anaheim-gazette 1948-07-29
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Anaheim
Directory of Reliable
Business And Professional
MEN AND FIRMS
AUTOMOBILES
GOOD USED CARS
Wanted BAD
CONE BROS.
CHEVROLET DEALERS
215 No. Los Angeles Phone 2215
AUTOMOBILE—REPAIR
At Your Service
• Skilled mechanics
• Up-to-date equipment
• Time-saving special tools
• Modern paint shop
• Genuine Chevrolet parts
• Body and fender work
• Car radio repairs
CONE BROS.
215 N. Los Angeles St.
Phone 2215
ENGINES REBUILT
EXPERT SERVICE
MOTOR TUNE-UP
Carburetors, Ignitions,
Starters, Generators
— All Makes —
Body and Fender Work
OPTICIANS - Optometrists—
DR. HOMER A. NELSON
OPTOMETRIST
Phone 2104
114 N. Lemon Anaheim
PAINT - WALL PAPER —
Treasure Tones
IMPERIAL
Notable
WALLPAPERS
Schaeffler Paints
Phone 2469
120 N. Los Angeles St., Anaheim
PITSBURGH PAINTS
ROBINS PAINT STORE
LEGAL NOTICES
(Legal Notices Contain Total Current Assets)
Net Beginning Balance
II. INCOME
State School Fund Apportionment
Apportionments on A.D.A.
Allowances for transportation County Taxes on Solvent Credits District Taxes on Unsecured Property Delinquent Municipal and District Other Income
Total Income other than Current Current District Taxes Received Current District Taxes required 1948-49
Total Income (exclusive of I Bee III. TOTAL, BEGINNING BALANCE (I plus II; must equal VI))
IV. EXPENDITURES AND TRANSFER
1. ADMINISTRATION Salaries and Wages Other Expense
Total
2. INSTRUCTION
2a. Teachers Salaries (certificate)
2b. Other Expenses of Instructor Audio visual education contract)
Library Other Expense
Total Instruction
3. OPERATION OF SCHOOL PRICES Salaries and Wages Other Expense
Total
4. MAINTENANCE OF SCHOOL Salaries and Wages Other Expense
Total
5. AUXILIARY SERVICES
5a. Transportation of Pupils Salaries and Wages Other Expense
Total
5b. Other Auxiliary Services Salaries and Wages Other Expenses
Total
Total Auxiliary Services
6. FIXED CHARGES
6b. Other Fixed Charges
Total
This district is a member of the System.
7. CAPITAL OUTLAY Improvement of Grounds Buildings Equipment
ENGINES REBUILT
EXPERT SERVICE
MOTOR TUNE-UP
Carburetors, Ignitions,
Starters, Generators
— All Makes —
Body and Fender Work
LEAVITT FORD
STUDEBAKER SERVICE
226 S. os Angeles St. Phone 2284
CEMETERIES
Loma Vista
MEMORIAL PARK
Fullerton, California
Endowed for "Perpetual Care"
Phone: Fullerton 158
Res. Anaheim 3811
COLLECTIONS—
Bonded Representative
In All Cities
No Collection — No Charge
Northern Orange County
Credit Bureau, Ltd.
410 Bank of America Bldg.
Phone 2248
CREDIT REPORTS—
On Anyone, From Anywhere
Over 1300 Affiliated Bureaus
Covering the United States
and Canada
"We keep the record"
Northern Orange County
Credit Bureau, Ltd.
410 Bank of America Bldg.
Phone 2248
FUNERAL HOMES—
BACKS
CAMPBELL
KAULBARS
Mortuary
Phone 3209
251 N. Lemon
HILGENFELD
MORTUARY
Faithful, Courteous Service
120 E. Broadway Phone 4105
INSURANCE BROKERS—
Phone 2469
120 N. Los Angeles St., Anaheim
PITTSBURGH PAINTS
ROBINS PAINT STORE
200 North Los Angeles St.
Phone 3219
PHYSICIANS & SURGEONS
Dr. J. W. Truxaw
PHYSICIAN
Phone: Office 3213; Res. 2610
Golden State Bank Bldg.
Center & L. A. Anaheim
Open Evenings and Sunday Mornings
J. W. UTTER, M. D.
Physician and Surgeon
Hours: 11 to 12 a.m.-2 to 5 p.m.
Office Phone 3211
Residence: 1001 W. Center St.
201-202 California Bldg.
Anaheim, California
J. C. OSHER
D. D. S. M. D.
Eye, Ear, Nose and Throat
Dentist — Extractions
Glasses Fitted
1224 W. Center, Anaheim
Phone 3212
TAMALES—
ALEX'S Tamale Factory
Manufacturer-Distributor of Tamales—Chill Con Carne
Catering to Clubs, Churches and Organizations
415 S. Olive Anaheim 3524
Neuman's Auto Electric
Complete Auto Electric Service Genuine Parts
Carburetion Starters
Generators Magnetos Speedometers Motor Tune-up
904 N. Los Angeles Ph. 4427
BUILDING MATERIALS—
5b. Other Auxiliary Services Salaries and Wages Other Expenses Total
Total Auxiliary Services 6. FIXED CHARGES 6b. Other Fixed Charges Total This district is a member of the System.
7. CAPITAL OUTLAY Improvement of Grounds Buildings Equipment Total UNDISTRIBUTED RESERVE NOTE: An undistributed Reserve it may be transferred to classifications during the video by Education Code Total Expenditures and V. ENDING BALANCE, JUNE 30 Cash in County Treasury GENERAL RESERVE JUNE 1949-50 NOTE: A General Reserve is required vide cash for that portion year before taxes and available. See Education Code Total Current Assets Net Ending Balance VI. TOTAL, EXPENDITURES AND TENDING BALANCE (IV plus V; Part Two—BOND INTEREST I. BEGINNING BALANCE, JULY II. INCOME Miscellaneous Income District Taxes Received DISTRICT TAXES REQUIREMENT BUDGET 1948-49 Total III. TOTAL, BEGINNING BALANCE IV. EXPENDITURES AND TRANSFER Bond Interest Bond Redemption Total Expenditures and V. ENDING BALANCE, JUNE 30 VI. TOTAL, EXPENDITURES AND TENDING BALANCE Part Six—CAFETY (Education Code Sec I. BEGINNING BALANCE, JULY II. INCOME Federal (Cash Reimbursement) Cafeteria Sales Total III. TOTAL, BEGINNING BALANCE IV. EXPENDITURES 5. Auxiliary Services: 5b. Other Auxiliary Services 5b1 Food 5b2 Salaries 5b4 Repairs and Depreciation Total Expenditures V. ENDING BALANCE Cash in Bank "Operating" cash Accounts Receivable Total Less: Current Liabilities
HILGENFELD MORTUARY
Faithful, Courteous Service
120 E. Broadway Phone 4105
INSURANCE BROKERS —
Charles B. Frank
GENERAL
INSURANCE and BONDS
Bank of America Bldg.
Anaheim 4644
FRANK TAUSCH
INSURANCE
Reputation — Service
275 E. Center, Anaheim
Phones:
Office 2401 Res. 3575
Alfred H. Hansen
WRITING EVERY FORM OF INSURANCE,
INCLUDING LIFE
515 N. Los Angeles Phone 4423
NOTARIES - PUBLIC —
Notary Public
always on duty to serve you at ANAHEIM
BLDG. & LOAN ASS'N
Center & Lemon Phone 4204
and Organizations
415 S. Olive Anaheim 3528
Neuman's Auto Electric
Complete Auto Electric Service
Genuine Parts
Carburetion Starters
Generators Magnetos
Speedometers Motor Tune-up
904 N. Los Angeles Ph. 4427
BUILDING MATERIALS—
ARTISTIC HOMES
FREE!
BOOKLET
Call and Get Your Copy
GIBBS LUMBER
417 SO. LOS ANGELES
Anaheim, Calif.
BABY BOY BORN
A baby son was born to Mr. and Mrs. Floyd A. Frazier, 207 West Central avenue, La Habra, Saturday at Fullerton General hospital.
The newcomer tipped the scales at eight pounds and ten ounces.
Keep your eye on our classified ad section.
IV. EXPENDITURES
5. Auxiliary Services:
5b. Other Auxiliary Services
5b1 Food
5b2 Salaries
5b4 Repairs and Replacement
V. ENDING BALANCE
Cash in Bank
"Operating" cash
Accounts Receivable
Total Expenditures
Less: Current Liabilities
Net
VI. TOTAL, EXPENDITURES PLUS BALANCE (Pub. Anaheim Ga.)
Katella School District of Orange Year Beginning July 1, 1948, and Ending Grade span of district:
1947-48 Actually Maintained 1 to 8.
1948-49 Budget Plan K to 8.
(Check lowest and highest grade district for each year).
Average Daily Attendance (all grades)
1947-48 Actual (or estimate)
1948-49 Budget estimate
BUDKatella School District of Orange
SUMMARY OF TAXES FOR 1948-49 FOR:
Total NOTICES OF ADOPTION
To The County Superintendent of Schools
1. This Tabulation was adopted (as board of the aforenamed school least in quintuplicate.)
Date of meeting June 21, 1948.
2. This Preliminary School Budget will be the aforenamed school district audited publication, public hearing and final Code.
The public hearing on this budget August 2, 1948, at 7:30 o'clock p.m.
BUDKatella School District of Orange
Part One—GE
I. BEGINNING BALANCE, JULY TIME Cash in County Treasury
LEGAL NOTICES LEGAL NOTICES
(Legal Notices Continued from page 2)
Total Current Assets 6,247.85 7,985.
Net Beginning Balance 6,247.85 7,985.
INCOME
School Fund Apportionments and Allowances:
Apportionments on A.D.A. 7,110.00 7,740.
Allowances for transportation 442.85
Pay Taxes on Solvent Credits 2.
Collect Taxes on Unsecured Property 85.42 39.
Equivalent Municipal and District Taxes 456.89 62.
Income 24.92
Total Income other than Current District Taxes 8,120.08
Current District Taxes Received 1947-48 15,331.79
Current District Taxes required to balance budget 15,781.
Total Income (exclusive of I Beginning Balance) 23,451.87 23,624.
L, BEGINNING BALANCE PLUS INCOME (plus II; must equal VI) 29,699.72 31,610.
MENDITURES AND TRANSFERS
ADMINISTRATION
Salaries and Wages 150.
Other Expense 250.
Total 176.06 400.
STRUCTION
a. Teachers Salaries (certified) 13,460.54 15,000.
b. Other Expenses of Instruction 730.15
Audio visual education service (county contract) 60.
Library 150.
Other Expense 790.
Total Instruction 14,190.69 16,000.
OPERATION OF SCHOOL PLANT
Salaries and Wages 1,900.
Other Expense 1,100.
Total 2,675.19 3,000.
MAINTENANCE OF SCHOOL PLANT
Salaries and Wages 600.
Other Expense 2,060.
Total 888.44 2,660.
AUXILIARY SERVICES
a. Transportation of Pupils Salaries and Wages 750.
Other Expense 750.
Total 1,106.79 1,500.
b. Other Auxiliary Services Salaries and Wages 375.
Other Expenses 25.
Total 310.16 400.
Total Auxiliary Services 1,416.95 1,900.
FIXED CHARGES
b. Other Fixed Charges 900.
Total 407.88 900.
District is a member of the County Library System.
CAPITAL OUTLAY
Improvement of Grounds 500.
Buildings 500.
Equipment 500.
LEGAL NOTICES LEGAL NOTICES
Total Current Assets 9,020.47 13,483.
Net Beginning Balance 9,029.37 13,483.
II. INCOME
State School Fund Apportionments and Allowances:
Apportionments on A.D.A. 10,350.00 12,683.
Allowances for transportation 696.42 583.
County Taxes on Solvent Credits 384.94 283.
District Taxes on Unsecured Property 219.43 583.
Delinquent Municipal and District Taxes 40.27 583.
Other Income 40.27 583.
Total Income other than Current District Taxes 11,690.16 12,683.
Current District Taxes Received 1947-48 23,408.19
Current District Taxes required to balance budget 1948-49 29,483.
Total Income (exclusive of I Beginning Balance) 35,098.35 43,583.
III. TOTAL, BEGINNING BALANCE PLUS INCOME (I plus II; must equal VI) 41,118.82 56,983.
IV. EXPENDITURES AND TRANSFERS
I. ADMINISTRATION
Salaries and Wages ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ...
Other Expense ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... .....
Total ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... .....
2. INSTRUCTION
a. Teacher Salaries (certificated) 19,747.99
b. Other Expense of Instruction 1,604.49
Audio visual education service (county contract)........
Library........
Other Expense........
Total Instruction.....21,352.48
3. OPERATION OF SCHOOL PLANT
Salaries and Wages........
Other Expense........
Total.....3,262.25
4. MAINTENANCE OF SCHOOL PLANT
Salaries and Wages.......。
Other Expense.......。
Total.....1,224.11
5. AUXILIARY SERVICES
a. Transportation of Pupils Salaries and Wages........
Other Expense........
Total.....1,841.35
b. Other Auxiliary Services Salaries and Wages........
Other Expense........
Total.....1,361.96
Total Auxiliary Services.....3,203.21
6. FIXED CHARGES
b. Other Fixed Charges.....451.74
Total.....451.74
This district is a member of the County Library System.
7. CAPITAL OUTLAY Improvement of Grounds.....
IB. Other Auxiliary Services
Salaries and Wages
Other Expenses
Total 310.16 400.
Total Auxiliary Services 1,416.95 1,900.
FIXED CHARGES
5b. Other Fixed Charges 900.
Total 407.88 900.
District is a member of the County Library System.
CAPITAL OUTLAY
Improvement of Grounds 500.
Buildings 500.
Equipment 500.
Total 1,957.87 1,500.
UNDISTRIBUTED RESERVE 4,000.
: An undistributed Reserve may be provided; it may be transferred to other appropriation classifications during the fiscal year as provided by Education Code Section 6301c.
Total Expenditures and Transfers 21,713.08 30,360.
ING BALANCE, JUNE 30
Cash in County Treasury 7,986.84
GENERAL RESERVE JUNE 30, 1949, for 1949-50 1,250.
: A General Reserve is required by law to provide cash for that portion of the succeeding year before taxes and State funds become available. See Education Code Section 6301b.
Total Current Assets 7,986.64
Net Ending Balance 7,986.64
IL, EXPENDITURES AND TRANSFERS PLUS ING BALANCE (IV plus V; must equal III) 29,699.72
Part Two—BOND INTEREST AND SINKING FUND
NING BALANCE, JULY 1 485.06 580.92
IME
Miscellaneous Income 8.63
District Taxes Received 1947-48 1,358.36
DISTRICT TAXES REQUIRED TO BALANCE BUDGET 1948-49 729.20
Total 1,358.36 737.83
IL, BEGINNING BALANCE PLUS INCOME . 1,843.42 1,318.75
INDITURES AND TRANSFERS
Bond Interest 262.50 225.00
Bond Redemption 1,000.00 1,000.00
Total Expenditures and Transfers 1,262.50 1,225.00
ING BALANCE, JUNE 30 580.92 93.75
IL, EXPENDITURES AND TRANSFERS PLUS ING BALANCE 1,843.42 1,318.75
Part Six—CAFETERIA ACCOUNT
(Education Code Sections 19301 to 19313)
NING BALANCE, JULY 1
Cash In Bank 189.84 168.37
Accounts Receivable 155.07
Total 189.84 322.44
Current Liabilities 10.00
Net 189.84 313.44
ME
Federal (Cash Reimbursement) Grants 577.37 575.00
Cafeteria Sales 3,028.68 3,050.00
Total 3,616.05 3,625.00
IL, BEGINNING BALANCE PLUS INCOME . 5,805.89 3,938.44
INDITURES
Auxiliary Services:
5b. Other Auxiliary Services
5b1 Food 2,322.40 2,500.00
5b2 Salaries 1,149.10 1,200.00
5b4 Repairs and Replacement and/or Depreciation 20.95
Total Expenditures 3,492.45 3,700.00
ING BALANCE
Cash in Bank "Operating" cash 169.37
Accounts Receivable 155.07
Total 323.44
Current Liabilities 10.00
Other Expense ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ...
Total ..... 1,841.35 ..... 3,067...
5b. Other Auxiliary Services
Salaries and Wages ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... ..... .....
Other Expense .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... .... . .
Total.....1,361.86.....1,997.....
Total Auxiliary Services.....3,203.21.....4,997.....
6. FIXED CHARGES
6b. Other Fixed Charges.....451.74.....1,067.....
Total.....451.74.....1,067.....
This district is a member of the County Library System.
7. CAPITAL OUTLAY
Improvement of Grounds.....1,067.....
Buildings.....1,067.....
Equipment.....4,867.....
Total.....969.57.....6,867.....
UNDISTRIBUTED RESERVE.....3,567.....
NOTE: An Undistributed Reserve may be provided; it may be transferred to other appropriation classifications during the fiscal year as provided by Education Code Section 6301c.
Total Expenditures and Transfers.....30,702.26.....54,997.....
V. ENDING BALANCE, JUNE 30
Cash in County Treasury.....13,416.56
GENERAL RESERVE JUNE 30, 1949, for 1949-50.....2,067.....
NOTE: A General Reserve is required by law to provide cash for that portion of the succeeding year before taxes and State funds become available. See Education Code Section 6301b.
Total Current Assets.....13,416.56.....2,067.....
Net Ending Balance.....13,416.56.....2,067.....
VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE (IV plus V; must equal III) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
Part Four—SPECIAL ACCUMULATIVE BUILDING FUND (Education Code Sections 5961 to 5968)
I. BEGINNING BALANCE, JULY 1
Cash in County Treasury.....5,000...
Total.....5,000...
Net.....5,000...
II. INCOME
District Taxes paid into Fund 1947-48.....5,000..
DISTRICT TAXES REQUIRED to be paid into Fund 1948-49.....5,
Total.....5,
III. TOTAL,BEGINNING BALANCE PLUS INCOME..........................................................................................................................
IV. EXPENDITURES AND TRANSFERS
V. ENDING BALANCE, JUNE 30
Cash in County Treasury.....10,
Total.....10,
Net.....10,
VI.TOTAL.EXPENDITURESANDTRANSFERSPLUSENDINGBALANCE.....10,
BALANCE.....10,
Part Six—CAFETERIA ACCOUNT (Educational Code Sections 19301 to 19313)
I.BEGINNING BALANCE, JULY 1
Cash in Bank "Operating" cash .....479.18 .....3,
Accounts Receivable .....2,
Total.....479.18 .....3,
Less: Current Liabilities .....6,
Net.....479.18 .....6,
II.INCOME
Federal (Cash Reimbursement) Grants .....4,
Cafeteria Sales .....4,
Total.....4,
Total Less: Current Liabilities .....6,
III.TOTAL,BEGINNINGBALANCEPLUSINCOME.....5,
IV.EXPENDITURES
5.AuxiliaryServices
5b.OtherAuxiliaryServices:
5b1Food .....4,
5b2Salaries .....4,
5b3OperatingSuppliesandExpenses .....4,
5b4RepairsandReplacementand/orDepreciation .....4,
TotalExpenditures .....3,
IV.EXPENDITURES
BUNDITURES
Auxiliary Services:
5b. Other Auxiliary Services
5b1 Food 2,322.40 2,500.00
5b2 Salaries 1,149.10 1,200.00
5b4 Repairs and Replacement and/or Depreciation 20.95
Total Expenditures 3,492.45 3,700.00
ENDING BALANCE
Cash in Bank
"Operating" cash 168.37
Accounts Receivable 155.07
Total 323.44
Current Liabilities 10.00
Net 313.44 238.44
TOTAL, EXPENDITURES PLUS ENDING BALANCE
(Pub. Anaheim Gazette, July 29, 1948)
BUDGET
Anaheim School District of Orange County, California, for the Fiscal Year beginning July 1, 1948, and Ending June 30, 1949.
of district:
18 Actually Maintained 1 to 8
19 Budget Plan K to 8.
Bank lowest and highest grade maintained in the schools of the district each year).
Fully Attendance (all grades in the schools of the district):
18 Actual (or estimate) 140.33
19 Budget estimate 200.
BUDGET
Anaheim School District of Orange County, California.
SUMMARY OF TAX REQUIREMENTS
Purpose
See Amount Tax
Budget of Taxes Rate
Page Required Limit
1. Bond Interest and Redemption 6 None
2. All Other School Purposes:
a. General Fund 3 $29,490.
b. Special Accumulative Building Fund 8 $ .90
c. ..... 12
Total Other $29,490.
NOTICES OF ADOPTION AND TRANSMITTAL
County Superintendent of Schools:
Tabulation was adopted (as a tentative budget) by the governing board of the aforenamed school district and is hereby transmitted at meeting June 21, 1948.
Signed D. L. STORY, Clerk
Preliminary School Budget was adopted by the governing board of the aforenamed school district at meeting June 21, 1948, pending publication, public hearing and final adoption as required by the Education Code.
Public hearing on this budget will be held at Katella School, on August 2, 1948, at 7:30 o'clock p.m.
Signed D. L. STORY, Clerk
BUDGET
Anaheim School District of Orange County, California.
Part One—GENERAL FUND
Col. 1 Col. 2
1947-1948
Actual or 1948-1949
Estimated Budget
ANNING BALANCE, JULY 1
In County Treasury ..... 9,020.47 13,416.
Total ..... 479.18
Less: Current Liabilities ..... 679.18
II. INCOME
Federal (Cash Reimbursement) Grants ..... 1,000.36
Cafeteria Sales ..... 4,466.26
Total ..... 5,465.62
Less: Current Liabilities ..... 4,965.62
III. TOTAL, BEGINNING BALANCE PLUS INCOME ..
(Pub. Anaheim Gazette, July 29, 1948)
IV. EXPENDITURES
5. Auxiliary Services
5b. Other Auxiliary Services:
5b1 Food ..... 4,075.88
5b2 Salaries ..... 1,125.00
5b3 Operating Supplies and Expenses ..... 101.18
5b4 Repairs and Replacement and/or Depreciation ..... 16.76
7. Capital Outlay Equipment (only as authorized by law)
Total Expenditures ..... 5,318.82
V. ENDING BALANCE
Cash in Bank ..... 297.67
Accounts Receivable ..... 239.31
Total ..... 636.98
Less: Current Liabilities ..... 10.00
Net ..... 626.98
VI. TOTAL, EXPENDITURES PLUS ENDING BALANCE ..... 5,945.80
(Pub. Anaheim Gazette July 29, 1948)
BUDGET
Anaheim School District of Orange County, California.
Year Beginning July 1, 1948, and Ending June 30, 1949.
1947-48 Actually Maintained Kindergarten through 8.
1948-49 Budget Kindergarten through 8.
(Check lowest and highest for each year)
Average Daily Attendance (all grades in the schools of the district):
1947-48 Actual (or estimate) ..... 1619.02
1948-49 Budget estimate ..... 17.54
Anaheim School District of Orange County, California.
SUMMARY OF TAX REQUIREMENTS
Fund or Purpose
BUDGET
See Amount Tax
Budget of Taxes Rate
Page Required Limit
1. Bond Interest and Redemption ..... 6 $10,803.
2. All Other School Purposes:
a. General Fund ..... 3 $162,038.
b. Special Accumulative Building Fund ..... 8
c. ..... 12
Total Other ..... $162,038
NOTICES OF ADOPTION AND TRANSMITTAL
To the County Superintendent of Schools:
1. This Tabulation was adopted (as a tentative budget) by the governing board of the aforenamed school district and is hereby transmitted at meeting June 8, 1948.
Signed H. H. STABBERT,
2. This Preliminary School Budget was adopted by the governing board of the aforenamed school district at a meeting held June 8, 1948, pending publication, public hearing and final adoption as required by the Education Code.
The public hearing on this budget will be held at Katella School, on August 4, 1948, at 7:30 o'clock p.m.
Signed H. H. STABBERT,
BUDGET
Anaheim School District of Orange County, California.
Part One—GENERAL FUND
Col. 1 Col. 2
1947-1948
Actual or 1948-1949
Estimated Budget
ANNING BALANCE, JULY 1
In County Treasury ..... 9,020.47 13,416.
Total ..... 479.18
Less: Current Liabilities ..... 679.18
LEGAL NOTICES
LEGAL NOTICES LEGAL NOTICES
BUDGET
Anaheim School District of Orange County, California.
Part One - GENERAL FUND
Col. 1
1947-48 Actual or Estimated
Col. 2
1948-1949 Budget
I. BEGINNING BALANCE, JULY 1
Cash in County Treasury 52,920.63
Emergency Cash Fund 500.00
U. S. Savings Bonds (at cost) 24,780.00
Total Current Assets 88,200.63
Net Beginning Balance 88,200.63
II. INCOME
State School Fund Apportionments and Allowances:
Apportments on A.D.A. 159,162.01
Allowances for transportation 421.50
County Taxes on Solvent Credits 353.
District Taxes on Unsecured Property 278.
Delinquent Municipal and District Taxes 8,235.04
Transfers from other Districts 8,951.
Other Income 3,737.
Total Income other than Current District Taxes 172,277.95
Current District Taxes Received 1947-48 140,877.95
Current District Taxes required to balance budget 1948-49 162,038.
Total Income (exclusive of I Beginning Balance) 313,155.90
III. TOTAL, BEGINNING BALANCE PLUS INCOME
(I plus II; must equal VI) 401,356.53
IV. EXPENDITURES AND TRANSFERS
1. ADMINISTRATION
Salaries and Wages 12,550.
Other Expense 2,550.
Total 13,093.37
2. INSTRUCTION
2a. Teachers Salaries (certificated) 204,998.85
2b. Other Expense of Instruction 12,046.78
Salaries and Wages (non-certificated)
Audio visual education service (county contract)
Library 2,075.
Other Expense 5,860.
Total Instruction 217,045.63
3. OPERATION OF SCHOOL PLANT
Salaries and Wages 30,000.
Other Expense 7,940.
Total 30,223.24
4. MAINTENANCE OF SCHOOL PLANT
Salaries and Wages 1,200.
Other Expense 4,150.
Total 7,298.77
5. AUXILIARY SERVICES
6a. Transportation of Pupils
Salaries and Wages 2,880.
Other Expense 1,100.
Total 3,671.33
5b. Other Auxiliary Services
Salaries and Wages 3,450.
Other Expenses 475.
Total 3,578.12
Total Amounts
Total ... 30,223.24 37,940.
4. MAINTENANCE OF SCHOOL PLANT
Salaries and Wages ... 1,200.
Other Expense ... 4,150.
Total ... 7,298.77 5,350.
5. AUXILIARY SERVICES
6a. Transportation of Pupils
Salaries and Wages ... 2,880.
Other Expense ... 1,100.
Total ... 3,671.33 3,980.
5b. Other Auxiliary Services
Salaries and Wages ... 3,450.
Other Expenses ... 475.
Total ... 3,578.12 3,925.
Total Auxiliary Services ... 7,249.45 7,905.
6. FIXED CHARGES
6a. Interest on Current Liabilities ... 6,200.
6b. Other Fixed Charges ... 6,200.
Total ... 5,958.70 6,200.
This district is not a member of the County Library System.
7. CAPITAL OUTLAY
Improvements of Grounds ... 500.
Buildings ... 11,300.
Equipment ... 4,110.
Total ... 30,399.58 15,910.
8. COMMUNITY SERVICES
Salaries and Wages ... 2,100.
Other Expense ... 2,100.
Total ... 234 2,100.
UNDISTRIBUTED RESERVE ... 35,384.
Note: An Undistributed Reserve may be provided; it may be transferred to other appropriation classifications during the fiscal year as provided by Education Code Section 6301c.
Total Expenditures and Transfers ... 311,492.74 383,274.
V. ENDING BALANCE, JUNE 30
Cash in County Treasury ... 54,583.79
Emergency Cash Fund ... 590.
U. S. Savings Bonds (at cost) ... 34,750.
GENERAL RESERVE JUNE 30,1949, for 1949-50 ... 54,363.
Note: A General Reserve is required by law to provide cash for that portion of the succeeding year before taxes and State funds become available. See Education Code Section 6301b.
Total Current Assets ... 89,863.79
Net Ending Balance ... 89,863.79
VI. TOTAL, EXPENDITURES AND TRANSFERS
PLUS ENDING BALANCE (IV plus V; must equal III) ... 401,356.53
Part Two—BOND INTEREST AND SINKING FUND
I. BEGINNING BALANCE, JULY 1 ... 5,534.49
II. INCOME
Miscellaneous Income ... 1,154.59
District Taxes Received 1947-48 ... 13,365.60
DISTRICT TAXES REQUIRED TO BALANCE
BUDGET 1848-49 ... 10,802.46
Total ... 18,365.60 11,957.05
III. TOTAL, BEGINNING BALANCE PLUS INCOME ... 18,900.09 17,367.14
IV. EXPENDITURES AND TRANSFERS
Bond Interest ... 3,500.
Bond Redemption ... 10,000.
Total Expenditures and Transfers ... 13,500.
V. ENDING BALANCE, JUNE 30 ... 5,400.09
VI. TOTAL, EXPENDITURES AND TRANSFERS
PLUS ENDING BALANCE ... 18,900.09
Part Six—CAFETERIA ACCOUNT
(Educational Code Sections 19301 to 19313)
I. BEGINNING BALANCE, JULY 1
Cash In Banks
"Operating" cash ... 478.511.
Total ... 478.511
II. INCOME
Federal (Cash Reimbursement) Grants ... 789.66
Cafeteria Sales ... 12,791.88
Other Income ... 1,488.30
Total ... 15,609.84 15,600.
III. TOTAL, BEGINNING BALANCE PLUS INCOME ... 15,487.84
IV. EXPENDITURES
5. AUXILIARY SERVICES:
5b. Other Auxiliary Services
5b1 Food... 9,798.87
Exchange Ups
Orange Juice
Fruit $5 Ton
An opening price of $1.25 per dozen number 2 tins, slightly more than a pint, of canned orange juice at the cannery was announced this week by the Exchange Orange Products company, the state's largest orange products plant. This represents an increase of 15 cents per dozen over the price for the 1947 pack.
The new price reflects a return of $30 per ton f.o.b. packing house for juice grade fruit; $5 per ton more than the 1947 figure. On a box basis, the price is equivalent to $1.91 per packed box or $1.28 per loose box f.o.b. packing house. On a delivered at auction basis, the juice fruit price is equivalent to $3.57 per box.
"The industry will have 20 percent less fruit available for pro-ducts use during the valencia season that we had last year," stated Paul S. Armstrong, general manager of the California Fruit Growers Exchange. "Over 40 percent of our total of 266,000 tons available for products will probably be used for concentrated orange juice for the national school lunch program and expected overseas purchases."
It is expected that the industry will produce only slightly more than one million cases of canned juice this year compared with more than two million produced last year. Because of this shorter production and the marketing outlook, the increased opening price is fully justified. Armstrong explained.
Canned juice from Florida is being quoted at 80 cents to $1.00 per dozen number 2 tins, with some distress sales below the 80 cent price. Market reports show, however, that canned California juice commands a premium in retail stores.