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The Exeter Times-Advocate, 1973-06-28, Page 8Board releases details on salaries for teachers Vice-principals received a basic $19,100 ($18,000) with an in- crement of $600 to a maximum of $20,900 ($20,000) salary, Responsibility allowances: Directors-Grid plug, $2,200; assistant directors-grid plus $1,100; Department heads-grid plus $1,950; assistant department heads-grid plus $975; subject chairmen-grid plus $1,000, Mrs, Ila Kayes of RR 3, Parkhill, with 18 years' ex- perience, was appointed student services co-ordinator from a list of 12 applicants. Her appointment is effective September 1, 1973. David Bieman of Exeter, with five years' experience, was appointed Media co-ordinator, effective September 1, 1973. There were 10 applicants. Following a committee-of-the- whole (in camera) R. L. Cun- ningham, transportation manager, reported that a new type schedule had been reached with the bus contractors ranging in cost for a 48-passenger bus of $4,620 for a yearly rate to $5,420 for a 78-passenger bus plus the board will pay the contractors a variable of 17 cents per mile travelled. There are a total of 114 contracting buses used in Huron and the Huron board owns 39 buses. A se student accident plan will be s available to parents in Sep- ($13,000) ; $8,400 ($8,300) to $15,400 ($14,800); $8,900 ($8,800) to $16,500 ($15,900). Principals' salary schedule- from a $21,400 ($19,700) to maximum of $24,000 ($23,000) with an annual increment of $700, school teachers' salaries amount to $3,240,000. Salaries in the four teaching categories are as follows with last year's in brackets: $7,200 ($7,100) to $13,000 ($12,400); $7,500 ($7,400) to $13,700 The salary scale for secondary teachers was released at a meeting of the Huron County Board of Education in Clinton Monday in accordance with the terms of the salary agreement ratified by the board on May 22, The one-year contract with its secondary school teachers calls for a six percent total increase in the over-all salary package. The six percent increase will cost the board $194,000 on an annual basis. The secondary PRECIOUS BLOOD GRADUATES - The graduation party for grade eight students of Precious Blood Separate School in Exeter was held in Hensall Thursday night. Back, left, Doreen Vink, Frances Moddejonge, Eddie Van Roessel, Nancy Bertens and Frank Winters. Front, John Ducharme, Laurinda Nogueira and Paul Van Esbroeck, T-A photo. Company was awarded the contract for roof repairs at: Holmesville Public, $13,190; Robertson Memorial in Goderich, $416; Central Huron Secondary School, $16,900; Hullett Central Public School $600; Stephen Central Public School, $525; and F. E. Madill Secondary School $2,360, suspended and a new policy and procedure will be proposed. A fuel conversion contract for Central Huron Secondary School in Clinton was awarded to Fred McGregor of Brucefield at the tender price of $11,059.04. The McGregor tender was the lowest of four. The Smith-Peat Roofing tember, mainly for dental ac- cidents from the Reliable Life Insurance Company at a cost of $4 per year for one student to $10 per year for a family with three students. In September new consent forms for students participating in outdoor activities will be ready. The present consent forms are Jayne Hayter, Cindi Eveland, Beverly Preszcator, Eleanor Salmon, Elizabeth Brand, Steven Kraft, Ervin Pfaff, Larry Stire and Randy Yearley. Front, Brenda Kipfer, Nancy Pickering, Barbara Parsons, Joan Finkbeiner, Mary Bailey, Elizabeth Bender, Wendy Beaver, Donna Baker, Cathy Anderson, Kathy Desjardine, Jane Pratt, Sharon Wein and Joan Hodge. T-A photo GRADUATE AT STEPHEN - The grade eight class at Stephen Central school received their graduation certificates Monday night. Back, left, Wayne Shapton, Larry Lippert, William Schmidt, Dale Dinney, Charles Borland, Karlis Zemitis, Don Russell, Randy Witherspoon, Michael Gib- son, Eugene King, Ken Govers and Mark Laye. Centre, Calvin Willard, Earl Pfaff, Fraser Boyle, Edwin Snyder, Kelly Zimmerman, Cheryl Wein, I Continuity of the Account for the Police Village of Crediton for the year ended December 31, 1972 REVENUE Analysis of the Education Levy for the year ended December 31, 1972 TOWNSHIP of STEPHEN AUDITOR'S REPORT overlevy Or (underlevy) assessment mill for the type amount rates levy requisition year Analysis of Revenue - Township for the year ended December 31, 1972 To: The Members of Council, and Ratepayers of the Corporation of the Township of Stephen. I have examined the 1972 financial statements of the Corporation of the Township of Stephen and its local boards, which are listed on the attached Index. My examination included a general review of the accounting procedures and such tests of accounting records and other supporting evidence as I considered necessary in the circumstances. 1972 1971 $ Taxation - police village requisition Township of Stephen 7,451 7.451 1 2 3 6 7 Huron County Board of Education Stephen Township School Area res. 3,017,650 23.35 corn. 1,134,915 25.94 99,901.75 99,890.00 11.75 McGillivray Township School Area res. 144,430 24.97 corn. 3,410 27.75 3,701.05 3,703.00 ( 1.95) Hay Township School Area res. 79,725 20.01 COM. 1,595.30 1,595.00 .30 Exeter Public School Board res. 32,900 16.79 COM. 9,835 18.66 735.91 736.00 ( .09) 105,934.01 105,924.00 10.01 6,131 1972 1971 Actual Actual 338,574 282,886 69,243 68,151 407,817 351,037 33,507 32,701 73,055 67,445 514,379 451,183 6,131 Subsidies Province of Ontario - roadways 120 1,289 Taxation Realty - Residential and farm - Commercial and industrial 120 1,289 In my opinion these financial statements present fairly the financial position of the Corporation of the Township of Stephen and its local boards as at December 31st, 1972, and the results of their operations for the year then ended, in accordance with accounting principles generally accepted for Ontario municipalities applied on a basis consistent with that of the preceding year. Other revenue Donations 861 Fire fees 1,580 610 Rentals and telephone commissions 89 75 Sale of old fire truck 360 Licence 12 Business Special charges Contributions from other governments Ontario 607 Ontario enterprises 18,056 Municipal enterprises 136 18,799 2,890 697 588 17,504 146 Total revenue 10,461 8.117 18,238 EXPENDITURE Subsidies Ontario Per capita 19,871 Provincial-municipal employment incentive program - 1971-72 . 2,695 Residential property tax reduction Specific Roadways General welfare assistance Recreation Warble fly General government Police village trustees General administration Huron-Perth County Roman Catholic Separate School Board CRCSS Hay, McGillivray, Stephen res. 582,895 31.19 corn. 12,530 34.65 18,614.66 Exeter Separate School res. 18,850 31.19 corn. 587.93 120 120 City - Goderich, Ontario A. M. HARPER Date - June 1, 1973 Licence Number 4440 18,569 76 165 196 285 2,838 67,783 Protection to persons and property Fire 13,028 Street lighting 1,076 14.104 3,984 Statement of Revenue and Expenditure Consolidated for the year ended December 31, 1972 1972 1971 $ $ Accumulated net revenue (deficit) at the beginning of the year 36,968 21,246 66,665 69,016 11,206 1,950 316 1,055 5,039 Public works Sidewalks Roadways 19,202.59 19,203.00 ( .41) 1,844 89,231 171,678 240 Huron County Board of Education South Huron District High School res. 3,876,450 16.21 3,626 3,775 corn. 1,160,690 18.02 83,754.50 83,764.00 ( 9.50) 15 108,030 189,916 2,084 Recreation and community services Parks and recreation 230 Other revenue Licenses and permits Fines EXPENDITURE 202 230 202 24,357 23,254 26,768 23,660 203,864 203,662 4,536 4,384 14,519 2,650 5,230 10,862 15,135 235,660 259,344 124,404 112,558 112 General government Protection to persons and property Public works Sanitation and waste removal Social and family services Recreation and community services Financial expenses Education Region or county - share of expenditure Other Other Share of taxes written off 262 159 262 159 Service charges Penalties and interest on taxes 9,418 Interest and discounts 3,607 Fees on municipal drain 700 Recovery on fire hall 2,461 Recovery of taxes written-off 2,505 Provision for deferred revenue Sale of land 47 10,216 3,337 7,301 2,447 1,699 817 400 amounts charged back to school boards Total expenditure 14,792 7,769 Excess of revenue over expenditure for the year 348 (Excess of expenditure over revenue for the year) Surplus (deficit) at the beginning of the year payments in addition to the requisition supplementary taxes 8 Public 13,174.22 Separate 2,113.74 Secondary 10,243.00 miscellaneous revenue 9 $ ( 4,331) ( 584) ( 932) 10 $ 798.48 22,332 30,039 644,741 671,138 (633,213) (661,746) Total revenue 642.25 Deficit at the end of the year ( 4,915) ( 584) 98.15 REVENUE 498.42 633.33 Continuity of the Account for the Police Village of Dashwood for the year ended December 31, 1972 REVENUE Taxation 514,379 451,183 Contributions from other governments . 111,448 195,332 Other 21,611 30,953 647,438 677,468 Analysis of Expenditure - Township for the year ended December 31, 1972 Continuity of the Account for the Police Village of Centralia 1972 1971 Accumulated net revenue (deficit) at the end of the year 51,193 36,968 1971 Actual 1972 Actual $ 4 for the year ended December 31, 1972 $ $ Taxation - police village requisition Township of Stephen 2,573 2,539 Hay 3,418 3,410 REVENUE General government Members of council General administration Unclassified Analysed as follows: General revenue 41,775 28,124 Police villages 9,418 8,844 51,193 36,968 3,156 19,858 608 3,129 18,856 420 1972 1971 $ $ 5,991 5 949 Subsidies Province of Ontario - roadways 422 600 Taxation - police village requisition Township of Stephen 23,622 22,405 2,972 3,751 2,972 3,751 422 600 Protection to persons and property Fire 4,944 9,781 Protective inspections 3,361 746 Unclassified Ausable River Authority 6,965 5,616 15,270 16,143 Other revenue Fire fees Donations Subsidies Province of Ontario - roadways 865 117 2,850 2,280 750 3,600 2,280 10,013 8,829 Notes to Financial Statements 865 117 1. Charges for net long term liabilities Total charges for the year for net long term liabilities were as follows: Principal payments Interest Other revenue Fire fees Rent Total revenue 400 670 100 100 Public works Roadways Drainage Unclassified 130,297 127,839 455 3,518 73,598 67,630 204,350 198,987 56,374 17,224 $ 73,598 500 770 EXPENDITURE 4,337 4,638 Total revenue General government Police village trustees General administration 245 220 73 90 EXPENDITURE Sanitation and waste removal Garbage collection and disposal 2,688 2,688 The total charges shown above were paid from the revenue of the municipality and are included in expenditure, classified under the appropriate functional headings. 2,802 2,802 General government Police village trustees 120 General administration 101 318 310 120 134 254 Protection to persons and property Fire Protective inspections Street lighting Social and family services General assistance 2,148 2 938 3,088 2,158 988 3;146 14,519 14,519 221 2. Basis of consolidation The Consolidated Balance Sheet reflects the assets and liabili- ties of the revenue fund and the capital fund of the municipal- ity. Protection to persons and property Recreation and community services Parks and recreation 620 Unclassified 506 1,228 Fire 44 • 4 4 4 4 • ' a 1,366 4,679 Street lighting 369 413 Public works Roadways Drainage 107 1,597 1,779 669 843 18 669 861 4,786 1,126 Public works Roadways Drainage 3. Net long term liabilities Total long term liabilities incurred by the municipality and outstanding at the end of the year amount to . . 819,791 Of the long term liabilities shown above, the responsibility for payment of principal and interest charges has been assumed by the Huron County Board of Education for a principal amount of 333,059 Net long term liabilities at the end of the year ... $ 486,732 Financial expenses Interest on temporary borrowing 6,239 Provision for allowances 2,798 Unclassified . 1,825 10 1,720 1;730 14,696 252 Sanitation and waste removal Garbage collection and disposal 252 1,848 1,582 439 Recreation and community services Parks and recreation 333 1,848 1,582 10,862 15,135 242 Recreation and community services 242 Education Elementary - public 119,740 - separate 21,415 Secondary - • • • • d ,,,, 94,505 235,660 Region or county - share of expenditure 124 404 Other Police Village rates ........ - 12,996 Advancement of agriculture - , .. 112 13,108 Total expenditure . ...... 631,090 Parks and recreation 333 961 122,167 17,182 119,995 259,344 961 Other Other Share of taxes written off Share of taxes written off 136 136 Total expenditure • ... . ... , .2,539 Excess of revenue over expenditure for the 203 203 4,208 430 1,954 2,884 22 22 6,906 24 24 5,923 4. Capital outlay to be recovered in future years The capital outlay does not represent a burden on general municipal revenues, as it is to be recovered in future years from other sources: 112,558 Total expenditure .... „ Excess of revenue over expenditure for the Surplus at the beginning of the year _ Surplus at the end of the year „ „ 12,421 1,798 Surplus at the beginning of the year .... 2,384 Surplus at the end of the year f 4 . 4' 4,182 3,10/ 2,906 12,421 7,044 4,138 Special charges on benefiting landowners for tile drain loans - ..... - - . $ 507,156 659,100 10,151 7,044