The Bismarck Tribune Newspaper, September 2, 1936, Page 7

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(Continued from Page 6) Amount Paid During s District. Treasurer, f1,496 60. shed RECEIPTS AND EXPENDITURES IN 'EREST FUND SINKING AND IN' Receipts, $406.32. Expenditures, GRAND TOTAL BALANCES Grand Total Receipts, $1,981.80. Grand Total Expenditures, $1,518.56. Grand Total Cash on Hand in both Funds, June 30, 1936, $436.24. STATE OF NORTH DAKOTA, County of Burleigh, Richmond School Dist. No. 19. I do solemnly swear that to the Dest of my knowledge and bellef the within Is a true and correct report of ali moneys received and paid out by me as School Treasurer. JOHN K. 8KET, Treasurer of Richmond School District No. 19. Subscribed and sworn to before me this 14th day of July, 1936. John Weber, Jr. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund), July 1, 1935, $181.81. ‘Total amount received during year from apportionment of County Tul- tion Fund, 106.33. Amount received during year from State Equalization Fund, $108.00. Amount received dur- ing year from Teacher's Unit, $54.00, Amount received during year from Taxes Levied by District School Board, $777.84. Amount received dur- ing year from other Revenue Re- ceipts, $58.86. Tuition from patrons, 1.40, Total amount received by School Treasurer during the year, 1,113.43. Grand Total amount re- ceived by School District Treasurer including cash on hand, $1,295.24. bse soiled Lo GENERAL Amounts Paid During Year for the ‘ollowing Purposes: General Control. (School Officers’ Salaries, ($59.00; Expenses, 20.00) Total, $79.00. instructional Service. eachers’ Salaries $396.0 Books, $41.26; Library Books, $4. Teachers’ ‘Retirement Fund,’ $4.00) Total, $446.03. Auxiliary Agencies. (Transportation, $327.24; Tuition, $29.00. Total, $366.24. Operation of Plant. ’ (Fuel, $29.28; Janitor's wages, $2.45; Supplies, $24.04); ‘Total, $55.77. Maintenance of Plant. (Includes up keep and repairs), $5.50. Fixed Charges. AOA insurance, rents, ete), $: GRAND TOTAL BALANCES Grand_ Total Receipts, $1,295.24. Grand Total Expenditures, $982.76. Grand Total Cash on Hand in both *unds, June 30, 1936, $312.48, STATE OF NORTH DAKOTA, } County of Burleigh, tas. Clear Lake School Dist. No. 20 } I do solemnly swear that to the test 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. HOMER NELSON, Treasurer of Clear Lake School STATEMENT FOR PUBLICA’ Lf RECEIPTS IN GENE) yOND Cash in General Fund F| in panes of District Treasurer and exc! peng Sinking Fund), July 1, 1935, $1,201 Total amount received durin, from apportionment of Stat 3 Fund, $112.03. Total amount received during year from apportionment of County Tuition Fund, $117.9 received during year from Ta: Le led by District School Board, $950.36. Amount received durin; Receipts. ids $3 Tot by School Treasurer 1 **lduring they. $1,314.46. Grand Total amount received by School Dis- trict ‘Treasurer including cash on hand, $2,252.71, EXPENDITURES OF GENERAL FUND | Amounts Paid During Year for the Following Purpos General Control. (School) Board Salaries, $67.00; Expenses, $8.20): Total, $78.20. Instructional Service. (Yeachers’ Salaries, $594.00; ‘Text Books, $35.40; Library Books, $9 08: Supplies, 87c; Teachers’ Retirement Fund, $6.75); Total, $646.10. Auxil- iary Agencies. (Transportation, $49.20; Tuition, $44.00); Total, $93.20. Operation of "Plant. ‘(Fuel,’ $16.33 Janitor's wages, $3.00; Supplies, $2.75); Total, $22.68.. Maintenance of Flant. (Includes and re- Pairs), $28.13, Fixed Charges. (In- cludes insurance, rents, etc.), $45.91. Debt Service. (Payment_on ‘Bonda), $141.00, ‘Total Amount Paid During School Year by District Treasurer, RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND satengeipts, $302.88. Expenditur GRAND TOTAL BALANCES Grand Total Receipts, $2,615.04. Grand Total Expenditures, $1,413.95. Cutstanding Warrants, $18.43. Grand Total Cash on Hand in both Funds, June 30, 1936, $1,219.51. STATE OF ‘NORTH DAKOTA, County of Burleigh, a8 Naughton School District ‘No. 25 J lo solemnly swear that to the best of my knowledge and bellef the within ts a true and correct report of all moneys received and paid out by me as School Treasurer. ALFRED KARLSON, Treasurer of Naughton School District No. 25, Subscribed and sworn to before me this 14th day of eal 1936. A. H. Solber; | STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excludin, Sinking Fund), July 1, 1935, $122.93. Total amount recelved during year from apportionment of State ‘ui- tion Fund, $200.00, Total Amount received during year from ap- portionment of County Tultion Fund, $200.00, Amount received dur- Ing year from State Ald, $200.00, Amount received during year from. ‘laxes Levied by District School Board, $749.20. Amount received dur- Ing year from other Revenue Re- cepts, $1,349.20, Total amount re- ceived by Schoo! Treasurer during the year, $1,349.20, Grand Total amount received by School District Treasurer, including cash on hand, $1,472.13, EXPENDITURES OF GENERAL FUND Amounts Paid During Year for the Following Purposes: General Control, $81.70. Instruction- al Service, $396.00. Auxiliary Agen- cies, $519.33, Operation of Plant, $39.43, Maintenance of Plant. (In- cludes upkeep and repairs), 69.99. Total Amount Paid During’ School Year by District Treasurer, $1,106.45. RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND Pareles) $455.87. Expenditures, RAND TOTAL BALANCES. Grand .Total Receipts, $1,928.00. Grand Total Expenditures, $1,126.45. Grand Total Cash on Hand in both Funds, June 30, 1936, $801.55. STATE OF NORTH DAKOTA, County of Burleigh Frances School District No. 26 I do solemnly swear that to the best of my knowledge and bellef the within Is a true and correct report of all moneys received and paid out by me as School Treasurer, TEBBO HARMS, Treasurer of Frances School District No, 2 Subscribed and sworn to before me this 14th day of July, 1936, Elmer Lundquist. Director. Total Cash on Hand in both nds, June 30, 1936, $725.38. STATE OF NORTH DAKOTA, County of Burleigh, ss. Linden School District No. 28 I do solemnly swear that to the best of my knowledge and belief the within is a true and correct report of moneys received and paid out by me as School Treasurer. -EORGE ANDERSON, Treasurer of Linden School District No. 28, Subscribed and sworn to before me this 24th day of July, 1936. A. E. Kopplin, Notary Public, Burleigh Co., N. D. My commisison expires June 6, 1940. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund), July 1, 1935, $125.69. Total amount ‘received during, ‘year from apportionment of State Tuition Fund, $171.3 Total amount received during year from apportionment of County Tuition Fund, $99.45. Amount received during year from State Equalization Fund, $721.00. Amount received during year from Apportion- ment, $105.05. Amount received dur- ing year from Taxes Levied by Dis- trict School Board, $741,1®% Amount received during year from other Re enue Receipts, $140.44, Including tul- tion from patrons, Amount received during year from Sale of Certificates of Indebtedness, $1,877.00. Amount received from other non-revenue re- ceipts, $15.66. Total amount received by Sehool Treasurer during the year, $3,871.15, Grand Total amount re- ceived by School District Treasurer, including cash on hand, $3,996.54. EXPENDITURES OF GENERAL FUND Amounts Paid During Year for the Following Purposes: General Control, (School Officers’ Salaries $74.00; Expenses, $9.00); Total, $83.00. Instructional Service. (Teachers’ Salaries, $1,167.21; Text Books, $45.56; Teachers’ Retirement Fund, $11.79); Total, $1,224.56. Oper- ation of Plant, (Fuel, $104.60; Sup- plies, 6.98); Total, $111.58. Mainten- ance of Plant. (Includes upkeep and repairs), $54.00, Fixed Charges. (Treas, Bond, $5.00; Publish State- ment, $5.08; Miscellaneous, $3.78); Total, $13.86. Capital Outlay. (New buildings), $37.53. Debt Service. (In- terest on Certificates of Indebtedness, $24.00; Registered Warrants and In- terest Paid, $1,877.00); Total, $1,901.00, Total Amount Paid During School Year by District Treasurer, $3,425.53. RECEIPTS AND PENDITUR SINKING AND INTEREST F' Receipts, $83.46; Expenditures, $20.00, GRAND @OTAL BALANCES Grand Total Receipts, $4,080.30. Grand Total Expenditures, $3.44 5 Grand Total Cash on Hand in both funds, June 30, 1936, $634.77. STATE OF NORTH DAKOTA, County of Burleigh, S8, Baldwin School District No. 29 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. PERCY FREEMAN, Treasurer of Baldwin School District No. 29 Subscribed and sworn to before me this 15th day of July, 1936, E. A. Fricke, Director. rn to before me , 1936, tensen, President of School Board. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund), July 1, 1935, $81.68. Total amount ‘received during year from apportionment of State and County Tuition Fund, $143.37. Amount received during year from State Equalization Fund, $465, Amount received during year from Taxes Lev- fed by District School Board, $263.75. Amount received from other non-rey- enue receipts, $7.00. Total amount received hy School Treasurer during the year, $879.37. Grand Total amount received by School District Treasurer, including cash on hand, $961.05. EXPED (OF GENERAL IND Amounts Paid During Year for the Following Purposes: General Control. (School Officers’ Salaries, $52.79; Expenses, $21.50; Miscellaneous Expenses, $7.49); Total, $81,78. Instructional Service, (Teach- ers’ Salaries, $530.03; Text Books, $5.00; Library Books, $0.78; Supplies, $5.00; Teachers’ Retirement Fund, $4.40); Total, $545.21. Auxillary Agencies. (Transportation), $30.00. Operation of Plant. (Fuel, $32.75; Ja itor’s wages, $2.50; Supplies, $3.27 Total, $65. Maintenance of Plant. (Includes upkeep and repairs), $2.00. Fixed Charges. (Includes insurance, rents, etc,), $2.00, Debt Service. (In- terest on Certificates of Indebtedness and Warrants), $195.59, Total Amount Paid During School Year by District Treasurer, $895.10, GRAND TOTAL BALANCES Grand Total Receipts, $961.9 Grand Total Expenditures, $895.10. Grand Total Cash on Hand in both funds, June 30, 1936, $65.95. STATE OF NORTH DAKOTA, } County of Burleigh, t ss. Harrlett School District No. 21. J I do solemfly swear that to the dest of my knowledge and belief the within {s a true and correct report of all moneys received and pald out by me as School Treasurer. GEO, DECKERT, Treasurer of Harriet School District No. 21. Subscribed and sworn to before me this 14th day of July, 1936, Dave Buller. STATEMENT FOR PUBLICATION RECBHIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excludin; Sinking ‘Fund), July 1, 1935, $364.00. Total amount received curing year from apportionment of State Tuition Fund, $23.52. Total amount received during year from apportionment of County Tuition Fund, $13.65. Amount received during year from Taxes Lev- Jed by District School Board, $929.86. Total amount received by School Treasurer during the year, $967.03. STATEMENT FOR PUBLIC RECEIPTS IN GENERAL Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund), July 1, 1935, $2,676.88. Total amount received during year from apportionment of State Tuition Fund, $34.83. Total amount received during year from apportionment of County Tuition Fund, $47.30. Amount received during year from Taxes Le fed by District School Board, $973.72. Amount received during year from other Revenue Recepits, $86.35, in- cluding. tuition from other directors and Florence Sandberg (books). Amount received from other non-rev- enue receipts, $11.10. Total amount recelved by School Treasurer during the year, $1,150.30. Grand Total amount received by School District Treasurer, including cash on hand, $3,830.18. EXPENDITURES OF GENERAL FUND Amounts Paid During Year for the Following Purposes: General Control. (School Board Salaries, $131.60; Expenses, $9.87); Total, 141.47. Instructional Service. (Teachers’ Salaries, $1,291.95; Text Books, $40.09; Supplies, $107.3 Teachers’ Retirement Fund, $13.05); Total, $1,452.42, Auxiliary Agencies. (Transportation, $149.95; Play Equip- ment, etc., $3.45); Total, $153.40. Op- eration of Plant. (Fuel, $244.3 Light, Water, etc. $25.97; Janitor's wages, $220.50; Supplies, $63.42 Total, $554.21, Maintenance of Piant. (Includes upkeep and repairs), $280.95, Fixed Charges. (Includes Insurance, rents, etc.), $423.50, Total Amount Paid During. School Year by District Treasurer, $3,005.95. RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND Receipts, $2,772, Expenditures, $1,332.11. JRAND TOTAL BALANCES: Grand Total Receipts, $6,602.90, Grand Total Expenditures, $4,338.06. Grand Total Cash on Hand in both funds, June 30, 1936, $2,264.84. STATE OF NORTH DAKOTA, } County of Burleigh, { ss. Arena School District No. 30. J 1 do solemnly swear that to the best of my knowledge and belief the within is a true and correct report of all moneys recelved and paid out by me as School Treasurer. c. F. LAMBERT, Treasurer of Arena School District No. 30. Subscribed and sworn to before me this 25th day of July, 1936, John Merkel. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excludin: Sinking Fund), July 1, 1935, $323.63. Total amount received during year from apportionment of State Tuition Fund, $166.98. Total amount received during y from apportionment of County Tuition Fund, $69.69. Amount received during year from State Equalization Fund, $1,155.00, Amount received during year from Taxes Lev- led by District School Board, $2,414.79. Amount received during year from other Revenue Receipts, $197.90; Tuition, 216.00. Amount received during year from Sale of Certificates of Indebtedness, $2,500.00. Total amount received by School Treasurer during the year, $6,723.36, Grand Total amount received by Schoo! Di trict Treasurer, including cash on hand, $7,046.99. {OF GENERAL STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excludin Sinking Fund), July 1, 1985, $268.06. Total amount ‘received during year from apportionment of State Tuition Fund, $124.32, Total amount received during. year from apportionment of County Tuition Fund, $72.50. Amount received during year from State Equalization Fund, $229.65. Amount received during year from Teachers’ Unit, §$133,00. Amount received dur ing year trom Taxes Levied by Dis- Mtrict School Board, $1,415.20. Total amount received by School Treasurer during the year, $1,974.67. Grand Total amount received by School Dis- trict Treasurer, including cash on hand, $2,242.67. EXPENDITURES OF GENERAL FUND Amounts Paid During Year for the Following Purposes: General Control. (School Officer Salaries, $53.51; Expenses, $1.4 Miscellaneous Expenses, $0.75); Total, $55.69. Instructional Service, (Teac! Salaries, $871.20; Text Books, 17; Library Books, $5.00; Supplle: .35; Teachers’ Retirement Fund, $8.80); Total, $926.12. Auxiliar; Agencies. EXPENDITURES FUN! Amounts Pald During Year for the Following Purposes: General Control. (School Officer: Expenses, xpenses, Tuctional Servic (Transportation), Operation of Plant, (Fue ing, $63.90; Janitor's wages, $7. Supplies, $11.62); Total, §82.52, Main- tenance of Plant, (Includes upkeep and repairs), $77.14. Fixed Charges. (Includes insurance, rents, etc, $10.05, Capital Outlay. (New | equip: ment), $18.16,. Total Amount Pald During School Year by District Tr surer, $1,225.01. RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND Receipts, $0.12. GRAND TOTAL BALANCES Grand Total Receipt: $2,242.67. Grand Total Expenditures, $1,225.01. Grand Total Cash on Hand in both funds, June 30, 1936, $1,017.66, STATE OF NORTH DAKOTA, County of Burleigh, s Highland School District No. 27. I do solemnly swear that to the best of my knowledge and belief the within ts a true and correct report of all moneys received and pald out by me as Schoo! Treasurer. \IILDRED NELSON, ‘Treasurer of Highland School District No. 27. subscribed Se esa. before me this 18th day of July, 1936. i. W, FELTHEIM, STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excludin, Einking Fund), July 1, 1935, $723 96. Total amount ‘received during year from apportionment of State Tuition Fund, $436.87. Total amount received during year from apportionment of County Tuition Fund, $288.24. Amount received during year from State Aid Equalization Fund, $1,904.00. Amount received during year from Taxes Lev- ied by Distri Amount i other Revenue Rei cluding Tuition from 5.6 Sale of books, $136.59, Total amount received by Sch Treasurer dur- ing the year, $5,266.10. Grand Total amount received by School District Treasurer including cash on hand, 5,990.05. ? EXPENDITURES | oF GENERAL Amounts Paid During Year for the Following Purposes: (fichool Bo Si B $129.09; $46.78; Supplies, ra’ Retirement Fund, $3,131.52, Auxillary Agencies. portation), $1,446.31. Plant, (Fuel, $2 Wate etc., $52.24; Janitor's wages, $400.00; Supplies, . Total, $908.99. Maintenance of PI (Includes up- keep and repairs). $42.24. Fixed Char, (includes insurance, rents, etc,), $228.07. Capital Outlay. (New equipment), $24.05. Total Amount Pald During School Year by District ‘Treasurer, $5,931.22. RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND Receipts, $3,152.41; Expenditures, $1,813.34. GRAND TOTAL BALANCES Grand Total Receipts, $10,199.40. Grand Total Expenditures, $7,744.56. Grand Tot: nm Hand in both funds, June 30, 1 84. STATE OF NOR’ . County of Burleigh, Menoken Schoo! District No. 33, 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 Schoo! Treasurer. RS, PENNIE DANCE, Treasurer of Menoken School District No. 33 bscribed and sworn to before me this 30th day of suly, 193 arke E. Wood. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of Mates Tregsurer and praleding inking Fund), aly 1, 1935, $171.19. Total amount recelved duri ng year #e%, ortionment of State Tuition ‘une 308.07, Total amount ri ceived during year from apporti ment of County Tuition Fund, $228. mount received during year from te Equalisation Fund, $1,574.02. Grand Total amount received by School District Treasurer, including cash on hand, $1,331.09. EXPENDITURES OF GENERAL Amounts Pald During Year for the Following Purposes: General Control. (School Officers’ Salaries), $50.00. Instructional. Serv- ice. (Board of children), $476.00. Fixed Charges. (Includes insurance, rents, miscellaneous, ctc.), $23.72. Total Amount Pald’ During School Year by District Treasurer, $549.72. GRAND TOTAL BALANCES Grand Total Receipts, $1,331.09. Grand Total Expenditures, $549:72. Grand Total Cash on Hand tn both funds, June 30, 1936, $781.37. STATE OF NORTH DAKOTA, County of Burleigh, a8. Riverview School District No. 23. I do solemnly swear that to the best of my knowledge and belief the within {s a true and correct report of all moneys received and paid out by me as School Treasurer, L, W, SPERRY, Treasurer of Riverview School District No. 23. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund), July 1, 1935, $494.10, Amount received during year from State Equalization Fund, $746.00, (Trans- Amount recelved during: year_ from Waxes Levied by District School Board, $2,170.23. Total amount re- ceived by’ School Treasurer during the year, $2,916.23. Grand Total amount received by. School District Ae including cash on hand, 3,410.23. EXPENDITURES OF GENERAL Amounts Paid During Year for the Following Purposes: General. Control. (School Officers’ Salaries, $126.00; Expenses, $28.60; Miscellaneous Expenses, $6.70); Total, $161.30. Instructional Service, ‘Teach> ers’ Salaries, $1,737.45; Text Books, $82.79; Supplies, $36.44;\ Teachers’ Re- Airement Fund, $17.55); Total, $1,- . (Tuition), fon of Plant. (Fuel, and repairs), $36.00. (Includes _ insurance, $341.68. Debt Service. (Interest on Certificates of Indebtedness), $1.50. GRAND TOTAL BALANCES Grand Total Receipts, $3,410.33. Grand Total Expenditures, $2,721.23. Grand Total Cash on Hand in both funds, June 30, 1936, $689.10. STATE OF NORTH DAKOTA, County of Burleigh, Burnt “Creek School Dist, No. 24 I do solemnly swear that to the best of my knowledge and belief the within is @ true and correct report of all moneys received and paid out by me as School Treasur: se BLANCHE LUYBEN, Treasurer of Burnt Creek School District No. 24. Subscribed and sworn to before me this 14th day of aay, 1936. . C. Kiewitter. Fixed Charg i rents, . etc.), Teach ‘otal, (Transportation), $555.80, ration of Plant. . (Fi els 247.98) it, te fanitor’s wages, $43.97); Total Books, ti Fund, $31.60); 7 iMary Ag as. equipment), cinterest on $32.90; Total Amount Paid During School Year by District Treasurer, $5,900 9} RECEIPTS AND EXPENDITURES I SINKING AND INTEREST FUND 6 Expenditures, a ae feures, fake . G rand Operation of! eee Amount received during year from Federal Aid, $600.72. Amount re- ceived during year from Taxes Lev- ied by District School Board, $3, 21103. Amount received during ye: from other Revenue Receipts, $438 60, including tuition from other directors, amount received by School District aay including cash on hand, 12,029.25, EXPENDITURES OF GENERAL FUND Amounts Pald During Year for the Following Purposes: General Control. (School Officers’ Salaries, including expenses), $153.50, Instructional — Service. (Teachers’ Salaries, $4,103.25; Text Books, $50.5 Library, Books, $20.00; Supplle: $35.00; Teachers’ Retirement Fund, $51.75); Total, $4,260.50, Auxiliary Agencies. (Transportation, $1,577.5! Play Equipment, etc., $40.33); Tot: $1,617.83. Operation of Plant. (Fui $330.00; Janitor's wages, $536.5 Supplies and maps, upkeep, $32.00 Total, $898.50, Maintenance of F Uncludes_ upkeep and repairs), $738.98, Fixed Charges. (Includes insurance, rents, etc.), $582.13, Capl- tal Outlay. (Certificates of Indebted- ress), $1,541.20, Debt Service. (In- terest on Certificates of Indebted- ness), $80.50, Total Amount Paid During School, Year by District ‘Treasurer, PENDITURES IN TEREST FUND 9. Expenditures, SINKING AND J Receipts, $1;487. $1,037.50. GRAND TOTAL BALAN Total Receipts, $13 xpenditures, $10, ‘ash on Hand in funds, , 1936, $2,656.30. STATE OF NORTH DAKOTA, County of Burleigh, Driscoll School District No. 36 I do solemnly swear that to ) ye 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 Sc ool Treasurer. Kk. A. ERSLAND, Treasurer of Driscoll School District No. 36, Subscribed and sworn to before me this 12th day of August, 1936, A. C, JORDAN, Pres, FOR PUBLICATION IN GENERAL FUND eneral Fund (in hands of District ‘Treasurer and excluding, Sinking Fund), July 1, 1935, $3,393.9 Total amount received during ye: from apportionment of State Tuition Fund, $315 Total amount received during year from. apportionment of County Tuition F $313.29, Amount received during year Taxes ied by District School Board, $1,573.44. Total amount received by School Treasurer during the year, $2,201,7! Grand Total amount received “by School District Treasurer, including cash on hand, $: 0. OF GENERAL > Amounts Paid During Year for the Following Purposes: STATEMENT General Control, (School Officer: Salaries), $118.00, Instructional ice. (Teachers” Salaries, $1, Text Books, § y $10.00; Supplies, $62.00; Teache tirement Fund, $17.55) Total, (Tr of : Janitor's wages, jortation), (Buel, $18.00; Sup- | ; Total, $279.00, Main- Plant. (Includes upkeep and repairs), $98.60, Fixed Charges. (includes insurance, rents, etc. $259.87, Total Amount Paid Durin: School Year by District Treasurer, 95. IPTS AND EXPENDITURES IN SINKING AND INTEREST FUND Receipts, $74.66, « Hxpenditures, none. GRAND TOTAL BALAN! Grand Total Receipt: Grand Total Expenditures, Grand Total Cash on Hand in funds, June 30, 1936, $2,742.41. STATH OF NORTH DAKOTA, County of Burleigh, Apple Creek School Dist. No, 39 1 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. C. G, DAVENPORT, Treasurer of Apple Creek School District No, 89. Subscribed and sworn to before me this 14th day of July, 1936, Amos A, Robidou, Chairman, ATION NERAL FUND 1 Fund (in hands of both } } ss. ) District Treasurer and exclu Sinking Fund), July 1, 1935, $1,170 Tctal amount’ received during from apportionment of State Tuition Fund, $248.66. Amount received du ing year from other Revenue R ceipts, — $: 6, including tuition fiom ‘p: $317.44. Amount re- ceived during y from Sale of Bonds, $2,000.00. 1 amount re- ceived by oo) surer during the year, i nd Total amount received by School District ‘Treasurer including h on hand, PENDITURE SOF GENERAL Nas aid During Year for the Following Purposes: ‘ontrol. (School Offi ella $150 (Teache structional arles, $501.6 Books, ‘teachers’ Retirement und, ($4.50 paid too late to he in report); Total, $514.26. Auxi Agencies, (Transportation), $755.90. Operation of Plant. (Fuel, $64.54; Janitor's Main- (includes upkeep wages, $45.00); Total, $109.8 tenance of Plant. ND TOTAL BA Grand Total Receipt rand Total Expenditures, $1,594 Grand Total Cash on Hand in both funds, June 30, 1936, $3,290.93. STATE OF NORTH DAKOTA, } County of Burleigh, }ss. Logan School District 41 «I do solemnly swear that to the best of my knowledge and belief the within is a true and correct report of jall moneys received and paid out by me as School Treasurer. MRS, C, A, ANDERSON, ‘Treasurer of Logan School District No. 41, Subscribed and sworn to before me this 15th day of August, 1936. Marie Huber, Co. upt. $136. refund on repai $1.98. | Amount received during year frum Sale of Cerfitifates of Indebtedness, $3,958.80. Amount received from other non-revenue receipts, adjusted C. of T., $1,541.20. Total amount re- ceived by School Treasurer during the year, $11,858.06. | Grand Total sh in Gene! strict ‘Treast nking Fund), July 1, 1985, $111.54. 1 amount ‘received during year from apportionment of State Tuition Fund, $147.84. Total amount rec: ed during year from apportionment of County Tuition Fund, $35,80. Amount received during year from, State | jEqualization Fund, $784.00, Amount, jreceived during year from Taxes Le jed by District School Board, $9: {Total amount received — b: i Treasurer during the year, nd ‘Total amount 1 chool Treasurer, includir hand, $2,044.97. EXPENDITURES OF GENERAL FUND Amounts Pala During Year for the Following Purposes: General Control. (School Officers’ Salaries, $87.20; Expenses, $19.77; Miscellaneous Expenses, $28.14); Total $135.11. Instructional Service. (‘Teach- ers’ Salaries, 3, Text Books, $26.97; Supplies ‘Teachers’ Re- tirement Fun 5); Total, $1 Auxiliary Agencies, (Tuition Operation of Plant, (Ru Light, Water, etc. $4.00; Sup , $5.40); Total, ‘$46.42. Mainten- ance’of Plant, (includes upkeep and repairs), $38.29, Fixed Charges, (In cludes insurance, rents, etc.), $74.56. Capital Outlay. (New buildings), $197.65, Debt Service. (Interest on Certificates of Indebtedness), Inter- est, $6.11. Total Amount Paid Du ug Seiool Year by District Treasurer, 1,729. @ al Fund (in hands of and excluding School RAND TOTAL BALANCES Grand Total 2 Grand ‘Total $1,729 Grand Total Cash on Hand in both funds, J 6 STAT Cor ) it ss. ity of Burleigh, Macomber School District No. 44 J I do solemnly swear that to the best of my knowledge and belief the | within is a true and correct report of all mon: received and paid out by me as School Treasurer. J. G, PFAU, Treasurer of Macomber School District No. 44 Subscribed and sworn to before me this 14th day of July, 1936, E. D. McGinnis, Notary MeLean ion expire: My comn BL RAL FU 1 Fund (in hands of Treasurer and excluding inking Fund), July 1, 1935, $102. Total amount ‘received during y from apportionment of State Tuition Fund, § Total amount received during year from apportionment of County Tuition Fund, $223.40. Amount during year from State ion Fund, & 00, Amount received during year from Taxes Le icd by District School Boars Total amount received shool Treasurer during the year, $1,999 57. Grand Total amount received by school Distr urer, including hand, NERAL Amounts Paid Du Following Purpo: neral Control. (School Officer aries, y for the tetirement Fund, Operation of Plant. 36.00); Plant, (include: ed Charge Debt sof rotal, During To! nd irand Total Cas funds » 30, STATE OF Count r Manning School Distric I do solemnly swear that to the] best of my knowle nd belief the within is a true and correct report of all moneys received and paid out by me as School Treasurer. bD, 1. MACLEAD Treasurer of Manning Di Subseribed and sworn to this 18th day of July, 1 Marie Huber neral Fu District reasurer and Sinking Fund), July 1, 193 Total amount received a from apportionment of State ‘Tuition Fund, $462.32. Total amount received during y ionment of c 9.00, Amount r from, State 5.50, Amount ar from Taxes Lev- 206.63. from 76, in r Districts, hool Books, received by ‘the year, eived during y fed by District School Board, § Amount eived dur other Revenue Recepit: cluding Tuition fron $210.00; Interest, $1. $140.40. Total ‘amou School Treasurer du $4,685.21, and ‘Tot ecived by School Di including EXPEN Amounts Paid During Year for the Following Purposes: General Control, (School Officer: alaris 7, Expenses, Total, $56.84 tructional (Teachers’ Books, $196. Supplies, $45. Fund, $30.60 y Agencie 50; Pr Total, $478.60. Equipment, $19.10); Operation z of (Fuel, Janitor $198.00; Supplies, $S4.00); $527.79. Maintenance of Plant. Cludes upkeep and re $3 Fixed Charges. (includes insurance! rents, etc), § Capital Outla (New buildings, $106. new equip- ment, $179.24); Total, Total Amount Paid During School Year by District Treasurer, $4,1 GRAND TOTAL BALAN: Grand Total Receipts, Grand Total Expenditures, § Grand Total Cash on Wand in funds, June 30, 1926, $3.2: i STATE OF NORTH DAKOTA, County of Burleigh, bss. Long Lake School District No. 48. } I do solemnly swear that to the nd belief the ect report of s received and pald out by hool Treasurer. FRED W. HINS best of my knowledge within is a true and cor all mon: me as S STATEME FOR PUBLICATION RECEIPTS IN G RAL FUN! Cash in General Fund (in hands af District Treasurer and excluding Sinking Fund), July 1, 1935, $1,734.96. Total amount’ received during year from apportionment of Stato Tuition Fund, $204.90. Total amount received during year from apportionment of County Tuition Fund, §155.45. Amount received during year from State Equalization Fund, $63.00. Amount received during year from Taxes Lev- |led by District School Board, $1,262 00. Amount received during year from other Revenue Receipts, inclading Tuition, $126.00. Amount received from other ‘non-revenue receipts, $17.94. Total amount received by School Treasurer during the year, $1,829.29. Grand Total amount re- ceived by School District Treasurer, including cash on hand, $3,564.25. EXPENDITURES OF GENERAL Amounts Pald During Year for the Following Purposes: General Control. (School Officers’ Salaries, $89.65: Expenses, $17.92); Total, $107.57. Instructional Service. (Teachers’ Salaries, $1,019.25; Text Books, $61.97; Supplies, $11.81; Teach- ers’ Retirement Fund, $15.75; Total, $1,108.78. Auxiliary Agencies. (Trans- portation, $173.75; Tuition, $104.50); Total, $278.25. Operation ‘of Plant. (Fuel, $84.17; Janitor’s wages, $4.30); Total, $88.47. Maintenance of Piant. (includes upkeep and repairs) $329.34. Capital Outlay. (New sites, $25.00 New bulldings, $206.75); Total, $231.75. Total Amount Paid During’ School Year by District Treasurer, $2,144 16. RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND Receipts, $2,154.69, Expenditures, $137.50. ‘CES GRAND TOTAL BALA! Grand Total Receipts, $5,718.94 Grand Total Expenditures, $2,281.66. Grand Total Cash on Hand in both funds, June 30, 1936, $3,437.28. STATE OF NORTH DAKOTA, County of Burleigh, ss. Estherville School Dist. No. 43 I do solemnly swear that to the best of my knowledge and belief the within is a true and correct report of all moneya received and paid out by me as Schoo! Treasurer. PETER JOHNSON, Treasurer of Estherville Schoo! District No. 4: Subscribed and sworn to before me this 14th day of July, 1936. E. H. Broehl. Treasurer of Long Lake School District No. 48. Subscribed and sworn to hefore me this 11th day of July, 1936, Fe Fred H, Pillsbury, Notary Public, Burleigh County, N. Dak. My commission expires, 9, 1941. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash In General Fund (in hands of District ‘Treasurer and excluding Sinking Fund), July 1, 1935, $64.71. Total amount ‘received’ during year from apportionment of State Tuition Fund, $80.64. Total amount received during year from apportionment of County Tuition Fund, $46.80. Amount received during year from State Equalization Fund, $385.00. Amount received during year from Taxes Lev ied by District School Board, $563.46. Total amount received by School Treasurer during the year, $1,075.90. Grand Total amount received by School District Treasurer, including cash on hand, $1,140.60. EXPENDITURES OF GENERAL Amounts Pafd During Year for the Following Purposes: General Control, (School Officers’ fu bi a th FUND Amounts Paid During Year for the w me as School Treasurer, tenance of Plant. from apportionment of State Tuition i) and repairs), $10.0 FOR PUBLICATION Fund, $104.16, Total amount received IN GENERAL FUND 0 Fiat 3eneral Fund (in hands of|during year from apportionment of | (Includes | insurant rents, i ‘surer and. excluding (County Tuition Fund, $60.45. Amount | $2.00. Total Amount Paid Duri: Sinking Fund), July 1, 1935, $605.43. i‘ ive. As arn aE rate pores Year by District Treasurer, Total amount ‘received during year | Equalization Fund, 00. Amoun' 53. m apportionment of State Tuition received during year from Taxes Lev- | RECEIPTS AND EXPEND) IN: Fund, $197.69. Total amount received |fed by District School Board, $839.18.| SINKING AND INTBREBT F ¥ during from Taxes Hevied, by|Amount received during year from rahe ee $190.00. Expenditures, District’ School Board, $1,408.15.Jother Revenue Receipts, (Teacher | $60.00. + : Amount eived during year from | Unit), $162.50, Total amount received GRAND TOTAL eran hi: other Revenue Receipts, $197.00.}by School Treasurer during the year,| Grand Total Receipts, $1,806.77. 1 received by. ‘School | $1,526.29. Grand Total amount re-|Grand Total Expenditures, $993.53 amount urer during the year, $1,802.84. Total amount received by District, rer, including pn hand, $2,408,2 PENDITUR OF GENERAL ‘and Total Cash on Hand in both Funds, June 30, 1936, $813.24. STATE OF NORTH DAKOTA, County of Burleigh, Wild Rose School District No. 54 I do solemnly swear that to the best of my knowledge and belief the within fs a true and correct report of all moneys received and paid out by ceived by School District Treasurer, including cash on hand, $1,616.77. EXPENDITURES OF GENERAL FUND Amounts Paid During Year for the Following Purposes: General Control. (School Officers’ Salaries, $68.00; Expenses, $6.00; Mi cellaneous Expenses,: $8.54); Total, and ‘chool ash Following Purposes: General Control. (School Officer: Salaries, $64.65; Expenses, $12.40); | $82.54. Instructional Service. (Teach- | me as School Treasurer. 4 Total, 05, Instructional Service. |ers’ Salaries, $668.25; Text Books, O, B. SWANSON (Teachers Salaries, $910.80; ‘Text | $34.00; Supplies, $3.70; Teachers’ Re- Treasurer of Wildrose School Books, $5.00; Supplies, $17.19; Teach-|tirement Fund, $6.75); Total, $712.70. District No. 54, ors’ Retirement Fund, $9.20); Total, |Auxiliary Agencies. (Tuition), $20.2 Subscribed and sworn to before me $242.19, Auxiliary Agencies, (Trans-|Operation of Plant. (Fuel,’ $94 this 14th day of July, 1936. portation, $65.91; Tuition, $188.75); | Supplies, $11.80); Total, $106.09, Main- J, P, Jensen, President. Total, $244.66. Operation’ of Pian (Fuel, $5 Janitor's wages, $6.0 Supplies, $2.62); Total, $61.10, | Mal: tenance ‘of Plant: (Includes upkeep and repairs), $10.00, Fixed Charges. (includes, Insurance, rents, ete.),; AM Ph 93. ebt ery . (interest onj{ Certificates of Indebtedness), $30.00. | ones CONOM Total Amount Paid During School 34 Year by District Treasurer, $1,396.93. a GRAND TOTAL BALA} ; al ») Grand “Total Receipts, $2,408.27 We Deliver GROCERY Grand Total Expenditures, $1,396.93. ; rand Total Cash on Hand in both | ands, June 30, 1936, $1,011.34, STATE OF NORTH DAKOTA, } WE SOLICIT 30-DAY ACCOUNTS Fresh Fruits and Vegetables County of Burleigh, } ss. Crofte School District No. 52, J I do solemnly swear that to the est of my knowledge and belief the ithin Is a true and correct report of 11 moneys received and paid out by HERMAN MEYER, Jr., Treasurer of Crofte School District No. 62. Subscribed and sworn to before me his 14th day of July, 1936, 1 A. Johnsen, Director. Grocery Specials Sept. 2nd to Sept. 9th Campbell’s Toma- to Soup, 3 cans... |pe st ar pl 31 it 1 a B re « a y be w a th Fund, $90.46, Total amount received during ¥ from apportionment of Jounty Tuition Fund, $63.66. Amount | ied by District School Board, $1,009.62. Amount recelved during Year from | 16-02. tins, 27c other Revenue Receipts, $105.00, in- cluding Teacher Unit and Equaliza- 2 for ........04. tion” Fund, Total amount received By S et Tre pen during the year, 268.74. Grand Total amount re- gelved by School Di tsurer, Broken Slice Pineapple, B-K Fancy Green Cut EXPE RAL No. 2% Beans, No. 2 tins, F Amounts Paid During Year for the m Oxydol, giant PUBLICATION ., size, per pkg..... IRAL FUND 1 Fund (in hands of asurer and excluding Fund), July 1, 1935, $208.80. mount ‘received during year apportionment of State Tuition Salmon, tall pink, eived during year from Taxes Lev 33c tin .. Following Purposes: General Control. (School Officers’! @ . les, $99.00; Miscellaneous 1x. | Shrimp, wet or dry, nses, $18.00); Total, $1 00. In- i ric Text Books, $23.85; Sup- | ic $5.08; ‘Teachers’ Retirement 2 for et rind, $6.73); Total, $628.88. Auxil- ry Ageneies, (Transportation), D110. Operation a (Fuel, 60; Light, Water, etc wages,” $6.00, "Supplies, $24 $ Maintenance of P 15-02, tins otal, § nelude: ixed nts, ete.), dutstand ‘otal Amount ear by nt. | upkeep and repairs), $101.00. (Includes insurance, if Service. $12! Debt rrants), Paid District ‘Tre 80, GRAND TOTAL BALAN and Total Receipt nd Total nd Total ¢ ds, June 30 STATE OF Count Sibley 1 do Welch’s Jelly, assorted flavors, 8-02. 14c glass Jello, all flavors, 4 pkgs. Calumet Baking Powder, 16-oz. tin of Burleigh, hool District No. wear tha est of m: ledge and belief the ithin is a true and correct report of I monoys received and paid out by as School Treasure: CLIZBE, n Clizhe, Deputy. School | Pork and Molasses, Vegetarian Pork and Tomato Sauce, Kidney Beans with Pork, 1 0. ic 19c District No. 53. | Subscribed and sworn to before me} his 14th day of July, 1936. | i Kellogg’s Wheat Krumbles, 2 pkgs. Kellogg’s Wheat Flakes, 2 pkgs.... 27c Di Salaries), $147,50, Instructional Serv- ice, (Teachers’ Salaries, $303.60; Text 6 Retirement ohuzlle Books, | $4! Teachers’ Fund, $8. ; Total, $361.50. iary Agencies, (Health), eration of Plant. plies, $18.71); Total, tenance of Plant. (Includes unkeep and repairs), $19.89. Fixed Charges. (includes. Publication and Compen- sation), $9.00. Debt Service. dIn- terest ‘on Certificates of Indebted- ness), $19.50 and $151.00 paid by audi- tor to Bank, part of Certificate, $150.00, Total Amount Paid During School year by District Treasurer, GRAND TOTAL BALANCES Grand, Total Receipts, $1,140.61. Grand Total Expenditures, $773.29. Grand Total Cash on Hand in both funds, June 30, 1936, $367.32. STATE OF NORTH DAKOTA, $2. 64. County of Burleigh, at Se Fort Rice School District No. 51 I do solemnly swe: that to the best of my knowledge and belief the within fs a true and correct report of all moneys received and paid out by me as School Treasurer. MATILDA FERRIS, Treasurer of Fort Rice School District No. 51. STATEM! excluding | 1935, $90.48. | during year! @ | RECHIP’ a nd (in hands of Treasurer and July 1, received trict nking Fund), ‘otal amount ees looking at Axel Adverse, you know thet he constantly crusades for eruth. No one is going to pull the wool over Ais cyes when itcomes to claiming gasoline mileage. Anxious to be fair about the whole thing, we'll go a big step beyond Axel's conten- tion and concede that no one gets “a hunert miles a gallon” with Standard Red Crown. But we do have every reason to believe that this excellent motor fuel gives as many miles per gallon as any gasoline you can buy—quite possibly more, Inany event, thousands of midwest motor- ists are getting the truth, first hand, in the World's Greatest Road Test, instituted by Standard Oil. Even though you may not be driving one of the Research Test Cars, it will pay you to... LEARN THE TRUTH STANDARD DEALERS OFFER VALUABLE BOOK OF MILEAGE Not techniccl, this scorebook contains many sensible suggestions which : ‘enable you to get more mileage per gallon. It's full of simple things to ABOUT which add mony miles to a tonkful of gasoline, thereby saving yeu money. Get your copy of “Tips on More Mileege For Your Money” from GASOLINE MILEAGE scorer ces nse, “ci BE SURE YOUR CAR IS SAFE TO DRIVE—THEN DRIVE SAPEL'

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