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The Exeter Times-Advocate, 1974-07-11, Page 12ELECTRIC MOTOR REPAIR SERVICE IN. KIRKTON • rewinding and repairs to all makes of electric motor's • repairs to AC or DC Welders • repairs to generators and transformers • new single and polyphase motors Phone 229-8222 or call at NESBIT ELECTRIC KIRKTON T. PRYDE SON LTD. Phone 235-0620 , Main St., Exeter( • MONUMENTS • MARKERS • INSCRIPTIONS Contact Jack Pryde: Office 235-0620 or Home 235-1384 DISPLAYS ALSO IN GODERICH AND CLINTON "OUR .BUSINESS ESTABLISHED 1919" accompanied Mr. & Mrs. Chas. Sims, Crediton op a holiday trip last week to Peterborough, Fanelpn Falls and Clam Lake. Mrs„ Grant Prom and family in Sarnia, The occasion was a birth- day celebration for Qrant Brown. Mr. .4 Mrs, Lawrence ffirlgel UCW visits homestead of telephone inventor By MRS. FRED BOWDEN CENTRALIA Centralia UCW were joined by ladies from surrounding com- munities for an enjoyable bus trip last Wednesday. They toured the Harding Carpet Mills in Brantford; visited the Bell Homestead, corn- memora ting the 100th an- niversary of the invention of the telephone; The Mohawk Pottery and Mohawk Chanel. The day's activities for the 41 ladies ended with dinner and shopping at the Lynden Mother Mrs. Jeanette Fraser, Seaforth were in Kitchener for the weekend where they attended the 3Qth wedding anniversary of Mr, & Mrs. Reginald Rintpul, Mrs, Rintoul is a .daughter of Mrs, Fraser and sister of Mrs. Snell, Elaine Powe, St. Catharines is vacationing at the home of her parents, Mr, t& Mrs. Elmer Powe. Mr. & Mrs, John Thompson were weekend visitors with Mr. & Persona Is Mr, & Mrs. Elmer Powe and Alan attended the Golden Wedding Anniversary of Mr. and Mrs. Murdoch McLay in Palmerston on Friday evening, Mrs. Mary McLay pf Ripley accompanied them home and is remaining for a few days visit. Mr. & Mrs. Joe Ondrejicka and family received word of the sudden passing of Joe's father Mr, John Ondrejicka in Czechoslovakia. Mr. & Mrs. Ondrejicka had returned to their homeland for a visit with relatives. Sympathy is extended to the family in their bereavement. Mrs. Helen Joyce, Lorain, Ohio is visiting with Mr. & Mrs. Ken Greb. Mr. & Mrs. Larry Cronyn, Lori, Lynn and Mark were holidaying last week at Gravenhurst, Mr. & Mrs. Clayton Scheifile, Kitchener were weekend visitors with Mrs. Lorne Hicks, Mr, & Mrs. George Snell ac- companied by Mrs. Snell's McLeod, Victor Dyck, Ralph Davidson, Dan Steeper, Richard Marshal and Kim Pickering. Second row, Brad Dixon, Penny Lumbert, Diane Lynn, Ronna Hughes, Yvette Boutcher, Cynthia Marshall, Karen Pengilley, Sandra Heaman, Joanne Cunningham, Connie Bullock, Janet Amos and Doug Rees. Front, Karen Hodgson, Donna Shipway, Carmen Krainz, Janet Spruytte, Darlene Paff, Marie Cunningham, Anne Steeper, Brenda Lee, Bonnie Feltz and Vicky Lagerwerf. Parkhill Gazette photo GRADUATION CLASS AT McGILLIVRAY - A total of 44 students at McGillivray Central school received their grade eight graduation cer- tificates Wednesday. The top student of the class Anne Steeper was the valedictorian and Jim Allison another graduate was chairman for the evening's program. Back, left, Kevin Blyde, Mark Darling, Jim Tweddle, David Isaac, Bill Watson, Eric Bullock, Donald Bowman, Ricky Hodgins and Billy Scott. Third row, Jim Allison, Jim Mawson, John Mclinchey, Gary Morley, Gary Romphf, Daryl Hodgins, Garry Slyfeild, George By MRS. J. TEMPLEMAN Mr. and Mrs, Spencer Jeffery of Staffa celebrated their 25th wedding anniversary, July 2, They were honored by their family June 29 with an an- niversary dinner at the Seven Dwarfs Restaurant in London, Their three children Judy, Ruth, and Bill attended. Other guests included Mrs. Herb Kercher and Ross, Hensall; Mrs. Archie Jeffery of Dublin; Mr. & Mrs. Jim Jordan of London; Ken Swan and Gary Phillips of Seaforth. The guests of honor were presented with an anniversary cake which centered the table, Both grandmothers as well as the guests of honor were presented with corsages and boutonnaires. Dancing was enjoyed throughout the evening. Later they returned to Mr. & Mrs. Jim Jordan's home where many gifts were received. Church candlesticks dedicated Bosancluet family sees ferry christening Mr. & Mrs. John Melville en- tertained at their home for a reunion of the Sheppard family on Sunday. At the regular morning service at Knox Presbyterian church Thedford, a pair of antique brass candlesticks were dedicated to the church in memory of the late Mr. & Mrs. George Sheppard. The family were all present for the occasion. Mr. & Mrs, Earl Lithgow and family of Barrie visited Mr. & Mrs. Art Lithgow on Sunday. Mr. & Mrs. Norm Moloy en- tertained at a family gathering of Mrs. Moloy's family on Sunday. Mr. & Mrs. Bill Gill and daughter of Chatham visited over the weekend with relatives. Mrs. Elsie Fleming has returned home after spending three weeks with her niece, Mrs. Harriet Watts at Hamilton, Mrs. Ethel Robinson is a patient in University Hospital. Mr. & Mrs, Jas Ritchie, Janet and Ian of Valois, Quebec visited the past week with her sister and brother-in-law, Mr. & Mrs. Norm Moloy, By MR. MELVIN DURR Mr. & Mrs. Geo. Sitter and son visited with her parents Mr. & Mrs. Stanley Hutchinson at Owen Sound. They attended the chistening of the new ferry, to run from Tobermory to Manitoulin Island at Collingwood, Mr. & Mrs. John Melville visited last week at Peter- borough. TOWNSHIP of STEPHEN AUDITOR'S REPORT Continuity of the Account for the Police Village of Crediton for the year ended December 31, 1973 1973 1972 $ $ Analysis of the Education Levy for the year ended December 31, 1973 overlevy or (underlevy) assessment mill for the type amount rates levy requisition To: The Members of Council, and Ratepayers of the Corpora- tion of the Township of Stephen. I have examined the 1973 financial statements of the Corpora- tion 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 accoun- ting records and other supporting evidence as I considered necessary in the circumstances. 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, 1973, and the results of their operations for the year then ended, in accordance with ac- counting principles generally accepted for Ontario municipalities applied on a basis consistent with that of the preceding year. City: Qoderich, Ontario A. M. HARPER Date: June 26, 1974 Licence Number 146 Analysis of Revenue - Township for the year ended December 31, 1973 1973 Actual $ Accumulated net revenue (deficit) at the beginning of the year (4,915) (584) EXPENDITURE year 7$ 1972 Actual $ 1 3 $ $ Huron County Board of Education Stephen Township School Area res. 3,006,480 22.86 coin. 1,175,280 25.40 98,580,24 McGillivray Township School Area res. 146,670 22.86 cont. 3,460 25.40 3,440.76 Hay Township School Area res. 83,325 22.86 corn. 1,904.81 Exeter Public School Board : 32,900 22.86 9,835 25.40 1,001.90 6 $ General government Police village trustees 120 120 General administration 61 76 181 196 Taxation Realty - Residential and farm Realty - Commercial and industrial .. Business 324,068 338,574 77,396 69,243 401,464 407,817 32,048 33,507 433,512 441,324 Protection to persons and property Fire 5,510 13,028 Street lighting 1,106 1,076 6,616 14,104 Contributions from other governments Ontario Ontario enterprises Municipal enterprises 607 18,056 136 18,799 530 15,806 195 16,531 Transportation services Roadways 40 40 , Recreation and community services Parks and recreation 230 Subsidies Ontario Per capita General support grant Resource equalization grant Provincial-municipal employment incentive program 5,117 2,695 Specific Roadways 75,500 66,665 Recreation 155 141,881 res. corn. Ti 19,i7rr 6,729 34,509 Statement of Revenue and Expenditure - Township for the year ended December 31, 1973 1973 $ Other 7.71 Share of taxes written off 73 262 104,927.71 104,920.00 73 262 Total expenditure 6,910 14,792 REVENUE Taxation - police village requisition Township of Stephen 7,413 7,451 7,413 7,451 Huron-Perth County Roman Catholic Separate'School Board CRCSS Hay, McGillivray, Stephen res. 604,950 28.19 corn. 9,165 31.32 17,340.59 Exeter Separate School res. 17,400 28.19 corn. 490.51 17,831,10 17,831.00 .10 1972 Accumulated net revenue (deficit) at the beginning of the year EXPENDITURE 28,124 41.775 89,231 158,412 108;030 Subsidies Province of Ontario - Roads 120 120 23,622 15,270 204,350 2,688 28,390 20,547 241,533 21,322 60 4,128 20,809 119,287 242,622 12,836 General government Protection to persons and property Transportation services Environmental services Social and family services Recreation and community services Financial expenses Region or county-share of expenditure Education Other Other revenue Licenses and permits 6,798 Fines Penalties and interest on taxes 7,361, Income from investments 2,055 Tile Drainage 86,310 Fees on municipal drains 4,204 Recovery on fire hall 2,389 Discounts 1,667 110,784 Total revenue 702,708 3,626 15 9,418 2,332 73,055 700 2,461 1,275 92,882 Other revenue Donations 861 Fire fees 1,955 1,580 Rentals 129 89 Sale of old fire truck 360 2,084 2,890 Total revenue ' 9,497 10.461 1,126 8,357 124,404 235,660 13,108 Huron County Board of Education South Huron District High School res. 3,891,725 17.72 corn. 1,197,740 19.68 92,533.81 92,519.00 14.81 (628,585) (711,534) Accumulated net revenue (deficit) at the end of the year (2,328) (4,915) 642,236 amounts charged back to school boards REVENUE Payments in addition to the requisition 441,324 108,030 92,882 642,236 433,512 158,412 110,784 702.708 Taxation Contributions from other governments Other supplementary taxes miscellaneous revenue 9 io $ 4,315.33 3,515.79 Continuity of the Account for the Police Village of Dashwood for the year ended December 31, 1973 1973 1972 $ $ the beginning of the year ' 10,151 7,044 EXPENDITURE General government Police village trustees 288 245 General administration 158 73 163 Accumulated net revenue (deficit) at the end of the year Analysed as follows: General revenue 32,949 .41,775 Public 12,724.36 Separate 1,984.21 Secondary 777.60 Analysis of Expenditure - Township for the year ended December 31, 1973 1973 1972 Actual Actual $ $ 93.58 32.949 41,775 32,949 41,775 11,110.46 661.57 Continuity of the Account for the Police Village of Centralia for the year ended December 31, 1973 1973 1972 $ $ the beginning of the year 4,182 2,384 ' EXPENDITURE General government Police village trustees 120 General administration 64 184 Accumulated net revenue (deficit) at General government Members of council 4,904 3,156 General administration 22,503 19,858 Unclassified 983 608 28,390 23;622 8,263 4,944 Protective inspections 4,632 3,361 7,652 6,965 20,547 15 270 Notes to Financial Statements 1 Charges for net long term liabilities Total charges for the year for net long term liabilities were as follows: Principal payments Interest Accumulated net revenue (deficit) at Protection to persons and property Fire 66,846 19,464 $ 86,310 Unclassified 609 318 Protection to persons and property Fire Protective inspections Street lighting Unclassified 2,378 3 948 3.329 2,148 2 938 3,088 Of the total charges shown above, $86,310 was paid from the revenue of the municipality and is included in expenditure, classified under the appropriate functional headings. 2, Basis of consolidation The Consolidated Balance Sheet reflects the assets and liabilities of the revenue fund and the capital fund. The assets and liabilities of the local boards have not been con- solidated, 120 101 - 221 Transportation services , Roadways 147,648 130,297 Provincial employment incentive cutting trees 4,265 Drainage 3310 455 Unclassified 86,310 73,598 241,5330 204,350 Transportation services Roadways Protection to persons and property Fire Street lighting . „ . 945 553 1,498 1,228 369 1,597 441 669 441 669 Environmental services Garbage collection and disposal 1,421 1,848 1 421 1,848 Transportation services 2,688 Roadways .. „ ..... ....... . ... 245 2,688 Drainage 143 Recreation and community services Parks and recreation 341 341 Environmental services Garbage collection and disposal 21,322 21,322 3. Net long teem liabilities Total long term liabilities incurred by the municipality and outstanding at the end of the year amount to , .. 885,117 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 prin- cipal amount of 317,021 Net long term liabilities at the end of the year $568,096 4. Capital outlay to be recovered in future years Some capital outlay does not represent a burden on general Municipal revenues, as it is to be recovered in future years from other sources: Special charges on benefiting landowners for Tile Drain Loans - .... - „ , - „ , 568,096 $568,096 252 Recreation and community services Parks and recreation Unclassified 388 252 Social and family services Unclassified ... . .. , . _ - „ ,,,, , ,,, 60 • 60 1,000 961 196 1;196 961 333 333 Other Share of taxes written off .. , ... . .. 249 22 249 22 7,245 6 906 Recreation and community services Parks and recreation - ........ Unclassified 3,250 620 878 506 4,128 1,126 Other Share of taxes written off 3 3 Total expenditure 2,414 REVENUE Taxation - police village requisition Township of Stephen .... „ . 2 851 136 136 '2,539 Total expenditure Financial expenses Interest on temporary borrowing 4,530 6,239 Provision for deferred revenue „ „ , , 151% UnclasSified . - - - .. " " . . , . , 2,118 20,809 8,357 Region or county-share of expenditure , . 119,287 124.404 Education Elementary-public , , ... - ... , . . . - 118,422 119,740 -separate . . - ...... , . .. , 19,909 21,415 Secondary „ . , . ..... , .. - ... , . , . - . 104,291 _94,505 242,622 REVENUE Taxation - police village requisition Township of - Stephen Township of - Hay 2,572 2;808 5 380 2,573 3,418 5,991 2,972 2,972 0 •4•41 •-.1 ,1411“ 2,851 Subsidies Province Of Ontario Roads .... . Subsidies province of Ontario - Roads . , 865 865 213 422 213 422 2,180 2,850 750 2;18(1 3,600 7,773 10,013 5. Liability for vested sick leave benefits Under the sick leave benefit plan, unused sick leave can ac- Cumulate and employees may become entitled to a cash pay- ment when they leave the municipality's employment. The liability for these accumulated days, to the extent that they have vested and could be taken by an employee on ter- minating, amounted to $3,506 at the end of the year. No provision has been made for this liability, Other revenue Fire fees Donations Other revenue Fire fees ,.•.,, Rent „ „ 236,660 400 100 500 4,337 670 100 770 3,621 Vo.04 ..... 41i7•044-1,1 ,/.• Other Police Village rates , ..... 12,836 12,996 Advancement of Agriculture ..... 12,836 _13,10812 Total expenditure - „ . - , . . , . , 711 534 628 585 Total revenue „ . .... - .. • Accumulated, net revenue (deficit) at the end of the year - - Accumulated net revenue (deficit) at the end of the year , , „ , 10,679 ,10,151 „ 4,182 5,389