The Mail-Journal, Volume 10, Number 28, Milford, Kosciusko County, 8 August 1973 — Page 13

Syracuse police report is given for month of July The Syracuse police report for the month of July has been released as follows: Calls answered — 87 - Warning tickets issued — 23 Traffic arrests — 14

NOTICE TO TAXPAYERS OF TAX LEVIES Notice is hereby given the taxpayers of WARSAW COMMUNITY SCHOOLS. Kosciusko County,.lndiana. that the proper legal officers of said school corporation will meet at the office of the Superintendent on the 30th day of August, 1973. 8:00 p.m. to consider the following budget, levies and tax rates. GENERAL FUND Account 700, Maintenance 113.010.00 Account 100. Administration $ 117,832.00 Account 800, Fixed Charges — . 19 5.°35.00 Account 200, instruction 3,266,072.00 Account 1100. Community Services .— - 6,500.00 Account 300. Attendance Services 7,700.00 Account 1200, Capital Outlay — - 12,000.00 Account 400. Health Services 7,850.00 Account 1400, Transfer Accounts — — - 53.750.00 Account 500. Pupil Transportation 197,540.00 Account 600, Operation of Plant 465,424.00 Total General Fund — $4,442,713.00 ESTIMATE OF FUNDS TO BE RAISED FUNDS REQUIRED FOR EXPENSES TO DECEMBER 31st OF INCOMING General T£tal Budget Estimate for ensuing year, January 1 to December 31. t 1974. inclusive — ' ■ — — --- - $4,443,713.00 2. Necessary Expenditures, July 1 to Dec. 31 of present year, to be made « from appropriations unexpended - - — - --- — 3. Outstanding Temporary Loans to be paid before December 31 of present 45000000 4. Total Estimated Expenditures — i 6,934,985.00 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY , on 5. •Actual Cash Balance, June 30 of present year --..-i mmw.w 6. Taxes to be collected present year (December Settlement) 1,654,958.00 7. Miscellaneous revenue to be received July 1 of present year to December 31 of incoming year - Schedule on File • a. Special Taxes (Bank & Loan, 2 Yrs.) 54.745.00 b. All Other Revenue- 2.592,t.0v 8. Total Funds -Z *’ll6 577 00 Loss' in Cash Balance — — — — — — — — -116,577.0 u 9. NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DECEMBER 31 OF ENSUING YEAR ’ an 10. Operating balance - 2.200.00 11 AMOUNT TO BE RAISED BY TAX LEVY $2,636,793.00 PROPOSED LEVIES Net Taxable Property $71,072,631.00 ™, wns * Levy on Property Amount to be Raised General — s3’ 7l $2,636,793.00 Cumulative Bundta£” " T 1-15 « 17,335 09 TOTAL ’J T $4.86 $3,454,128.00 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be •piiNns Collected Collected Collected Collected 1970 1971 1972 1973 Gpneral $2,566,323 $2,471,812 $2,416,713 $2,517,958 Debt Service ' - 65.803 57,932 Cumulative Buildtai'—ZZZ."-_Z 526,425 514,961 743,107 776,159 TOTAL $3,158,551 $3,044,705 $3,159,820 $3,294,117 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 Monday in September, and the levy fixed by the county tax adjustment board, or in their failure to do so, 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 fl”? a date for hearing in this county. RUSSELL L. HEYDE WINNIFRED S. CLUEN MERLE MOCK WORBY CLINKER EVERETT ROOKSTOOL w. james mccleary Board of School Trustees Dated this 24th day of July. 1973. MJ — A. 1 & 8 ■ $ kiattcf TA TAXPAYERS OF TAX LEVIES IN THE MATTER OF DETERMINING THE TAX RATES FOR CERTAIN PURPOSES FOR ETNA TOWNSHIP, KOSCIUSKO COUNTY. INDIANA, BEFORE THE TOWNSHIP ADVISORY BOARD. . Notice is hereby given the taxpayers of Etna Township, Kosciusko County, Indiana, that the proper officers of said township, at their regular meeting place, on the 27th day of August, 1973, will consider the following budget. TOWNSHIP BUDGET CLASSIFICATION TOWNSHIP FUND Total Township Fund <■ $3,615 B. Direct Relief Pay of Trustee. Rent. Clerical FIRE FIGHTING FUND 1. Me dical. Hospital and and Travel Expense $1,580 Fire Protection $4,000 ® urlal h -_ Direct Relief $ 500 Books, Stationery, Printing and RECREATION FUND 2 - Other Direct * Advertising 390 Total 4-H Lenders Fund $ 420 C. Other Relief Care of Cemeteries — r 1,050 FVND . V * - Other Civil Two, Expenses _595 T °4oWNSHIP POOR RELIEF FUND Total Twp. Poor Relief Fund $l,lOO ESTIMATE OF FUNDS TO BE RAISED FUNDS REQUIRED FOR EXPENSES TO DECEMBER 31st OF INCOMING Recreatlon Übrary 1. Total budget estimate for incoming year, Jan. Ito Dec. 31, 1974, In- 0 00 T°42o SF4SO$ F 450 2. Necessary Expenditures, July 1 to Dec. 31 of present year, to be made from appropriations unexpended — St 2,000 3,325 360 225 3. Additional Appropriations necessary to be made July 1 to Dec. 31 or present year - ZT -- V 7 4. Outstanding Temporary Loans to be paid before December 31, of present year—not Included in lines 2 or 3 —: ' 5. Total Funds Required (Add Lines 1, 2. 3 and 4) . —4 •— 5,615 7,325 780 675 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY 6. Actual Balance. June 30th of present year ----- ——4--- -— n : 5 » 2,307 2 ? 7 .7. Taxes to be collected, present year (June and December Settlement) 2,540 963 Jib Jto 8. Miscellaneous Revenue to be received, July 1 of present year to Dec. 31 of incoming year (Schedule on file) 4, a. Special Taxes — Excise — — — — — — — 154 41 19 19 b. All Other Revenue — Bank & Bldg. * Loan (Scott Twp. Fire) 43 500 5 o 9. Total Funds (Add Lines 6,7, 8a and 8b) 2,679 3,811 587 482 10. Net amount required to be raised for expenses to Dec. 31st pf incoming year (Deduct line 9 from line 5). . — — - — 2,936 3,514 -173 193 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30. less Miscellaneous Revenue for same Period) 298 185 150 130 12. Amount to be raised by Tax Levy (Add lines 10 and 11) $3,234 $3,699 $ 323 $ 323 PROPOSED LEVIES Net Taxable Property — $3,234,140 Etna Twp. $2,466,110 Etna Green $ 768,030 Levy on Amount to FUNDS Property Be Raised Townkhlp . . $ -10 $3,234 Fire Fighting .15 3,699 Recreation — .01 323 Library -01 323 Total - $ .27 » ' $7,579 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED £ ■ ■ „ To Be Collected Collected Collected Collected FU*IDS — 1970 1971 1972 1973 Township $3,476 $2,488 $2,449 1 $3,079 Fire- Fighting 6,228 3,690 2,327 931 Recfeation —. 238 311 306 Library--- 476 622 306 Total J,,--- — $10,418 $7,111 $4,776 $4,622 Taxpayers appearing shall have a right to be heard therepn. After the tax levies have been determined, and presented to the county auditor not later than two days prior to the second Monday 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. MAX KINTZEL ■> Trustee, Etna Township Dated July 25, 1973, MJ — A, 1 & 8 NOTICE TO TAXPAYERS OF TAX LEVIES IN THE MATTER OF DETERMINING THE TAX RATES FOR CERTAIN PURPOSES BY CLAY TOWNSHIP, KOSCIUSKO COUNTY, INDIANA, BEFORE THE TOWNSHIP ADVISORY BOARD. Notice is hereby given the taxpayers of Clay Township, Kosciusko County, Indiana, that the proper officers of said township, at their regular meeting place, on the 28th day of August, 1973, will consider the following budget: TOWNSHIP BUDGET CLASSIFICATION TOWNSHIP FUND CIVIL TOWNSHIP BOND FUND Total Cumulative Fire Fund $10,200 Pay of Trustee. Rent, Clerical Principal and In£re« on * 22,250 TOWNSHIP POOR RELIEF FUND & Travel Expense — $1,900 FIRE FIGHTING FUND Relief Books, Stationery, Printing * Fire Prot^“ R n l;A f fund’ ’ 1. Medical. Hospital & Burial $2,003 Other Civil Twp Expenses $1,030 CUMULATIVE FIRE FUND 3. Total Direct Relief -W.300 2 hi Fund “ BUl,d ‘ ng * EQU ‘ Pment Total Twp. Poor Relief Fund Total Township Fund —— -—$J,99« ESTIMATE OF FUNDS TO BE RAISED \ Fire Civil Cum. FUNDS REQUIRED FOR EXPENSES TO DECEMBER 31st OF INCOMING Fighting Bond Building 1. Total budget estimate for Incoming year, Jan. Ito Dec. 31. 1974. in- # 3,990 $ 8.050 $ 2,250 $10,200 $ 1.000 2. Necessary Expenditures, July Ito Dec. 31 of present year, to be made 3,503 6,306 2,417 1,000 from appropriations unexpended . , LI 3 Additional Appropriations necessary to be made July 1 to Dev. 31 of 13,270 present year (Revenue Sharing) — — — -- - -- ; 4. Outstanding Temporary Loans to be paid before December 31, of present year—not included ItaM.2 or 3 - • 7.493 14.356 4,667 23,470 2,000 5 Total Funds Required (Add Lines 1. 2. 3 and 41 .. - fTJNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY 2,614 2.307 3.387 6,967 400 7’ •^axes a ‘ta*b!? , c C onected* present ye7r*?June*<fc 'Dec7'SettleiniHiit)’ - ZZZ*ZZZ7ZZ^ir* 3,O47 6.493 3.626 6.303 788 8. Miscellaneous Revenue to be received, July 1 of present year to Dec. 31 of incoming year (Schedule on file) - ■ 47a 40c 89 a Special Taxes Excise — Bank. Savings & Loan — - 320 . 478 426 b. All Other Revenue 9 Total Funds (Add Lines 6,7. 8a and 8b) -------------- --- 5.981 9.278 7.439 13.270 1,277 10. Net amount required to be raised for expenses to Dec. 31st of incoming 2 00 72 3 year (Deduct ’line 9 from line 5). -- ------- — - u.v.® 11 Operating Balance (Not in excess of expenses from Jan. 1 to June 30, less Miscellaneous Revenue for same Period) 1,000 1,700 ■ 12 Amount to be raised by Tax Levy (Add linJs 10 and 11) » 2.512 $ 6,778 $10,200 $ 723 ' PROPOSED LEVIES Net Taxable Property Claypool $368,870 ? Clay Twp. $2,915,130 Net Taxable Property Levy on AmO unt to Property Be Raised FUNDS — , $ 09 $ 2.512 Township (Township only) 2 2 6.778 Fire Fighting (Twp. only) ----- 03 723 Recreation (Clay Twp and Claypool) 35 10,200 Cumulative Building (Clay Twp.) - - $ .69 $20,213 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be . MW. Collected Collcted Col'ectcd Col’ected 1970 1971 1972 1973 FUNDS — j 5 98 0 $3,346 $4,462 $3,103 Township — 8 784 7.026 7.137 6,559 Fire Fighting —————--- > ’ 283 608 924 804 Recreation Fund ——— 3 954 6 341 3.701 ?ivil Bond Fund 1 i„. $18,700 $14,934 $18,864 $14,167 annearlne shall have a right to be heard thereon. After the tax levies hath* been determined, and nres n^d XP to y th<' county not later than two days prior to jhe second Monday in September, and _the levy L„ d »h rmintv tax adjustment board, or on their failure so to do. by the county auditor, ten or more taxfixed by th< cou aggrieved by such levies, may appeal ta the state board of tax commissioners for further P nrt er fin»i e hearing thereon by filing a petition with the county auditor on or before the fourth Monday of September m befor" the tenth day after publication by the county auditor of tax rates charged, whichever date Is “ate? and ?he state board of tax commissioners will fix a date for hearing in this county. WAYNE R. JOHNSON Trustee, Clay Township » MJ A. * <V o Dated July 17, 1973.

Dogs impounded — six Criminal arrests — 13 Theft reports — five Fire calls attended — six Traffic accidents investigated — nine Vandalism reports investigated — four Juvenile cases investigated — three Juveniles arrested — one Zone parking tickets — seven Overtime parking tickets

issues — 104 Courtesy services rendered — 25 Junk cars removed —two Stolen property was valued at $2,174 with SSO worth of stolen property recovered. Traffic accident damage during the month totaled $2,000. The police car was striven 2,400 miles. The report was signed by police chief Orville Vanderßeyden.

Tax rate at Leesburg is 89 cents A legal notice appearing elsewhere in this issue of the paper shows the proposed tax rate for the town of Leesburg is 89 cents with a total of $6,430.08 to be raised. Os the total rate 72 cents is in the general fund and 17 cents is in the street fund. The general fund levy will raise $5,201.86 for the operation of the town in 1974 and the street fund will raise $1,228.22.

NOTICE TO TAXPAYERS OF TAX LEVIES IN THE MATTER OF DETERMINING THE TAX RATES FOR CERTAIN PURPOSES BY SCOTT TOWNSHIP, KOSCIUSKO COUNTY, INDIANA, BEFORE THE TOWNSHIP ADVISORY BOARD. Notice Is hereby given the taxpayers of Scott Township, Kosciusko County, Indiana, that the proper officers of said township, at their regular meeting place, on the 28th day of August, 1973, will consider the following budget: TOWNSHIP BUDGET CLASSIFICATION TOWNSHIP FUND Exam, pf Records 25 00 B. Direct Relief Other Civil Twp. Expenses — 431.00 1. Medical, Hospital * Burial $ 500.00 Pay of Trustee, Rent, Clerical 2. Other Direct Relief 500.00 & Travel Expense $1,555.00 Total Township Fund — $2,411.00 3. Total Direct Relief $1,000.00 B °& k Advertising™’ Pnntlng 400 00 TOWNSHIP POOR RELIEF FUND Total Twp. Poor Relief Fd. $1,000.00 ESTIMATE OF FUNDS TO BE RAISED Fed. Rev. Fed. Rev. Fed. Rev. mTNnQ required FOR EXPENSES TO DECEMBER 31st OF INCOMING Sharing Sharing Fd. Sharing FUNDS REQUIRED FOR expenses, x/cv Township Fd. for care for Annual Fund 1 -Tntni hnricet estimate for incoming year, Jan. 1 to Dec. 31, 1974. in- Fund of Cemetery Fire Cont. for Rec. 1. Total budget estimate lor incoming $2,411.00 $ 550.00 $1,950.00 SIOO.OO 2. ■Expenditures. July' 1 to Dec?3l of present year, to be made from appropriations unexpended — -—- - , - ,—, 3. Additional Appropriations necessary to be made July 1 to Dec. 31 or 4. Outstanding Temporary Loans to be paid before December 31, of present A year — not included in lines 2 or 3 — , o—5. Total Funds Required (Add Lines 1.2, 3 3,935.00 FUNDS ON HAND AND TO BE RECEIVED FROM oOURCES OTHER THAN PROPOSED TAX LEVY 6. Actual Balance. June 30th of present year 1.351 W 7. Taxes to be collected, present year Dec. & June Settlement — — — 4,tjj.vu 8. Miscellaneous Revenue to be received, July 1 of present year to Dec. 31 of incoming year (Schedule on file) — — a. Special Taxes (Excise Tax) J77.0V b. All Other Revenue r • 9. Tbtal Funds (Add-Lines 6,7, 8a and 8b) —— —- 6,361.00 10. Net amount required to be raised for expenses to Dec. 31st of incoming year (Deduct line 9 from line 5). „L_ „—.. -— 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30, less Miscellaneous Revenue for same Period) a— ' 12. Amount to be raised by Tax Levy (Add lines 10 and 11) — PROPOSED LEVIES Net Taxable Property — - $2,564,450 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be Collected Collected Collated Coll-cted piiNnq — 1971 1972 1973 1974 Township - 2 4.710.00 $ 3.378.00 $ 4,733.00 TotaV $ 4,710.00 $ 3.378.00 $ 4.733.00 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 Monday 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. LOWELL ANGLIN Trustee, Scott Township Dated July 25, 1973. MJ — A. 1 * 8 NOTICE TO TAXPAYERS OF TAX LEVIES ' IN THE MATTER OF DETERMINING THE TAX RATES FOR CERTAIN PURPOSES BY LAKE TOWNSHIP, KOSCIUSKO COUNTY. INDIANA. BEFORE THE TOWNSHIP ADVISORY BOARD. Notice is hereby given the taxpayers of Lake Township, Kosciusko County, Indiana, that the proper officers of said township, at their regular meeting place, on the 28th day of August, 1973, will consider the following budget. TOWNSHIP BUDGET CLASSIFICATION TOWNSHIP FUND Other Civil Twp. Expenses —51,010.00 1. Medical, Hospital and Pay of Trustee, Rent. Clerical Burial — — $ 800.00 & Travel Expense—sl,9oo.oo Total Township Fund $4,480.00 3 . Tota j Direct Relief Books, Stationery. Printing & FIRE FIGHTING FUND (Total Bl and B 2) — $ 800.00 Advertising 650.00 Fire protection $2,000.00 2 , o “" -sjhj! ss TgtfTsrTT... ESTIMATE OF FUNDS TO BE RAISED Fire FUNDS REQUIRED FOR EXPENSES TO DECEMBER 31st OF INCOMING T ?^Sd h,P ’jW?* ' “Fund 1. Total budget estimate for incoming year, Jan. Ito Dec. 31, 1974, in- $4,480.00 $2,000.00 $ 800.00 2. Necessary Expenditures, July 1 to Dec. 31 of present year, to be made 3 450 00 676.00 500.00 from appropriations unexpended - -- — J ’ 3. Additional Appropriations necessary to be made July 1 to Dec. 31 of present year — - 4. Outstanding Temporary Loans to be paid before December 31, of present year—not included in lines 2 or 3 ——7 oso 00 2.676 00 1,300.00 5 Total Funds Required (Add Lines 1,2, 3 and 4) — ■ : FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY 9 252 63 1,065 00 370.12 6. Actual Balance. June 30th of present year - - — 2’045 00 1 248 00 654.00 7. Taxes to be collected, present year (June & Dec. Settlement) — — —2.945. UV i,t«.w 8. Miscellaneous Revenue to be received, July 1 of present year to Dec 31 of incoming year (Schedule on file) 1277a 88 89 a. Special Taxes Bank & Excise 400.21 127.35 b. All Other Revenue i 9. Total Funds (Add Lines 6. 7. 8a and 8b) — 5,597.84 2,440.35 1,113.01 10. Net amount required to be raised for expenses to Dec. 31st of Incoming 287 00 year (Deduct line 9 from line 5). - — ----- --- 2.332.16 235.65 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30. 1 non no 50000 less Miscellaneous Revenue for same Period) 1,000.00 1_ 12. Amount to be raised by Tax Levy (Add lines 10 and 11) $3,332.16 $1,235.65 $ 787.00 PROPOSED LEVIES Net Taxable Property $3,586,710.00 Twp. only $2,797,200 00 Levy on Levy on Amount to. Polls Property Be Raised Total - 8 16 $5,354.81 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be Collected Collected Col’ected Collected FtTNn«? — 1970 1971 1972 1973 „ Townshin $2,614.92 $4,126.50 $2,750.00 82,945.00 Fire Fighting 1,081.59 1,225.95 1,220.00 1.248.00 R?creXn "“T-ZT-Z™: <57.25 726.24 470.00 654.00 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 Monday 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 runner 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. AUSTIN NEHER Trustee, Lake Township Dated July 20, 1973. MJ — A. 1 « 8 NOTICE TO TAXPAYERS OF TAX LEVIES Notice is hereby given the taxpayers of LAKELAND COMMUNITY SCHOOL CORPORATION. Kosciusko County, Indiana, that the proper legal officers of said school corporation at their regular meeting place on the 30ih day of August, 1973 will consider the following budget, levies and tax rates: GENERAL FUND Account 1100, Community Services — — 24.000 Account 1200, Capital Outlay — 31 .° 00 Anennnt I(W> Administration — 8 76,797 Account 1300, Debt Service — —- — — — -5.00 J Account 300, Attendance Services 7.178 •<» mn noi Account 400, Health Services T ° Ul General "SERVICE ~FUND $2 8 ' Arrnunt 500 PiiDil Transportation - 155,900 DEBT sekvive tunu Account 600, Operation of Plant 294,439 Account 1300, Debt Service — — 3 * ™OO. Fixed‘Tha C r:es----IZ:-:-102,’904 Total Debt Service Fund 8 528,716 ESTIMATE OF FUNDS TO BE RAISED FUNDS REQUIRED FOR EXPENSES TO DECEMBER 31st OF INCOMING General YEAR Fund Fund 1. Total budget estimate for incoming year, Jan. 1 to Dec. 31, 1974, in- $2,870,893 $528,716 2. Necessary Expenditures, July Ito Dec. 31 of present year, to be made * 721 252,853 from appropriations unexpended “I 3. Additional appropriations necessary to be made July 1 to December 31 or 40,233 4. Outstanding Temporary Loans to be paid before December 31, of present 70,000 year — not included in line 2 or 3 — — 4 384 847 781,569 5 Total Estimated Expenditures (Add Lines 1.2, 3 and 4) FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY IQ6 564 162,731 6. Actual Cash Balance. June 30 of present year — 1.361’656 221.707 7. Taxes to be collected, present year (December Settlement) -- -— 8. Miscellaneous Revenue to be received, July 1 of present year to Dec. 31 of incoming year (Schedule on file) 237,000 56,100 a. Special Taxes 1,033,852 236,824 b. All Other Revenue 9. Total Funds (Add Lines 6,7, 8a and 8b) - --— 2,739,072 677,363 10. Net amount required to be raised for expenses to Dec. 31st of ensuing 104,207 year (Deduct line 9 from line 5). — ------- 11. Operating Balance (Not in excess of expenses from Jan. 1 to June JU, 283 gj 7 less Miscellaneous Revenue for same Period) • ' 12. Amount to be raised by Tax Levy (Add lines 10 and 11) $1,873,450 $388,164 PROPOSED LEVIES Net Taxable Property ~------’■_ t \ *?*’D° al . 0< ? FUNDS- \ Levy on Property Debt Service °° 178.000 Cumulative Building TOTAL $5.49 $2,443,050 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be Collected Collected Collected Collected FUNDS — 1970 1971 197a i 973 General * 198.063 105.612 361.863 358.707 ?umuutlv v e Building-" w 3 -»8 i6i,6 8 0 162.635 168.803 TOTAL $2,009,519 $2,158,951 $2,264,690 $2,304,166 Taxpayers appearing shall have a right to be heard thereon. After the tax levies hive been determined, and presented to the county auditor not later than two days prior to the second Monday 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 finll 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. ROBERT A. CRAIG, M. D. BILLY O. LITTLE FLOYD H. BAKER JOHN F KROH PHILIP R. PAYNE Board of School Trustees Dated this 24th day of Julj, 1973. MJ — A. 1 A 8

New hours at license branch Jack Vanderford, manager of the Syracuse license branch, has announced new hours for the branch now in effect. The branch will be open from 8:30 to 4:30 daily, and from 8:30 to 12:30 on Saturdays. The week day hours are the same as the Warsaw branch, Vanderford said. In addition, a new employee at the Syracuse branch, beginning Friday, Aug. 10, will be Mrs. Frank O’Neil of Barbee Lakes. Her husband is a state highway department employee.

The other employee in the local branch is LaVada Dean, who has worked there for a number of years. Gary Huff in Germany GELNHAUSEN, Germany — Army private Gary Huff, son of Mr. and Mrs. Hobert Huff of r 3 Munfordville, Ky., was assigned to the 3d armored division in Gelnhausen, Germany. Private Huff is an infantryman in company A, Ist battalion of the division’s 48th infantry. His wife, Faye, lives on r 1 Ligonier.

Wed., Aug. 8,1973 — THE MAIL-JOURNAL

OPERATIONS EXPANDED — Chore-Time Equipment, Inc., Milford, recently announced the expansion of its Athens, Ga., facility, one of the international poultry and livestock equipment company’s southern divisions which was formerly a joint operation of Chore-Time and Brock Manufacturing Co. Due to increased demands for feeding systems and equipment used on cage systems, the Athens plant is increasing its production of cage feeding equipment and related components. Brock, manufacturer of bulk storage, feed and grain bins, will move their warehousing and sales operations to their individual Chore-Time and Brock distributors in the area for increased local service. Shown discussing plans for the expansion of the Athens facility are Forrest Ramser, Chore-Time vice president and Robert Foster, assistant plant manager. Both Ramser and Foster are former Milford area residents.

NOTICE TO TAXPAYERS OF TAX LEVIES IN THE MATTER OF DETERMINING THE TAX RATES FOR CERTAIN PURPOSES BY MONROE TOWNSHIP, KOSCIUSKO COUNTY, INDIANA, BEFORE THE TOWNSHIP ADVISORY BOARD. Notice is hereby given the taxpayers of Monroe Township. Kosciusko County. Indiana, that the proper officers of said township, at their regular meeting place, on the 28th day of August. 1973, will consider the following budget: TOWNSHIP BUDGET CLASSIFICATION TOWNSHIP FUND RECREATION FUND Pay of Trustee, Rent, Clerical 4 _ H $ 150 and Travel Expense — $1,635 . Books, Stationery, Printing and Tota i Recreation Fund $ 15V Care V of rt Cemeterlesio TOWNSHIP POOR RELIEF FUND Fire Protection 2.000 B. Direct Relief Library Use - 300 1. Medical, Hospital and Examination of Records — 30 Burial ■ 1.000 Other Civil Twp. Expenses —495 2. Other Direct Relief — 800 Total Township Funds4,9oo Total Twp Poor Relief Fund SI,BOO ESTIMATE OF FUNDS TO BE RAISED FUNDS REQUIRED FOR EXPENSES TO Township DECEMBER 31st OF INCOMING YEAR: Fund 1. Total budget estimate for incoming year, Jan. 1 to Dec. 31. 1974, inclusive — $4,900.00 2. Necessary Expenditures, July 1 to Dec. 31, present year, to be made from ap- ' proprlatlons unexpended 2,763. W) 3. Additional Appropriations to be made July 1 to Dec. 31 of present year 4. Outstanding temporary loans to be paid before Dec. 31st of present year — not included in lines 2 or 3 5. Total Funds Required (Add lines 1, 2. 3 and 4) 7.663 00 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY - q 2 65 6. Actual Balance June 30 of present year 3,5 03 7. Taxes to be collected, present year „ (June & December Settlement) w 8. Miscellaneous Revenue to be received, July 1 of present year to Dec. 31 of Incoming year (Schedule on file) • a. Special Taxes 530 00 b. All Other Revenue . 9. Total Funds (Add lines 6. 7, 8a and 8b) 10. Net amount required to be raised for expenses to Dec. 31st of incoming year 2 728 00 (Deduct line 9 from line 5) 11. Operating Balance (not In excess of expanses from Jan. Ist to June 30, less j 9^4 88 Mlsc. Revenue for same period) . 12. Amount to be raised by tax levy (Add lines 10 and 11) $4,642.00 PROPOSED LEVIES Net Taxable Property — r ; -* 1,7 <7 910 Levy on Amount to ■FUNDS Property be rals'-'l ToSta » 27 * 4,8 « Recreation 4-H J 01 Tota i „ $ 28 $4,792 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED TO be funds Collected Collected Collected Co”ected U 1970 1971 1972 1973 Township $3,718 $3,846 $4,570 $4.3W> Recreation lao Total $3,718 $3,846 $4,570 $4,540 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 Monday in September, and the levy fixed by the County Tax Adjustment Board, or on their failure so to do, bv 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 bv the County Auditor of tax rates charged, whichever date is later, and State Board of Tax Commissioners will fix a date for hearing in this county. SARAH J. RINGGENBERG Trustee, Monroe Townshin Dated July 26, 1973. MJ — A. 1 & 8 NOTICE TO TAXPAYERS OF TAX LEVIES IN THF MATTER OF DETERMINING THE TAX RATES FOR CERTAIN PURPOSES ”y SILVER LAKE CIVIL TOWN, KOSCIUSKO COUNTY. INDIANA, BEFORE THE BOARD OF TOWN TRUSTEES. Notice Is hereby given the taxpayers of Silver Lake Civil Town, Kosciusko County Indiana that the proper officers of said civil town, at their regular Stag p?act on the 22nd day of August. 1973, will consider the blowing budget: GENERAL FUND FUND - „ . „ — , « inn Current Obligations — $ oo Salary of Town Trustee $ 300 Salary of Clerk-Treasurer 600 Totftl Bond pund 55 . Compensation of Town Att y. —2OO MOTOR VEHICLE HIGHWAY FUND Compensation of Firemen 750 Materla i s $22.5J0 Other Compensation 500 “ qulpment „ 4.5C0 Services Contractual — 9 .10® wn Mars hal Equip. 3,000 Supplies — 930 Materials : 500 Total M.V.H. Fund . --$30,000 Current Charges 7,725 FEDERAL REVENUE SHARING FUND Properties 7 50 ce Car „ __s 3.900 a . j Retire Fire Station Bonds 1.5 W Total General Fund $21,225 Retire pire Engine Debt 5,385 STREET FUND " i < ana Total Fed Rev. Shar. Fund $10,785 Services Personal 5.404 T ‘ C^MULATIVE CAPITAL Sen? Charges ZZ'/ZZZZ 200 IMPROVEMENT FUND obligations'- 375 Capital Improvements 216 000 Total Street Fund $6,879 Total C.C.I.F. Fund — -* I6OOO Complete detail of budget estimate may be seen in office of Clerk-Treasurer ESTIMATE OF FUNDS TO BE RAISED -nd l W -d r $21,225.00 $ 6,879.00 $ 65.00 2. Necessary expenditures, July 1 to Dec. 31 of present year, to be made from approp- 3,795.00 1,035 00 , riatlons unexpended — -- la.uw -V' 3 Additional appropriations to be made July 1 to Dec. 31 of present year — 4. Outstanding temporary loans to be paid • before Dec. 31 of present year - 37 115 00 10.674.00 1,090.00 5. Total Funds Required w- — -- FUNDS ON HAND AND TO BE RECEDED FROM SOURCES OTHER THAN PROPOSED T 6 AX Ac^ Y balance. June 30th of present year 11,584.58 2.014.21 151.00 ’• ? X 12,16 9 .00 4.496.00 633.99 8. Miscellaneous revenue to be received July 1 of present year to Dec. 31 of incoming year — Schedules on file 2Q 12 9 6 , -'-.ZZZLZ-ZZ: "7- 5,528.16 84053 9. Total Funds -- - 29,526 85 7,421 94 803 99 10. Net amount required to be raised for ex- 3 252 06 286 01 penses to Dec. 31 of incoming year . 7.5884 5 3.252.06 286.0, 11. Operating balance 4 ___ 12 AMOUNT TO BE RAISED BY TAX LEVY $12,309.15 S 4.983.06 $ 320.01 PROPOSED LEVIES Net Taxable Property — —•— S ' B3 ; J ' ,U Levy on Amount to Property b ■ raised FUNDS — $1 56 $12.30915 General 7 63 4.983 06 Street — 04 32 0.0 i Bond . ' Total 22 23 $17.612 22 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To be wuuns — Collected Collect d Collected Collected FUNDS — lg7o 1971 1972 i 973 n„ n . r .l — - $20,911.78 $15,035.00 $14.82 100 $12.18760 g 0 "® 1 al ‘ 6.264.62 5.262.00 3,705 00 4.521 00 Bond ■""ZZ.ZXZ— ’ 1,156.49 1,127.00 653.00 868 00 Tota ] $28,332.89 $21,424.00 $19,179.00 $17,576.00 Taxpayers appearing shajl have a right to be heard thereon. After ’he tax levies have been determined, and P res en’ed to ‘he County Auditor not later than two days prior to the second Monday in September, and the leiy fixed by the countv Tax Adjustment Board, or on ’their failure so to do, by the .ounty Auditor, ten or more taxpayers feeling themselves aggrieved by ® ocl J ' h e a Hng appeal to the State Board of Tax Commissioners for further and final nearing thereon by filing of petition with the County Auditor on or before the tourih Monday of September or on or before th<‘ tenth day after publication by the ciSnty Audita? of tax rates charged, whichever date is later, and State Board of Tax Commissioners will fix a date for hearing in this county CHESTEEN CHAPPLE j Clerk-Treasurer Dated July 18, 1973. MJ — A. 1 * 8

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