The Bismarck Tribune Newspaper, August 21, 1937, Page 6

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& TATEMENT FOR PUBLICATION | RUCHIPTS IN GENERAL FUND Cash in manera Fund (in hands of District argeuurer and exclu nding Sinking Fund) July 1, 1936, $8,375.8 Total amount received during year from apportionment of State Tuition Fund, $12,871.93. Total amount re- ceived during year from Bpportion= ment of County Tuition Fund, $19.21, Amount received ek ys! from, ‘state Equalization | Fun $ 18.00. Amount received during’ rear from Federal! Aid—Grant New High School, $3,821.91. Amount received during year from Taxes Levied by District” School Board, $98,668.07. ‘Amount received during’ year from other Revenue Receipts—Books, Fees and Supplies, $6,867.44; Tuition from other directors, $2,132.56; Interest on dank deposits, $3.40; Rent, $3,313.17; Miscellaneous, M.A‘A. Fund, = 950.00; Total, $2 266.17, Amount re- ceived during r' from Warrants Miscellaneous Cancelled, $182, at Re- ceipts: Transfers, $2,833 Total amount received by, Schoo: easurer during the year, sisson. 92, Grand Total amount received by School Dis- trict Auer including cash on hand, $166,446.72. EXPENDITURES OF GENERAL Amounts Paid During Year for the Following Purposes: Gi (School Officers’ Salaries. Expenses, $869.35); Total, Instructional Serv- $97,956.70; 35, ice... (Teachers. Salaries, Books, Text Books, $4,743.76; Librar: $749.49; Supplies, $3,784.42: Retirement Fund, $1,261.2 Janeous, $636.44); Total. Auxiliary Agencies. (Health, Play Equipment, etc., $15! .22. Operation of Plant. Light, bday $109, 132,08, Supplies, if Total, i Maintenance of | Plant. (Repairs to Buildings, $813.81 Upkeep of Grounds $1,012.93; Repalrs to Equip- ment, $665.17); Total, $2,491.91, Fixed Charges. (Taxes, $2,415.43); " Total | $2,419.43. Capi S \d: ings, $17,054.56; New Eq 2.41; Miscellaneous, tal, $25,301.13, Total During Bicgiaee by District NDITURES IN EST FUND ‘Expenditures, ‘D INTE $123,974.84. D TOTAL BALANCES Grand” Total. Receipts, $290,421.56. Grand Total Expenditures, $247,342.64. Grand Total Cash on Hand in both | funds, June 30, 1937, $43,078.92. STATE OF NORTH DAKOTA, } County of Burleii a fae Bismarck Specl. School Dist. No. 1) 1 do solemniy swear "hat to. the best of my knowledge and belief the within is a true and correct report of all moneys ves and paid out by me as School Treasurer. B. F, LAWYER, Treasurer of Bismarck | | Special School District No. 1./ Subscribed and sworn to before me this 7th day of August, 1937, Anderson, Notary Public, “Burleigh County, North Dakota. My commission ex- pires November 11, 1941. tg STATEMENT FOR FUBLICATION RECEIPTS IN GENERAL FUN! Cash in General Fund (in hands, of District Treasurer and excludin; Sinking Fund) July 1, 1936, $971.32. otal amount received during year from apportionment of State Tuition Fund, $300.70. Total amount received during year from apportionment of County Tuition Fund, #108; 74, Amount received during year from State Equalization Fund, Tuition, $817.50. ‘Amount received during year from ‘Teachers’ Unit, $117.00. Amount re- ceived during year from Taxes Levied ‘by District School Board, $1,430.64. Amount received during year from other Revenue Receipts, including Tuition from patrons, $22.50 Amount received from other non-revenue re- ceipts, high school books, $237.96. Total amount received School ‘Treasurer during the year, $3,036.04. Grand Total amount received by School District praasurer, ‘Sneluding cash on hand, $4,00' No ‘oF GENERAL Amounts Paid During Year for the Following Purposes: General Control. (School Officers’ Salaries, $103.86; Miscellaneous Ex- penses, $12.53. ‘Total structional Service, aries, §: Text 5! Supplies. 63: Teachers’ Retirs ment Fund, $29.70; Miscellaneou £19.80. Total, $2,554.71. Operation Plant. | (Fuel, $132.36; | Janitor wages, $90.00: ‘Supple $17.16; Mi cellaneous, $38.94 ‘otal, $278.4 5 Maintenance of Plant, $105.08. THE BISMARCK TRIBUNE. School Treasurer during $852.16. Grand Total amount by School District Tr surer tnelude ing cash on Mae Oy EXPENDITURE tO GENERAL DITURES OF GENERAL FUND Amounts Paid During Year for the Following Purposes: General Control. (School Officers Amounts Paid During Year forthe / Salaries, $81.00: Expenses, $17. Following Purposes: pei $98.30. Instructional Service. General Control. (School Officers’ |(Teachers’ Salaries, $780.62; Text Expensez, _$8.00);| Books, $37.70: Library Books, $9.03; / Salaries, $56.65; ‘otal, Instructional Service. ent Supplies, $4.39; centers Ra (Teachers’ Salaries, $803.50; Text |Fund, $7.35); Total $789.3 Books, $54.79; Teachers’ Retirement; of Plant. (Fuel, $67.2: |Fund, $8.00); Total, $866.29. Oper: wages, $15.00; Supplies, tion of cian eae Light, fon cellaneous, $9.62); Tota: $99.83. letc, $39. lies, | $25.80);| Maintenance of Plant. (Repairs to jTotal, $65.67. Malktenance’ of Piant. | Balidin $18.63; Upkeep of Grounds, (includes upkeep and repairs), $13.68. | $6.61; Repairs to Equipment $20.00). Fixed Charges. (Includes insurance, | Total, $45.24, Fixed Charges. (In- rents, etc.), $15.49. Capital Outlay. | surance. 50; Miscellaneous, $4.41); (New buildings, $3 78; yw equip-/|Total, $84.91. New ment, $17.70); $1. by $58.91. |Buildings), $4 ‘Total Amount Total Amount Pala" During School | Paid a School Year by District Year by District Treasurer, $1,084.69. Treasurer. 1,164.88, 64.) 'D EXPENDITURES IN GRAND TOTAL BALANCES LECEIP’ NI Grand_ Total Receipts, - $1,467. st SINKING AND INTEREST FUND Grand Total Expenditures, $1,084. Receipts, $212.78. Expenditures, Grand Total Cash on Hand in path $150. GRAND TOTAL BALANCES Grand Total Receipts, $1,624.88. ss.|Grand Total Expenditures, $1,315.31. Grand’ Total Cash on Hand in both funds, June 30, 1937, $309.57. STATE OF NORTH DAKOTA, |} County of Burleigh, ss. Tryge School District No. § I do solemnly swear that to the best of my knowledge and belief the 1] within is a true and correct report of District No. 4. all moneys recelved and paid out by Subscribed and sworn to before me|me as School Treasurer. this Slst day of July, 1937. MRS. CLARA. MAGNUS, Owen Mcintyre, Director. Treasurer of Trygg, School bse a aworn to bel : STATEMENT FOR PUBLICATION Subscribed and sworn to before me RECEIPTS IN GENERAL FUND | | this 13th day of July, 19 Cash in General Fund (in hands, of Arthur inapnas, Clerk. Treasurer and _ excluding - Binking Fund) July 1, 1936, $181.06. | STATEMENT FOR PUBLICATIC Total amount received during -year| RECEIPTS IN GENERAL FUND from apportionment of State and| Cash in General Fund (in Hands of County Tuition pest $304.52. Amount |Listrict Treasurer and received durin; year from State|Sinking Fund) July 1, 1936, $966.27. Eaualization Fund, $342.00. Amount |Total amount recetved during year received during year from Taxes |{from apportionment of County Tui- Levied by District School Board,|tlon Fund, $31: . Amount received $696.88, Amount received from other |during year trom ‘State Equalization hon-revenue receipts, $112.74. Total|Fund, $84.00. Amount received dur- amount received by School Treasurer jing year from vied by Dis- during the year, $1,456.14. Grand jtrict School Board, $55.60. Total Total amount received’ by School Dis-|amount received by School Treasurer trict Be including cash on|during the year, $952.44. Grand Total hand, $1,637. amount received by School District EXPENDITURES OF GENERAL esesunes including cash on hand, ND 918.71, Amounts Paid During Year for the EXPENDITURES OF GENERAL Following Purposes: Gi it Amounts Paid During Year for the General Control. (School Officers’ Following. ne fe Salaries, $75.39; Miscellaneous, $4.00); jfunds, June 30, 1937, $382.77. STATE OF NORTH DAKOTA, | County of Burleigh, t Aurora School District No.4 J 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. BERT GLANVILLE, Treasurer of Aurora Schoo § Instructional Service. General Control, uy fxd Instruc- (feachers” Salaries, $1,057.00; Text|tional Service, 0.96. AuxiNary Books, $42.00; Library Books, $8.00; | Agencies, $36.00. ation of Plant, Supplies, $7.92; Teachers’ Retirement | $65.45. Repairs to Equipment, $58.92. Fund, $10.50; Total, $1, 1,125.43, Opera- Fixed Charges, $6.19. Capital Outlay, 4 f Plant. (Fuel, $154.84. Total Amount Paid During plies, $5.07); Total, $119.17, Mainten- | School es by District Treasurer, ance of Plant . (Includes upkeep and 320.02 Fixed Charges. Hecerers AND EXPENDITURES IN repairs), $6.03. eee 5 its, et SINKING AND INTEREST FUND ICapteat "Outay,” "(New “puliginas), Receipts, $1,482.21. Expenditures, 9.58. Total Amount Paid During | $1,133.23: GRAND TOTAL BALANCES Grand Total Receipts, 3,400.92. Grand Total Expenditures, $2,453.36. Grand Total Cash Ce Ley in both Gy School Year by District Treapurer, $1,441.86. GRAND TOTAL BALANCES Sha “rota! Expenditures HE ties: funds, June 30, 1937, $9 G id ‘Total xpenditures, A , Grand Total Cash. on Hana in both EOF NORTH DAKOTA, 1 funds, June 30, 1937, $195, rena of Burleigh, Painted Woods School Dist. No. 9j 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. . W. . Treasurer of Painted ¥ ‘Woods School District No. 9. STATE OF NORTH Dakota, } County of Burleigh, H Wilson School District No. 6 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, County Tuition Fund, $80.18. Amountjother Revenue Rec (Miscel received during year from State/laneous), $20.66. Total amount re- Equalization Fund, $98.00, Amount |ceived by School Treasurer during received during year from Taxes/the yi $1,107.66. | Grand_ Total | §70. Levied by District School Be amount ceived by penool District ts $574.04. Total amount recei including c: on hand, excluding | $4 41.18)! rota 543. it” lies, $1.1 otal, h pacer rent, (Repairs Ye Bi 26; Miscellaneous, $12.00); sGapital Outlay. iNew: Bund $1.09. Total Amount Paid cig School Year by District Treas- 1,4 urer, $1,019. CEIPTS ‘AND beagle te IN REINKING AND INTEREST FU: Receipts. ($33.55 transferred roa oe fund), $540.28. Expenditures, $537. GRAND TOTAL BALANCES Grand Total Receipts, $2,317.95. Grand Total Experditures, $1,557.00. Grand Total Cash on Hand in goth Funds, June 30, 1937, $760.95. STATE OF NORTH DAKOTA, County of Burlelgh. Schrunk School District No. 12 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. SYLVAN HALVORSON, Treasurer of Schrunk School District No. Subscribed and sworn to before me this 16th day of July, 1937. John Halvorson, Director. STATEMENT FOR PUBLICATION RECHIPTS IN GENERAL FUND Cash in General Fund (in hands of | District Treasurer and | excluding Sinking Fund) duly 1, 1936, $267.76. Total amount received during year from apportionment of County Tuition Fund, $237.00, Amount received dur- ing year from State Equalization Fina: $1,115.00. Amount received dur- ing year from Taxes Levied by Dis- trict School Board, $81.38. Total amoun® received by School Treasurer 3 Sul Mainte! hain Following Purposes: Instructional Service, $962.44. Aux- iliary Agencies, $216.00. Operation of Plant, $92.60. Maintenance of Plant, 47.78. Debt Service (Interest on Certificates of Indebtedness), $41.45. Total Amount Paid During School Year Pe District Treasurer, $1,360.27. GRAND TOTAL B. ICES Grand Total Receipts, $1,701.14. Grand Total Expenditures, $1,360.27. Grand Total Cash Hand in both funds, June 30, 1937, $340.87. STATE OF NORTH DAKOTA, County of Burleigh, Phoenix School District No. 13 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. ROMEO BAILEY Treasurer of Phoenix School District No. 13 Subscribed and aware to before me this 13th day of July, 19. ‘Ed Wagner, President. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUN! Cash in Gen ral eae an hands es District - Tre: and — excludin: Sinking Fund) July 1, 1936, $229, 76 Total amount received during year from apportionment of County Tui- tion Fund, $151.68. Amount received during year from State Equalization Fund, $450.00. Amount received dur- ing year from Taxes Levied by Dis- trict School Board, $636.07. Amount received during year from other Rev- enue Receipts (Teachers Ra $1.26. Total amount received by School s.|Grand Total Cash on Hi: Grand Total Grand Total, C funds, June $96 STATE OF NORTH DA vigor, County of Burlel Glenview School DistHet No, 16 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. 7. A. NS, ‘Treasurer of Glenvew School District No. 16. Subscribed and sworn to before me this 15th day of July, 1937. (Mrs.) Hazel Morris, Director. ‘ATEMENT FOR PU! RECEIPTS IN, Cee AL FUND. Cash in Gen District _ Trea ure rs wiand Sinking Fund) July 1, 1936, Total amount recefved during from _apportionment of County. tion Fund, $336.54. 2 oleae ia |. Amount received {during year from State Aid, $893.50. Amount received durin: ear from Taxes Levied by District School Board. $148.06. Amount received dur- ine. wean ad ie peyanee “att: ceipts—Refun on ‘re! 1.07; Total, $2.07. Amount recelved es ‘rom other non-revenue Scene $15.00. Total amount received by School Treasurer during the year, $1,395.17. Grand Total amount received by School District Treasurer including cash on hand, $1,567.44. EXPENDITURES OF GENERAL Amounts Paid During Year for the Following Purposes: General Control. Salaries, $94.87; Expenses, 23.79); Total, $118.66. Basteec tions during the year,°$1,433.38. Grand To-/|(Teachers’ Salaries, §681. Library tal amount received by School Dis-| Books, $ RU Suppites, 3438: ‘Teach- pale hee including cash on ne Retire: ind, 60); ban 7.35. ‘Ope ratio f LEA oe GENERAL 165.53; Lent on vot Plant jupplies, $35.29); Total, $205.82. Amounts Paid During Year for the |tenance of Plant. (Includes upkeep gna oenetteD $58.30, cet Charges. cludes insurance, rents, etc.) $8.21, Debt Service. niarerest "> bet cates of Indebt }, Payment of old warrant, 4204 00. Total Amount Paid During School Year by District Treasurer, et 188.34, RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND reabe $1,293.84. Expenditures, GRAND TOTAL BALANCES Grand Total Receipts, 2,861.28, Grand Total Expenditures, $1,790.94. land in both Funds, June 30, 1937, $1,070.44. STATE OF NorTH 5 SOTA. 1 County of Bui 3 Lyman School Distriee: No. 18. id (in hands of | District and sinking Fund), "Suly 54 1936, $34.62. Votal amount received during (School Oficess ” | $103 Grand Total Cas! funds, June 3 0, i537. "108, 19. ih OF NORTH DAKOTA, unty of Bi ui Harriet School Distric rleigh, No. I do solemnly swear that to the best of my knowledge and bi lief the within is a true and correct report of and paid out by jurer. GEO. DECKERT, Treasurer of Harriet School District No. 21. ibscribed this 13th and sworn to before me iy ‘of vale 1937. ‘Henry Ochrner, TEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of excluding year from avportionment of State Tuition Fund, during County received during Equalization Fund, $107.83. T rear. uition Fund, $ year $530.50. ‘otal amount received from apportionment of 6.51. Amount from State Amount received during year from Taxes Lev- jed by District School aoa $346.05. Total amount receive by School Treasurer during the year, $1,070.89. Grand Total amount received by School District Treasurer including cash on hand, $1,105.! EXPENDITURES OF GENERAL Amounts Paid During Yer Purpo: Followin, eneral Control. Salaries, $| cellaneous Exp 7.50): Hi 20. ‘Tol cles. (Transportation, Operation of lan’ 2); Total, $93.22. Mainte 8 (School 68.03; Expenses, $3.20 Testructionsl Service: (Teachs ries, $709.36; Text Books, (Repairs to Buildin, for the Officers’ Mis. ‘rotal, hers’ Retirement Fund, $743.89. Auxiliary Agen- ED, 20) 5 Total, (Fuel, $2 Total, $33.54. Total Amount Paid ‘Dur: ing School Year by District Treasurer, on Certifi- | $1,024.17. RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND Recel; 190.00. ee 507.77. Expenditures, GRAND TOTAL BALANCES Grand_ Total Receipts, Grand Total Expenditures, Grand Total Cash on funds, June 30, 1937, STATE OF NORT! County of Bu: Hand $399.11. ed orn \ leigi Lein School District No, 22. I do solemnly swe: 1,613. oF 1,214.17. in both r 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 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. JOHN A. WAISTE, Treasurer of Lyman apes ped eahopl Pitot ae 18. cribed and sworn to before me this 30th day of July, 1937. County Superintendent. Marie Huber. OO STATEMENT FOR EUBLICATION RECEIPTS IN GENERAL FUN! Cash in General Fund (in hands, of District Treasurer and excluding Sinking Fund) July 1, 1936, $! Total amount received during year from apportionment of State Tuition Fund, $131.50. Total amount received during year from apportionment of | 8c! County Tuition Fund, $105.50, Amount Treasurer during the year, 31) 363.75. Grand Total amount received by School District Treasurer including cash on pane $1,593.51. EXPEN! pine Ee ae OF GENERAL Amounts Paid During Year for the Subscribed and sworn er before me District No. 5. this 13th day of July, 1937. Subscribed and sworn to before me Axel Stenquist, Pres. this 13th day of July. 19: 4 Hochhalter, Tirector, STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND STATEMENT FOR PUBLICATION Cash in General Fund (in hands of RECEIPTS IN GENERAL FUND |District Treasurer and excluding Cash in General Fund (in hands of |Sinking Fund) July 1, 1936, $3,514.19. District Treasurer and excluding | Total amount received tek year Sinking Fund) July 1, 1936, $280.54. from apportionment of State Tuition Total amount received during year Fund, $959.20. Amount received dur- from apportionment of State Tuition|ing year from State Equalization Fund, $276.04. Amount received. dur-|F'und, $269.50. Amount received dur- Ing year from State Equalization |ing year from Tax eee by Dis- Fund, $269.50. Amount received dur-|trict School Board, $1,719.24. Amount ing year from Taxes Levied by Dis-|received from other noi enue re- trict School Board, $802.48. - Amount |celis, $47.52. Miscellangous Receipts, received from other non-revenue re- Total amount received by ceipts (junk), $16.50. Total amount |School Treasurer during the yea: received by School Treasurer during | $3,009.11. Grand Total amount re- the year, $1,266.52. Grand Total {ceived by School District Treasurer ELSON. Treasurer of ison School Fixe 6 Charges. (Insurance Prem.), }. Debt Service. (Premium on Bon $5.00. Total amount paid durin, 5 eed by District Treasurer, s RECEIPTS AND EXPENDITURES IN SINKING AND INTEREST FUND spas $3,406.42. Expenditures, GRAND TOTAL BALANCES Grand Total Receipts, $7,413.78. Grand Total Expenditures, $5,916.41. Grand Total Cash on Hand funds, June 30, 1937, $1,497.37. STATE OF NORTH DAKOTA, } County of Burleigh, Regan School District No. 2 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. ‘Tre: . INESTAD, jurer of Regan School istrict No, 2. Subscribed and ety AY before me this 13th day of July, 1 ® *Tourtelott, Public, Burleigh County, North Dakota. 'y commission ex- pires April 10, 1940. STATEMENT FOR FUBLICATION RECEIPTS IN GENERAL Cash in General Fund an ‘fends of District Treasurer an xclu uding Sinking Fund) July 1, i936, oF, 525.2: Notar: in both |9P fe recelved ‘by School District | including cash on hand, $6,623.3 Freasurer. including cash on. hand, EXPENDITURES OF GENERAL Mm EXPENDITURES OF GENERAL | Amounts Paid During Year for the I Gontrel.- (aehoot Oftt Amounts Paid During Year for the en ontrol. ool Officers’ a : Salaries, $82.00; Expenses, $49.63); Toni Tasenoer: Total, $131.63. instructional. Service: (School Office Expenses, $22.04 Espen $14.48); To. Instructional jervice. Salaries, $534.60; Text 50; Library Books, $11.00; Supplies, $9.50; Teachers’ Retirement Fund, $5.40); Total $574.00. Auxiliary ‘Agencies. (Transportation, 52.20). Operation of Plant. nitor’s wages, $7.50) Maintenance of Plant. keep repairs), $29.22. Charges. (Includes insurance, rents, otc.), $28.40. Debt Service. (Interest on Certificates of Indebtedness), 70,00. Total Amount Paid During tgs Year by District Treasurer, Gs 9. ‘S AND EXPENDITURES IN REINKING AND INTEREST FUND Salarie: Text mi cellaneous 3, $55.14; tire: Giatchers. ened $3 eae 93; 5; Librar; 18 heh ment Fund, | §2! Benchers Operation of Pi Janitor's 084.29 Pio eacinine ‘3 to ja! Total me ‘hixed Cit surance), $10.60. aie ool Year by OTAL’ 1 BALANCES District ORSUrer GRAN! Grand Total, Receipt: 3. Grand Total Expenditures, 4,566.58. Grand Total Cash on Hand in both anne ae ae Oni $1,956.72. ‘E OF DAKOTA, parole ity Pott Bar leigh, a8. receipts, $1,099.08. Expenditures, Ecklund Bchool Di ie No. 10 GRAND TOTAL BALANCES I do solemnly ar that to rhe best of my: knowledge and belief t! within isa Aras jane coprect report of ali mon ived and paid out by ty School 1 ‘Treasurer. Grand Total Receipts, $2,696.14. Grand Total Expenditures, 89, Grand Total Cash on Hand in both funds, June 30, 1937, $1,273.25. me STATE OF NORTH DAKOTA, } unty of Burleigh, ‘5B. Pleasant View School Dist. No. 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 RSON, Treasurer: of Ecklund School District No, 10, Subscribed and sworn to before me this 13th day of July, 1937. jackman, Presiden st _ Total amount received ear STATEMENT FOR PUBLICATION me as School ‘Treasurer. rom apportionment of State Fuition WILLIAM STEINERT, | RECEIPTS IN GENERAL FUND Pe ae eC TTS ‘Treasurer of Pleasant View in Ge pre in ands ior CEN te alization ‘School District No. 6. District, yrtensurer excludin Li 00 Apnount received. U- §:| |, Subscribed and sworn to before me | Sink! and) July. 1, teats 359. House, $2,020.40 Amount. received |‘ 17th day of July, 1937. ERR cient during year from Taxes Levied by prtilen Bteinert Presidents | rend c sss 35.12, “Amount recelved dur- District Behool Board, $999.15. Amount received during year from other Rev- enue Receipts—Tuition from other A Se from State Equalization 96.00. Amount received dur- in, tree. School Board, $1,! pots STATEMENT FOR PUBLICATION ar from Taxes Levied by, D! directors, $22.00; Total,” $22.00. Dee nan hana srG 7; Amount received during year from|Sitkicg Fusdy daly 171926: se86 | amount received by” School Th Bale of Bonds (April 4, ies6) $2,500.00. |Gotal amount received during” year | during, the year, $1.63 Amount receive ng year from lfrom apportionment of State Fuition | Total amount received’ Benoa! Dis- Bale of Certificates of indebtedness, Fund, $8536. Total amount receive|trict Treasurer including cash on 3600.00. Mincellaneous Receipts, |auring year from apportionment. of | hand, $2,626.36. $31.07. Total amount received by |Gounty Tultion Fund. $39.60, Amount BEND ae OF GENERAL Beuosl. Treasurer’ during, shee year recelved, during year from” Taxes FUND $6,689.70. Grand Total amount received | fw by "Diktrigt’ School Board,| Amounts eiten Ae for the Fo! by School District Treasurer includ- ing cash on hand, 2. EXPENDITURES OF GENERAL Amounts Paid During Ye Following Purposes: “General Control. (School Officers’ ies, $26.00; Expenses, $92.34; Miscellaneous Expenses, $2! 3H a $143.34. Instructional Se: Rael eriea 31, Ay r for the Text tal (Peachers: Bor 39.6! G poral Control. (School Board cee 3. me as School pupensurer, do solemnly swear that to the ries, $212.75; Miscellaneous, 8: unt Paid der S138 M. I. SAWYER, best of my Bnowledge and belief t! Miscellaneous, $: $ Total $232.49. Instructional Serv. Bistrot Flesnurer, gat Mpreasurer of Thelms. within is id correct report of Total, $1,621.90, Operation of Plant. lic Gieashece’ Selarion, GRAND School District No. 15. Bil moneys received and paid out by (Fuel, $86.08; Light, Water, etc, | Text Books, are Grand Total ie Bae $2.426.38, Subscribed and sworn to before me |me as School ‘Treasurer. $10.08; Janitors | wa $6.00: Sup-| $18.44; su, lies, 8 Grand Total eae $1931, 68. |this 13th day of July, 1937. R CHRISTENSEN, S748): Total, 4160.09, Maintee i ment. Fund,’ $24. 6) Grand Total oth John Mathisen, President. Treasurer of Clear piles A a ere to Build- ‘Auz! hae Agenci ies. (Trai funds, ee 130, 1987, Sane EE EEE Ee School District No. 20 ine, Grounds, ey 401. ‘Operation of STATE OF NORT: ws STATEMENT FOR PUBLICATION Subscribed and errr ae before me aie), ae im Eas dees: $10.70); | uel, 145.21; -Janitor’s wages, $153.- County of Burlei s8.| RECEIPTS IN GENERAL FUND _ |this 13th day of July, Total, $13 Fixed Charges. (insur 90; Supplies. $148. ‘$5; Miscellaneous, Ghyin School District he 1 picath, in General Fund (in hands of Albert Christertsen. President. » $201.1 - | $53, ote ). Maintenance istrict Treasurer an ‘ous, $15.00); Ba Sant 11 coc tai | af of Plant. (includes Upk. "and |b Sinking Fund) uly 1,°1936, $24010,| STATEMENT FOR PUBLICATION thay. (New Re $76.13. Debt {Total amount received durin| year RECEIPTS IN GE! FUND Bi ings, $1, 5 oraui ment, | (Inter paid out by |from apportionment of Stati Fults Cash in Gi nd wy hands of 266.76; School aid |me as School “reset Hund, "$517.68. Amount. fecelved’ dur: | District Treasur excluding $4,529.40); 15. Di jet IN B. JOHNSON ling ‘year from State Equalization Sinking Fund) suly 1, “1os6, 45.3 ice, acto dne ‘Treasurer, $3,293.35. Treasurer of Ghylin Schoo! Fund, $126.00. Am received dur-|Total amount received ' during year |G: debt 0.00. _ Tot: ECEIPTS AND EXPENDITURES IN Distriet No. 11. re rerei’ ey Diss|from apportionment of State and Bald During, 6c! School Year by Bineriet SINKING AND, INTERE! Subscribed and Sworn to before me tee School Board, $786.34. Amount |County Tultion Fane $127.98. Amount Treasurer, $9,0: Receipts, $1,894.10. Dapenditures, this 13th day ae tie during year from other Rey-|received during from State opted AND EXPENDITURES 1 IN | $1, no TA rey SY ttl * President. Fuition from spatroae, Eacalization Find zine Sspadl surance, ne |r from Taxes v= Receipts, $178.12. Expenditures,| Grand Total Receipts, bate 36,| STATEMENT FOR PUBLICATION cher, 60. Total amount |!ed by Dis! tet Be 001 Board, $299.58. $50.00. Grand Total Expenditu RECEIPTS IN GENERAL FUND |received by School T r during | Total am Ne retsived by’ ‘School GRAND TOTAL BALANCES Grand Total Cash on Hand ity Mi Cash in Gene: re thar ae hands of | t! Year, $2,086.17, Grand ‘Total | Treasurer during the year, $706.66. Grand Total Receipts, $9,393.04. |Funds, June 30, 1937, $326.68. District ans excluding |amount received by School Treasurer |Grand Total amount received Grand Total Expenditures, ¢ 9,092.08. STATE OF NORTH DAKOTA, Sinking Fu mtase, $226.28. |including cash on hand, $4.4 School District | Treasurer including Grand Total C: Hand in ‘County of Burleigi ss. | Total earn aad during yen EXPENDITURES OF GENERAL |cash_on hand, $772.51. funds, June 30, 1937, $300.98. Gantield Bhool Distrist ‘No. 7 from apportionment of State ition FUND EXPENDITURES OF GENERAL TA’ F NORTH DAKOTA, do solemnly swear that to the | Fund, Total amount recelved| Amounts Paid During Year for the County of Burleigh, \ os. | best ot my knowledge and bellet the |during year fro apportionment of Following Purposes: Amounts Paid During Year for the Grass School District No. 3 within is a true and correct report of County nite Fun $95.85. Amount General Control. (Sehook Officers’ Following Purposes: I do solemnly cwear that to the {all moneys received and paid out by | recelved during ‘year from State |salaries, $84. Expenses, $25.24); 1_ Control. 1 Office: best of my knowled, ef the |me'as School Treasurer. Equalization Fund 00. “Amount 109.24. Instructional Service. | Salaries, $61.50; Expens 17.70) within is a true and correct report of RIL LINDSEY, “during from Taxes Bal a3?) 20. Instructional Service. all moneys received and paid out by Treasurer of Canfield Schoo! Pevied by Diserize® wheel Board, os emlarics $346.50; Tox District No. 7. 1,108.91, Miscellaneous receipts, 0} $11.9: ‘me as School Treasurer, Mw ALBERT Treasure! signeel District. aie; 3. and to before-m: of July. ‘937. Es Tes. Amount received during sre ‘Purpose: P| ral Cont 001 Officers’ ar from other Revenue Receipts, Fio1.90. Total amount received by | Salar! et To- School Treasurer during the year, ta 389.82” Service. $2391.64, Grand Total amount re: (Teachers’ es, $1,306.80; Text ived by School District Treasurer | Books, $100.00; TAbracy, Books, iis He including cash on hand, $3,348.26. meecners Retire Fund, $13. EXPENDITURES OF GENERAL Total, $1,464. iy eration ‘of Plant FUND Fur Supplies, $78.58); Total, Amounts Paid During Year for the | $147.56. Maintenanci it. (Re: airs to Building: 2 Following Purpoi eee 37. Following Purposes: eral Contro}. (School Officers’ Salaries, $40.00; Expenses, $13.34); Total $53.34." Instructional “Service. (Teachers’. Salaries $1,015.74; t Books, $30.00; Supplles plies, gaat ements ers’ Retirement 6); Total, $Love81, “Operation et Plant (Fuel, $56.96; Supplies, $15.31); Total, $72.27. Maintenance of Plant.’ (Repairs to Buildings, $3668; Upkeep of Grounds, iscelianeous, $1.44); Total, 46. Fixed Charges. ( (insurance, 2.76.) sCapital Outlay. (New Bulla: in tal Amount Paid Dur! hoot, arent AD District FE Burog 8 $1,377. RECEIPTS AND D EXPENDITURES t IN Receipts, “$167.88. s1e56. Expenditures, GRAND Soe) BALANCE! Total Cash on Hi funds ating, 30, 1937, $366.99. F NORTH DAKOTA, Ne ‘ATGounty of Burleigh, Florence Lake School Dist, No. Foie 10 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. JOSEPHINE TEES, Treasurer of Florence Lake School District No. 1 Subscribed and sworn to before me this 18th day of July, 1937, er, Director. STATEMENT FOR PUBLICATION Gann Ge IN GENERAL FUND 50. vent from apportionment of State Fru ition Fund, $86.79. Total amount reecived during year from apportionment of County Tuition Fund, $69.63. Amount received during year from State Equalization Fund, $240.50. Amount received during year from Taxes Lev- jed by District School Board, $306.: Total amount received by Sch Treasurer during the $703.84, unt ‘During School Year by District Treasurer, $649. ee AND EXPENDITURES IN [KING AND INTEREST FUND $77.39, Expenditures, GRAND TOTAL BALANC Grand_ Total Receipts, Grand Total “Expenditurss, * $14443, Grand Total Cash on Hand in both funds, June 30, 1937, $571.70. ; Receipts, Se Tie. 13. received durng year from State Equalization Fund, $98.00. Amount received during year from Taxes Lev- $390.21. fed by District School Board, 5.21. Grand Total amount re- ceived by School District ‘Treasurer including cash on hand, $1,812.13, Bee SN OUU EBS OF GENERAL prountae Paid During Year for the following Purposes: General Control. (School Officer: Salaries, $54.38: Bxp 23,00: Tota . Instructional Service. (reachs alaries, $1, ext Books, $70.71; Teachers Retirement Fund, $18.80); Total, $1,138.46, Auxiii- ary Agencies. (tuition, $211.50); Total, Operation’ off Piant. (Fuel, Suppli Total, (Re sex Fixed $26.80) Total, ta Interest on Warrant: Amount Paid Durin, District Treasurer, #1, 423.16. aa Year by RECEIPTS AND EXPENDITURES 1 IN ‘Total SINKING AND INTEREST FU} 8. \genco $480.06, AExpenditure GRAND TOTAL BALANCE! Grand Total Receipts, Grand Total Expenditures, $1,729.82. Grand Total Cash on Hand in both funds, June 30, 1937, $562.37. erarE Or NORTH ences }s ity of Burleig! Richmond” ‘School Distrist” "No, 19. do solemnly swear that to th 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. JOHN K. BREE, Treasurer of Richmond mibectied School piece ne 19. jubscribed and sworn to before me. this 13th day of July, 1937. Christ Berg, P ident. SAS teri NEE STD: RECEIPTS IN GENERAL F' Cash Wy General ‘Fond ce hecae? of District Teeasurer an excludin, Sinking Fund) July 1, ‘1936, $312.48. ‘otal amount received during year from apportionment of County tion Fund, $205.22, Amount received (Fuel, i, ‘Miscellaneous, : tion suppiter 7. 1238); ‘Total, $53.08, Maintenance of Repairs to Ba Aa 6.75; Eee foe wEavipment, ue 3 Total, 11.99; Rent, $18.34); Total, 0. tal Amount Paid During choot Year 75) ,Jof Plant. (Re Cou it, Riverview, "echo ol I do solemnly swear me as School Treasurer. MRS. JOHN O. RISE, Treasurer of Lein School District No. 22. Subscribed and sworn w before me this 13th day of Pa 1937. Martin Heidt, ‘President. STATEMENT FOR PUBLICATION FUND RECEIPTS IN GE! INERAL Cash in General Fund (in hands of District Treasurer Sinking Fund) July Total "amount. received from apportionment of State $iea1. ‘Total amount. received Fund, 8.41. exclu 1936, $781.87. poring year 'u ding: ition during year from Ga of County Tuition Fund, surer during $14.77, Amount from Taxes Lev- y the year. Board, joo] ‘Tre: sar, 20. ‘Grand Total amount received yy School District paenencer includ- ite cash on hand, $1,1! EXPENDITURES OF GENERAL Amounts eae Daring earl for the lowin: urpose: General’ otontrol. (School. " Ofticerst Balaries, $63.00; siaeeh Year. by Dis! Expens: trict grand * rotat Expenditures, Grand Total Cash o: funds, June 30, 1937, yn Han $715.74. ty of Burl STATE OF NORTH Dal AKOTA, } lel: Distr! ee No, 23. that to the ‘ EpReee, een rounds, }3.00) 8.00. Fix Charges. (I: 5.00; Miscellaneous, ‘ 08), 8.08. Total Amount Paid ' During | > Treasurer, 3. antes, TOTAL FANS Total Receipts, 1,198.57. ved me as ‘School Trensui ALFRED KARLSON,. Treasurer of Naughton Rubacrited ene orn te belo 25. and sworn to this 13th Bind of July, 193 faseen cera Chas. A. concire Director. STATEMENT hark ag hf RECEIPTS IN GENERAL FU! Cash in General ‘Fond (in fanaa of District eeraees and Srcindia Sinking Fund), 5.68, Total amount ri vi rear from apportionment of State Tuition Fund, $71.01. Total amount received during year from portionment of County Tuition Fund, $5: received during Equalization Fund, received during led by District Total amount received by School Treasurer during the year, $1,068.39. Grand Total amount received by School pietes Treasurer includng cash on hand, EXPEND! ENDIZURED 9 OF GENERAL hool Board. School rict Treas. RECEIPTS AND EXPENDI SINKING AND INTEREST Fen saigceipts, $403.81. Expenditures, GRAND TOTAL LANCE Grand "Total Receipt Grand Total E: Grand Total Ca: land f funds, June 30, ist, yeast, STATE uous ot TH ee 1 Cor ‘Set sm Baldwin School District ko, PS ala I do solemnly s hat to “te a belief ths rect report of all moneys received and pai : me as School ‘Treasurer. ‘baud out 67 Maapenree of School District NOY Subscribed and Lift se. poatore, me this 13th day of July, 1 A. Fricke ak President of School Boar, eee STATEMENT FOR ZUBLICATION RECEIPTS IN GENERAL ¥ Cash in General . ade 2 Amounts Paid During Year for the |District Treasurer Followsni Furp poses: eae r. ‘ontrol. (School Officers’ 59. ‘Total, $59.10. In. |from m apportionment of State me: (Teache jal. | Fund, 5.09, Total amount received Text Books, 35; during Ee. from apportionment 5: tirement Fun: }|County Tuition Fund, $73.83. Amount ‘0 29.85. ‘Auzillary ‘|received during year from Stats (Transportation, "$468.0 tat|Sauallzation Fund, $520.60, “Amour: .00, Operation of Plant, | received during year from Taxes Lev. 4); Total, $26.24. nt. (Rep: salve to Buildings, $82.13); Total serie: Fixed Charge: 1 ance, $30. 8 Total, $0.34 4 Total at in both best of my knowledge and belief the within is a.true and correct report of all moneys ri me eceived and paid out by 8 School ‘Treasurer. W. SPERRY, Treasurer of Rive: 1 District Ne Subscribed and sworn to before Sch this 13th day of July, 1937. rview 2 me Hogue, Director. By: Rita Hogue. STATEMENT irs te RECE! Reais IN G. Cash in G District from 3) Fund, au ‘Fund ( an hands of Tre: and excluding Sinking Fund) July 1, 1936, $689.10, Total amoynt received during year spertionment of State Tuition 49.91. Total amount received during ye yi from apportionment of County Tuition Fund, received during Equalization pena peeiye: dur! year Aa om, "District eT school 120.27, Amount from State Amount Taxes Board, | Levied | b; 1,228.16, "Total amount received by eh ‘Treasurer $1,862.34. Grand ceived during the year, Total amount by” School Fie veal including re- 1.44. TURES OF GENERAL Amounts Paid During 3 weak for the Followi cash on hand, $2,5! EXPEWD: Cash funds, June 30, 1937, $123. 8ST. ne Pur; nitre (School Officers’ on Hand in both ‘TH DAKOTA, ‘ATE OF F NORT wan ounty, 0 } : Ke School Dist No, 24. J that to the nd correct report of 6 all moneys received and paid out by by District Treasurer, $1,043.66. GRAND TOTAL BA. ace Grand Total Receipts, STATE OF NORTH DAKOTA, County of Bartel h. Thelma School fos I do ASthing 8 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 ‘Total amount by yeasurer sausing the year, ind. Total amount re- y School District T1 Subscribed and sworn to before me this 13th day of July, 1937. Ole Ol Olson, Sr., President. jurer STATEMENT FOR PUBLICATION | inclugin q7.67, ool ih aay "T, Johnson, pee RECEIPTS IN GENERAL FUND EXPENDITURES OF GENERAL TEMENT FOR RaaOR TT Ditte Teeeiier ana enaieaing Amounts Paid Du} Mian Sent forthe RECEIPTS IN GENERAL FUN ND. | Sinking Fund) July, 1. 1936 s30atk Follow. ‘ie rmoute: cen Fund (in Hands of |Total ‘amount received during. year. General Control. (chal Officers! istrict ia [te Teas of State’ Fuitton | Salgrien, $58.00; Expensen. $3.00): o- at Pf spe e ye Fura, 78.04. Amount Fecaly dur-|tal, $56. eas ice, Fat nt received par |1ng year ofr State Equalisation | (Te sup ites, from ionment. State F p34. Total amount lies pane, oat trom Federal Aid. 411036.) $1.08); Total $118, ts tir ry Agen: acai tom simaat west M''pe | ssoust received using” your trpu clon. Ciilepeilgnepuy alge aes ui t, $62.72); Total, $1,968 Amount Paid During School District T: jurer, $3,611.48. RES IN NOINKING AND INTERRST FAD yg $334.02. Expenditures, GRAND Motel’ Bee BALANCES Grand 7 Receipta, as83RaD, Total **/Grand Total Cas Repairs. t $4.00); Total, i suran be 62.43). Total $62.43, Capital ‘Outlay: dings, $1,341.06; New Equip B 80. iy 12. 1048: 66, on Hand in both funds, June 30, 1937, $245.4| STATE ‘oF NORTH SAKOra, inty of Burleigh, bie Lake" School Di ret No. 20, Grand Total Expenditures, 85; ers’ ties Pana, $4.00); Total, $s, 50. Auxiliary Agencies, (Tuition, $36. $34. eration of Biante. Cruel, $2642: dantore on $4.50; Supplies, $9.04); “Total 2 | Meleiounae of Plant. otal $2.00, Debt tificates of Indebtedness) $101.70. Total Amount Paid othe Pati Year by District Bervice. Interest ‘on TRrepeprer. GRAND TOTAL BALAN! Grand. Total Receipts, $172.51. Grand Total Expenditures, 667,33. me as School Treasurer. BLANCHE, LUYBEN, Treasurer of Burnt Creek School District No. 24 Subscribed and sworn to before me this 13th day of July, 1937. Ted Small, Director. ————————— STATEMENT FOR re pay BECEIPTS IN GENERAL F' Total amount recei Fund, $78.90. from other Revenue cash on hand, $2,051.; $14.93; SINKIN« AND were Md NOR’ best of Re cele within is s tru during fro’ ort! County Tuition “Fund, $63, received during year ved DAK: @ and soredt 25; Ret! Ci oN in eneral: muna aes hands, of excludinj Dis! Sinking Fund) July 1,, bas, “$201.08. during yeur from apportionment of State Tuition Total amount received jonment of 60. Amount from Taxes Levied by District School Boa: $637.24. Amount received during year feelin anor} Total amount received Treasurer during the year, $70.50. School $850.24. rand Total amount received by School District Treasurer including EXPEN! DITURES, ‘OF GENERAL for the Officers’ $11.80); vice. Text ire. ment Fund, $6.00; Tota 568: 18. Aux- lia (Transpo! us heceters AND EXPENDITURES IN |e: INTEREST FUND AND FOrAL tee ed ‘otal Receipt: }2,079.23. Cas! land Funds, dune, 0 ta sioreate A Tcounty of Heel Naughton School District I do solemnly swear that to the belief the kepgrt of | ness; OTA, } rh, Bs. No. 25. :|Grand Total AS Highland “School District No. a} (Be Amount Paid Durin; Distret' Treasurer, $416; oat ‘Year by TA! ALAN Grand Total gece Pare Receipt: rand Total nd rand Total. Cash on Hen Hana #34 32.39. 1,712.54. in both NORTH DAKOTA, unty of Burleigh, Frances ‘Schoo! District No. 26. ion I do solemnly swear that to the best of my knowledge and belief the eae Ga Core ce ireport of eceived an me as School Treasurer. eee, TEBBO HARMS, Treasurer of Frances School District No, 26. Subscribed and sworn Be before me funds, June 380, 1987, 85. : STAt ane "$318, 85. , (this 13th day of July, 1937. Floyd Owen, Director. STATEMENT FOR PUBLICATION RECEIPTS IN GENERAL FUND Cash in General Fund AGS hands of District Treasurer an excl ine Sinking Fund) July 1, 1536, $1,01 e poray amount received during ee from apportionment of State Tuition Fund, ‘otal amount received duri aed from apportionment of Cou: cf ‘ultion Fund, $38.30. Teach- er's Unit, $91.00. Amount evolved) durm&g year from Taxes vied by District School Boma. Rate 08, Total amount received by School Treasurer during the year, $667.16. Grand Total amount received by School District Treasurer including cash on hand, | w; $1,684.82, EXPENDITURES OF GENERAL Amounts Paid Dunes hind for the foContrel, iene Ofti on jc $52.10; Ex; eels 73: Mine cellaneous Expenses, $12.00) 67,83. Instructional’ Service, See aalaries, 1287-00; 3 ; Buy , Retirement und, gus it 935 Total, Auxilia (Transportation, $58. ied $55. 20); ‘Total, Plant. $12. juipment, etc. Operation 0 (Fuel, He: eo oot i ‘or }; |Janeous, ve 55); Total, ; | Ou lay. (New "Bulldines Equii ment, 37.7: Mis neo! PER et Total, $82. a Total ‘Amount id’ Durii ng School Year by District Treasurer | TO" ITAL Grand’ Total “Rscaitin Nore Grand Total Expenditures, $1, tt 05. Cash on nace TE ee iu 1937, au STATE NORTH D, KOA, 'y of Burlete igh, do solemnly swear that ¢ best of my knowledge anit belice te | ian ER a cee, and correct report of me as School Treasurer, Duc Out by MGEDRED NELSON, Treasurer of Highland “subscribed abghoetDistret No 3 aw this 13th day of July, iat oe W. Nemets. President of School Board. ee STATEMENT FOR PUBLICA’ RECEIPTS IN GENERAL FUND, Cash in General Fund (in hands of District Treasurer and soolnding Sinking Fund) July 1, nae $89.06. Total amount received during ear from aj prclonmene of State Tuition Fund, ert 38, Total amount received during Here from apportionment of County Tuition Fund, $408.70. Amount received during year from State Ala, $360.00. Amount recetved durin; from a Levied by District. School Board, 536.98. Amount received during yer from other Revenue Re- otal, atid of Text Books, $71.4: ee al, $71.49. Amount received fro other non-revenue teenies pile Total amount received ‘School ‘Treasurer during the year. $5,362.95, Grand Tot amount received by School Distri Cathe hand: $5.0 etry med including EXPENDITURES OF GENERAL eurer, RE SINKING ‘AND iD INTENSE ORES a TER! ance $3,475.87. acres GRAND TOTAL BALANCE: Grand. Total Receipts, “$84 far, 38. Grand Total Expenditures, $7,641.28, Grand Total Cash on Hendin Both | Funds, June 30, 1937, $1,286.60, STATE OF Ni Hf DAKOTA, ) yor Bust Linton Bchool District No. 28. She lo solemnly swear that t pete my knowledge and ‘pellet the | ail \ moneys received and sain’ out if a me as School {Treasurer Ppa tone by iORGE ANDERSON, aeeaenea of Lindon $2,3 '|from. other. Revenue Recsipee i: *|ing year from State 7 during. the year, $. in both | Salarie: ire jed by District School Board, 253.93. Amount received during y, tion from other directors, $213.02; 1. pal $213.02, Grand “Total Amount Tee ceive ool Dis: including cash on hand, $4071 4900 EXPENDITURES OF GENERAL Amounts Paid During Year for the Following Purposes: General Control. (School Office,» Salaries, $162.00; “Expenses, $2 Total, $1 (Beacher’ ‘Salaries, $579.15; Books, $17,825 Library Books, $90, Supplies, $19.38; Teachers’” Ret ment Fund, $6.35); @ e112 ‘uxiliary Agencies.’ (Transpo $185.00); otal, $185.00. 61 Bortation, on erati D! uel, $164.06; Light, Water 270. tee fH 205 alec ae we! jupp! scellani ‘otal, $627. dia ce of Bin) (Repairs, to ip Sih saye ised hare 1 ‘otal 3 Paid pee Bchool Year by Bind Coe 1,123, 728.17. PTS AND EXPENDITU! M SINKING AND INTEREST FUND $2,927.99. Expenditures, ID TOTAL BALANCE Grand Total Receipts, Grand. Total Expenditures, Grand‘ Hand ‘in boih funds, dune 20,4 are "$4,565.32. STATE ORTH DAKOTA, County of Burleig: bes, Arena School District'No. 30, j I do solemnly swear that to tha okt of my knowledge and belief the within ts @ true and correct report of received an a oul iy me as School Treasurer. 2 ee JOHN MERKEL, Treasurer of Are febscrn eek District No, 30 ubscribed and sworn to before n: thi of July, 1 A John Merkel, Directo {TATEMENT FOR PUBLICA’ RECEIPTS IN GENERAL FUND Cash in General Fund (in hands of District Treasurer and excluding Sinking Fund) July 171936 915) 07. Total amount Feceived during year from apportionment of State Tuitio Fund, $261.29, Amount received dure cial Fun: $819.65. Amount received during yer from other Revenue Receipts—Teach. ers’ Unit, $112.00; Total, $112.00, Total amount received by School Treasurer received’ by School Diao, eiver a 100) stric: Tre Crea including cash on hand, ie EXPENDITURES OF GENERAL Amounts say During Year forthe Following Purpos: al Control. (S nee Roe etoat st les, $77.46; Expen: -To« $81.59." Instructional. Service, polaris, $1, Hush Text achers’ 5 * rement ane (Transpo Genta $558.46): S588. eration of Plant. rack th 14; ‘Suppl eo, $101 123% Total, SS a Plant, (includes: ‘Up id ) $16.49, are ete.) $ ervice. (In« of pepebteds is, $10.00. Total Amount Paid Durin; iat rt See n scnoet ‘Year by RE [PTS AND EXPENDIT! SINKING AND INTER! ape IN, ES’ Receli .: $1, 2884 “pts, Ree 14, — Grand, ‘Zotat hs Re ceipt 3, Grand’ Total Deets | is 3 ti err oan er onne “ve 13. OTA, } unty of of Burlel bss, Gps’ ‘Behook District No. 33, I do solemnly swear that to ths best of my knowledge end belief the ee fi Peeinns peerper report of Treceived and paid out by me a: ‘School Treasurer. y S MRS. V. rent: terest ness) Treasurer's Bi MOYNIER, sareksurer. of Gibbs Subscribed Teeeeeaie Merore this 16th day of July, 98 ass i, pescermd conitzky, Public, "Burleigh Count: North Daken! Pires December 81, 1980" STATEMENT FOR PUBLICATI: during year from State Equalization Cor RECEIPTS Sree ect ent cere maeieaivy |Fund, $40.00, Amount received durin galerie. go8 00)” Hepes, fast: ollowing Purpose Gash in General’! Fund (in anda of cash on hand, $1,0 year from eatker a: Unit, $58.00. Miscellaneous Tantrucll $18, Ri 3 To- nea cn District Treasurer and | excluding rm ; mount receivs lurin, year from Ly 28. Instructional jervice. ae 3 ; inking, ‘1 5, EXPENDITURES OF GENERAL | Fiven"Levied by Datrot School Bosrd, | (reachers' Salaries ext | Tot Instructional Service| Total “amount. received faa ee Amounts Paid Dake Year for the 673.42. Total amount received by |B $2.03; Supple 29; Teach-|from apportionment of County Tui- Woliewing? Purboses: chool Treasurer during the year, tirement };, Total tion Fund, $881.80. Amount received General Control. (school ooiticers’ $976.64. Grand Total amount received | $1,696.03. Os Agencies (Trans: during year from State Equalizaton 360.41; Expenses, Shot; by School District Treasurer includ- |Pportation, $3.50): ‘Total, $3.5 Fund, dy $500, 00, Amount received dur- Expenses, $13.0 ing cash on hand, Gee of Plant. ( (uel, ing year from Ti xen Levied by Dis- tructional EXPENDITURES 6 $6.30; Supplies, $54.72); Total, trict School Board, $3,891.81. Amount Salaries, $396.00; FUN! Hier es, "State ‘of Plant. (Re- received during year from other Re- $25. 00; Supplies, $4.70: Teachers’ Re-| Amounts Faia During Year for the gates to gins 1.05; Upkeep o: venue Receipts — Tuition, $196.50; tirement ‘Fund, $4.00); ‘Total sane. 70. Followin: Say) $ Ghetper t .00); Total, 3159, 5. leas Teachers’ Unie, 24. 005 Miscellaneous, eration of Plant.” (Fuel, $38.27; |, General Control. | (School Officers’ |Chatges. | (Insu pea ch $68.40; Total, ‘Amount re: we ete, $41.00; Suppl j/Salaries, $61.00; “Expenses, $13.50); | $182.20); xetal, $217.48, Tot rents, ete) 98.71, Capital Outlay, le of Cer= "s33.4i, Maintenance oe +) To 74.50. ‘Instructional Service. Paid ring Be School Year by District ou 853 ulldings, $225.00 Miscellane- {tt P8000 $35.95); Total Teachers’ Salaries, $396.00; Supplies, essen 4 Hg 2) tals $280.17. Di pana ‘Cnsurance 5.53; ‘Teachers’ Retirement Fund, GHAND “TOTAL BALANCES dobtednes certificates ‘ot ina) B Wind the year, $6,722.01. 11.56); Total $4. 00); Total, $413.53. Auxiliary Agen-| Grand Total Reecipis, $2,551.44. | debtedness) ‘ase ‘Total Amount|Grand ‘Total amount received by 11.56 iit ‘transportation, i SAALOD); etal, Grand’ Total Expenditures, $2,427'89. | Pal re aa Year by District |School_ Disttict Treasurer including cash on hand, $7,020.96. EXPENDIT eo GENERAL Amounts isc During thors for the Follo' Purpos General Control (Schoo! i “Officers? Salaries, $113.00; Expenses, $05,184 pawecelianecus| Expenses, $1.40) to! tal, $149.54. Instructional 3! ito1 08.00; Sun? plies, $52. 45)2 "Total fies sh Mainten- gipenrurer of Lindon 58, Plant. (Upkeep of Ground:, enfitbgetibgd.and sworn to betore me Total, Sear tentmmmment, ez)! is 22nd day of July, tin, | RRC: $4667 Rg pciotary, Bublic, Burleigh oe uunty, Ital Outlay. (Reauips at, akota. My commission ex: |tal, $16.68) Dot Service’ Ciioeest on Pires June 6th, 1940. Certificates of Indebted: Certificates of Indebtedner STATEMENT FOR PU! RECEIPTS IN GENERAL SUMS Cash in General Fund AG ananee of District Treasurer an ud Sinking Fund) July i, 936, i Total amount received daring ves f from apportionment of County tion Fund, $241.74. Amount racelved ai from State Equalization 0. Amount received dur- ne r from Taxes Levied by Dis- trict School Board, $627.09. Amount received during year.from other Re- venue Receipt ‘uition fed pa- trons, $56.00; $96.00. batal amount received by School T during the year, $1,590.83. Grand “Toe Ee anne er includ! School Dis- ‘reasurer includin; hand, $2,162. een Pe EXPENDITURES OF GENERAL Amounts Paid During Year for the ‘ul- Following Purposes: General Control. (School Ofticers Balari Expens 3.41); Total, 495,41. Instructional _ Service (Teachers’ Salaries, $1,069.20; Tex ks, $22.35; Supplies, $5.75: Teach- Retir rement Fund, $10.30); Total, $1,1 xiliary (Tul- tien, $100.00); Total, Opera- tion’ of Plant. (Fuel, $98.32: Janitor's ie $135.00; Su ce Y vy $242.30. ‘Maintenance of Plant {Repaien a to at sa 08 38; Repairs 8.15. ef $110.00; ae : "Total, alee: 73. New Bu ngs, ‘Total, $30.00, Debt Service| (interest on eb. Sota of Indebted- Total dmount Paid ;|Fund, $600.00. Amount re aid, $ 500.00. Interest ? Re istered ‘Wars rants, $20.31. Total Am aid Dure ine ebony Year by District Proasurer af ReceIPrg AND EXPENDITURES IN SAND INTEREST FUND TOTAL BALANC! Recelp nee ie ‘ot! ene ure: 42 3 Grand Total Gach on za in be By funds, June 20, 1987, $612.81, STATE OF NORTH DAKOTA, } . of Burleigh, McKenzie Behe Bi rit No, 34. J do solemnly 6 that to tha best of my knowledg sand belief the within is a true and correct report of ‘all moneys received d paid out by me as School Treas HARRY E. O'NEILL, Treasurer of makeny, School District Ne Subscribed and sworn to befor this 29th day of July, A. wie Huber. County, Superintende: fe ee FoR vomeee GENERAL FU! enn in General Fund (in han District | Treasurer exclud' Sinking Fund) July 1, 1936, $18. Total amount received during j{rom apportionment of State Tuit Fund, $266.96. Amount received du - ing year from Equalizatios ived dur State ing year trom Taxeu Lev |trict Schoo! Board, received during year trom other Res venue Receipts—Tuition High Schov$ i— - ‘Continued on Next Boge.

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