =e Sita _ seat County Tuition Fund . 80.07 metrict Bohol Board cece *..$1,188,35' Total amount fecelved during ¥ Year from apportionment of Amount received during year from Taxes Levied by Dis- trict School Bonne 2,004.19 Total é —— came Fecelved during year from Taxes Eevied ‘by Di Amount received during year from other Revenue Receipts otal amount received by School Treasurer during the year wwmu..$1,36540} , trict School Board .. sate (Beer tax) 22.95 Grand Total amount recelved by Sc tnoiNditie Guan, Ghatantees by School District Treasurer U Total amount received by School Treasurer during the year $2,222.47 EXPENDITURES OF GENERAL FOND — Amounts Paid During Year for — Grand Total t received by School-District T: inclua- ‘otal amoun: ee ved by School-District Treasurer inclu [General Control, » ¢ (School Boatd Sslarion, $66.20; Total amount received by School Treasurer ial ORL eee ing cash hi i ig cash on a 1S OF AL FUND Grand Total amount received by School District Treasurer including Amounts Pald During Year for the Following. Purposes General Control. (School Board Salaries, $99.76) 76 cash on hand 4 Instructional Service. (Teachers Salaries, $1,331.55) OF GENERAL FUND, plies, $62.00: Teachers Retirement Fund, $13.38) ..... 1,406.90 ae 1 Amounts Paid During Teas for the Following. PUrpo 294.0 Maintenance of Plant (includes ¥ aces vend top: 3008 General control. ee ee paren AN Shea GeUueny autiee sueaaa a5 TS) 113/68 , peration of lant. (Fuel +; Supplies, ’ 5 o Maintenance of Plant (Includes upkeep and repairs) 74.91 Cabltal Outlag, Hew oealnaaat ay penem eee) 3 Tnateuctional. ary Fixed Charges. (Includes insurance, rents, etc.) Fund, §: Total Amount Paid During School Year by District Tre: 1,034.50 oe TS AND EXPENDITURES IN SINKING AND INTEREST OND Operation ee Pt fon, “tra Total Amount Paid During School Year By Brine Treasurer Posie , RECEIPTS AND EXPENDITURES IN 5! ING AND INT! Receipt $27.84; CR (Fi gi et Tight it, Water, etc, § Beceines $ qreas Expenditures, Redemption of one bond ........... 500. 00 Maintenance of ¢ Plant tin nel a 205 tp Ad ody re } emma ( ue Beare 62.0 | Fixed Charges. (includes insurance; renter etc, : Grand Total Recelpts « $4,128.46 | Grand Total Receipts 2 | Debt Servicer (Intent an Gerliticaten of Indebtedness) Grand Total Expenditures wai’ 2,502. T Grand Total Cash on Hand in both Funds, June 30, 1935 mr 1,626.72 Grang | Total Cash on Han Total Amount Patd 14 During School Year by District Treasurer STATE OF NORTH DAKOTA, | i OF NORTH nd tp Both Revel I TURE! I@ AND IN’ Telter Schoo! District No, 46 “e Schrunk School Die e chrun ool District No, 12 SAND SORE BALANGE 1 do solemnly swear that to the best of my knowledge and belief the GRAND TOTAL BALANCES within is a true and correct report of all moneys received and paid out by me withines oa, leony Avent report’ Of sit eis nom ledge and pellet, Sy Hes Feta Bapenctares rpc A la MRS. NICHOLSON, igdi aa ae hia Gosh on Hand in both Funds, Sune ¥0, 108 Treasurer of Telfer school District No. 46. Widddidde GP MATURED Beh enbtele STATE OF. NORTH DAKOTA, i Subscribed and sworn to before me this 9th day of July 1935, Subscribed and sworn to before me this 9th day of July, 19: Canfield School Denko, , : § 5 ——_— EE wont pos aweas: that io the 1 Pest of my oF e and eoueey ORETS x FOR PUBLICATION ind correct moneys receivi nae out Gash In General Fund’ (in hands of Disvrict Treasurer and exclud- ‘ ing Sinking Fund) July 1, 1,097.60 | Col in General Fund’ ‘da ci Treasurer and exclud- iivecbisba ee reasurer of Canfield School Bletiet No, 1. Total amount received during year from apportionment of Total amount received during year f bed and sworn to dteor nf this 9th day of July, amatite and County Tultion Fund venient 894.02 State Tuition Fund %. ‘Ole Olson, Br. mount receives uring ear from Taxes Levie iy 8: ‘trlet ‘School, Board... 296.29 rapa rece carne Seid ES 4, Amount received during year from other Revenue Receipts 261.00 et Wert eUne. Tuition from other districts 261.00 ss Total amount received by School Treasurer during the year .............. Cash in General Fund (in hands of District Treasurer and exclud- Amount received during year from Sale of Certificates of 1 ‘Indebtedness Grand Total amount rt ing Sinking Fund) July 1, 1986 a -ccseccescersene-neouew Aryceeeeanens, nd ‘Total ang Fecelved by School District Treasurer including tal am lyon: dutlag yuae Som aseerianment ot i XPENDITURES OF GENERAL FUND "4 Amounts pene Durin Total amount received by School Treasurer during’ the year . is OF GRNERAL FUND, x eaivea duit eererinarnceneraes pe : General anne Grand ‘Total amount received by School District Treasurer. includ- bari) ae (Gehool Board Salaries, 490-26; Bxpens . Amount received during year ‘fom wi fae aid ee 1 ing cash on Ma PENDITURES OF GENERAL FUND (rem faa iscaenn Hey mounts Paid During Year for the Following Pail 2 4,” $10.80)" Amount received during year from other Revenue Receipts | 13: A General Control. (School Board Salaries, $68.00) Auxill i fer AAU atte Instructional Service. .(Teachers’ Salaries, $: ee Nes Total amount received by School Treasurer during the year $8,891.70 + peti Books, $166.65: Library Books, $46.5 eauppilers 90.00; Supplies, $50.44) $4500; ‘Teachers’ Retirement Fund, $26.50). : Militeansocee Pian’ crostudenmaneepaaasenaitns ; Grand Total amount recelved by School District Treasurer includ isin Auxillary ‘Agencies, (Transportation, $792.5 Piay equip- Fixed Charges. (Includes insurance, rents, etc.) . ‘EXPEND! is OF GENERAL FUND ment, etc., $10. lunches, $4.20 fi ENERAL FUND. Operation ‘of “Plant.” (Fuel, $313.63 Total Ambudl Pate DUREBNEHHE mounts Paid During Year for the Following Purposes: Pats CUTia a WleceRaBTOeR: athe va . ng School Year by District Treasurer . General Control. tschool Board Belaricg 8ies.88; Bopenten Maintennnce of Plant’ Gueludes upkesm ana repaire> 2 Grand Total Réceipts Instructional Hervice, Weachers” Balarion, waTao; ext’ SOO Fixed Charges, (Includes insurance, rents, etc.) Grand Total Expenditures. Bonk Cee ibree ee aS $1, Meets Debt Service (Interest on Certificates of Indebtedne 2 Grand Total Cash on Hand in. both Funds, June 36, 1938 Teachers Retirement Fund, HT cece cet $3,050.63 Payment of Certificate of Indebtedness STATE OF NORTH DAK 1 * Total Amount Paid During School Year by District Treasurer . $6.473.80| way Creek Sehool Dist P Nno.s1 | cpetit a ir aso Riinstscens he : RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST EUND I do solemnly swear that to the best of my knowledge and belief the Sainte Plant reat Te Pore ae Joi Ua 7 Receipts 9.36 within is a true and correct report of all moneys received and paid out b: Tmease insurance, rent horned ete. " eee on Certificates of Indebtedness) GRAND TOTAL BALANCES ‘School T: # Grand Total Receipts .. as School Treasurer. Grand Total Expenditures Grand Total Cash on Hand in poh ernar, Tune 30, 1935 ELINOR L. WA: Treasurer of Hay Creek School District No, 31. Subscribed and sworn to before me this 9th day of July 3 1935, Total Amount Paid ome eco ren Riot , District preasurer moveeeemenrenn $3,548.36 1, BALANC! STATE OF NORTH DAKOT E, Turnbow. ounty of Bur 58, _——_—TaeSNENTSORERNESCUNONT oo 7 Steed erat acetos is 942.33 McKenzie School District No. 34 ptdicures eeeeenr dy T do solemnly swear that to the best of my knowledge and belief the SRECHIETS IN CENERAD Coney Grang Total Ca OMT ana hetemaben auacaaaiaE tHe Within is a true and correct report of all moneys recelved and paid out by me |Cash in General Bund (in hands of District Treasurer and excluding Te OF NORTE OARORS jane 80, is as School Treasurer. : nking Fund) July 1, 1934 oti . HARRY E. O'NEILL, Amount received during year from Taxes Levied by Die- “apple «county 8 ot ee ‘Treasurer of McKenzie etd eee No.34. trict School Board .. $1, do enn ewant that to Re best of my knowledge and belief the ' Subscribed and sworn to befo: me this 9th day of oe yt F, 53 tatanc. within is a true and correct report of all moneys received and can out by me as School Treasurer. oe ae DA’ .VENPO! Ky urer ‘fing tert ik School sBigteiet No. 39, Subscribed and sworn to before me this Sard day i daa On A, Robidou. Total amount received by School Treasurer during the yeav......... STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUN! Cash in General Fund (in hands of District Er recsurer: and exclud. ope sa nue received by School District Treasurer including cash on hand .. EXPENDITURES OF GENERAL FUND ing Sinking Fund) July 1, 1934 41.65 Amounts Paid During Year for the Following Purposes: Total amount received during year from apportionment of General Control, (School Board Salaries, $62.58; Ex- motsitate Tuition Fund ‘i se a8 250.20 tat eee 8505) STATEMENT FOR PUBLICATION ‘otal amount received during year from apportion: instructional Service, hers’ Salarie: RECEIPTS IN GENERAL FUND County Tuition Fund .. 190.82 Books, $29.25; T ‘Retirement and, $6. ial acer Total amount received by School Treasurer during the year $2,460.18 [Onaretion CP ice Ge tea ii citing Sinking Wand) Sulybisat cote cere ore ore zi Ry : a Bile stac Sail tcpeec nso Grand Total amount received by Schoo? District Treasurer Maintenance of Plant iGinchldes upkeep nad eaates Total smount receive ved, during’ during’ year from apportionment of. 118.68 Bu v — arges. (Includes insurance, rents, etc. i im eopoetioan . i h antl 2,491.77 » Total amount Rese during year from apportionment of ne cesiecaeene aa OR GENERAL BUND Capital Outlay. (New equipment) County Tuition Fund. .. 36.55 a2, a gaccined during year from apportionment of Equalization Fund —........... 19.35 Amount Poni surine yaar? Year from Taxes Levied by Dis- trict School Board ... Amounts Paid During Year for the Foliowing Purposes: Total A: t General Control. (School Board Salaries, $79.00; Expenses, 102. Hee tahectya eur ARD TOTAL BALANCES oe % 67 Grand Total Receipts oe Instructional Service. (Teachers’ Salaries, $991.6 Gi id Total E: iH 4 Books, $64.0; Teachers’ Retirement Fund, $8.34) 065. Grand Total Gath ee bined in both ‘Funds, June 80, 1936. Amount received during ¥ rr ¢ from other Revenue Feceipes aha Auxiliary, Agencies. (Transportation, $733.64; “Tuition, STATE OF NORTH DAKOTA, Other Revenue Recelpte ake Operation of Piant. (Fuel, $50.31; Supplies, 927.28) 77.59 Aurora School District No. 4 es Amount received from other non-revenue receipts... Maintenance of Plant (Includes upkeep and repairs) 5 1 a yf Fixed Charges. (includes insurance, rents, ete.) within ds i Eras amid conrert remot ot ett eye oedge and ballet the | Total amount received by School Treasurer during the year $3,492.66 Debt Service (Interest on Certificates of Indebtedn me as School Treasurer. Grand Total amount received by School District Treasurer includ- ie ecciamciaal Total Amount Paid During School Year by District, Treasurer A Tresaueee er Aerts Be Dee ies) | oe en on ee seveernee 95,631.87 H Ree EGEIPTS AND EXPENDITURES IN SINKING AND INTER UN! Subseribed and sworn to before me this 9th day of July, 1936. Pee ering Lous for tae Pehaging Peroorn He al Receipts _ GRAND "FOTAI, BALANCES F SASIAEy cela Ea tor ‘ontrol. (School Board Salaries, $11 Ex Grand Total Receipts .. 4 Grand Total Expenditures’. RECEIPTS IN GENERAL SOND. Insteuetional tte (Poachers Salaries, $1,247.40; ext Grand Total Cash on Hand in both Funds, June 30, 1935 ‘177.38 | cash in General Fund (in hands of District Treasurer and excluding Fund, Pleated ee Laat STATE OF NORTH DAKOTA 1 Sinking Fund) July 1, 1935 229.67 Auxillary’ fe moveas ati aii Ni eit, ee Ginbs ‘Scheol District No. 32 we i motels mono e oan guting year from apportionment of. She je sdrack wisdaauenie on Ido solemnly swear that to the best of my knowledge and belief the | Total amount received during year from apportionment of operation of Biant,” Biel, $223.04; Ligh Wi gator, ster Gita within is a true and correct report of all moneys received and paid out by me; — County Tuition Fund 200.00 mai onnitor’s we 30 3 Supp! los, $55.09) ne S52-34 as School Treasurer. Amount received during year from Federal Aid tohnewen pat Gn fnaurance rent, ae meme rie MRS. V. MOYNIER, Amount received during year from Taxes Levied by Dis- Capital Out (Ne i 31.00 ae As 3 Treasurer of Gibbs School District No, 32, ‘trict School Board. 381.62 Gapital Outlay. (New equipment, 99 | re Subscribed and sworn to before me this 3rd day of August, 1! John Sabot, ‘Director. Tctal amount received by School Treasurer during the year 820.87 Total. Amount Paid During School Year by District Treasurer 2,944.99 STATEMENT FOR PUBLICATION nie mace EB. INDITURES IN SINKING AND INTEREST # Grand-tore tamonnt received by School District Treasurer includin, 1,050.84 Rect ae oe snneeteeereoce $3,109.92 RECEIPTS IN GENERAL FUND ces in apenpeal aon fa Randesot District Treasurer and exclud- 2,750.72 Expenditures savenceees Dat saveweennovwennensnenenseescenees sees: 2,060.00 1 . ing Sinking Fund) July 1, 750. Amounts Paid During Year for the Following Pui Interest on bank deposits General Control, (School Board Salaries, $80.50) pie i} Grand Total Repeats a. Samet eeeeeerel Tnstructional Service. (Teachers’ Salarie Grand Total ¢ "7 ' Total amount received by School Treasurer during the year .. 42.50 ers’ Retirement Fund, $4.05) 1 bs? we 8] in both Funds, June 30, 26.80 ——|Auziliary Agencies. (Transportation, $345.00; ‘Tuition, ae OF OR aEere Grand Total amount received by School District Treasurer includ- $108.00) 453.00 ounty of Burleig! a8, t ing cash on hand $2,198.22 |operation of ‘Pian “is'solemnly sweat that, to, the Vest of my knowledge and bellef the : it. $28.0 Amounts Paid During Year for the Following Purpose Gepltal Outlay. Gttevellaneous) ! within ts a true ar ect Feport of all moneys received and paid out by me General Control. (School, Board Salaries, $53.80) 53.80 Total Amount Paid During School Year by District Treasurer . 937.61 LAMBE: Instructional Service. (Teachers’ Salaries, $4 - RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST ot of Arena Bonsel District No. 30. ers’ Retirement Fund, $4.20) = 436,40 Receipts Poe easurer Soh Auxillary “Agencies. | (Transportation, $197.60; Tuition, Subscribed and sworn to before me this 18th day of July, 1088, 3-00; Play Equipment, $8.00) : 568.50 eunennite isn Chriat Weisel, Director. operation ‘of Plant. (Fuel, $32.00; Janitor’s wages, Grand ‘Total Receipts .. s 560. hed 0) 62.00 Grand Total Expenditui oaneeeet ro PUBLICATION Matticnance of Plant.” Gncludes upkeep and repairs) B Grang Total Cash on Hand in both Funds, C RECEIPTS IN GENERAL FUND 228.13 | Fixed Charges. (Includes insurance, rents, etc.) | STATE OF NORTH DAKOTA 1 Cash in General Fund (in ends of District Treasurer and exclud- Capital Outlay. (Miscellaneous) .... France o aty of Buriclen ah os se, motets Sinking Fund July By eee ennmnen 18,80 Dee Eg cael ‘rances Schoo! istrict mount receiv: ur rear from a] rt 1193] | rota! Amount Paid Durlngi# shes) Year hy -Oletsiot Tesaxnrer| 1,622.63 Ido solemnly swear that to the best of my knowledge and belief ti Stale Tuition Fond nee, eee ee 8 8148: : ‘ GRAND TOTAL BALANCES within is a true and correct report of all moneys received and paid out by me | Total amount received during year from apportionment ee $2,217.80 |Grand Total Receipts $2, 793. a as School Treasurer. County Tuition Bund vmvecsssocreecresaceeeveseweneesssvsnrenceesconstenen 56.53 1407-44 | Grand Total Expendit oH Amount received during year from Taxes Levied by Dis- co Vee Cash on Han 5 ‘Treasurer of oes Bence! DA District No. 36. trict School Bi One ee rer 1,396.01 OF NORTH {DAROTA, Amount received during year from other Revenue Receipts TGounty ot Burlelehe vii . ‘STATEMENT FOR PUBLICATION (Bqualization Fund) <a... 16.20 I do solemnly swear that to the best of my knowledge and belief the | Cash Wine taae r? ‘Total amount received by School Treasurer during the year. within Js a true and correct report of all moneys recelved and paid out by me Sinking Fund) July 1, 1934 238.66 clad as School Treasurer. ‘Treasurer of Logan School District No. 41. amount received during year fi d Orend Total amount received by School District Treasurer includ- d —— PAEEND! ITURES OF GENDRAL STATEMENT FOR PUBLICATION Total amount received by School Treasurer during the year ......... 62 ts Paid During Year for ae Following Purposes: \ John Stroh. RECEIPTS IN GENERAL FUND . General control. “(denoo! Board Salaries, $60.77; Expenses, | Cash in General Fund (in hands of District Treasurer and exclud- Grand Fotst sBmouat received by School District Treasurer including vcwewssceeee $79.26 { ing Fund) July 1, 1934 $1,150.75 cash on hand .. wwssnnsewnecoeee 9,807.26 | Instructional Service, Peach is, $801.40; Text Total amount received dur “EXP! ‘L FUND Boo! aa 28,00; Supp fon 43.043 “Senchere’ Hativement | 59,484.90 | Amount ‘Facelved during - General Gentrol.(Senool Boar Salaries, $119.60; Auzitiery’ ‘Agenot Hation, Giitaa; Taltion, °°“ + trict School Board $21.20) “ basen . bike eta SE socio ee La Minder \ Fer Total amount received by School Treasurer during the year .. i ‘Books ey Ser : Opener Bip Lae TGA Tanthore wenen 47-09) 544. Se Fun I) asneee B Maintenance of Plant (Includes upkeep and repairs) Grand Total amount received by School District Treasurer includ- Snare 61,357.36 nae cosh On Rene ee $2,446.31 Avalliaty Agencies. ¢ . ones 00 Fixed Charges. ‘Cnclud insurance, rents, etc.) 37,731.43 92,330.39 8,053.03 203,000.00 +$492,750.93 1,425.96 EXPENDITURES OF GENERAL FUND ‘Supplies, $28.05) 160 Total Amount Pata During School Year by District Treasurer Amounts Paid During Year for the Following Purpose: Mal GRAND TOTAL BALANCE: $1,328.89 General Control. (School Board Salaries, $63.00; Expenses, Painzenance of Plant (includes upkeep and eA) ee Grand Total Receipts ee at 596.89 $39.90) . Debt Service (Outstanding Warrant, Wood) ..-....--- Grand Total Expenditineg pe AED rand Total Cash on Hand in both Funds, June 80, 1936 nn, 868. Service. (Teachers' 1.10; f $38.00; Supplies, $9.87; an erat cee monet cad Durk School Year by District Treasurer... STATE 0) TH DAKOTA $9.96) H Ren ECuIPTS TURES IN SINKING AND INTEREST wonp Mize] agp eye of Bu OIE, hintenance of Plant (includes upkeep and repal Expenditures — athe mncren 1048.83 r that -to the Fixed Charges. (Includes insurance, rent within iv a true and correct report of all chesney pala cabs us s Grand Total Receipts as School Treasurer, ‘otal Amount Paid During School Year by District Treasurer . 1,418.41 |Grand Total Bxpenditures RED NELSON, A GRAND TOTAL BALANCES Grand Total Cash on Hand ii sreasurer of High hiena 1 District No, 37 rand Total Receipts Subscribed and sworn to before me this 9th day of su Pee 1935, ss *s ui Grand Total Expenditures 18.41 Grand Total Cash on Hand in both Funds, June 30, 1935 scien Greak Bohook Disteink 24 ee silo daca arate od NORTH DARGSA Ae do solemnly swear ort by the best of m: my knowles and belief the Boye Dee ee eh, “0 f' I. * mann fe trae and correct report of all moneys received and paid out by me I do solemnly swear that to the best of my knowledge and belief th < LUYBEN, i trict Treas within In a true and correct Teport of all moneys recelved and pald out by me Treasurer of Burnt Gaels Behost Bhtast No, 24. | oe Binh Serie sass, . ae cm pence eae and Maltusond 170.10 pear REPRO hea El le tA le iad unt received i ‘trom eeairas MRS. CARRIE DORMAN, STATEMENT FOR PUBLICATION Stal ae County aurine NE sennnevereanessmerrernnerersemnneeenf 690.49 ‘Treasurer of Boyd School District No. 40. 1 : Subscribed and sworn to before me this 9th day of net 935. Cash nd in handy a Disteist Freasurer and exclud- ved durt ng Jour fom Federal, i meweranenoorssczene Hiocoe i 87,429.30 176.40 ert M. Welch. zs 1 34 Amount Fecelved during year from Taxes Levied by Dis- trict 00] Boas rd. “ssvoneeeoseaceartnesecs 460.0: orarenent ret: NERA ORE State Tuition Fund ......... sesensenveeen Apart received quae. year from other Revenue Receipts oe Se:08 RA! Total amount recelved during year from apportionment of Insurance on bi sreeseeeennne oe 14,243.34 1,567.36 13,428.38 259,978.19 7,700.00 . Debt worvice tintereet of aatreee, of red the Delief the out by bingy’ sront received euring. year from apportionment of. County Tuition ition Fun 190.82 F amalat’, Tui Bere ire ‘com Baus sation ei Finds ae eee ‘Amount received during He ie r from Hqusiisation Fund ieee Total amount received by School Treasurer during the year coer $1,892.16 Amount ived di rite ir from Tax Dis- = met Pace! se " gone is yea eae evieg Pi 641.42 be Tacaived furige 7 Sh dao sar’ from Taxes, aarieg by Dia> 4 Grand ne Fetal pest. received by School District Treasurer including oa Aaa int TURES OF GENERAL L FUMD, aera Total amount recelved by School Treasurer during the year ... EXPEN, ———— | General, controls gel 100! Bost on, $iteoe'k pra erponee: 3,063.30 Grand Tela amount recelved by Schoo! if ‘reasurer {1 hon ‘hand gu taztz "Ing cams om hang y Sehacl Dues) ater Lous .01 | Instructional Service.” “aasnare Balasien, Sata sa; Bap aia ens EXE CHES OF, GENERAL FUND RAL FUND Hes, $9.10; Teachers’ Retirement S) 1,307.83 3 ’ Amounts Paid Darin ‘ear for the lowing Purpos cunts Pai During Year fo for e A padi Purpos Operatio Plant. (Fuel, $193.6 nae Water ste. Wa cx General Control -.rcvcvs. wrcsserscereer 86.56 General contra (School Board Salari ciel 8i $6.00; Sanitors bee , a A Payne s 313. Instructional 8 vice ers’ Sal $901.25; Sup- Instructional parvick. hers’ Salt 13. ext Maintenance of irs) eo * fi 2 SRatitoment Fund, Books, 7 ‘Teachers’ ete.) -...... * Ping MeFuttion, $158.00) ... agaad ececscsenns 910.84 $38, gsrvice ti cludes sssnanenssene M4 Qperation of Plant. (eee eh, 88.11) AT) oer 3 Ba ae co se tinterest on catia edndgbieaiaaa and Bent service Cinterest on pi # cg oc) eee ipedeek sua mautigoens ie $63.42) 2 98.08 Total Aniount Pala During School Year by District Treasurer -—-——9 $10.20 magnon a Bern seri yb rena rf nd Total Receipts ones hedaman Sent aude it ene naa FORE BALL oh ot Plant . ‘Charges, (Includes Total A sf ry tb: Distriot ‘Treasurer ........... ‘0 mount Paid Duriag Scheel Fens b Lar "4 sanactacencrssrearsssansscscsee $1,381 eosonsnsocsssrnpeseoees EF CASE PRADA RIOON, FSH SORE ARIISNL et Y 2 | Grand veal on in 148, FUNC 80, 1986 crcpacrecorccemorne GRAND TOTAL BALANG! MB a at Tune 86, 1985 uate ro, Aor oe BO een ea, tires Nera i gots Pana a Set ta teen 8 St a] min anaes eet a a mest | eee oo a Breasuzer , seer et ver oR 1998, llpagteag

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