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The Exeter Times-Advocate, 1975-06-26, Page 12Palmer's Flowers EXETER 235-2603 In.conjunction with CANADA WEEK and our fifth ANNIVERSARY & CASH y SPECIALS Odd 'n Sods . . . See Our Sale Table Palmer's Flowers 89k $289 $249 $349 Trqpicals Pot Freshy Cut Daisies Per & Mums Bunch Gloxinias Per & Mums Pot Sweetheart Roses BuPen rch 1973 Elementary Secondary Schools Schools Total Revenue Fund Statement of Operations EXPENDITURE Business administration Instruction Educational services Attendance, health and food services Plant operation Plant maintenance Transportation Tuition fees Capital expenditure - non-allocable Other operating expenditures Debt charges on capital borrowing Non-operating expenditures FOR THE YEAR ENDED DECEMBER 31, 1974 (with comparative figures for the previous year) 1974 Secondary Schools Total Elementary Schools $ 208,730 4,621,646 44,902 10,869 688,769 219,795 842,863 5,098 435,417 10,228 652,868 8,990 $ 101,248 4,289,505 82,446 8,816 524,851 138,296 731,909 1,217,815 499,035 3,751 457,052 13,290 7,750,175 8,068,014 $ • 309,978 8,911,151 127,348 19,685 1,213,620 358091'" 1,574,772 1,222,913 • 934,452 13,979 1,109,920. 22,280 15,818,189 . $ 179,895 4,154,328 39,251 9,988 574,973 W/,641 753,289 2,970 177,977 22,111 680,273 18,153 6,820,849 $ 87,497 $ 267,392 3,833,547 7,987,875 76,733 115,984 5,605 15,593 443,039 1,018,42 121,484 329,125 654,376 1,407,665 1,147,004 1,149,974 244,093 422,070 11,036 33,147 348,285 1,028,558 16,487 34,640 6,989,186 13,810,035 Reserve for working funds - note 1 1,014,782 730,078 193,611 537,500 $ 1,208,393 $ 1,267,578 157,930 93,697 7,596 9,722 48,896 317,841 $ 7,750,173 170,420 161,534 88,029 12,375 85,278 517,636 $15,300,553 13,749 79,630 66,942 1,881 42,827 205,029 $ 6,615,820 187,491 76,890 6,721 7,055 47,108 325,265 $ 6,663,921 201,240 156,520 73,663 8,936 89,935 530,294 $13,279,741 RECOVERIES OF EXPENDITURES Other school boards 12,490 Government of Ontario 67,837 Tuition fees and miscellaneous 80,433 Individuals 2,653 Other revenue excluding transfers from reserves 36,382 199,795 NET EXPENDITURE $ 7,550,380 , FINANCING OF NET EXPENDITURE Government of Ontario General Legislative Grant 1..ocal Taxation Prior year over (under) requisition - note 3 Local taxation raised during the year Net under (over) requisition to be applied to subsequent year Decrease in reserve $ 5,091,686 $ 5,519,773 $10,611,459 $ 4,568,252 $ 4,825,478 $ 9,393,730 94,647 150,344 244,991 (19,616) (1,687).. (21,303) 2,248,950 1,851,264 4,100,214 2,204,193 2,026,542 ' 4,230,735 115,097 228,792 $ 7,550,380 $ 7,750,173 (137,009) (186,412) (323,421) 343,889 $15,300,553 $ 6,615,820 $ 6,663,921 $13,279,741 Statement.of Source and Application of Capital Funds FOR THE YEAR ENDED DECEMBER 31, 1974 (with comparative figures for the previous year) 1974 1973 APPLICATION OF FUNDS Balance at beginning of year not permanentlyfinanced Fixed Assets: Buildings Furniture and equipment School sites and improvements Buses Other - payments on projects ., Unexpended funds at end of year -secondary $ 2,204,621 SOURCE OF FUNDS Unexpended funds atbeginning of year Capital expenditures from revenue Debentures issued - par value Federal sales tax rebate Balance at end of year not permanently financed - elementary 31,853 $ 2,227,097 $ 6,232 $ 1,018,840 496,105 1,155,000 1,674,000 15,172 34,516 2,195,244 ° 2,204,621 1974 1973 $ -- 1,736,536 175,641 2,000 26,647 14,239 1,955,063 272,034 $ 2,227,097 $ 1,126,104 775,980 226,554 69,751 2,198,389 6,232 $ 2,204,621 Times-Advocate, June 26, 1975 Province opposes price increases By JACK RIDDELL M.P.P. In reply to a question by Robert l'ixon, leader of the opposition, °rainier Davis said in the iRgislature this week that he was a communication with Prime "ilinister Trudeau on the subject f possible increases in the price ,if crude oil and natural gas. 'remier Davis said he made it bsolutely clear that Ontario ipposed any increase in the price tf crude oil or natural gas until uch time as inflation is brought finder control and unemployment s substantially reduced. Premier Davis said that Mr. Prudeau assured him, he un- lerstood Ontario's arguments ind indicated that contrary to ;peculation, the Federal Cabinet tad not yet made a decision although he anticipated that iome kind of a decision will be nade in the next few days. Premier Davis informed the Legislature that the following lay he sent a telex to the Prime Vlinister with copies to the other Premiers, to reaffirm Ontario's position on the subject of possible oil and natural gas price ,ncreases. Mr, Nixon then wanted to ;now, as the Premier feels that an increase in the energy costs, Which Mr. Nixon believe to be a fact, is going to have a deleterious effect on our em- ployment and add further pressures to the inflation in the economy, why, the Government of Ontario, which can in fact control the policy of Ontario Hydro, does not tell Ontario Hydro that an increase in energy rates cannot be permitted at this time. Ontario Hydro wants a 30 percent increase in Hydra rates for 1975 and wants to double their price in 5 years. In his opening remarks during the debates on the Estimates of the Ministry of the Environ- ment, Mr. W. Newman, Minister of the Environment said that the Ministry of the Environment has established a reputation for excellence in environmental protection and enhancement which is acknowledged throughout the world. It was the Ministry's intention to maintain and improve this standard of performance. Mr. Newman referred to the Speech from the Throne and said that Ontario is presently con- fronted by economic conditions which call for strong and decisive response from the people and from the Government, His ministry recognizes that the Province's financial requirements will be substantial and there is a need for restraint. He said that while effecting restraints his Ministry does not intend to follow a policy of retrenchment. Mr. Newman indicated that his Ministry will increase its existing en- vironmental protection programmes and enhance the quality of the environment at the least possible cost to the in- dustrial and commercial sector of our economy and to the people of this province. In presenting the estimates of. the Ministry of the Environment, Mr. Newman said the aggregate for this year is $231,176,000 or an increase of 15.6 percent over 1974- 1975. As critic of the Ministry of the Environment for the Liberal Caucus, in my opening speech I briefly touched on the organizational structure of the Ministry, whereby 1,066 ministry personnel were decentralized and although the Liberal Party concur with decentralization, accompanying this change was a tremendous increase in ex- penditures. The expenditure for the entire ministry increased by $69.5 million over the year before. For 1975-1976 the Committee is asked to consider an additional ex- penditure of $31 million over last year. I stated that the Liberal Party do not begrudge this particular ministry the ad- ditional expenditure if it reflects an improved environment, But I pointed out that the major environmental issues are still prevalent today as they were last year or the year before or the year before that. I indicated that I was not convinced that the Minister has accomplished or will accomplish anything close to that which needs to be done even with the additional expenditure. If the Environmental Impact Assessment Bill in its present form is any indication of the accomplishments of this Minister then I would have to say that the effort on the part of the Minister and his staff leaves a great deal to be desired. I indicated that I assumed a large part of the expenditure of this ministry goes to funding water and sewage projects in the various municipalities and believed that inroads in correcting the pollution problems in the various municipalities throughout Ontario are being made, but I wanted to know what pressures were being brought to bear on our neighbours to the south to live up to their com- mitments and obligations to get back on schedule according to the agreement that was made. I also pointed out that the Ministry of Environment has yet to define the role of sanitary land- fill sites within its overall waste management policy. More land- fill sites are not the answer, They will merely postpone the garbage crisis, The ultimate solution is both to recycle garbage but more importantly to reduce the amount produced. A ban on non-returnable bottles would be a move in the right direction in the reduction of garbage at its source. The Solid Waste Task Force has concluded that non-refillable containers are environmentally harmful and that any switch fromtheuseof non- refillable soft drink bottles and cans to refillables is beneficial to the environment, Although the Task Force report favoured a switch to returnable bottles the Minister has merely chosen to phase out the flip top and not the can itself. I also stated that many municipalities are now trying to pass their own bylaws to ban non-returnable bottles but the Provincial Government has refused to pass any effective laws on banning of the bottles and has refused in- dividual municipalites the authority to enforce their own bans. Another problem which still faces the Province is the question of noise pollution. Noise causes more complaints than any other environmental problem. It is being recognized as a contributor to hypertension, nervousness, upset stomach, muscle spasm, ulcers, nervous breakdowns, physical and mental exhaustion and sometimes homicidal im- pulses. Because of the lack of Provincial legislation, the local governments and individuals are left very much to their own to find relief. Municipalities are finding a lot wrong with the Ontario Government's complicated model noise bylaw and are hesitant to accept it. Only with time, persistence, staff and money could such a bylaw be made operable and effective. During the debates on the estimates of the Ministry of the Environment I asked the Minister whether any relief would be forthcoming to the property owners in Vanastra, the phased out airbase just outside of Clinton. The rate of the property owners has increased 150 per- cent. Ipointed out to the Minister that it is a terrific assessment and is providing a real hardship to the people in Vanastra. I also discussed fluorides which are used in 85 percent treated water in Ontario. Fluoride studies now coming out of the States show that it may be dangerous to the ecology. Flouride studies have only been going on for the last 4 years and, therefore, there is not much data on which to base any facts but it seems that Flouride can ac- cumulate in fish and wild life, The data coming from different research in the United States comprise a fairly compelling case for treating flourides as' pollutants with a great capacity to do ecological harm, Bill 100, an Act respecting the negotiation of Collective Agreements between School Boards and Teachers, received second reading this week. There has been widespread opposition to Section 64 of the Bill which excludes principals and vice-principals from thecollective bargaining unit, hence they would not be allowed to strike, on the basis that this would drive a wedge between principals and their teachers and create an impossible situation for prin- By GORDON MORLEY Mrs. Hamilton of Toronto. and. Mrs. Reta Gibbard of Ancaster were holidaying with Mr. & Mrs. Douglas Lewis and family this past week, Mrs. Mary Amos arrived home last weekend after a four week visit with her son Ross and family and her daughter Mrs. Alan Hodgson and family, Colin Patterson, a student for the ministry was guest speaker last Sunday in the United Church. Mrs, Jim Hodgins of Strathroy visited Wednesday with her parents Mr. & Mrs. Fred Lewis. Miss Kathleen Morley and Gordon were Thursday dinner guests with. Mr. & Mrs. Ray Mawson in Parkhill. Several from this area at- tended Greenway strawberry supper Saturday evening, Murray Hodgins spent a few days holidays last week with his sisters, Joyce Hodgson and Mrs. Barry McConnell, both of Lon- don. By MRS. HAMILTON HODGINS Mr. & Mrs, Cleve Pullman celebrated their 25th wedding anniversary on Tuesday evening with a family dinner and a reception following in the Kirkton Woodham Community Centre. Mr. & Mrs. Gordon McKinnon, Guelph spent a couple of days last week with Mr. & Mrs. Grafton Squire. Mr. & Mrs. Peter Johnson and family, Whitby, spent the weekend with Mr. & Mrs. John Scott. Mr, & Mrs. Gordon Johnson attended the 25th wedding an- niversary of Mr. & Mrs. Neil Johnson, Kitchener in the Flying Dutchman Motel on Saturday evening. cipals in the event of a strike. The other contentious issue has to do with voluntary or extra curricular activities. The Bill would place the activities as contractual or negotiable items, but the teachers want them to remain as a voluntary part of their work. 540 e e 7-1 if sada ..ASTATS,1173SEEMTEMBUT,E23,;:al]ll .. ........................................... THE MIDDLESEX COUNTY BOARD OF EDUCATION FINANCIAL REPORT 1974 Auditor's Report o The Middlesex County Board of Education We have examined the Revenue Fund and Capital Fund alance Sheets of The Middlesex County Board of Education as at eeember 31, 1974, the Revenue Fund - Statement of Operations, he Statement of Source and Application of Capital Funds and the tatement of Continuity of Trust Funds for the year then ended. ur examination included a general review of the accounting rocedures and such tests of accounting records and other suppor- ing evidence as we considered necessary in the circumstances. ASSETS 1974 1973 CURRENT ASSETS Cash $ 51,652 $ 1,975 Bank certificates (at cost) 250,000 700,000 ,Accounts receivable Local Taxation Under requisition due from ratepayers - 139 Supplementary levy 56,158 42,430 Other school boards 49,448 22,934 Government of Ontario General legislative grant 542,753 278,385 Education mill rate subsidy „ 7,592 26,681 Other 154,169 105,206 Government of Canada 31,334 - Other 14,834 26,8-17 Prepaid expenses 26,887 32,267 Due from capital 23,566 30,744 $ 1,208,393 $ 1,267,578 In our opinion these financial statements present fairly the financial position of the Board as at December 31, 1974 and the results of its operations and the source and application of its capital funds for the year then ended, in accordance with accoun- ting principles generally accepted for Ontario school boards, applied on a basis consistent with that of the preceding year. Warren, Davis, Martindale & Barnes London, Ontario Chartered Accountants May 16, 1975 Municipal Auditor's License No. 145 LIABILITIES 1974 1973 Bank - indebtedness , ... , $ - $ 85,020 Accounts payable Local Governments Over requisition due to ratepayers - 323,560 Other school boards 419,071 7,180 Trade 595,711 309,127 Government of Canada - 5,191 Revenue Fund Balance Sheet AS AT DECEMBER 31, 1974 (with comparative figures for the previous year) Capital Fund Balance Sheet AS AT DECEMBER 31, 1974 (with comparative figures for the previous year) LIABILITIES 113,915 1974 1973 30,744 30,744 FIXED ASSETS - at cost Land . ..... , .... - . ....... ... 328,622 326,622 Buildings ...... „ ..... . „ . , . , 16,164,904 15,547,879 Furniture and equipment . , , , .. . 2,375,609 2,315,363 Projects in progress - note 2 , . , 5,050,260 3,812,030 BuSea 83,170 66,606 Other , 104,671 104,671 24,107,236 22,173,171 LONG TERM LIABILITIES Unmatured debenture debt Investment in fixed assets , APPROVED BY: GILBERT DAME Chairman of the Board ,. GUMMOV Director of Education Balance December 31, 1973 Capital- .... „,. .... ....... ,„.,„ , Ineotne,„„, ........ ....... .. ........ Balance December 31, 1974 Capital V.,Ifv•••••••,•1••• ..... All•YVY .... .111, ...... VV.11,1,1PIV•••••11,11 Income 15,800 393 . 10,193 Notes to Financial Statements DECEMBER al, 1974 1) Working Capital Reserve: The accumulated reserve for working funds is allocated as follows: Elementary Panel $ 150,903 Secondary Panel 33,708 $ 193,611 2) Projects in Progress: Of the eight projects in progress, five were physically complete but final billing and adjustments were pending. Costs included in projects in progress for these five amounted to $2,992,124 3) Prior Years Over (Under) Requisition: The prior year over (under) requisition has been restated to ($94,647 - elementary) and ($150,344 - secondary) to reflect additional information received subsequent to the preparation of the 1973 financial statements, The 1973 comparative figures have not been restated however, the bulk of the changes oc- curred in the grants received from the Province of Ontario. ASSETS 1974 CURRENT ASSETS Cash $ 249,840 Bank certificate - at cost 100,000 349,840 1973 26,893 26,893 CURRENT LIABILITIES Bank indebtedness , , • „ , $ - Accounts payable 90,349 Due to revenue 23 566 Statement of Continuity - of Tr -ust Funds FOR THE YEAR ENDED DECEMBER 31, 1974 $24,457,076 $22,200,064 8,184,539 7,618,124 16,158,622 14,551,196 $24,457,076 $22,200,064 Revenue - ..... • ....... 1,1,•••••••••••••• Expenditure $ 15,800 244 16,044. 1,163 1,014