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| | ” INE: istel surer and excludi: ht ei er = ed] 910.78 trict School Board Amount received during year from other Revenue Receipts Total amount recélved by School ‘Treasurer during yea cosacenceesere. 91,195.85 rn on ie amount received by School District Treasurer inclading, $2,166.33 EXPENDITURES OF GENERAL Fi Amounts Paid During Year for the Followin Parpe A 19! (includes upkeep and Debt Bervicen antereit” on Gatliticates’ of Indebtednes ‘Total Amount Paid Duri: School Year by District Treasurer .. 1,349.78 ECHIPTS AND sxPal PORES IN SINKING AND INTEREGT FUND cee eons ie cic bre cloteneta Set 1 Bepekdttuna ma Grand Total Receipts . Grand poral 2 oe sag Gra Ha STATE oF NORTH hn ‘A, Bur! ber ati Weeds $0 School Dis rigt No. 9 I do solemnly swear that to the best of my knowledge and belief the within js a true and correct report of all moneys received and pald out by me as School Treasurer. He ya 2 “GRAND 1 ‘TOFAL BALANCES" 3,495.47 ‘4 57: BROSTRO! rer of Painted Wieous Bekoel Bistilct No. 9 Subscribed and sworn nr ‘Nefore me this 9th day of Tully. 19 ue yom Ral a ot lae a EIPT! ERAL Fi '8 1) iD Cash in General Uy ry ands or ‘District ‘Treasurer and excluding Sinking Fund) J 934 vf Total amount Received: “auting year from apportionment of County Tuition Fund rosssosorenseesseeeG 1) 327078 Amount received during Lit from Taxes Lavied by Dis. trict School Board Total amount received by School Treasurer during the year. Grand Total amount received by School District T: cash on hand Amounts Paid During General Control. (School Board Salaries, $10: Instructional Service, (Teachers’ Salaries, $2,153.40; Books, $92.35; Library Books, $9.01; Supplies, st Teachers’ Retirement Fund, 71 yoo Auxiliary Agencies. (Transportation, $11.00; Tuitior "Fih58) Operation of Fiant, (Fuel, $160.87; ‘samlior’s waget 0.00; le 064.38 197, surer Including Year for. toe fees Baoone Purpos 2,307.96 42.50 192.46 44.42 38.79 in elu upkeep and repairs Fixed Charges. (incl les insurance, rents, ete.) .. Total Amount Paid Darl a eat ty, Distitce, ‘Treas! $2,760.16 7,579.1 uy 4,819. 38 1_Expen Grand Total Cash on ta Funds, June 80, 1936 TATE OF NORTH BAROrA, Bh of Bur sn, Ecklund Schoo! District No, 1 T'do solemniy swear that io. the best of my knowledge and belief tho within is a true and correct report of all moneys received and pald out by me as School Treasurer. NDERSON, A. F. Al Treasurer of Beklund School District No. 10. Subscribed and sworn to before me this 9th day of gerd 193! ‘STATEMENT FOR PU: RECEIPTS IN GENERAL FUND ih in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 19; Total amount received during year from apportionment of $261.34 State Tuition Fund 3 Bb a Amount received during year from Equalization Fund .. Amount received during year from Federal Ald 40:00 Amount received during year from Taxes Levied .by Dis- : trict School Board .... Total amount received by School Treasurer during the year $1,054.25 Grand Total amount received by School District Treasurer including cash on hand $1,305.59 EXPENDITURES OF GENERAL FUND mounts Pald During Year for the Following Purposes: A Genera} Control. (School Board 8 laries, $59.00; Expenses, 64.00 Instructional Service. (Teachers’ Salaries, $594.00; Text Books, $40.75) 640.7: Auzillary Agencies. ‘uition, $106.60) 106 Operation of Plant. (rue 377" 82 eet Maintenance of Plant (Includes upkeep Fixed Charges. (Includes insurance, rents, ete. ) To Pens Paid During School Year by District Treasurer 936.54 [PTS AND EXPENDITURES IN SINKING AND INTEREST FUND Recep ty $ 477.54 Expenditures. nes 48.00 GRAND TOTAL BALANCES rand Total Receipts .... $1,783.13 rand Total Expenditures oeaee Grand Total Cash on Hand in both Funds, June 30, 1935 STATE OF NORTH DAKOTA, County of, Burleigh, Blorenos Lake School Distrist No, 14 I do solemnly swear that to the best of my knowledge and belief the within is 4 true and correct report of all moneys received and paid out by me as School Treasufer. JOSEPHINE TH. Treasurer of Florence Lake Bhool District No. 14. Subscribed and sworn to before me this 9th day of July, 1936. Mrs. Jessie Tees, Director. STATEMENT FOR PUBLICATION ECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, 1934 + 40.65 19.50 . . 1,249.59 Total amqunt received by School Treasurer during the year Grand *rotal amount received by School District Treasurer including cash 6n han XPENDITURES OF GENERAL FUND “Amounts Paid Duri the Following Purposes: 142,63 1,452.37 General . Control $0. Instructional Ser’ 481.25, Auxiliary Agenc 100.00 Mali Plant (Includes upkeep 2.00 Tied Charges, (includes Insurance, rents, te, 16.86 Debt Service (Interest on Cer! eee ot Tndebteda Payment of Cert. of Indebt 91,088.31 $1,452.37 ~ 1,088.31 Total Amount Paid Durini Grand Total Receipts Grand Total Ex enaltuie Grand Total Cash on Hi ‘unt Best) OF NORTH 1 DAKOTA, \ unty of Burlol ss. Riverview School District’ "No. 23 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 eh out by me as School Treasurer. School Year by Disteict Tre AND TOTAL BALANCES ‘Treasurer of Riverview School District No. 38. Subscribed and sworn to before me this 16th day of July, 1936. STATEMENT FOR meee: RECEIPTS IN GENERAL FUN! Cash in General Fund oy hat Sinking Fund) July. 1, ao of District Treasurer and excluding, Total amount rece! suring year from apportionment of $1,265.50 County Tuition -Fun 422.45 Amount received during trict School Board 3,322.66 Amount received durin Tuition from other directors 38.00 ‘Total amount received by School Treasurer during the ye: Grand Total amount received by. School District T: cash on hand ... 3,773.09 urer including: EXPENDITURES OF GENERAL FUND. 5,038.69 mounts Paid During Year for the Following Purposes: neral Control. (School Board Salaries, $00.25; Expenses, 2.90) 103.15 it 1,676.44 Fund, $1 Auxiliary Agenc! Operation of Biant. (Fuel, § ‘0052-2 pin entrees, ‘(includes jaf upkon pane by paid ees. Ect SOPRA odboab nd ist ar Rags 4 hy Uber t Paid During School Year b; Total Amoun' ni echoph Yeast Receipts ... Expenditines ‘ota! Grand Total Cat STATE OF NOR? THD, AKOTA, County of Burlel County woot Distitet No. 3. Grass bolemnly swear that tothe best of my knowledge end belief the within is a true and correct report of all moneys receiv ol Treasurer. me as Scho Ba Bhat let No: 8. _ Treasurer of Grane al Subscribed and sworn to before me this 9th ih oe bas By 4 TRecuIETe IN FOR PUB! nCA TION Cash in General PAY gape set Dist trict Mrensurer and exclud- in, inking et aetae’ ‘ Total 3 eae Tecelv ing yen fi rgcelved duripe Ameurt t ~ ‘Transfe ‘Total amégnt received. by. School ‘Treasurer ae the year .. District Treasure: 3,271.15 ALANCES: $nai 91,809.74 | STATEMENT FOR PUBLICATION R iPTS IN GENERAL FUND in General Fund (in bait of District Treasurer and exclud- nae Sinking Fund ed 1, 1934 Total amount are gurl ing year tate Tuition Fund Total amount received d 148.39 County Tuition Fund 66.80 Amount received sure trict School Te Amount received during year from other Revenue Receipts Equalization Fund 16.30 Total amount received by School Treasurer during the year Grand Total amount received by; School District Treasurer includ ing cash on rks Amounts 4 Paid During Year for the pei Purpost 1 Control, (School Board Salaries, $99.00; Expenses In tructlonal Service. (Teacher Supplies, $4.1 Salaries, "$365.60 Tex! Retirement Total Amount Pald During School Year by District, Treasurer. " RECEIPTS AND EXPENDITURES IN SINKING AND INTE! eceipts $3,016.60 304.78 Expenditu 90.00 GRAND TOTAL BALANCES Grand Total Receipts snsrsenseereerssenseesees$ 1,835.95 Grand Total Expenditures eaten 1,105, so Grant wo" Berar ear in teh Mueds, Sune 20, 1935 nnessssenceeernnseene TE OF NORTH DAKOTA, County of Burleen ss, Sibley ‘School District No. 53 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. CLIZBE, ‘Treasurer of Sibley School District No. 83. Subscribed and sworn to before me this 20th day of July, 1935, Mrs. '8. E. Clizbe. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash jn General Fund (in hands of District Treasurer and exclud- i Sinking Fund) July 1, 1994 Total, Smount received during year from apportionmen' State Tuition Fund Total amount received du $ 118.56 County Tuition Fund 720.08 Amount recelved during trict School. Boar . 622.27 ‘rom State Enuallzation Fund 90.00 Amount received from other non revéniie receipts . 85.00 Total amount received by School Treasurer during ‘the year .. $ 935.91 Grand Total amount received by School District Treasurer includ- ing cash on hand EXPENDITURES OF G Amounts Paid During Year for the proliowin General Control. (School Board Salaries $70.2 es, i t 39.74 Tencheret Retirement Supplies, $21.6 $6.75) eo Auxillary’ Agenctes.” GRultton, $88.60) Operation of Plant. (Fuel, $70.00; Supplies, $22.51) - Maintenance of Plant (Includes upkeep and repairs) « Fixed Charges. (Includes insurance, rents, etc.) Capital Outiay. (New buildings, $60.00) Debt Service (Interest on Bonds) .. Total Amount Paid During School Year by Distelet 1 Then urer RECEIPTS AND EXPENDITURES IN SINKIN' iD a} Receipts Expendity: Grand Total Receipts Grand Total Expenditures Grand Total Cash on Hand in both Funds, June 30, 1938 STATE OF NORTH DAKOTA, — } County of Burleigh, ss. Wild Hone School District No. 54 I do solemnly swear that to the best of my knowledge and belief the within is a true and correct report of all moneys received and paid out by me as School Treasurer. Wan B. ISON, Treasurer of Wild Rowe teal District No. 64. Subscribed and sworn to before me this 9th day ie July, 38 ie. Director. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash tn General Fund (in hands of District Treasurer and exclud- ing Sinking Fund) July 1, 1934 Total amount received during yea: State Tuition Fund -$ 685.41 Amount received during Levied by Dis- trict School Board 3,278.09 Amount received during voar from other Revenue Receipts 357.25 Tuition ‘from other districts $ 282.00 Interest on bank deposits Miscellaneous Revenues .. 2,433.38 Total amount recelved by School Treasurer during the year .. Grand Total amount received by School District Treasurer inelud: ing cash on hand .. EXPEN 6 Amounts Pald During Year for the Follow! (School Board Salaries, $94.00; Expenses, Purposes: H 1 Cont! Aneto ne iontro’ "es 125.62 fastenctional Barvide: Crecchors" Salaries, $2,361.15; Text Books, $117.92; Library Books, 3.72; Supplies, $52.81 ‘Teachers’ Retirement Fund, $23.8 2,556.45 Auxiliary Agencies, (Trans rtaHone $5645 + 564.50 Operation, of Plant. . Cruel, $283.61 Janitors wages, $185.76: Supplies, $90.76) 510.13 Maintenance of Plant (Includes upkeep and repairs) 4 Fixed Charges. (Includes insurance, rents, etc.) .... asa Total Amount Paid During School Year by District Treasurer GRAND TOTAL BALANCES $4,051.87 6,755.03 051.87 2,703.16 Grand Total Receipts Grand Total Expenda! es Grand Total Cash on Hand in both Funds, June 30, 1935 STATE OF NORTH DAKOTA, | ti Lopunty, of, Burleigh, og ss. ni ke School District No. Tao ‘solemnly swear that to the best of my, knowledge and belléf the within is a true and correct report of all moneys received and paid out by me as School Treasurer. RED W. HINSEY. Fr é Treasurer of Long Lake School District No. 48. Subscribed and sworn to before me this ttn day of July, 1938, mteieveewe$ 118.68 pea 80) 91,474.29 ! 19 | ns. 935. Fred H. Pillsbury. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and exclud- ing Sinking Fund) July 1, 1934 Total amount received during year from apportionment of, State Tuition Fund $ 125.69 $ 124.30 Total amount received during year from apportionment of County Tuition Fund 86.35 Amount recelyed during year from FE 180.00 Amount recelved during year from Taxes L trict School Board 305.03 Tuition from other State Hall Fund ..... 60.00 Amount received from other non-revenue receipts (Equall- zation Fund) 24.75 Totaj amount received by School Treasurer during the year .. Grand Total amount received by School District Treasurer includ- ing cash on hand . EXPENDITURES OF GENERAL FUND TAs 726.87 unts Paid During Year for the Following Rurposes: nat Services i $258.08; Beal Instructional Service. (Teachers’ Salaries, Books, $85.18; Teachers’ Retirement Fund, §! 360.18 » (Tuition, 3 00) 100.00 eration -o Puel per41.00: Supplies, 30.40) 116.90 Fixed Charges. (Includes insurance, tenia ote.) ins., $19.16; Pub. report, $4.94 . 24.10 Total Amount Paid During School Year by District Treasurer -$ 601.18 ve BeCBIr Ts AND EXPENDITURES IN SINKING AND INTEREST A. 4 ecel 5 Egpenditur 8 Grand Total Receipts . Grand Total. Expenditures Grand Total Cash on Hand | Fui STATE OF NORTH DAKOTA County of Burleigh, ‘88. Baldwin School District No. 29 I do solemnly swevr 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. PERCY FREEMAN, Treasurer of Baldwin School District No, 29, Subscribed and sworn to before me this 9th day sy July IW. Poole, Director. STATEMENT FOR PUBLICATION IPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and, excluding Sinking Fund) July 1, 193: Total amount received during year from apportionment of State Tuition Fund Tctal amount receive GRAND TOTAL BALANCES | 30, 19; $ 265.42 sh 196.98 during year from apportionment of County Tuition Fund 95.55 Amount received during year from Federal Aid 240.00 Amount received durirg thas from Taxes Levied by Dit trict School Board ... 669.61 Total amount received by School Treasurer during the year and oye out by |Grand Total amount received by School District Treasurer jnelu ding. cash on hand .. ‘EXPENDITURES OF GENERAL FUND Me Amounts Paid Paring Year for the dg ee Purposes: General ¢ Control, (School Board Salaries, $55.8: * 728i 3 tnweigclonad Sica Stan 40s: "Tenchbeat: Retirement Fund, $8.00 ee a $ 36: Ope: lis 28) ea a Total Amount Paid Durin IPTS AND BXPED ; School Year by District Treasurer 15 DITURES IN SINKING AND INTEREST unt ——— ta 91 Grant Total odes received by School District Treasurer includ- 91,082.71 Expenditures # gd ne on phanint aren 3 ior cde ages TR . [Grand Total Recelpti enecsmoniems 1H LT ©} a. ‘ id Saring ng Tent fer pre Be, Dip at mat Gran Total Mapenditures seemmcmuanncerge? rand Total Cash on Hand pe Hi icon é: ae 810 STATE OF NORTH DAKOTA, i Aon a Gains yest Not Burleigh, os, ee Teas it ee ts ie Richm oad Behso a latrGe No, the best of my knowledge and belief the aealir AF eione OF Fast, UeAte Hippies 05) 1] within 1s a teae and correct report of all Eien oor and ys SAEs wee Fiatatie i finely finqiuden aah rent yee ; Hi cide 3 Lets bt, (interest on Certificates ‘of indebteaiena) a 9006 a9 Tyee jirer of Richmon agen we ‘Districk No. 1% (i Subscribed and Sworn to before, me this 9th day of July, 193! ‘Pota) Amount Paid Durghane nota Year ty District ‘Treasurer... vteeeeeeee 1,550.56 |» : Joh: We rand Total Raceline $1,053.01 STATEMEN rer Ta eo inal 2 T'S silcant shane sn both ¥ ‘Funds, Ju oat y Cash in Genera Fund (i ‘Cn hands o¢ i tT And excl "County of Burle Laat Total amount Focelve during’ year anne et Mepatag ek Re awour that: ithe Swans mena "Fane of Manning School District No. 46. Fur it of my know! Delief the fae Smoune received duri ir tionmen moneys saseasa paid oat Sy ine ier for - is Yer drome apearaien anaes Tuition paeret ine . 49.30 I Fun ass Levied by Dis 1acess ey. metrict sche en) i School Year by District ‘Bressares.-9 'URES IN SINKING AND INTE! ‘Total Amount Paid Durin; RECEIPTS AND EXPENDI' Receipts .. call 82 Expenditut wesc ert 50 GRAND TOTAL BALANCES Grand Total Receipts .. ibe sents senenaeesesaes Grand Total Expenditires . ee é Grang aoe Cash on Hand in both Funds, June 30, ST 1 examen weer: ‘ATE OF NORTH DAKOTA, egan Schoo! istrict 0. 2. I do solemnly swear that to the best of my bamiaten gt and 24 the within js a true and correct report of all moneys received and it by ‘me as School Treasurer. Grand Total amount received by School District Tre: ing cash on hand .. EXP! Amounts Bald Durtha Year for a Following Purpose: Salaries, ery Control. (School Boat Instructional Service (Teachers’ Salaries, $84 peas es 60; Supplies, $16.69; Teachers’ hielives Agencies. 125.51 uae, Agen ’ 81.25; Expenses, 1.50; Text Retirement (Transportation, Tuition, Operation of uals. # : Supplies, $31. Maintenance of Flant (Includes upkeep and repairs) Fixed Charges. (Includes ‘insurance, rents, etc.) .. ‘Treasurer of hogan ol No. 2. Total Amount Paid ane School Year by District Trea: $1,326.53 RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST | FUND STATEMENT FOR PUBLICATION Receipt 533.1 RECEIPTS IN GENERAL FUND Expenditures . Cash ie General Fund (in hands of District Treasurer and excluding Grand To! Sinking Fund) July 1, 1934 .. nes } we: 21 Total amount received duting year from apportionment of State Tuition Fund ‘Total amount received during year from apportionment of County Tuition Fund .. Amount received during year from Taxes Levied by Di trict School Board . Grand Total Ep penditutes es orn ie ey on Hand in both Funds, June 80, 1936 ........ TAT! NO] jet! ee KOTA, Estherville seat Diatrler No. 43 in pe swear best of my knowledge and belief the | Amount received from oth e eipt within is a true Stadt correct report of all moneys received and paid out by me — as School Treasurer. Total amount received by School Treasurer during the year ................ PETER JOHNSON, Treasurer of Estherville School (ea No. 43. Subscribed and sworn to before me this 9th day of July 1935. Grand Total amount received by School District Treasurer including cash on hand neceeeserereeeers$ 990.84 EXPENDITURES OF GENERAL FUND. Amounts Paid During Year for the Following Purposes: |General Control. (School Board Salaries, $75.1 enses eat % Instructional Service. 651.76 plies, $128.26) 528.26 wea Agencies, $108.00). Broehl. ANB ere Rae sitet A alad REC! RAL hi D eet ie General Fund (in hand iN District ‘Treasurer and exclud- ig Sinking Fund) July 1, 1934 ) otal smuuse fecsived during year tr State and County Tuition Funds Amount received during year from trict School Board Tultion from patrons (Teachers’ Salaries, $396.00; Sup- Operation of $32.50; Janitor’ ges, $18.00; Supplies, $12.17) Maintenance of Plant (includes upkeep and repate Fixed Charges. (Includes insurance, rents, ete.) Debt Service (Interest) ... 1,186.98 26.00 5.00 Total amount received by School Treasurer during the year ... 0.28 re atte hades ‘otal Amount Paid During School Year by Distri assures Grand Total amount received by School District Treasurer includ RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST ing cash on hand 2,043.32 | Receipi nner } EXPED 'U! @ Expenditures is Amounts Paid Durin; for the Foe ine usb General Control. (School Boar jes, $ Expen: Grand Total Recéipts ..... ‘$ 85.29 Grand Total Expenditures Grand Total Cash on Ha: $18. brary Books, $7.0 $5.00; STATE OF NORTH TOAKOTA, Teachers’ itetirement Fund, $8.80) ‘ were 910,91 County of Burleigh, Auxiliany Aweneles (Transportation, $60.8 Tuition, 268.86 Thelma School District No. 15 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. MRS. M. ‘AWYER, Treasurer of Thel: hoe! 5 Subscribed and sworn to before me this 15th ‘any of Suly, rie Ne * M. I. Saw; wye Director. 1,437.89 Sn STATEMENT FOR PUBLICATION FU! Operation of Plant. (Fuel, $35.25; Janitor'’s wages, $6.00, Supplies, $4.20) Maintenance of Plant (includes upkeep and repairs) Fixed Charges. (Includes ineurance, rents, etc.) ..... Debt Service (Interest on Certificates of Indebtedness) Total Amount Paid a School Year by District foo: GRAND TOTAL BALANCES Grand Total Receipts .. Grand Total Expenditures Grand Total Cash on Hand in both Funds, June 30, 1998 64.00 23.39 40.00 Cash_in General F a tin hanas of Distric Tabanalrer ma In General Fund (in hands of District Treasurer and excli Sinking Fund) July 1, 1934 eee Total amount received during year from apportio $ 823.20 c woth Scho rippiriee No. 62 on Amount received: during - reac rofte School District No. mount recelved during year from Taxes Levied is 1 do solemnly swear that to the best of my knowledge and belief the trict School Board a ee ey ae 7.98 within is a true and correct report of all moneys recelved and paid out by me as School Treasurer. HERMAN MEYER, Treasurer of Crofte School Diatrick No. 52. Subscribed and sworn to before me this §th day of July 193 = John Herdebu, Jr., President. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash In General Fund (in hands of District Treasurer Amount received during “from other Revenue Receipts Tuition from other districts ... a) Total amount received by School Treasurer during the year ....... Grand Total amount received by School District Treasurer incluatng cash on hand ..... EXPE! Amounts Paid During Year General Control. r for the Following Purpot (School Board Salnriem: $74.26; Expenses, nd sell Sinking Fund) July 1, 1934 .. _ 27.54 86.11 Total amount received during ‘year from apportionment Instructional Service. (Teachers Salaries, $1,042.01 of State Tuition Fund $ 116.40 Books, $18.00; Supplies, $12.48; Teachers” Retirement Total amount received during year from apportionment of Fund, $10.42) sn ameccunty Tuition Fund 103.75 Auxiliary Agencies. (Tuition, $473.20) mount received during year fr eration of Plant. (Fuel, $48.00; Janitor’s wages, $9.00 trict School Board 935.64 a see arr, ~ — ——. ag oq | Maintenance of Plant (includes upkeep and repairs Total amount recetved by School Treasurer during the year $1,155.79 | Fixed Charges. (Includes Sean eeem auarrey etc.) Grand Total amount recelved by School District Treasurer including Total Amount Paid During School Year by District Treasurer eash on hand .. 2 1,783.83 || RECEIPTS AND EXPENDITURES ID TE: XPENDITURES OF GENERAL FUND Receipts... emcerseereererrnnennnes§ 191.43 Amounts Paid During Year for the Following Purposes: Expenditures 89.76 General Control, (School Board Salaries, $91.78; Expenses, GRAND TOTAL BALANCES sip es ete $103.78 |Grand Total Receipts $3,056.77 Inattuctionai” ‘Service. (Teachers’ Salaries, $638.25; ‘Text Grand Total Expenditures Ss 8: Books, 78; Supplies. §.85; Teachers’ Retirement Grand Total Cash on Hand tn hoth’ Funds, June 80, 1938 1220.81 i STATE OF NORTH DAKOTA, : 10.60 County of Burleigh, 88. Operation of Plant. (Fuel, $17.00; Jan ite ‘ a 19.28 Glenview School District No. 18 faintenance of Plant (Includes upkeep and repairs z do solemnly swear that to the best of my knowledge ai Fixed Charges. (Includes insurance and miscellaneou: 39.70 mithin is q true and correct report of all Moneys received and paid out BY me as School Treasurer. Total Amount Paid During School Year by District Treasurer $845.08 ‘W. A. SIMO! RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND Treasurer of Glenview School, District No. 16, Receipts $ 392.33 Subscribed and sworn to before me this 9th day of July, 1935. Expenditures Lester tatoos Director. GRAND TOTAL BALANCES Grand Total Receipts ... $2,175.66 STATEMENT FOR PUBLICATION Grand Total Expenditures $ °875.08 RECEIPTS IN GENERAL FUND Grand Total Cash on Hand In 1,300.58 |Cash in General Fund (in ha oth F' STATE OF NORTH DAKOTA, County of Burleigh, ss. Naughton School District No, 25 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. ALFRED KARLSON, Treasurer of Nauebton School District No. 25. Spbscribed and sworn to before me this 11th day of July, 1935. Marie Huber. nds of District Treasur - ing Sinking Fund) July 1, 1924 Seana Total amount received during’ year fi State Tuition Fund .. Total amount received a County Tuition Fund Amount received during year from Taxes trict School Board... Amount received during yeur from other Revenue Receipts Tuition from patrons .. Tuition from other districts 380.90 Amount received from other non-revenue receipts Pportionment of. $ 558.78 3,111.33 540.13 STATEMENT FOR PUBLICATION RECKIPTS IN GENERAL FUND hin General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, Total amount received @uring yei State Tuition Fund Total amount received during year from apportionment of County Auition Fund .. Amount received during year from State Aid . Total amount received by School Treasurer during the year .. Grand Total amount received by School District Treasurer includ- ioe cosh on hand . $ 239.03 $172.96 Amounts paid During Year fos the 18554 General Control. (School Board chive 10 : xpenes, Amount received during year from Beer Tax. aa 21.15 Rosanna aa ‘eachers* Sos aT et 178.50 Amount received during year from Taxes Levied by Dis- jooks, $Y; Supplies, $28,947 Teach trict School Board .... 1,268.81 Fund.’ $19.90) cachers! Retirement Auxiliary Agencies. Transportation. Operation of Plant. (Fuel, $349.22 er, 968.65: Janitor's wages, $160.00: Supplies 44a 70: Maintenance of Plant (Includes upkeep and repairs) Fixed Charges. (Includes insurance, rents, etc.) Capital Out: (Miscellaneous) pairs to Equipment Debi Service (Interest on Certifi Total amount receivad by School Treasurer during the year. $1,688.11 Grand Total amount received by School District Treasurer including, cash on hand $1,927.14 Amounts Paid Durini ND Year for the Following Purpose: General Control. (School Boar Bx; Salaries, $83.8. penses, 90.60 Instructional Service, (Teachers Salaries, $936.90; Supplies, Total Amount Pald During School Year by District Treasurer 61; ‘Teachers’ Retirement Fund, $945.00) 958.96 RECEIPTS AND EXPENDITURES IN SINKING AND INT! Auziliary Agencies. (Tuition, $124. $ 125.65 Receipt Operation of Plant: cruel $68.99; Wages, $46.00; Suppiie Expenditures 00) 123.98 GRAND TOTAL BALANCES Maintonence of Biant, (includes pices and Fepaite Grand Total Receipts 3 Fixed Charges. (Includes insurance, rents, etc.) in Grand ‘Total Expenditi Grand, Total Cash on nds, 30, EOF NORTH DAKOTA Sung ste laak 4 A County of Burlelehs }ss. Lindon School District No. 28 I do solemnly swear that to the best of within is a true and correct report of all money as School Treasurer. Total Amount Paid During School Year by District Treasure’ RECEIPTS AND EXPENDITURES IN SINKING AND INTE! Receipts GRAND TOTAL BALANCES Grand Total Receipts .. Grand Total Expenditures Grand Total Cash on Hand in both Funds, June’30, 1935. STATE OF NOR} DAKOTA, County of Burleigh, . p88. No. 5 my knowledge and belief the 's received and paid out b: GEORGE ANDERSO! Treasurer of Lindon School Discrict No. 28. fantastic adventures on an unknown wy |sea of guess work.—Col. William J. Donovan of New York. * * & The day of the old battle ax | city’s educational system is The greatest default of religion in all times has been that while it gen- erally seeks to cultivate a hatred of sin, it has rarely succeeded in separat- ly past. However, teachers need be Follies beauties, but they must be ing hatred of sin from hatred of the sinner.—Tyler Dennett, president Wil- pretty.—W. H. Ankenbrand, Rock- ford, Ill, school superintendent. liams College. *- * Either we preserve the United States as it was bequeathed to us and Wilson School Distric : 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 pala out by me as School Treasurer. MRS, GLEN CLEVELAND, > Treasurer of Wilson School Biptrict No. 5. Subscribed and sworn to before me this 9th day of July, 1935, is Marle Huber, Co. Supt. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash ih General Fund (in hands of District Treasurer and excluding Sinking Fund) July 1, Total amount received during year from apportionment of County Tuition Fund Amount received during y: trict School Board Total amount received by School Treasurer during the year B g a The success magazines are full of bunk about a fellow winning fame and fortune by working hard and sticking to one job. All of you know as well as I do that it was some acci- dent started you off on Grand Total amount recgived by School District ‘Treasurer including cash _on EXPENDITURES OF GENERAL FUND nts Paid During Year for the Following Purposes: (School Board Salaries, $67.37 Am General Control. Expenses, kno track.— $42.00) "$109.37 as we have known it or we depart for k.—The late Will Rogers. Instructio’ (Teacher: aries, §1,14 3 Books, piles, $2163; Teachers i Fund, 1,210.18 Auxillary '$219,00) 256.14 Operation of jupplies, $9.90) 79.9 Maintonanes of Plant (includes upkeep and repairs) 151.50 Fixed Charges. (Includes insurance, rents, etc.) .. 32.5: Total Amount Paid Durini nee AND = 1D) Expenditures ...... Grand Total Receipts Gi Te School Year by District ‘Treasure $1,888.70 ‘URES IN SINKING AND INTEREST FUND, 4 Total Expenditui b Grand Total Cas! ¥ STATE OF PNOREH ai f Burleig! ss, Every Purse and Purpose... Ghylin School District No. 1 1 46 solemnly swear that ti th the Best of my knowledge and belief the is a tru 4 correct report of all ae received and paid out by “treasurer of Ghyll i School District t No. iL, r g 0. AL. Subscribed and sworn to before me this Sth day of July, 1935. th G8 fis Tesseth, Director. STATEMENT, FOR PUBLICATION RECEIPTS IN GENERAL FUND ash in General Fund (in a of District easurer and excluding inking mee July 1, 198 $ 906.98 Total permeate rece cae year from apportionment of po [amount ten eas anne y year from apportionment_, et ‘Amount rdoaived ak in four, three and two-drawer ¢ with and without locks. Also. check and document files te 207.24 31,02 ames sceived. Amount ved during A i _ For trom ee Schoot ane 98 ‘Total amount gence by School Treasurer during the y 866.08. —_ Fecelved by, School District T: inolud- | reseurer includ: AS