The Independent-News, Volume 98, Number 10, Walkerton, St. Joseph County, 12 August 1971 — Page 4

— AUGUST 12, 1911

4

25th Anniversary Mr and Mrs. Harry Malstaff, route 3. Walkerton, will observe their silver wedding anniversary Saturday, August 14 with a lawn party at their home. Friends and relatives aie invited to a 6:30 p.m. pot luck supper followed by an open house through out the evening Hosting the event will be their two children. Mark and Laurie. The honored couple were married August 13. 1946. in Holly

MAX E. STEELE INSURANCE f Lonzo Building, North Liberty Off. Phone 656-8121 Res. Phone 656-4641 Dr. Elliott Frash, Optometrist 413 Michigan Street Walkerton, Ind. Phone 586-3722 Hours: Thursday 9:30 - 5:30 NOTICE TO TAXPAYERS OF TAX LEVIES In the matter of determining the tax rates for certain purposes by Liberty Township, St. Joseph County. Indiana, Beforethe Township tegular meeting place, on the 31st day of August,l97l, will consider Advisory Board. Notice is hereby given the taxpayers of Liberty Township, St. Joseph County, Indiana, that the proper officers of said township, at their regular meeting place, on the 31st day of August, 1965, will consider i the following budget: ' TOWNSHIP BUDGET CLASSIFICATION (

rOWNSHIP FUND i Pay of Trustee, Rent, Clerical & Travel Expense 2245 ■ Books, Stationary, Printing & Advertising 350 Justice of the Peace Salary And Fees 500 Dther Justice of the Peace Expense 150 Fire Protection 12600 Fire (Answering Phone 900)

ESTIMATE OF FUNDS TO BE RAISED FUNDS REQUIRED FOR EXPENSES TO DECEMBER 31st OF INCOMING YEAR Town- Rocre- ’ ♦ ’ ship ation _ „ A „ Fund Fund 1. Total Budget Estimate for incoming year, Jan. 1 to < Dec 31, 1972, inclusive “ 16,590 1600 00 2. Necessary Expenditures, July 1 to Dec. 31, present year, to be made from appropriations unexpended 12.148 237.62 3. Additional Appropriations necessary to be made July 1 to Dec. 31 of present year 15,000 4. Outstanding Temporary Loans to be paid before Dec. 31 of present year - not included in lines 2 or 3 Nono 5. Total Funds Required (Add lines 1,2, 3, and 4) .... 13,738 1,837.62 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX TEW 6. Actual Balance, Juno 30th of present year 254 1 2 2 17 7. Taxes to be collected, present year (December Settlement) 10 718 581.00 8. Miscellaneous Revenue to be received, July 1 of present year to Dec. 31 of incoming year (Schedule on file) 11.00 a. Special Taxes (Loan for fire equipment) 15.000 b. All Other Revenue (Greene Fire Contract & _ Fees) 5.250 9. Total Funds (Add line 6. 7, 8a and 8b) 32.322 58317 10. NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC. 31st OF INCOMING YEAR (Deduct line 9 from line 5) 11,416 1,254 45 11. Operating Balance (Not in tweess of expenses from Jan. 1 to June 30, less miscellaneous revenue for same period) 2,000 " ' 12 AMOUNT TO BE RAISED BY TAX LEVY (Add lines 10 and 11) 13.416 PROPOSED LEVIES Net Taxable Property 7,265,780 FUNDS Levy on Amount to Property Be Raised Township .185 13.416 Recreation 025 1,631 Community Building 01 650 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be Collected Collected Collected CoLected FUNDS " 1969 1970 1971“ ' "1972” Township 11913 12.906 11,637 13 416 Recreation 595 646 581 1,600 Community Building 650 Total 12 508 13,552 12,218 15,660 Taxpayers appearing shall have a right to be heard thereon. After the tax levies have been determined and presented to the county auditor not later than two days prior to the second Monthly in September, and the levy fixed by the county tax adjustment board, or on their failure so to do, by the county auditor, ten or more taxpayers feeling themselves aggrieved by such levies, may appeal to the state board of tax commissioners for further and final hearing thereon by filing a petition with the county auditor on or before the fourth Monday of September or on or before the tenth day after publication by the county auditor of tax rates charged, whichever date is later, and the state board of tax commissioners will fix a date for hearing in this county. Dale J. Nelson, Trustee _ Liberty Township Dated August 10, 1971 ( y f

wood, California. Mr. Malstaff is a native of Walkerton, the son of Mra Joseph Malstaff and the late Mr. Malstaff. He is active as a member of the St. Patrick council Knights of Columbus at Walkerton Father Nieuland General Assembly Fourth degree Knights of Columbus at South Bend, and the American Legion Post IS9 and Veterans of Foreign Wars at Walkerton. Mrs. Malstaff is the former Marthe Haden, daughter of Mrs Frank Haden and the late Mr. Haden of Laguna Beahh, Calif

Other Civil Twp Expenses 1095 Total Township Fund 16,590 TOWNSHIP POOR REL. FUND 1. Medical, Hospital ' and Burial 3000 2 Other Direct Relief 8000 ' 3. Total Direct Relief (Total Bl and B 2) 11.000 1 C. Other Relief । Total Township Poor Relief Fund 11,000

She has been active in community activities and is area news editor of the LaPorte HeraldArgus. No other invitations have been issued and they request no gifts. . . SURPRISED ON ANNIVERSARY Mr. and Mrs David Limerick. Alan Limerick and Miss Paula Henry honored Mr. and Mrs William Limerick at a surprise open hous-e Sunday in the home of Mr. and Mrs David Limerick at Kimmell, Indiana. Refreshments of cake, punch and

NOTICE TO TAXPAYERS OF TAX LEVIES ~~ In the matter of determining the tax rates forcer tain purposes by North Liberty Civil Town, St. Joseph County, Indiana, before the Board of Town Trustees. Notice is hereby given the taxpayers of North Li berty Civil Town, St. Joseph County, Indiana, that the proper officers of said civil town, at their regular meeting place on the 30th day of August,l97l, will consider the following budget:

GENERAL FUND Salary of Town Trustees 1,100 Salary of Clerk-Treasurer 3 500 Salary of Marshal and Deputy Marshals 25,054 Comp, of Town Att’y 200 ; Communication Operator 3,000 । Services Contractual 8,450 Supplies 1,750 Current Charges 8,389 Current Obligations 1 325 Properties 4,150 1 Total General Fund 56,918

ESTIMATE OF FUNDS TO BE RAISED FUNDS REQUIRED FOR EXPENSES TO DECEMBER 31st General w h V h ' -o , t Capital Cumulativer OF INCOMING YEAR ■ Utneral Highway Park Improvement Sewer Road-St 1. Total Budget Estimate for . FUnd F™ ll incoming j’ear, Jan. 1 to Dec. 31, 1972, inclusive 56,918 13,570 2,400 5 600 5,000 8,550 2. Necessary expenditures, July 1 to Dec. 31 of present year, to be made from appropriations unexpended / 23,108 11,362 1.800 4,868 < 3. Additional appropriations to be made July Ist to Dec. 31st of present year 4. Outstanding temporary loans 10,643 to be paid before Dec. 31st of present year 6[o oo 5. Total Funds Required (Add lines 1,2, 3, and 4) ca wp oj qqo . nn^ —— —— oo.UZb 24 932 4,200 10 468 <>ooo 10 ini FUNDS ON HAND AND TO BE ' 5 000 19,193 RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY 6. Actual balance, June 30th of present year ~ 7. Taxes to be collected, present 5 046 6611 year (December settlement). 24,830 2 31Q „ „„„ 8. Miscellaneous revenue to be ’ 9.666 received July Ist of present year to Dec. 31st of incoming year - Schedules on file a. Special Taxes 3 008 187 b. All other revenue 12 772 1711a „ 72 ? 9. Total Funds (Add lines 6,7, 7,938 6,000 101193 8a and 8b) — 10. NET AMOUNT REQUIRED 4 ° 765 24 935 3 > 2 59 12,984 23.004 19 193 TO BE RAISED FOR EXPENSES TO DEC. 31st OF INCOMING YEAR. (Deduct line 9 from line 5) 11. Operating Balance (not in ex- ^.261 942 cess of expenses Jan. Ist to June 30th, less Mise. Revenue for same period) 12. AMOUNT TO BE RAISED 2 009 3 336 2,516 BY TAX LEVY (Add lines 10 ~ ~ — and 11) 47,270 1277 e.205 I PROPOSED LEVIES Net Taxable Property 1,825,100 FUNDS Levy on Amount to General Property Be Raised Park 2 59 47.270 00 ’ Cumulative Sewer **'* * O7 1,277.00 Total 34 6 205 00 F u COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED „ „ . _ To Be . ~ , Co Collected Collected Collected General 1968 1%9 1970 1971 B<ind 26,911 00 31976 00 31,744.00 30,995.00 1 Park 1614.00 1.560.00 - Cumulative Sewer 00 2 339.00 2,168 00 2.324 00 ! Total 9,749 00 9.858.00 9,534.00 1 41,262 00 45,624 00 43,770.00 42,853.00 Taxpayers appearing shall have a right to be heard there™ ah™ 1 . > mined and presented to the countv audit™ After the tax levies have been deterin September, and the levy fixed by the countv days P rior to the se cond Monday .by the county auditor^en or Xe b ™ rll . or on failure 30 t 0 d °' . peal to the stale board of tax commissioners for I fnri t h Un3e \, e r- a PKrlevod by such levies, may ap--1 tition with the county auditor on or before U,CrCOn by a tenth day after publication bv the countv audit™^ ♦ Monday of September or on or before the • the state board of tax commissioners will fix a da u ^^S** 1 * whichever date is later, and Dated July 26, 1971 vunumsbloners wui fix ada te for hearing in this county. CARL M. ESKRIDGE, Qark-Treasum

coffee was served to guests from Walkerton, Lakeville, South Bend and North Liberty. The Limerick were married August 10, 1946 in North Liberty and have four children, Mrs. Bruce (Julia) Hite, Limestone, Mo., David, of Kimmell, Alan and Andrea at home. ENGAGED The engagement of Miss Roberta Lynn Kring to Thomas Richard Janowiak is announced by her parents. Mr. and Mrs. Robert Kring, 30709 W. Pierce Rd. I North Liberty. The prospective

MOTOR VEHICLE HWY. FUND Services Personal 2,310 Services Contractual 9,815 Supplies 600 Materials 750 Current Obligations 95 Total MVH Fund 13 570 PARK FUND Services Personal 1,200 Services Contractual 1.200 Total Park Fund 2,400

bridegroom is the son of Mr. anq Mrs. Frederick Janowiak, 240( W. Longley Ave. The bride to-be Is a grannte of North Liberty High Schoen and Indiana State UniveYsHty, Terre Haute. She is employed by the Department of Public Welfare. Mr. Janowiak Is a graduate of Central High School and Coyne Electronics Institute. Chicago He is employed by the South Bend Fire Department. He served two years In the Army. A Nov. 27 wedding Is planned. Make everv mirate count —

) CAPITAL IMPROVEMENT } FUND j Sendees Contractual 5,100 Materials Sewer Maintenance 500 > Total Capital Improvement > Fund 5,600 } CUMULATIVE SEWER FUND Sewer Expenditures 5,000 Total Cummul. Sewer Fd. 5,000 j LOCAL ROAD & STREET FUND Services Contractual 8,550 Total Local Road & Street 1 Fund 8,550