The Mail-Journal, Volume 17, Number 28, Milford, Kosciusko County, 30 July 1980 — Page 20
THE MAIL-JOURNAL —Wed., July 30,1980
20
Donnelley sales are up again
R. R. Donnelley and Sons Company reported net sales of $494,297,000 for the first six months of 1980, compared with net sales of $413,048,000 for the first six months of 1979. The company reported net income for the six months of 1980 of $27,618,000, equivalent to $1.49 per share. This compares with $24,331,000 and $1.31 per share for the first six months of 1979. Net sales for the three months ended June 30, 1980, were $249,871,000, compared with $208,129,000 for the corresponding quarter of 1979. Net income for the second quarter was $14,979,000 or 81 cents per share, compared with $13,352,000 or 72 cents per share, for the same quarter a year earlier. The company noted that “sales for the first half of 1980 increased. 20% over the same period in 1979. Net income increased 14%. Sales for the second quarter increased 20 per cent over the same period in 1979, while net income increased 12 per cent. The percentage increases in net income are below the comparable sales volume increases, reflecting lower other income due primarily to a smaller investment in marketable securities and the resultant reduction in interest
NOTICE TOTAXPAYERSOF TAX LEVIES IN THE MATTER OF DETERMINING THE TAX RATES FOR CERTAIN PURPOSES BY SIDNEY CIVIL TOWN, KOSCIUSKO COUNTY, INDIANA, BEFORE THE BOARD OF TOWN TRUSTEES. Notice is hereby given to taxpayers ot Sidney, City or Town, Kosciusko, County. Indiana, that the Common Council or Town Board at their regular meeting place on the 18th day of August, 1980 will conduct a public hearing on the 1981 budget and on the 2Sth day of August, 1980 will consider the following budget: BUDGET ESTIMATE (Complete detail of budget estimate may be seen in the office of Clerk Treasurer) GENERAL FUND Ditch Assessment $ 31 Salary of Town Trustees $ 1,050 Salary of Clerk Treasurer ,i 475 Total General Fund. sll,Oll Salary of Marshal 8. MOTOR VEH. HWY. FUND 10.950 Deputy Marshals 1,050 L.R.S. FUND 5,500 Services Contractual 7.280 F.R.S. FUNDi 4,500 Supplies 375 — Insurance 750 Total Os All Funds $31,961 ESTIMATE OF FUNDS TO BE RAISED General M.V.H. FUNDS REQUIRED FOR EXPENSES TO DEC. 31 OF INCOMING YEAR Fund Fund 1 Total Budget Estimate for incoming year, Jan. 1 to Dec. 31. 1981. inclusive sll,Oll $10,950 2. Necessary expenditures. July 1 to Dec. 31 of present year, to be made from appropriations unexpended 6,152 4,150 5. Total Funds Required (Add lines 1,2, 3 and 4) ..._ $17,163 $15,100 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY 6 Actual Balance, June 30th of present year 10,232 5,830 7. Taxes to be collected, present year (Dec. Settlement) 3.342 8 Miscellaneous revenue to be received July 1 of present year to Dec 31 of incoming year — Schedules on file a Special taxes ;. — 1,929 b. All other revenue 826 4,305 9 Total Funds (Addl'inesd, 7, Baandßb) $16,329 $7,398 10 NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC 31 OF INCOMING YEAR (Deduct line9from lines). .. 834 7,702 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30, less misc. revenue for same period) 5,000 1.500 12 AMOUNT TO BE RAISED BY TAX LEVY (Add lines lOand 11) 5,834 9.202 14 NET AMOUNT TO BE RAISED BY TAX LEVY (Deduct line 13from line 12) q 5.834 9,202 PROPOSED LEVIES Net Taxable Property "• ■ ■ ■ $293,660 FUNDS— Levy on Amount to Property be Raised General.. .....;. $1.98 $5,834 Motor Vehicle Highway 3-13 9,202 Total « ” $15,036 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 Sep'tembr ind 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 tenth day after publication by the county auditor of tax rates charged, and the state board of tax commissioners will fix a date for hearing in this county. ANITA BLOCHER Clerk Treasurer Dated July 22, 1980 MJ — Jy3o A6 NOTICE TOTAXPAYERSOF TAX LEVIES Notice is hereby given the taxpayers of Winona Lake Civil Town, Kosciusko County, Indiana that proper officers of said town, at their regular meeting place, on the 18th day of August, 1980. will conduct a public hearing on the 1981 budget. The Town Board will meet again on the 25th day of Augbst, 1980. at their regular meeting place, to adopt the following proposed budget: BUDGET ESTIMATE (Complete detail of budget estimate may be seen in the office of Clerk-Treasurer) GENERAL FUND Current Charges $35,750 Salary of Town Trustees $ 1,700 Current Obligations 8,800 Salary of Clerk Treasurer 1,950 Properties 10,400 Salary of Marshal & Deputy Marshals 63,800 Total General Fund 204,055 Compensation of Firemen 3.520 MOTOR VEH. HWY. FUND 112,850 Other Compensation 1,000 LOCAL RD. 8, ST. FUND 7,163 Services Contractual 66,085 Supplies _ 9,500 TotalOf All Funds $324,068 Materials 1,550 ESTIMATE OF FUNDS TO BE RAISED Local FUNDS REQUIRED FOR EXPENSES TO DEC. 31 General M.V.H. R&S OF INCOMING YEAR Fund Fund Fund 1. Total Budget Estimate for incoming year, Jan. 1 to Dec 31,1981, inclusive ' $204,055 $112,850 $7,163 2. Necessary expenditures, July 1 to Dec. 31 of pre sent year, to be made from appropriations unexpended 101,569 57,023 13,000 5. Total Funds Required (Add lines 1,2, 3and4)... $305,624 $169,873 $20,163 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCESOTHER THAN PROPOSED TAX LEVY 6. Actual balance, June 30th of present year. 27,451 22,651 8,737 7. Taxes to be collected, present year (Dec. Set.).. 50,036 15,718 8. Miscellaneous revenue to be received July Los present year to Dec. 31 of incoming year — Schedules on file a. Special taxes 29,373 4,158 b. All other revenue 35,154 50,596 11,426 9. Total Funds (Add lines6,7,Ba andßb) $142,014 $ 93,123 $20,163 10 NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC 31 OF INCOMING YEAR (Deduct line9from lines) 163,610 76,750 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30, less misc. revenue for same period) 5,000 1,000 12. AMOUNT TO BE RAISED BY TAX LEVY (Add lines lOandll) $168,610 $ 77,750 14. NET AMOUNT TO BE RAISED BY TAX LEVY (Deduct line 13 from line 12) 168,610 77,750 PROPOSED LEVIES Net Taxable Property $5,434,410 FUNDS— Levy on Amount To Property Be Raised General. $3.10 $168,610 Motor Vehicle Highway 1.43 77,750 Total $4.53 $246,360 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED — To Be FUNDS- Collected Collected Collected Collected 1977 1978 1979 1980 General $53,247 $74,772 $ 91,960 $108,036 Motor Vehicle Highway 9,377 20,028 19,757 15,705 Total $62,624 $94,800 $111,717 $123,741 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 tenth day after publication by the county auditor of tax rates charged, and the state board of tax commissioners will fix a date for hearing in this county. RETHAS. HICKS Clerk-Treasurer Dated July 23, 1980 MJ — Jy. 30-A. 6
income, and higher income taxes — principally those paid to states.” The company also noted that while it cannot fully determine what impact the present depressed economy will have upon demand for its services in the last half of the year, it expects the results for the year to be satisfactory. A quarterly dividend of cents per share was declared by the board of directors, payable on August 29, to stockholdears of record on August 11. Webster driver injured when vehicle rolls Robert L. Haines, 58, r 1 North Webster, received cuts and bruises to his leg and hand when his auto rolled over Wednesday, July 23, on Old Road 30, five miles east of Warsaw. Haines told police he came up on vehicles that were stopped and when he applied the brakes the car veered off the right side of the road. The vehicle went across the center line before it rolled over. Kosciusko County Police Lt. Richard Mikel and County Patrolman Thomas Brindle investigated.
NOTICE TO TAX PAYE RS OF TAX LEVIES Notice Is hereby given the taxpayers of Leesburg, City or town, Kosciusko County. Indiana, that the Common Council or Town Board at their regular meeting place on the 18th day of August. 1980 will conduct a public hearing on the 1981 budget and on the 25th day ot August, 1980 will consider the following budget: BUDGET ESTIMATE (Complete detail of budget estimate may be seen in the office of Clerk-Treasurer) GENERAL FUND Services Contractual $16,200 FED. REV. SHARING Salary of Town Trustees $ 750 Supplies 420 TRUST FUND ...$3,000 S*l>rv^£ l * r^ Treasurer 950 Current Charges 2,490 CUM CAP IMP. FUND 13,000 ~jary of Marshal 8. Current Obligations i. 995 _____ Deputy Marshals 7,000 TotalOf All Funds $63,770 Town Attorney 450 Total General Fund $29,530 Other Compensation 275 MOTOR VEH HWY FUND 18.240 ESTIMATE OF FUNDS TO BE RAISED A Fed. Rev. Cum. Cap. / " General M.V.H. Sharing Imp. FUNDS REQUIRED FOR EXPENSES TODEC 31 OF INCOMING YEAR Fund Fund Fund Fund 1. Total Budget Estimate tor incoming year, Jan 1 to Dec 31,1981, inclusive $29,530 $18,240 $3,000 $13,000 2. Necessary expenditures. July 1 to Dec. 31 of present year, to be made from appropri tions unexpended 13.099 11,889 1.305 5. Total Funds Required (Add lines 1.2,3and4) ’ L.., $42,629 $30,129 $4,385 $13,000 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCESOTHER THAN PROPOSED TAX LEVY 6. Actual balance, June 30th of present year J (6.340) 16.422 5.358 21.185 7. Taxes to be collected, present year (Dec. Settlement) 14,287 8. Miscellaneous revenue to be received July 1 of present year to Dec. 31 bf incoming year — Schedules on file a. Special taxes 7.494 b. All other revenue 11.250 12.629 2.084 6,700 9. Total Funds (Add lines 6,7, 8a and 8b) J $26,691 $29,051 $7,442 $27,885 10 NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC 31 OF INCOMING YEAR (Deduct ItneVfrom line 5) ....... 15.938 1.078 ( 3.057) (14,885) 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30, less misc. revenue for same period) 5.000 3,000 12. AMOUNT TO BE RAISED BY TAX LEVY (Add lines lOand 111 $20,938 $4,078 14. NET AMOUNT TO BE RAISED BY TAX LEVY (Deduct line 13 from line 12) $20,938 $4,078 __ PROPOSED LEVIES Net Taxable Property $1,625,330 FUNDS— I Levy on Amount to Property be Raised General $1.29 $20,938 Motor Vehicle Highway .25 4.078 Total ..••( $1.54 $25,016 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be FUNDS— Collected Collected Collected Collected 1977 1978 1979 1980 General I 56.633 $7,353 $ 7,411 $14,287 Motor Vehicle Highway 947 5.700 Total ! I $7,580 $7,353 $13,111 $14,287 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 fax commissioners for further and final hearing thereon by filing a petition with the county auditor on or before the tenth day after publication by the county auditor of tax rates charged, and the state board of tax commissioners will fix a date for hearing in this county. HAROLD J BUEILE Clerk Treasurer Dated July 16, 1980 | MJ —Jy .23 30 NOTICE TOTAXPAYERSOF TAX LEVIES Notice Is hereby given the taxpayers of Milford Civil Town, Kosciusko County, Indiana, that proper officers of said town, at their regular meeting place, on the 18th day of August. 1980, will conduct a public hearing on the 1981 budget The Town Board will meet again on the 25th day of August, 1980. at their regular meeting place, to adopt the following proposed budget: BUDGET ESTIMATE (Complete detail of budget estimate may be seen in the office of Clerk Treasurer) GENERAL FUND Other Compensation $ 5,600 00 Salary of Town Trustees $ 900.00 Services Contractual 17,425.00 Total General Fund $102,120.00 Salary of Clerk Treasurer 4,000 00 Supplies 18,800 00 MOTOR VEHICLE HWY FUND 49.543 40 Salary at Marshal & Materials 1,000.00 LOCAL RD & ST FUND 6.980 00 Deputy Marshals 27,020 00 Current Charges 20.525.00 PK. & RECREATION FUND 5,250 00 Dispatcher 3,000.00 Current Obligations 1,800.00 Compensation of Firemen !. 50 00 Properties 2,000.00 Total Os All Funds $163,893.40 ESTIMATE OF FUNDS TO BE RAISED Local General M.V.H. Park R&S FUNDS REQUIRED FOR EXPENSES TO DEC 31 OF INCOMING YEAR Fund Fund Fund Fund 1. Total Budget Estimate for incoming year. Jan Ito Dec. 31,1981. inclusive $102,120.00 $49,543 40 $5.250 00 $6,980.00 2. Necessary expenditures. July 1 to Dec. 31 of present year, to be made from appropriations unexpended 34,471.00 16,289 00 3.852 00 779 00 3. Additional appropriations to be made July 1 to Dec 31 of present year 1.200.00 1.100.00 5. Total Funds Required (Add lines 1,2, 3 and 4) $137,791.00 $66,932.40 $9,102.00 $7,759 00 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY 6 Actual balance, June 30th of present year 3,038 00 12,245.00 1,623 00 1,779 7. Taxes to be collected, presentyear (Dec. Settlement) 39,897.00 3,918.00 8 Miscellaneous revenue to be received July 1 of present year to Dec 31 of incoming year — Schedules on file a. Special taxes 14.632.00 1.326 00 b All other revenue 17,042.00 23.489.00 350.00 5.980.00 9. Total Funds (Add lines 6, 7,8a and 8b) w $ 74,609.00 $35,734.00 $7,217.00 $7,759.00 10 NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC 31 OF INCOMING YEAR (Deduct line9from lines) 63,182.00 31,198.40 1,885.00 11. Operating Balance (Not in excess of expenses from Jan 1 to June 30, less misc. revenue for same period) 51,000.00 24,771.00 2,625.00 12 AMOUNT TO BE RAISED B,Y TAX LEVY (Add lines lOand 11) $114,182 00 $55,969.40 $4,510 00 PROPOSED LEVIES Net Taxable Property $6,529,710.00 FUNDS— Levy on Amount to Property be Raised General $1.75 $114.182 00 Motor Vehicle Highway .86 55,969.00 Park .07 4,510.00 Cumulative Sewer .75 48,973.00 Total j..... $3.43 $223,634.00 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be FUNDS— Collected Collected Collected Collected 1977 1978 1979 1980 General ; $15,335.00 $13,172.00 $49,522.00 $39,897.00 Cumulative Sewer 15,490.00 16,674.00 33.803 00 48,974.00 Park J ...j. 2,669.00 3,549.00 3,918.00 Total $30,825.00 $32,515.00 $86,874.00 $92,789.00 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 com missioners for further and final hearing thereon by filing a petition with the county auditor on or before the tenth day after publication by the county auditor of tax rates charged, and the state board of tax commissioners will fix a date for hearing in this county. MARIA LOZANO Clerk Treasurer Dated July 23, 1980 MJ —Jy 23 30 NOTICE TOTAXPAYERS OF TAX LEVIES ’ IN THE MATTER OF DETERMINING TAX RATES FOR CERTAIN PURPOSES BY TURKEY CREEK TOWNSHIP, KOSCIUSKO COUNTY, INDIANA, BEFORE THE TOWNSHIP ADVISORY BOARD Notice Is hereby given to taxpayers of Turkey Creek Township. Kosciusko County, Indiana, that the proper officers of said township, at their regular meeting place, will conduct a public hearing on the 1981 budget on August 19, 1980. Following this meeting, the aforementioned off icers of said township, will meet, at their regular meeting place, on August 26,1980, to adopt the following budget: TOWNSHIP BUDGET CLASSIFICATION TOWNSHIP FUND Water Safety Equipment $ 6,000 Equipment $1,500 Pay of Trustee, Rent, Clerical and 1 Travel Expense ...$ 3,980 Total Revenue Sharing Fund $ 8,000 Total Cumulative Fire Fund $2,500 Books, Stationery, Printing and FIRE FIGHTING FUND TOWNSHIP POOR RELIEF FUND Advertising 615 Fire Protection $55,606 B. Direct Relief Care of Cemeteries 6.000 RECREATION FUND 1. Medical. Hosp, and Burial 10,000 Other Civil Township Expenses 1,950 Park Equipment 1.000 2. Other Direct Relief o 30,000 3. Tot. Dir. Relief (Tot. Bl 8, B 2) . 40,000 Total Townshin Fund $12,045 Total Recreation Fund $ 1,000 — — REVENUE SHARING FUND CUMULATIVE FIRE FUND Total Twp. Poor Relief Fund $40,000 Scout Cabin Repairs 2.000 Supplies ’.OOO ESTIMATE OF FUNDS TO BE RAISED Fire Cumulative Revenue Township Fighting Recreation Fire Sharing FUNDS REQUIRED FOR EXPENSE'S TO DEC. 31 OF INCOMING YEAR Fund Fund Fund Fund Fund 1. Total budget estimate for incoming year, Jan. 1 to Dec. 31,1981, inclusive... $14,345 $55,606 SI,OOO $ 2,500 SB,OOO 2. Necessary Expenditures, July 1 to Dec. 31, present year, to be made from appropriations unexpended 6,258 26,974 4,706 8.904 3. Additional Appropriations to be made July 1 to Dec. 31 of present year 13.000 5. Total Funds Required (Add lines 1,2, 3 and 4) $20,603 $82,580 SI,OOO $ 2,500 $29,904 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY 6. Actual balance, June 30th ot present year ,1 23,424 22,809 52,815 44,590 7. Taxes to be collected, presentyear (Dec. Settlement) 39,007 14.341 8. Miscellaneous revenue to be received July 1 ot present year to Dec. 31 of incoming year — Schedules on file a. Special taxes 585 13.069 4,804 b. All other revenue 9 904 9. Total Funds (Add lines6,7.Ba and 8b) $24,009 $74,885 $71,960 $54,494 10 NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC 31 OF INCOMING YEAR (Deduct line 9 from lines) ( 3,406) 7,695 1.000 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30, less misc revenue for same period) '... .. 7,627 27.808 12. AMOUNT TO BE RAISED BY TAX LEVY (Add lines lOand 11) $4,221 $35,503 SI,OOO PROPOSED LEVIES Net Taxable Property: FUNDS— Levy on Amount to Property Be Raised Township i S.OIO $ 4,221 Fire Fighting / 225 35,503 Recreation 004 1.000 Cumulative Fire 050 14,340 Total , ....... $ 289 $55,064 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be FUNDS— Collected Collected Collected Collected 1977 1978 1979 1980 Township $ 1,863 $11,355 $11,836 Fire Fighting 25.956 22,708 40,815 $39,007 Cumulative Fire (-• ..1..., 9,270 9,461 9,718 14,341 Total $37,089 $43,524 $62,369 $53,348 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 BETTY J. DUST Trustee, Turkey Creek Township Dated July 24.1980 MJ —Jy. 30-A. 6
NOTICE TOTAXPAYERSOF TAX LEVIES IN THE MATTER OF DETERMINING TAX RATES FOR CERTAIN PURPOSES BY JEFFERSON TOWNSHIP, KOSCIUSKO COUNTY, INDIANA, BEFORE THE TOWNSHIP ADVISORY BOARD Notice is hereby given to taxpayers of Jefferson Township, Kosciusko County, Indiana, that the proper officers of said township, at their regular meeting place, will conduct a public hearing on the 1981 budget on August 19. 1980. Following this meeting, the aforementioned officers of said township, will meet, at their regular meeting place, on August 26,1980. to adopt the following budget: TOWNSHIP BUDGET CLASSIFICATION TOWNSHIPFUNO Fire Protection $ 4,300 TOWNSHIP POOR RELIEF FUND Pay of Trustee, Rent, Clerical and Libraries... 1.800 B Direct Relief Travel Expense $2,900 Other Civil Township Expenses / 704 1 Medical, Hosp and Burial $ 500 . Books. Stationery, Printing and 2. Other Direct Relief 1,000 Advertising 400 Total Township Fund $10,704 3. Tot. Dir. Relief (Tot. Bl 8. B 2) 1.500 Care Os Cemeteries 600 EMS FUND 750 Total Twp Poor Relief Fund $1,500 ESTIMATE OF FUNDS TO BE RAISED Township E.M.S. FUNDS REQUIRED FOR EXPENSES TO DEC. 31 OF INCOMING YEAR Fund Fund 1. Total Budget Estimate for incoming year, Jan. 1 to Dec. 31.1961, inclusive. $10,704 $ 750 2. Necessary Expenditures. July 1 to Dec. 31. present year, to be made from appropri ations unexpended 9.083 5. Total funds required (add lines 1.2,3 and 4) $19,787 $ 750 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES QTHER THAN PROPOSED TAX LEVY 6. Actual Balance June 30th of present year 2_Sll 7. Taxes to be collected, presentyear (Ddfc. Settlement) 7,211 8 Miscellaneous Revenue to be received July 1 ot present year to Dec. 31 of incoming year — Schedule on file a. Special Taxes 1.881 9. Total Funds (Add lines 6,7, 8a and 8b) $11,603 10 NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC 31 OF INCOMING YEAR (Deduct line9from lines) 8.184 750 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30, less misc revenue for same period) 1.000 262 12. AMOUNT TO BE RAISED BY TAX LEVY (Add lines 10 and 11) $9 184 slOl2 PROPOSED LEVIES Net taxable Property '.I $6,325,800 FUNDS— Levy on Amount to Property Be Raised Township $145 $9,184 EMS .016 . 1,012 Total sl6l $10,196 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be FUNDS— Collected Collected Collected Collected 1977 1978 1979 1980 Township $905 $7,863 $6 969 $7,211 Debt Service 4,348 ‘ Taxpayersappearing 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 Com missioners for further and final hearing thereon bv 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 Com missioners will fix a date for hearing in this county . HARLAN J. WUTHRICH Jefferson Township Trustee Dated July 21. 1980 MJ - Jy 30 Aug 6 NOTICE TOTAXPAYERSOF TAX LEVIES In the matter of determining tax rates for certain purposes by Washington Township, Kosciusko County, Indiana before the township Advisory Board Notice is hereby given to taxpayers ot Washington Township. Kosciusko County. Indiana, that the proper officers of said township, at their regular meeting place, will conduct a public hearing on the 1981 budget on August 19. 1980 Following this meeting the aforementioned officers of said township, will meet, at their regular meeting place, on August 26, 1980. to adopt the following budget TOWNSHIP BUDGET CLASSIFICATION TOWNSHIP FUND Pay of Trustee, Rent, Clerical and Total Township Fund $13,630 Total Recreation Fund $ 350 Travel Expense $4,090 FIRE FIGHTING FUND TOWNSHIP POOR RELIEF FUND Books, Stationery Printing and Fire Protection 11 800 B Direct Relief Advertising 650 « 1 Medical Hospital and Burial 1,100 Care of Cemeteries 6.500 Total Fire Fighting Fund sll 800 2 Other Direct Relief 8 400 Memorial Day Expense 100 RECREATION FUND Other Civil Twp Expenses 2.290 4 H Leaders 350 3 Total Direct Relief $9,500 ESTIMATE OF FUNDS TOBE RAISED I Fire Township fighting Recreation FUNDSREQUIREDFOREXPENSESTODEC 31 OF INCOMING YE AR Fund Fund Fund 1. Total budget estimate for incoming year, Jan 1 to Dec 31. 1981. inclusive $13,630 SII,BOO $ 350 2 Necessary Expenditures. July Ito Dec. 31. present year, to be made from appropna tions unexpended 7.260 8.907 350 5. Total Funds Required (Add lines 1.2.3 and 4) $20,890 S2O 707 $ 700 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PRO POSED TAX LEVY 6. Actual balance, June 30th of present year 3.430 1,495 1,338 7. Taxes to be collected, presentyear (Dec Settlement) >0.363 5.802 8 Miscellaneous revenue to be received July 1 of present year to Dec 31 of incoming year — Schedules on file a Special taxes 3.844 ‘ , 2.310 b All other revenue 2.000 9. Total Funds (Add lines 6, 7.8a and 8b) $17,637 $11,607 $1,338 10. NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC 31 OF INCOMING YEAR (Deduct line 9 from line 5) 3 253 9.100 (638) 11. Operating Balance (Not in excess of expenses from Jan 1 to June 30, less misc revenue for same period) 6.832 2.392 12. AMOUNT TO BE RAISED BY TAX LEVY (Add lines 10 and 11) $lO 085 $11,492 13. Property Tax Replacement Credit from Local Option Tax 430 14. NET AMOUNT TO BE RAISED BY TAX LEVY (Deduct line 13 from line 12) $9,655 PROPOSED LEVIES Net Taxable Property (Twp ) $7,634,480 (Town) $2,626,230 Levy on Amount to FUNDS— Property be Raised Township 12 $ 9 655 Fire Fighting )$ n. 492 Total 27 $21,147 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED To Be Collected Collected Collected Collected FUNDS— 1977 1978 1979 1980 Township $2,773 $ 3,878 $ 7,503 $lO 363 Fire Fighting 6.275 7 751 - 5.975 5,802 Recreation 654 895 Total $9,702 $12,524 $13,478 $16,155 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 Com missioners for further and final hearing thereon by filing a petition with the County Auditor on or before the fourth Monday of Sep’ember 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 Com missioners will fix a date for hearing in this county E.W HACKBIRTH Washingting Township Trustee Dated July 17. 1980 MJ— Jy 23 30 NOTICE TOTAXPAYERSOF TAX LEVIES IN THE MATTER DETERMINING TAX RATES FOR CERTAIN PURPOSES BY WAYNE TOWNSHIP, KOSCIUSKO COUNTY, INDIANA, BEFORE THE TOWNSHIP ADVISORY BOARD Notice is hereby given to taxpayers of Wayne Township, Kosciusko County, Indiana, that the proper officers of said township, at their regular meeting place, will conduct a public hearing on the 1981 budget on August 19, 1980. Following this meeting, the aforementioned officers of said township, will meet, at their regular meeting place, on August 26. 1980, to adopt the fol lowing budget: TOWNSHIP BUDGET CLASSIFICATION TOWNSHIP FUND - Contract — Winona Lake $ 2,500 Pay of Trustee, Rent, Clerical and Total Township Fynd $ 10,520 Travel Expense $6,670 FIRE FIGHTING FUND Total Recreation Fund $19,000 Books, Stationery, Printing and Contract — Warsaw 95,000 EMERGENCY MED FUND 210.000 Advertising 900 Contract —Winona Lake 5.000 TOWNSHIP POOR RELIEF FUND Care of Cemeteries 1,500 Insurance, Repairs, Etc 10,000 B Direct Relief Advisory Board, Legal Service ' ’■ Medical, Hosp, and Burial 25,000 Bond Prem., Tel Rental. Total Fire Fighting Fund SIIO,OOO 2 Other Direct Relief 50,000 Office Equip , Soc. Sec. .. 1,450 RECREATION FUND . Contract — Warsaw 16,500 Total Twp Poor Relief Fund $ 75,000 ESTIMATE OF FUNDS TO BE RAISED Fire Township Fighting Recreation E.M.S. FUNDS REQUIRED FOR EXPENSES TO DEC. 31 OF INCOMING YEAR Fund Fund Fund Fund 1. Total budget estimate for incoming year, Jan. 1 toDec. 31, 1981. inclusive $10,520 SIIO,OOO $19,000 $210,000 2. Necessary Expenditures, July 1 to Dec. 31, present year, to be made from appropriations unexpended 6,687 69,797 17,700 157,000 3. Additional Appropriations to be made July 1 to Dec. 31 of present year 9,000 5. Total Funds Required (Add lines 1,2,3 and 4) $17,207 $188,797 $36,700 $367,000 FUNDS ON HAND AND TO BE RECEIVED FROM SOURCES OTHER THAN PROPOSED TAX LEVY 6. Actual balance, June 30th of present year 5,243 8.151 9,337 11,926 7. Taxes to be collected, presentyear (Dec. Settlement) , 11,674 72,981 9,551 135,563 8 Miscellaneous revenue to be received July 1 of present year to Dec. 31 of incoming year — Schedules on file , a. Special taxes ’3.681 20,957 2,383 41,286 9. Total Funds (Add lines 6,7, 8a and 8b) $30,598 $102,089 $21,271 $188,775 10 NET AMOUNT REQUIRED TO BE RAISED FOR EXPENSES TO DEC. 31 OF INCOMING YEAR (Deduct line9from lines) 13.391 86,708 15,429 178,225 11. Operating Balance (Not in excess of expenses from Jan. 1 to June 30, less misc. revenue for same period) 5,742 17,549 ( 5,796 34,033 12. AMOUNTTOBE RAISED BY TAX LEVY (Addlines lOandll) $19,133 $104,257 $21,225 $212,258 13. Property Tax Replacement Credit from Local Option Tax 3,214 14. VIET AMOUNT TO BE RAISED BY TAX LEVY (Deduct line 13 from line 12).... $15,919 PROPOSED LEVIES Net Taxable Property (Wayne Twp. $34,752,420 Warsaw Winona Lake $65,938,130 FUNDS— Levy on Amount to Property Be Raised Township $Ol5 $ 15,919 Fire Fighting 30 104,257 Recreati0n......................................................................... .02 21,225 EMS .20 ■ 212,258 Total $.535 $353,659 COMPARATIVE STATEMENT OF TAXES COLLECTED AND TO BE COLLECTED r To Be FUNDS— Collectec Collected Collected Collected 1977 1978 1979 1980 Township... $11,032 $11,674 Fire Fighting 36,000 $ 20,232 $ 32,073 72,981 Recreation 30,317 , 14,876 9,552 Emergency Medical Service 60,696 81,821 135,563 Total $71,864 $131,476 $151,084 $229,770 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 ot 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. EDWIN PRATT o Trustee, Wayne Township Dated July 22,1980 MJ — Jy. 30-A. 6
