Page 4—SUSQUEHANNA TIMES November 1, 1973 Nove ART GLATFELTER Candidate for Pennsylvania Senate 28th District Troop 93 to ART GLATFELTER...life- op en house time resident of York . . County, knows the pro- for r egistr ation blems in the 28th Senator- ial District. His success in business has given him the experience necessary to be f your next State Senator. His 30 years of community service eminently qualifies 8 him to serve you. Scout Troop 93 of Mari- y AUDITOR’S REPORT etta will be holding an ling OF DONEGAL SCHOOL DISTRICT pe open house and registration LANCASTER COUNTY PENNSYLVANIA on Wednesday, November FOR THE YEAR ENDED JUNE 30, 1978 8th, from 7:00 to 8:30 PM The auditors, appointed by the Board of Directors of the Donegal School District, have In the scout room, located examined the accounts and records of said District for the year ended June 30, 1978. in the Jaycees center. In compliance with Section 2432 of the Public School Code of 1949, as amended, a Boys aged 11 years or |. + of the audit of DONEGAL SCHOOL DISTRICT was filed on or before October 31, Older are ‘eligible, The 1978, in the office of the Prothonotary of the Court of Common Pleas of Lancaster public is invireq to attend. County, Pennsylvania, and the said report will be confirmed absolutely unless an appeal The entrance 10 the scout is taken therefrom within thirty days after filing thereof. headquarters is through the The following is a concise financial statement, of said District, for the year ended June ART GLATFELTER...will give you strong representa- tion in the majority party, something we have not had for eight years. g playground. 30, 1978. ART GLATFELTER...has ART GLATFELTER...will GENERAL FUND BALANCE SHEET . Rpledged to serve in his fight hard to bring jobs to June 30, 1978 ol office no more than two Pennsylvania and reduce a ASSETS oY, 8 terms. Nor will he accept a the burdensome cost o : Cash in bank $ 571.475 >» pension for this limited government shouldered by MOUNT JOY Petty cash 1,090 a service. our working people. — LEGION — Delinquent taxes receivable 56,565 2.48 Inventory of material and supplies 36,979 % VOTE DEMOCR AT [2 mi. E. of My. Joy Principal on improvement and equipment notes Thode 5% off Rt. 230 By-Pass] Se 7 et Met Moo, VOTE FOR ART GLATFELTER ~~} |uaBLmES ! Improvement and equipment notes $ 200,000 FOR PENNSYLVANIA STATE SENATOR § a va: A NOV 7 FUND EQUITIES : Sunday Dien Delinquent tax equity 56,565 Political advertisement paid for by the Donegal Ror Sou 2) 898-8451 Invested in material and supplies a7 Democratic Club. Marty Sholly, Sec.-Treas. and James . Fund bales ABILITTE fu TY 5866 105 Ti Pekarek, Pres TOTAL LI 3 and FUND EQUI mmm MT TI—- GENERAL FUND 28th STATEMENT of REVENUE and EXPENDITURES Pau y Year ended June 30, 1978 Loc REVENUE Rev 20000¢ POCTOOOCTVOTOOCOOOCeS FOUL LDPRRLD LLP LeeYY Local sources $2,360,147 ed State sources 1,695,400) B&8 cere “THE RIGHT “THE RIGHT Federal sources 132,338 T Refund of prior year’s expenditures 13 Don LOOK” PRICE” TOTAL REVENUE $4,187,898) @ Mil EXPENDITURES 3 PIECE LIVING ROOM ® SOFA Administration $ 165,798 oh re : Instruction 2,315,407 Also available in Early American eo LOVE SEAT Pupil personal services 75,708 Health services 44,719 Pupil transportation services 151,842 Operation and maintenance of plant 622,078 Fixed charges 349,617 RD ER [Sohn Ma he Student activities 60,862 3 RY I WEEE S80 Community service 1,464 : 1 Ek oy JI RE Capitol outlay 21,450 Soy an) SPT 18% £ Debt service 310,028 1 ’ i LR Intersystem payments TOTAL EXPENDITURES Excess of Expenditures over Revenue $ (144,297) 213,222 $4,332,195 Plus: Principal from Improvement and Equipment notes 200,000 The New Look — General Fund Balance—July 1, 1977 516,862 With Saddle Straps GENERAL FUND BALANCE—June 30, 1978 $ 572,565 and hard-wearing OTHER INFORMATION | Herculon fabric Year ended June 30, 1978 Shelly’s Furniture and Bargain Basement 237 Locust St., Columbia PHONE 684-3780 gs0 LIABILITIES and DEBT—payable in future years Authority rentals—Ilast maturity date 12/15/91 IGENERAL FIXED ASSETS Land and land improvements Buildings Furniture and equipment TOTAL GENERAL FIXED ASSETS [THER FUNDS Fund Balance 7/01/77 Revenues Expenditures Cafeteria 67,337 250,992 238,031 Activities 67,821 148,339 141,771 Payroll — 2,725,951 2,725,951 Petty cash 200 453 621 ASSESED VALUATION of the DISTRICT Mills levied—103 $16,349,850 $3,008,932 $ 350,064 8,125,175 1,367,061} $802.00 Fund Balance 6/30/78 80,298] 74,389 —— 32 “ervey