PAGE FOUR Big Brother Plan . Explained “How the newly-formed or- ganization, “Big Brothers” is operating in the county was disclosed to Mount Joy Ro- tarians Tuesday noon at the club's weekly luncheon meet- ing at Hostetters. The speaker was Robert Thompson of Lancaster, who discussed the start, the oper- atién, the problems and plans ‘for the future of the young movement. ; “Big Brother is an organiza- tion which attempts to pro- vide “male guidance for fa- therless boys,” Thompson said. He pointed out the need for a boy 7 to 18 to have an adult man to whom he can talk about his problems. The organization attempts to match boys with dedicat- ed men who are willing and interested in giving a few hours per week te some kind of meaningful relationship of guidance. The program is an out- growth from the Lancaster Boys Club and the Lancaster Jaycees, Thompson said but is vastly different in that it works directly with a child as an individual. Big Brother operates on an independently - financed budget of $20,000 per year with a full-time executive secretary: The speaker was introduc- ed by Robert Kline, first vice- president and program chair- man. ® Jaycees (From page 1) Grove, Editor of the Joyvee- ette Journal, published mon- thly; and Mrs. Nancy New- comer, publicity chairman for the year . Jaycee awards: Keyman Award, Andrew Reymer; Outstanding first year Jaycee, Robert Koser’ Autstanding chairman, Ray Bair; Presi- dental Award, Denis Fackler. Also presented was a Life Membership in the Mount Joy Jaycees to Ray D. Bair. Ray was exhausted this year due because of age. He serv- ed the Mount Joy Jaycees for 10 years, and as presi- dent in 1963. Joycee-ettes installed as new officers: Mrs. “Shirley Yingst; first vice president, Mrs. Nancy Martin; second vice president, Mrs. Winnie Geyer; secretary, Mrs. Nancy Revmer; treasurer, Mrs, Don- na Aument; orphans secre- tary, Mrs. Shirley Rafferty; historian, Mrs. Lee Rogers; editor, Mrs. Loretta Gehman; director, Mrs. Lavon Harnish and past president, Mrs. Pa- tricia Lesher. .Jaycees installed as new officers: James Gingrich; first vice president, Andy Reymer; second Vice presi- dent, Robert Koser; treasur- er, Clayton Aument; secre- tary, John Harnish; 1 year director, Jay Kretzing, 2 year director, Robert Eshel- man; 2 year director, Dennis Fackler, and state director, Patrick Moran. AUXILIARY MEETS The Ladies Auxiliary of the Mount Joy Fire company met in the fire hall Mar. 20. The president presided with 20 members present. Plans were made to hold a Mother and Daughter ban- quet May 15. Birthday greetings were extended to Alice Troutman, Mary Fitzkee and Rose John- son. ON VACATION Mr. and Mrs Clair Amway of 38 West Main Street, spent several days of their ‘~wacatien visiting Mr. and Mrs John Gary of Arling- ten,’ Va. They also toured plac¢es of interest in Wash- ington, D. C. . Fully grown redheaded ...pine sawfly resemble yellow caterpillars with black spots and red- heads. - THE BULLETIN, MOUNT JOY, PA. LEGAL NOTICES AUDITOR'S REPORT Of The BOROUGH OF MOUNT JOY FOR THE YEAR 1968 GENERAL FUND RECEIPTS: Balance, January 1, 1968 Current 1968 Real Estate Taxes Collected Prior years Real Estate Taxes Collected Current 1968 Per Capita Taxes Collected Prior Years Per Capita Taxes Collected Beverage Permits Building Permits Street, including tax on poles Business and Mercantile Fines vo $ Aa a nt" sa se amber sen “eee “rene tes ea BA 00 X00 0.00 0000 080000000 SA BB aNd asserts ne Rent from property County aid for highways (includes 1967) Transfer from Parking Meter account Inspection services, Board of Health Street Repairs and Openings From Curb Account Wage Tax ... From Cable TV Franchise From sale of Bicycle License Tags ...... Refunds Cash from Sale of Investments Interest from Certificates of Deposits Interest from Series H. Bonds Interest from U. S. Treasury Bills Transfer Bit a 0 0% a a ns sabe srr et bere AAS hove Sram manasa ee «ss rs Erwan BEE. +8 es ss ein asss srr srr attra neee 25,249.45 53,136.32 657.15 12,702.45 1,596.00 1,600.00 478 50 1,341.00 146.00 1,688.00 20.00 240.00 7,349.31 6,179.18 27.00 205.00 268.28 29,191.01 600.00 50.00 3,004.85 99,786.34 1,223.08 301.00 564.54 4234.63 TOTAL RECEIPTS AND CASH BALANCE... $251.839.09 EXPENDITURES: Administration: Mayors salary... cc. i. oh eiiceniiiise S 180.00 Councllmen’s salary. .... .. ..c.dv. vase idva 1.62000 Supervisor's Salary... . on... ieee - 5,222.99 Secretary's salary 0. LL EIA 1,500.00 Treasurer's salary... i... .... . ico, io 100.00 Auditor's salary 30.00 122g] serviees . .... 0 ae Sen 1.060.006 Engincering fees '.................. 5. 4 090 21 Office materials and supplies .............. 75.88 Association dues ........... ic. ies. ty 207.00 Arbitration fund (County Assoc. Boroughs) .. 164.50 Printing, Postage and Legal Advertising .. 783.64 TOTAL ADMINISTRATION .........«.. S$ 1593432 Tax Collection: Tax Collector’s fee ...:. ......... .s.iviisi g ot 8 178438 Borough Buildings: Salaries and Wages ...- .<.....70...... 0a 8 765.00 Drawings and Specifications for renovation .. 137.30 Pent of buficlinge . ... ...5 .... .. . i eveses 130.00 Repair to buildings 55.27 Fuel and Light ....... 05:0 isos vssodece 3.266. 69 Fire Intratwe o.oo iii aun 406.00 Taxes, Borough Building (accrued at fimargl opareinee) 3. J... i ane 377.76 Purchase Borough Building ..... 22.800.00 TOTAL BOROUGH BUILDINGS .....:.. § 27,938.22 Protection to Persons and Property: Police: Salary, Chief of Police ...... connie... ces S$ 6,867.17 Salary Patrolmen, Part-time, Crossing guards 13,223.55 Materials and Supplies ................... . 502.21 Traffic Signal -Systemn ..... cc. .cnn ins . 856.76 Salary (dispatcher) ov. vc. cannes 35 ee 723.58 UO MS. vi hems hescs sain on 281.50 TeleDRONe = 5 svi ia re it va sansve . 380.70 Insuranee, Police €ar ...:.c..cvvicvnnssvas 173.81 Civil Servicé Commission EXpenses ........ 174.11 Radio Coll SVSIEN . iv... veces sussscins v 890.25 Purchase, Motor Equipment .............. . 830.00 Repair Parking Meters . ..........c:cienin 334.62 Repair Police Car. ........5 oie aicisne . 201.04 Gas and Oll, Police Car .....coeeiinivess : 1,637.79 TOTAL POLICE .-. «v.iicseinninnes eevee $ 27,077.00 Fire: Salary (dispatcher) ........c.ccovsvane vse $$ 1256.42 New Florin Fire HOUSE -. . .-. cc iovricisnss 9,998.33 Tires for Mi. "Joy ‘Fire Trick ....... ceuue . 281.50 Maintenance of Fire House ...........0... 80.03 SUP ONICE oes ins a te inti Fed aT sn 505.00 Contributions to Volunteer Fire Companies 1,500.00 Purchase oF HOSE .vcvcicocvveiissiveies se 997.50 TOTAL FIRE - .. i ie int Tiss ans . $ 14,618.78 Building, Regulation, Planning and Zoning: Salaries Tr. fi. cr iit eerie ven ves 258.25 TOTAL ZONING... cv ovis ccvicniinnes $ 258.23 Board of Health: Salar ES i. ie i sr ese Pave ara . 240 00 Materials and Supplies .......... coor vs . 143.90 TOTAL BOARD OF HEALTH ........ ve 3 383.90 Garbage Collection and Disposal: Wages and Landfill ... ..... covieii concen «8 18.359.10 TOTAL GARBAGE COLLECTION ...... $ 18,359.10 Highways: Majcrials and Supplies ....... cccivivieas i 481.20 Street signs and markings ....:..c.c0vove . 676.36 SNOW removal ..... co. 0 ie ive : 1,664.92 Patching and repairing improved streets ... 5,023.36 Tar and bituminous surface treatment (Slury. Seal) uc... aviiie cu Jee 1,802.25 Repairs to bridges, sidewalks, drains & walks 133.86 Cleaning streets and gutters .............. 688.50 Other THENWAY Care «cece ccnvvsnssvoess - 1,083 40 Equipment (IMOWer) eve. .ciice scores vs ns 801.00 Insurance (Arucks). .... ..... . ci i iiociasiee 229.00 Repairs to trucks and equipment .......... 2.816.10 Gas antl Ol i... . fC feeds ciiienes “ie 1,280.34 Construction and rebuilding streets CGneludes J88T) . io. iii i ne ae . 28.100.45 Purchase of major equipment (tractor) ..... 2,500.00 TOTAL HIGHWAYS ....... sanesnvenes $ 47.281 924 Street Lighting: Power and Service ....... siensnenissnvnve-$ 13.077.50 TOTAL STREET LIGHTING ..... seers $ 13,077.59 Parks and Playgrounds: Salaries and wages .......... Cat sdue sie $ 124580 Materials and Supplies ......... cc servers : 120.00 Repairs to property ......... Clie ne es . 20175 Weed-control - ............ ress warn enna esd 374.00 TOTAL PARKS AND PLAYGROUNDS .. $ 194155 FEE ye "1,000.00 - Library: ; ns Mount Joy Pablic Library .. TOTAL LIBRARY sesvvevcievasns = uh Miscellaneous: ; Compensation Insurance Donations, Civic Celebrations Hospitalization Insurance Police Pension Fund, Borough’s share FIAC Tax Lock Box Rent Transfer ‘TOTAL MISCELLANEOUS Miscellaneous Non-Governmental Expenditures: Cash paid for investments TOTAL NON-GOVERNMENTAL SrA tae BP 0H Vee a SRR Wee nae eee re ran BA SN 0 EN NNR NEN ae FANE SRN RNR RRNA CNR EI a ET Ra HV WY EE Fas VE br v0 8 SAB SPER NNT ee ee SEB BRD DDT eA TOTAL EXPENDITURES AND BALANCE WEDNESDAY, MARCH 26, 1969 SE —————— $ 1,000.00 $ 144 63 50.00 700.35 1,000.00 1,487.79 6.50 4,234.63 RE —————————— $ 7,623.90 $ 67,000.00 SE ————— $ 67,000.00 ————— RS ———— $244,278.92 7,560.17 . $251,839.09 TOTAL BOROUGH TAXES UNPAID, DECEMBER 21, 1968 REAL ESTATE $3,279.40 PER CAPITA $2,087.80 Valuation of Real Estate for Mount Joy Borough for 1968. $4,689,420.00 SPECIAL ACCOUNTS HIGHWAY AID FUND Cash Balance, January 1, 1968 .. $ 00.00 State Motor License Fund Grants 13,769.82 TOTAL RECEIPTS AND BALANCE B. R. Kreider, Contractor Cash Balance, December 31, 1968 PARKING METER FUND Cash Balance, January 1, 1968 .. $ 270.81 Receipls ...... sd ui vunas 6,048.06 TOTAL RECEIPTS AND BALANCE Transfer to General Fund Balance, December 31, 1968 CURB FUND 0 Cash Balance, January 1, 1968 .. $ 268.28 TOTAL BALANCE Transfer to General Fund Balance, December 31, 1968 POLICE PENSION FUND Cash Balance, January 1, 1968 .. $ 149520 Dividends ..... ee si 44.69 Employees Contributions ........ 780.62 Commonwealth of Pennsylvania 3,279.10 go Borough's Contribution ........ . 1,000.0 TOTAL RECEIPTS AND BALANCE Refunds Premiums and Investments Balance, December 31, 1968 he HOSPITALIZATION FUND Cash Balance," Jantiary 1, 1968 .. $ 4.18 Employees Contributions ....... 848.19 Borough's Contribution ........ : 490.00 TOTAL RECEIPTS AND BALANCE Premiums : Balance, December 31, 1968 SOCIAL SECURITY FUND Cash Balance, January 1, 1968 .. $ 176.27 Receipts 3,064.44 TOTAL RECEIPTS AND BALANCE Taxes Paid Balance, December 31, 1968 WAGE TAX ACCOUNT Cash Balance, January 1, 1968 .. $ Receipts TOTAL RECEIPTS AND BALANCE Wage taxes paid Balance, December 31, 1968 : ANNIE S. LYTLE — FUEL FUND Cash Balance, January 1, 1968 .. $ 202 32 Interest on securities 52.40 TOTAL RECEIPTS AND BALANCE Bi scaield FW ATE 0 ad Ee eee 95.07 492.33 $ 13,769.82 13,769 82 ————— 00.00 —————— 6,318.87 6,179.18 139.69 Sr ————————————— 268.28 268.28 00.00 $ 6,599.61 226.01 5,662.86 rea 710.74 Or c————. + $ 1,342.37 96357 378.80 $ 3,240.71 2,815.96 424.75 587.40 451.79 135.61 $§ 254.72 MARY W. PATTERSON — FUEL FUND 261.55 75.00 Cash Balance, January 1, 1968 .. Interest on securities $ TOTAL RECEIPTS AND BALANCE Fuel Purchased Balance, December 31, 1968 336.55 29.04 307.51 ADELAIDE S. STRICKLER -—- FURL FUND Cash Balance. January 1, 1968 .. $ 166.03 Interest on securities ...... Re 50.70 TOTAL RECEIPTS AND BALANCE $ 216.73 SECURITIES HELD ON FUEL FUNDS ANNTE S. LVTLF Series H. Bond MARY W PATTRRSON RESERVE FUND SECURITIES HELD. Series H Bond MR113610 H 1000 Series H Bond M8113611 H 1000 $7000 ; ___ CERTIFICATES OF DEPOSIT Certificate #1735 Mt. Joy Borough, Sons of Veterans... $ 434 20 INtErEst: =. i fn aa er 19.54 TOTAL @ 453.74 Balance, December 31, 1968 $ 453.74 ——————— Certificate #1734 Mount Joy Borough, Inc ....... vee cece $ 22568 Interest". ..... Phra ni syn 10.17 TOTAL LL $§ 23583 (From. page 4" Treasurv Bond ADELAIDE S. STRICKT FR. Certificate of Deposit $ 1000 3000 2000 Series H. Bond V2093141 H $5000
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