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anaheim-gazette 1949-07-28

1949-07-28 · Anaheim Gazette · page 9 of 12 · OCR glm-ocr
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(Pub. Anaheim Gazette July 28, 1949) BUDGET Anaheim School District of Orange County, California, for the Fiscal Year beginning July 1, 1949, and ending June 30, 1950. Grade span of district: 1948-49 Actually Maintained Kindergarten to 8. 1949-50 Budget Plan Kindergarten to 8. Average Daily Attendance 1948-49 Actual (or estimate) 1700 1949-50 Budget estimate 1750 CONTENTS This budget shall include, in summary form, all financial transactions of the district for the fiscal year 1948-49 (Actual, or partially estimated as may be necessary) and for the fiscal year 1949-50, as officially proposed. This budget shall be the pattern for: 1) the establishment and maintenance of accounting records during the ensuing 12 months of the budget year and, 2) the preparation of annual reports at the end of the budget year, 12 months hence. Separate pages are provided for the several funds established or authorized by the statute. Districts may use only those pages needed for the Special Funds or Accounts active in one or both school years. Show by check mark in the spaces below that the pages for the various special funds are "used" or "not used." Page This district has Used Not Used 1 Contents, Budget Calendar (Instructions on reverse): X 2 Summary and Adoption Record X Part Fund 3, 4, 5 One GENERAL FUND X Special Funds: 6 Two BOND INTEREST AND SINKING FUND X 7 Three BUILDING FUND X 10 Six CAFETERIA ACCOUNT (fund or accounts) X SUMMARY OF CURRENT TAX REQUIREMENTS FOR 1949-50 Fund and Purpose Amount Tax Actual of Taxes Required Limit Levied A. Bond Interest and Redemption $57,338.46 None B. General (All Other School) Purposes: 1. Amounts Subject to Tax Rate Limit a. General Fund 166,360. c. Sub total $.90 2. Amounts Exempt from Tax Rate Limit a. General Fund (2) District contribution to Employees Retirement under State Employees Retirement System (Gov. Code Sec. 20532) 1,850. None 3. Total General Purposes (Excluding Bond Interest and Redemption) 168,210. None $.9100 NOTICES OF ADOPTION AND TRANSMITTAL To the County Superintendent of Schools: 1. TENTATIVE BUDGET. This budget is hereby filed by the governing board of the school district. Date of meeting June 14, 1949. Signed H. H. STABBERT, Clerk 2. PUBLICATION BUDGET. The governing board, having made on July 15, 1949, such revisions, additions, and changes as it deems desirable or necessary, pending publication, public hearing and final adoption, hereby returns the budget. The public hearing on this budget will be held at Administration Office, 210 S. Citron St., Anaheim, Calif., on August 2, 1949 at 7:30 o'clock p.m. Signed H. H. STABBERT, Clerk Part One—GENERAL FUND* Col. 1 Col. 2 III. TOTAL, BEGINNING BALANCE IV. EXPENDITURES 4. MAINTENANCE OF SCHOOL AS AUTHORIZED BY LAW AND ELECTION) Salaries and Wages Other Expense 7. CAPITAL OUTLAYS Land Improvement of Grounds Buildings Equipment TOTAL EXPENDITURES V. ENDING BALANCE, JUNE 30 Cash in County Treasury Total Net VI. TOTAL, EXPENDITURES PLUS BALANCE Part Six—CAFE I INCOME Federal (Cash Reimbursement) Cafeteria Sales Other Income Total III. TOTAL, BEGINNING BALANCE IV. EXPENDITURES 5. Auxiliary Services: 5b. Other Auxiliary Services 5b1 Food 5b2 Salaries 5b3 Operating Supplies and Total Expenditure V. ENDING BALANCE Cash in Bank Total Net VI. TOTAL, EXPENDITURES PLUS BALANCE 3. Total General Purposes (Excluding Bond Interest and Redemption) 168,210. None $9,100 NOTICES OF ADOPTION AND TRANSMITTAL To the County Superintendent of Schools: 1. TENTATIVE BUDGET. This budget is hereby filed by the governing board of the school district. Date of meeting June 14, 1949. Signed H. H. STABBERT, Clerk 2. PUBLICATION BUDGET. The governing board, having made on July 15, 1949, such revisions, additions, and changes as it deems desirable or necessary, pending publication, public hearing and final adoption, hereby returns the budget. The public hearing on this budget will be held at Administration Office, 210 S. Citron St., Anaheim, Calif., on August 2, 1949 at 7:30 o'clock p.m. Signed H. H. STABBERT, Clerk Part One—GENERAL FUND* I. BEGINNING BALANCE, JULY 1 Cash in County Treasury $54,583.79 $105,058. Emergency Cash Fund 500. 500. Investments in U. S. Bonds (at cost) 34,789. 34,780. Total Current Assets 89,863.79 140,338. Less: Current Liabilities 40,432. Net Beginning Balance 89,863.79 99,906. II. INCOME State School Fund Apportionments and Allowances: Apportionments on A.D.A. (Basic State Aid and State Equalization Aid) 170,788.83 167,908. Allowances for excess costs (Exceptional Minors) 800. Allowances for transportation 353.80 342. County Aid: Tax on Solvent Credits 413.72 District Taxes on Unsecured Property 10,701.74 8,138. Delinquent Municipal and District Taxes 3,738.56 4,302. Other Income 3,839.65 3,300. Total Income other than Current District Taxes 189,836.30 184,790. Current District Taxes Received 1948-49 177,803.49 Current District Taxes required to balance budget 1949-50 168,210. Total Income 367,639.79 353,600. III. TOTAL, BEGINNING BALANCE PLUS INCOME IV. EXPENDITURES AND TRANSFERS 1. ADMINISTRATION Salaries and Wages 12,900. Other Expense 2,650. Total 14,490.25 15,550. 2. INSTRUCTION 2a. Teacher Salaries (certificated) 243,206.70 269,550. 2b. Other Expense of Instruction 15,121. Salaries and Wages (non-certificated) 3,200. Audiovisual education service (county contract) 500. Library 2,675. Other Expense 7,580. Total Instruction 259,327.70 268,415. 3. OPERATION OF SCHOOL PLANT Salaries and Wages 27,718. Other Expense 10,100. Total 36,292.76 37,618. 4. MAINTENANCE OF SCHOOL PLANT Other Expense 5,950. Total 7,835.49 6,450. 5. AUXILIARY SERVICES 5a. Transportation of Pupils Salaries and Wages 3,290. Other Expense 1,250. Total 4,758.19 4,450. 5b. Other Auxiliary Services Salaries and Wages 6,150. Other Expense 600. Total 4,729.22 6,750. Total Auxiliary Services 9,487.41 11,200. 6. FIXED CHARGES 6b. Other Fixed Charges 4,081.99 9,500. Total 4,081.99 9,500. Total Current Expense 330,415.60 363,433. 2. This district is not a member of the County Library System. 7. CAPITAL OUTLAY Land Improvement of Grounds Total None Net VI. TOTAL EXPENDITURES PLUS BALANCE BURDEN Katella School District of Orange Beginning July 1, 1949, and Ending December 1949-50 Budget Plan Kindergarten Average Daily Attendance 1948-49 Actual (or estimate) 1949-50 Budget estimate CONTINUE This budget shall include, in summary the district for the fiscal year 1948-49 be necessary) and for the fiscal year end; this budget shall be the pattern of accounting records during the period; and the preparation of annual report months hence. Separate pages are provided for the stated by the statutes. Districts may Special Funds or Accounts active in one mark in the spaces below that the pay "used" or "not used." Page 1 Contents, Budget Calendar 2 Summary and Adoption Record Part Fund 3,4,5 One GENERAL FUND Special Funds; 6 Two BOND INTEREST AND DIVIDEND 7 Three BUILDING FUND 8 Four SPECIAL ACCUMULATION 10 Six CAFETERIA ACCOUNT SUMMARY OF CURRENT TAXES Fund and Purpose A. BOND INTEREST AND REDEMPTION B. GENERAL (All Other School) PURPOSE a. General Fund c. Sub total 3. Total General Purposes NOTICES OF ADOPTION To the County Superintendent of Schools: 1. TENTATIVE BUDGET. This budget board of the school district. Date of meeting June 27, 1949. 2. PUBLICATION BUDGET. The government of accounting records during the fiscal year end; the preparation of annual report months hence. Separate pages are provided for the stated by the statutes. Districts may Special Funds or Accounts active in one mark in the spaces below that the pay "used" or "not used." Total ... 4,758.19 4,450. 5b. Other Auxiliary Services Salaries and Wages ... 6,150. Other Expense ... 600. Total ... 4,729.22 6,750. Total Auxiliary Services ... 9,487.41 11,200. 6. FIXED CHARGES ... 4,081.99 9,500. 6b. Other Fixed Charges ... 4,081.99 9,500. Total ... 4,081.99 9,500. Total Current Expense ... 330,415.60 363,433. 2. This district is not a member of the County Library System. 7. CAPITAL OUTLAY Land Improvement of Grounds Equipment ... 8,500. 10,592. 12,085. Total ... 26,947.04 31,177. 8. COMMUNITY SERVICES Other Expense ... 2,300. Total ... 234. 2,300. UNDISTRIBUTED RESERVE ... 6,634. Total Expenditures and Transfers ... 357,596.64 403,544. V. ENDING BALANCE, JUNE 30 Cash in County Treasury 105,058.94 Emergency Cash Fund 500. Investments in U.S. Bonds (at cost) 34,780. GENERAL RESERVE JUNE 30,1950, for 1950-51 Total Current Assets 140,888.94 Less: Current Liabilities 40,432. Net Ending Balance ... 99,908.94 49,362. VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE ... 457,503.58 452,906. Part Two—BOND INTEREST AND SINKING FUND I. BEGINNING BALANCE, JULY 1 ... 5,400.09 14,848.84 II. INCOME Premiums and Accrued Interest ... 9,722.66 Miscellaneous Income District Taxes Received 1948-49 ... 12,858.69 District Taxes Required to Balance Budget 1949-50 ... 57,338.46 Total ... 22,581.25 58,150.46 III. TOTAL, BEGINNING BALANCE PLUS INCOME ... 27,981.34 73,029.30 IV. EXPENDITURES AND TRANSFERS Bond Interest ... 3,132.50 15,737.50 Bond Redemption ... 10,000. 35,000. Total Expenditures and Transfers ... 18,122.50 50,787.60 V. ENDING BALANCE, JUNE 30 ... 14,848.84 22,391.60 VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE ... 27,981.34 73,029.30 Part Three—BUILDING FUND I. BEGINNING BALANCE, JULY 1 Cash in County Treasury ... 566,632. Total ... 566,632. Less: Current Liabilities ... Net ... II. INCOME Sale of Bonds ... 578,000. Total ... 578,000. Allowances for transportation Tax on Solvent Credits District Taxes on Unsecured Provision Municipal and District Other Income Total Income other than Current Current District Taxes Received Current District Taxes required-get 1949-50 Total Income III. TOTAL, BEGINNING BALANCE IV. EXPENDITURES AND TRANSFERS I. ADMINISTRATION Salaries and Wages Other Expense ... Total ... II. INSTRUCTION a. Teachers Salaries (certificate) b. Other Expense of Instruction Audio visual education service contract) Library Other Expense ... Total Instruction 3. OPERATION OF SCHOOL PLUS Salaries and Wages Other Expense ... Total ... 4. MAINTENANCE OF SCHOOL Salaries and Wages Other Expense ... Total ... 5. AUXILIARY SERVICES a. Transportation of Pupils Salaries and Wages Other Expense ... Total ... 5b. Other Auxiliary Services Salaries and Wages Other Expense ... Total ... Total Auxiliary Services ... 6. FIXED CHARGES a. Interest on Current Liability b. Other Fixed Charges ... Total ... Total Current Expense 2. This district is a member of the 7. CAPITAL OUTLAY Improvement of Grounds Buildings ... Total UNDISTRIBUTED RESERVE Total Expenditures and Transfers V. ENDING BALANCE, JUNE 30 Cash in County Treasury GENERAL RESERVE JUNE 30, Net Ending Balance VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE TOTAL, BEGINNING BALANCE PLUS INCOME 575,000. $66,632. EXPENDITURES MAINTENANCE OF SCHOOL PLANT (only was authorized by law and by the call for the selection) Salaries and Wages 250. 5,000. Other Expense 3,710.68 36,560. CAPITAL OUTLAYS Land 8,700. Improvement of Grounds 11,000. Buildings 4,406.44 457,000. Equipment 4,500. TOTAL EXPENDITURES 8,367.12 522,760. BEGINNING BALANCE, JUNE 30 Bach in County Treasury 566,632.88 Total 566,632.88 Net 566,632.88 43,872. TOTAL, EXPENDITURES PLUS ENDING BALANCE 575,000. 566,632. Part Six—CAFETERIA ACCOUNT BEGINNING BALANCE, JULY 1 Bach in Bank Operating Cash 511.39 644. Total 511.39 644. Net 511.39 644. HOME General (Cash Reimbursement) Grants 1,807.63 1,800. Meteria Sales 11,939.21 12,000. Other Income 288. 300. Total 14,034.84 14,100. TOTAL, BEGINNING BALANCE PLUS INCOME 14,546.23 14,744. EXPENDITURES Auxiliary Services: b. Other Auxiliary Services 5b1 Food 9,601.38 9,700. 5b2 Salaries 4,248.94 4,944. 5b3 Operating Supplies and Expenses 51.89 100. Total Expenditure 13,902.21 14,744. BEGINNING BALANCE Bach in Bank 644.02 Total 644.02 Net 644.02 TOTAL, EXPENDITURES PLUS ENDING BALANCE 14,546.23 14,744. (Pub. Anaheim Gazette July 28, 1949) BUDGET Anaheim School District of Orange County, California, for the Fiscal Year July 1, 1949, and Ending June 30, 1950. In of district: Actually Maintained Kindergarten to $. Budget Plan Kindergarten to $. Daily Attendance Actual (or estimate) 188 Budget estimate 200 CONTENTS Part Two—BOND INTEREST AND SINKING FUND I. BEGINNING BALANCE, JULY 1 II. INCOME Premiums and Accrued Interest 973.89 Miscellaneous Income 219. District Taxes Received 1948-49 6,985.04 District Taxes Required to Balance Budget 1949-50 4,387. Total 7,958.93 4,606. III. TOTAL, BEGINNING BALANCE PLUS INCOME 7,958.93 12,565. IV. EXPENDITURES AND TRANSFERS Bond Interest Bond Redemption Total Expenditures and Transfers 7,958.93 5,113. V. ENDING BALANCE, JUNE 30 VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE 7,958.93 12,565. Part Three—BUILDING FUND I. BEGINNING BALANCE, JULY 1 Cash in County Treasury 65,483. Total 65,483. Net 65,483. II. INCOME Sale of Bonds 85,000. Total 85,000. III. TOTAL, BEGINNING BALANCE PLUS INCOME 85,000. IV. EXPENDITURES 7. CAPITAL OUTLAYS Land 1,688. Improvement of Grounds 3,000. Buildings 52,000. Equipment 3,000. TOTAL EXPENDITURES 19,517.14 58,000. V. ENDING BALANCE, JUNE 30 Cash in County Treasury 65,482.86 Total 65,482.86 Net 65,482.86 VI. TOTAL, EXPENDITURES PLUS ENDING BALANCE 85,000. Part Four—SPECIAL ACCUMULATIVE BUILDING FUND I. BEGINNING BALANCE, JULY 1 Cash in County Treasury 10,000. Total 10,000. Net 10,000. III. TOTAL, BEGINNING BALANCE PLUS INCOME 10,000. IV. EXPENDITURES AND TRANSFERS 7. CAPITAL OUTLAY Land 6,895. Improvement of Grounds 136. Buildings 2,933.48 Equipment 35.42 Total 9,863.90 136. Total Expenditures and Transfers 9,683.90 136. V. ENDING BALANCE, JUNE 30 (Pub. Anaheim Gazette July 28, 1949) BUDGET Anaheim School District of Orange County, California, for the Fiscal Year July 1, 1949, and Ending June 30, 1950. Ann of district: 19 Actually Maintained Kindergarten to 8. 20 Budget Plan Kindergarten to 8. Daily Attendance 19 Actual (or estimate) 188 20 Budget estimate 200 CONTENTS Budget shall include, in summary form, all financial transactions of budget for the fiscal year 1948-49 (Actual, or partially estimates as may vary) and for the fiscal year 1949-50, as officially proposed. Budget shall be the pattern for: 1) the establishment and maintenance records during the ensuing 12 months of the budget year; the preparation of annual reports at the end of the budget year, 12 times. This district has used patents, Budget Calendar X Summary and Adoption Record X Part Fund General Fund X Special Funds: No Bond Interest and Sinking Fund X Free Building Fund X Special Accumulative Building Fund X CAFETERIA ACCOUNT X MINARY OF CURRENT TAX REQUIREMENTS FOR 1949-50 Purpose Amount Tax Actual of Taxes Rate Tax Rates Required Limit Levied INTEREST AND REDEMPTION $4,387.07 None GENERAL (All Other School) PURPOSES: General Fund 28,420. Total 28,420. Total General Purposes 28,420. None $.80 NOTICES OF ADOPTION AND TRANSMITTAL County Superintendent of Schools: MATIVE BUDGET. This budget is hereby filed by the governing body of the school district. Of meeting June 27, 1949. Signed D. L. STORY, Clerk BILLICATION BUDGET. The governing board, having made on July 1949, such revisions, additions, and changes as it deems desirable or necessary, pending publication, public hearing and final adoption, hereby approving the budget. Public hearing on this budget will be held at Katella School on August 1, 1949, at 7:30 o'clock p.m. Signed D. L. STORY, Clerk Part One—GENERAL FUND Col. 1 Col. 2 1948-49 Actual, or Estimated Budget WINNING BALANCE, JULY 1 In County Treasury 13,416.56 14,343. Total Current Assets 13,416.56 14,343. Beginning Balance 13,416.56 14,343. INFORMATIONS ON A.D.A. (Basic State Aid and Administration Aid) Finances for transportation 586.35 625. Solvent Credits 29.21 Taxes on Unsecured Property 811.75 266. Equivalent Municipal and District Taxes 580.77 903. Income 36.77 25. Income other than Current District Taxes 14,644.85 18,739. District Taxes Received 1948-49. 31,430.86 District Taxes required to balance buddies 1949-50 ..... 28,422. AL., BEGINNING BALANCE PLUS INCOME 59,492.27 61,504. EXPENDITURES AND TRANSFERS ADMINISTRATION Charles and Wages ..... 600. Other Expense ..... 300. I. BEGINNING BALANCE, JULY 1 Cash in County Treasury ..... 10,000. 136.0 Total ..... 10,000. 136.0 Net ..... 10,000. 136.0 III. TOTAL, BEGINNING BALANCE PLUS INCOME 10,000. 136.0 IV. EXPENDITURES AND TRANSFERS 7. CAPITAL OUTLAY Land ..... 6,895. Improvement of Grounds ..... 2,933.48 Buildings ..... 35.42 Equipment ..... 35.42 Total ..... 9,863.90 136.0 Total Expenditures and Transfers ..... 9,683.90 136.0 V. ENDING BALANCE, JUNE 30 Cash in County Treasury ..... 136.10 Total ..... 136.10 Net ..... 136.10 VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE ..... 10,000. 136.0 Part Six—CAFETERIA ACCOUNT I. BEGINNING BALANCE, JULY 1 Cash in Bank ..... 397.67 333. Accounts Receivable ..... 157. Total ..... 397.67 490. Less: Current Liabilities ..... 10. Net ..... 397.67 480. II. INCOME Federal (Cash Relimbursement) Grants ..... 1,152.31 Cafeteria Sales ..... 3,576.50 4,000. Total ..... 4,728.81 5,200. III. TOTAL, BEGINNING BALANCE PLUS INCOME 5,126.48 5,680. IV. EXPENDITURES 5. Auxiliary Services: 5b. Other Auxiliary Services 5b1 Food ..... 3,656.45 4,000. 5b2 Salaries ..... 881.84 1,000. 5b3 Operating Supplies and Expenses ..... 79.19 50. 5b4 Repairs and Replacement and/or Depreciation ..... 29.08 100. Total Expenditures ..... 4,646.56 5,150. V. ENDING BALANCE Cash in Bank ..... 332.70 Accounts Receivable ..... 157.22 Total ..... 489.92 Less: Current Liabilities ..... 10.00 Net ..... 479.92 530. VI. TOTAL, EXPENDITURES PLUS ENDING BALANCE ..... 5,126.48 5,680. (Pub. Anaheim Gazette July 21 and 28, 1949.) RESOLUTION NO. 1687 A RESOLUTION OF THE CITY OF ANAHEIM ACKNOWLEDGING RECEIPT OF A PETITION FOR THE ANNEXATION OF CERTAIN UNINHABITED TERRITORY TO THE CITY OF ANAHEIM GIVING NOTICE OF SUCH PROPOSED ANNEXATION, DESCRIBING THE BOUNDARIES OF THE TERRITORY PROPOSED TO BE ANNEXED AND GIVING NOTICE OF THE DAY, HOUR AND PLACE WHERE AND WHEN ANY PERSON OWNING REAL PROPERTY WITHIN SUCH TERRITORY SO PROPOSED TO BE ANNEXED MAY APPEAR BEFORE THE CITY COUNCIL AND SHOW CAUSE WHY SUCH TERRITORY SHOULD NOT BE ANNEXED TO THE CITY OF ANAHEIM. WHEREAS, the City Council of the City of Anaheim did on the 12th day of July, 1949, receive a written petition asking that certain new territory described in said petition be annexed to the City of Anaheim,and WHEREAS,sald territory proposed to be annexed to said City of Anaheim is situated in the County of Orange.State of California,and is contiguous to the City of Anaheim. Palma Avenue,a distance of 965.9 feet to a point; thence North parallel with the west line of Section I; San Bernardino Base and Meridian a distance of 56.7 feet to a point; thence West at right angles;80 feet to a point on the east line of Lot II as shown on a map recorded in Book I; page 55.Record of Surveys;Orange County;thence South along said east line of said Lot III,a distance of 96 feet to a point on the northerly line of the right-of-way of the Anaheim Union Water Company as conveyed by deed recorded in Book K72.page I35 Deeds.Records of Orange County;thence Westwardly a distance of 475.7 feet to the southwest corner of said Lot III;thence North along the west line of said Lot III to a point on the east-and-west center line of Lot II as shown on said map of said Record of Survey;thence West along said east-west center line of said Lot II to a point on the east line of Euclid Avenue;thence South along said east line of Euclid Avenue to the south line of West La Palma Avenue;thence East along said south line of West La Palma Avenuea distance of 1290 feet to a point on the present city limit line of said City of Anaheim;thence North along said present city limit line a distance of 60 feet to a point; thence BENEFITS FOR transportation ... 586.35 ... 625. Solvent Credits ... 29.21 Taxes on Unsecured Property ... 811.75 ... 266. Municipal and District Taxes ... 580.77 ... 902. Income ... 36.77 ... 25. Total Income other than Current District Taxes ... 14,644.85 District Taxes Received 1948-49 ... 31,430.86 District Taxes required to balance budget ... 3049.50 DISTRIBUTES AND TRANSFERS ADMINISTRATION Salaries and Wages ... Other Expense ..... 600. Construction ... 300. Teachers Salaries (certificated) ... 25,070. Other Expense of Instruction ... 1,045.93. Audio visual education service (county contract) ..... 60. Library ... 300. Other Expense ..... 2,640. Total Instruction ... 26,215.93 ERATION OF SCHOOL PLANT Salaries and Wages ... Other Expense ..... 3,000. INTENANCE OF SCHOOL PLANT Salaries and Wages ... Other Expense ..... 2,000. TAXIARY SERVICES Transportation of Pupils Salaries and Wages ... Other Expense ..... 2,069.40 OTHER AUXILIARY SERVICES Salaries and Wages ... Other Expense ..... 2,713.02 OTHER EXPENSE Salaries and Wages ... Other Expense ..... 1,850. Total ... 1,726.84 Total Auxiliary Services ... 4,439.86 ED CHARGES Interest on Current Liabilities ... Other Fixed Charges ... 1,111.53 Total ... 1,111.53 Current Expense district is a member of the County Library System. DITAL OUTLAY Movement of Grounds Findings ..... 500. DISTRIBUTED RESERVE ..... 2,000. Expenditures and Transfers ... 45,149.12 BALANCE, JUNE 30 County Treasury RESERVE JUNE 30, 1950, for 1950-51 Ending Balance ... 14,343.15 EXPENDITURES AND TRANSFERS ENDING BALANCE ... 59,492.27 WHEN ANY PERSON OWNING REAL PROPERTY WITHIN SUCH TERRITORY SO PROPOSED TO BE ANNEXED MAY APPEAR BEFORE THE CITY COUNCIL AND SHOW CAUSE WHY SUCH TERRITORY SHOULD NOT BE ANNEXED TO THE CITY OF ANAHEIM. WHEREAS, the City Council of the City of Anaheim did on the 12th day of July, 1949, receive a written petition asking that certain new territory described in said petition be annexed to the City of Anaheim, and WHEREAS, sald territory proposed to be annexed to said City of Anaheim is situated in the County of Orange, State of California, and is contiguous to the City of Anaheim and is uninhabited territory, and sald petition contained a description of sald territory in words and figures as hereinafter in this Resolution described, and WHEREAS, the City Council finds from evidence and reports received that at the time of the filing and receipt of sald petition, it was and now is signed by owners of not less than one-fourth (½) of the area and not less than one-fourth (½) of the assessed valuation of the land in such territory proposed to be annexed, according to the last preceding equalized county assessment roll, and WHEREAS, the City Council finds from evidence and reports received and from sald petition that at the time of the filing and presentation of sald petition that said new territory proposed to be annexed to said City of Anaheim did not form a part of any municipal corporation and that sald territory was uninhabited, and is contiguous to the City of Anaheim, and WHEREAS, the City Council finds from sald petition and evidence and reports received that the boundaries of the territory so proposed to be annexed to the City of Anaheim are as follows to-wit: Beginning at the corner of the present city limits of the City of Anaheim, on the north line of West La Palma Avenue at a point 186.6 feet east of the southwest corner of Lot 11, Miles Rancho, as shown on a map recorded in Book 4, page 7, Miscellaneous Maps, Records of Orange County; thence North along the present city limit line of Sald City a distance of 680 feet to a point; thence West, parallel with said north line of West La Palma Avenue, to a point on the west line of West Street; thence South along said west line of West Street a distance of 153.20 feet to a point; thence West, parallel with said north line of West La Palma Avenue, a distance of 495.4 feet to a point; thence Southwardly, parallel with said west line of West Street, a distance of 176.80 feet to a point; thence West, parallel with said north line of West La Palma Avenue, NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF ANAHEIM: That such proposed annexation be designated as WEST LA PALMA ANNEXATION and that notice of such proposed annexation be and the same is hereby given, and BE IT FURTHER RESOLVED that the 9th day of August, 1949, at the hour of 8:00 P.M., at the City Council Chamber in the City Hall of the City of Anaheim, be and the same is hereby fixed as the day, hour and place when and where any person owning real property within said territory so proposed to be annexed, and having any objections to the proposed annexation, may appear before the City Council of the City of Anaheim and show cause why such territory should not be so annexed; that all persons having any objections to such proposed annexation are hereby notified to appear on said day at said hour and place to show cause, if any they have, why such territory should not be so annexed, BE IT FURTHER RESOLVED that the City Clerk be and he is hereby authorized and directed to publish or cause a copy of this Resolution to be published at least once a week for two successive weeks prior to the 9th day of August, 1949, in the Anaheim Gasette a newspaper of general circulation, published in the City of Anaheim, County of Orange, States of California. The FOREGOING RESOLUTION is signed and approved by me this 12th day of July, 1949. CHARLES A. PEARSON, Mayor of The City of Anaheim. ATTEST: CHARLES E. GRIFFITH, City Clerk of The City of Anaheim. STATE OF CALIFORNIA) COUNTY OF ORANGE) CITY OF ANAHEIM (Pub. Anaheim Gazette July 28, 1949) BUDGET Loara School District of Orange County, California, for the Fiscal Year Beginning July 1, 1949, and Ending June 30, 1950. Grade span in district: 1948-49 Actually Maintained 1 to 8. 1949-50 Budget Plan Kindergarten to 8. Average Daily Attendance 1948-49 Actual (or estimate) 103 1949-50 Budget estimate 130 SUMMARY OF CURRENT TAX REQUIREMENTS FOR 1949-50 Fund and Purpose Amount of Taxes Required Tax Rate Limit Actual Tax Rates Levied A. BOND INTEREST AND REDEMPTION $1,087.56 None B. GENERAL (All Other School) PURPOSES: 1. Amounts Subject to Tax Rate Limit a. General Fund 17,668. b. Special Accumulative Building Fund 17,668. c. Sub total $90 3. Total General Purposes (Excluding Bond Interest and Redemption) 17,668 None $7,521 NOTICES OF ADOPTION AND TRANSMITTAL To the County Superintendent of Schools: 1. TENTATIVE BUDGET. This budget is hereby filed by the governing board of the school district. Date of meeting June 21, 1949. Signed EVERETT M. KOONTZ, Clerk 2. PUBLICATION BUDGET. The governing board, having made on July 1, 1949, such revisions, additions, and changes as it deems desirable or necessary, pending publication, public hearing and final adoption, hereby returns the budget. The public hearing on this budget will be held at Loara School on August 3, 1949, at 7:30 o'clock p.m. Signed LLOYD DYKES, Clerk. Part One—GENERAL FUND I. BEGINNING BALANCE, JULY 1 Cash in County Treasury $7,986.64 10,438. Total Current Assets $7,986.64 10,438. Less: Current Liabilities 3. II. INCOME State School Fund Apportionments and Allowances: Apportionment on A.D.A. (Basic State Aid and State Equalization Aid) $7,300.00 9,270. Tax on Solvent Credits 3.20 District Taxes on Unsecured Property 110.64 29. Delinquent Municipal and District Taxes 63.35 168. Other Income 71.41 70. Total Income other than Current District Taxes $8,078.60 9,537. Current District Taxes Received 1948-49 17,281.99 Current District Taxes required to balance budget 1949-50 17,668. Total Income 25,360.59 27,205. III. TOTAL, BEGINNING BALANCE PLUS INCOME 33,347.23 37,640. IV. EXPENDITURES AND TRANSFERS 1. ADMINISTRATION State School Fund Apportionments and Allowances: Apportionment on A.D.A. (Basic State Aid and State Equalization Aid) 7,830.00 9,270. Tax on Solvent Credits 3.20 29. District Taxes on Unsecured Property 110.64 168. Delinquent Municipal and District Taxes 63.35 168. Other Income 71.41 70. Total Income other than Current District Taxes 8,078.60 9,537. Current District Taxes Received 1948-49 17,281.99 Current District Taxes required to balance budget 1949-50 17,668. Total Income 25,360.59 27,205. III. TOTAL, BEGINNING BALANCE PLUS INCOME 33,347.23 37,640. IV. EXPENDITURES AND TRANSFERS 1. ADMINISTRATION Total 321.26 200. 2. INSTRUCTION 2a. Teachers Salaries (certificated) 14,288.00 16,950. 2b. Other Expense of Instruction 860.63 Audio visual education service (county contract) Library 85. Other Expense 100. Other Expense 1,025. Total Instruction 15,148.63 18,160. 3. OPERATION OF SCHOOL PLANT Salaries and Wages 1,650. Other Expense 1,650. Total 2,841.53 3,300. 4. MAINTENANCE OF SCHOOL PLANT Salaries and Wages 800. Other Expense 1,000. Total 2,009.22 1,800. 5. AUXILIARY SERVICES 5a. Transportation of Pupils 1,100. Salaries and Wages 950. Other Expense Total 1,343.86 2,050. 5b. Other Auxiliary Services 300. Salaries and Wages 25. Other Expense Total 224.43 325. Total Auxiliary Services 1,568.29 2,375. 6. FIXED CHARGES 6b. Other Fixed Charges 1,005. Total 617.27 1,005. Total Current Expense 22,506.20 26,840. 2. This district is a member of the County Library System. 7. CAPITAL OUTLAY Equipment 1,550. Total 405.41 1,550. UNDISTRIBUTED RESERVE 8,000. Total Expenditures and Transfers 22,911.61 36,390. V. ENDING BALANCE, JUNE 39 Cash in County Treasury 10,438.61 GENERAL RESERVE JUNE 30,1950, for 1950-51 Total Current Assets 10,438.61 Less: Current Liabilities (Included in IV, Expenditures) 2.99 Net Ending Balance 10,435.62 1,250. VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE 33,347.23 37,640. Part Two—BOND INTEREST AND SINKING FUND I. BEGINNING BALANCE, JULY 1 580.92 510.12 II. INCOME Miscellaneous Income 12. District Taxes Received 1988-49 District Taxes Required to Balance Budget 1949-50 1,087.56 Total 1,154.20 1,099.56 III. TOTAL, BEGINNING BALANCE PLUS INCOME 1,735.12 1,609.68 IV. EXPENDITURES AND TRANSFERS Bond Interest 187.50 Bond Redemption 1,000.00 Total Expenditures and Transfers 1,225.00 1,187.50 V. ENDING BALANCE, JUNE 30 510.12 422.18 VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE 1,735.12 1,609.68 THEREFORE, BE IT REQUESTED BY THE CITY COUNCIL OF ANAHEIM: such proposed annexation be approved by the City Council and that notice of such annexation be and the hereby given, and OTHER RESOLVED that day of August, 1949, at the 200 P. M., at the City Council in the City Hall of the Anaheim, be and the same mixed as the day, hour and in and where any person real property within said proposed to be annexed, any objections to the proxiation, may appear before council of the City of Anaheim cause why such ter-uld not be so annexed; persons having any objections proposed annexation are here to appear on said day at and place to show cause, they have, why such territory be so annexed, and OTHER RESOLVED that clerk be and he is hereby directed to publish or pay of this Resolution to be at least once a week for five weeks prior to the 9th August, 1949, in the Anaheim newspaper of general circulation in the City of County of Orange, State Anaheim. GOING RESOLUTION is approved by me this 12th January, 1949. CHARLES A. PEARSON, of The City of Anaheim. E. GRIFFITH, of The City of Anaheim. CALIFORNIA ) OF ORANGE )ss. ANAHEIM ) II. INCOME Miscellaneous Income District Taxes Received 1948-49 District Taxes Required to Balance Budget 1949-50 Total 1,154.20 1,087.56 III. TOTAL, BEGINNING BALANCE PLUS INCOME 1,735.12 1,609.68 IV. EXPENDITURES AND TRANSFERS Bond Interest Bond Redemption Total Expenditures and Transfers 1,225.00 1,187.50 V. ENDING BALANCE, JUNE 30 510.12 422.18 VI. TOTAL, EXPENDITURES AND TRANSFERS PLUS ENDING BALANCE 1,735.12 1,609.68 Part Six—CAFETERIA ACCOUNT I. BEGINNING BALANCE, JULY 1 Cash in Bank Accounts Receivable Total Less: Current Liabilities Net 168.37 323.16 20.70 II. INCOME Federal (Cash Relimbursement) Grants Cafeteria Sales Other Income Total 3,783.53 3,850.00 III. TOTAL, BEGINNING BALANCE PLUS INCOME 3,951.90 4,152.46 IV. EXPENDITURES 5. Auxiliary Services: 5b. Other Auxiliary Services 5b1 Food 5b2 Salaries 5b3 Operating Supplies and Expenses Total Expenditures 3,649.44 4,040.00 V. ENDING BALANCE Cash in Bank Accounts Receivable Total 323.16 20.70 Less: Current Liabilities Net 302.46 112.46 VI. TOTAL, EXPENDITURES PLUS ENDING BALANCE 3,951.90 4,152.46 I. CHARLES E. GRIFFITH, City Clerk of the City of Anaheim, d hereby certify that the foregoing resolution was passed and adopted at a regular meeting of the City Council of the City of Anaheim, held on the 12th day of July, 1949, by the following vote of the members thereof: AYES: COUNCILMEN: Pearson, Face, Heying, Boney and Van Wagoner. NOES: COUNCILMEN: None. ABSENT: COUNCILMEN: None. And I further certify that the Mayor of the City of Anaheim signed and approved said Resolution on this 12th day of July, 1949. IN WITNESS WHEREOF, I have hereunto set my hand and affixed the seal of said City of Anaheim this 12th day of July, 1949. CHARLES E. GRIFFITH, City Clerk of The City of Anaheim. Proud parents are Mr. and Mrs. Willis L. Burgess, 319½ East Wilhelmina street, who greeted a baby daughter who arrived Wednesday of last week in the Fullerton Cottage hospital. The newcomer tipped the scales at seven pounds and 15 ounces. BUDDD FAMILY BACK IN FRESNO K. S. Budd and children, Kenneth and Helen, returned to their home in Fresno Sunday after enjoying the hospitality of their relatives, Mr. and Mrs. C. H. Jones of Holder road, Anaheim.