Ontario Community Newspapers

Stouffville Tribune (Stouffville, ON), May 19, 1982, p. 15

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the tribune wednesday may- mm82 al gearing late victor morgan memorial service markham a memorial service was held may 9 from the dixongarland funer al home for victor mor- gan dublin apart- ments markham fol lowing his sudden pas sing may 7 in scarbor ough centenary hospit al he was 83 his death attributed to a heart attack came as a shock to his family arid a wide circle of friends mr morgan was born in cardiff wales dur ing world war i he served with the cana- dian 35th battalion and was twice wounded in action overseas sixty years ago aug 6 1921 victor and emi ly osborn were mar ried and took up resi dence at long branch later on the advice of his physician they moved to a small farm on 17th avenue east of hwy 48 where they re mained until 1971 last august mr and mrs morgan celebrated their diamond wedding anniversary among the several congratula tory messages received was a telegram from queen elizabeth besides his wife mr morgan is survived by two daughters lillian borland toronto grace coxworth rr 2 markham five grandchildren and two great grandchildren there are also two sis ters dolly morgan and marjorie read and one brother griffith- morgan township of uxbridge 1982 citizen of the year nominations will be received by the undersigned for citizen of the year for 1982 b thiseyent js bejnjg heldjuring uxbridge town ships canada week celebrations with a viewtb honouring one citizen in recognition of his or her outstanding service to this community persons nominated must be permanent residents who have resided in the township of ux bridge for a minimum of one year nominations must be submitted in writing with reasons ouilined the person selected will be recognized at the spring water days official opening ceremonies on june 23rd 1982- deadline for receipt of nominations is may31st1982 we taylor amct clerk po box 190 uxbridge ontario l0c1k0 township of uxbridge notice to property owners to destroy noxious weeds under the provisions of the weed control act the province of ontario public notice is hereby given to all owners and occupants of subdivided lands within the township ol uxbridge that unless the noxious weeds or weed seeds on any such subdivided lands in the township of uxbridge are destoyed by friday juno 4 1982 and throughout the season tho council of the township of uxbridge has direc ted the weed inspectors for the region of durham to cause said noxious weeds or weed seeds to be destroyed in such a manner as they may deem proper and that the expenses incurred by the said weed inspectors in the discharge of their duties shall be placed on the collectors roll of the town ship ol uxbridge against the respective parcels con cerned and that such amounts shall be collected in tho same manner as taxes under the municipal act the cooperation of all citizens is earnestly solicited we tayior amct clerk township of uxbridge general information weed control the following have been appointed regional weed inspectors for 1982 with their areas of respon sibility indicated r thompson the north half of the townhip of uxbridge 3573368 k mcknlght the south half of the townhip of uxbridge 6554776 section 4 of the weed control act states every person in possession of land shall destroy all noxious weeds thereon regional weed inspectors can issue orders to destroy noxious weeds but they have no authority to order weeds to be destroyed that are not on the noxious weed list the scedute of weeds in the regulation ssts 23 species of plants as noxious weeds and they are as folows bui thistle chicory common or european buckthorn field bindweed johnson grass nodolng thistle ragweed russian thistle sowthistle perennial annual spurge leafy wid carrot yetow rocket canada thistle common barberry dodder goafsbeard mflcweed poison ivy russian knapweed scotch thistle spurge cypress tuberous vetching wmgaric weed such as da and oomenrod are not considered noxious weeds under the act student minister at anglican v- stoutfvuae chrlst church anglican sunset boulevard stouffville has acquired the services of a student minister for the summer but not one as youthful as some members of the congregation might expect al gearing a personable and handsome gentleman is 51 hes also the father of seven children niwupg one girl then six boys in a row originally from england and a butcher by profession pastor- gearing decided eight years ago to ester the ministry- he now has his ba degree and is only one year away from obtaining his master of divinity degreer mr gearing is happy in his new role expressing no regrets at a decision that resulted in a change in careers he wiu be working closely with rev philip poolethis summer cshiig jjj hospital and nursing home visitations mid week services and worship on sundays as well weddings parties dances emerald isle disc jockey service call 888-1053- catering to all age groups 1 the town of whitchur eh- stouffville c r 1 balance sheet as at december 31 1 981 assets current assets cash taxes receivable accounts receivable other current assets capital outlay to be recovered in future years other long term assets 1981 actual s 1345809 578322 347580 6325 2278036 302232 28816 2609084 1980 actual s 976187 465743 236917 5276 1684123 319778 22308 2026209 tcthe members f coaadbhabiuats aea ratepayers at tta carporakoa al the towa al whttcaarcastttrifiriac we have examined the consolidated balance sheet ol the corporation ol the town of whitchurchstoutfvffle as at december 31 1981 and the consolidated statements of revenue and expenditure capital operations continuity ol trust lunds and reserve and reserve funds continuity and analysis ol year end position for the year then ended our examination was made in accordance with generally accepted auditing standards and accordingly included such tests and other procedures as we considered necessary in the circumstances in our opinion these consolidated financial statements present fairly the financial position of the corporation of the town of whitchurchstounvule as at december 31 j 1 981 and the results of its operations for the year then ended in accordance with generally accepted accounting principles for ontario municipalities applied on a basis consistent with that of the preceding year campbel sharp 55 university avenue suite 800 toronto ontario march 19 1982 licence number 425 zc- campbell sharp chartered accountants reserve and reserve funds statement of continuity and analysis of year end position for the year ended december 31 1 981 amiable at the besauaog ol the year tor future municipal purposes revenue contnbutxxis from the revenue fund contributions from developers and lot fees donation and sundry ohrp interest earned on loans interest earned liabilities current liabilities temporary loans accounts payable and accrued liabilities other current liabilities net long term liabilities reserves and reserve funds accumulated net revenue deficit and unapplied capital receipts 1981 actual s 542413 542413 302232 1594671 169768 2609084 1980 actual s 291307 291307 319778 1224331 190793 2026209 statement of capital operations for the year ended december 31 1 981 1981 1980 actual actual unfmanced capital outlay unexpended capital financing at the beginning of the year s 1548 s 8475 capital expenditure general government 15356 2538 protection to persons and property 12191 21801 transportation services 242141 130456 environmental services 13708 23367 health services 105 social and family services recreation and cultural services 85373 28055 planning and development 5482 6954 other total expenditure 374356 213171 capital financing contributions from the revenue fund 133711 103897 contributions from reserves v and reserve funds 79786 66518 long term liabilities incurred ontario grants 159311 35829 other total capital financing 372808 206244 unfinanced capital outlay unexpended capital financing at the end of the year nil 1548 statement of revenue and expenditure for the year ended december 31 1 981 accumulated net revenue deficit at the beginning of the year expenditures and transfers municipal expenditures general government protection to persons and property transportation services environmental services health services social and family services recreation and cultural services planning and development total expenditure transfers transfers to region or country transfers to school boards total transfers total expenditures and transfers revenue by purpose municipal purposes taxation payments in lieu of taxes ontario grants other grants fees and service charges other revenue to pay for municipal purposes region or county requisition taxation payments in lieu of taxes ontario grants- other revenue to pay the region or county requisition v school board requisition taxation payments in eeu of taxes other revenue to pay the school board requisition total revenue accumulated not revenue deficit at the and of tha year analysed as follows general revenue region or county school boards special charges special areas local boards municipal enterprises 1981 1981 budget actual 189245 189245 440999 465197 267058 274643 532392 590700 424280 425399 34910 34781 1224 1224 s 512147 584729 112498 87615 2325508 2464288 874591 879226 3376493 3433982 4251084 4313208 6576592 6777496 1352592 1355111 40225 40964 340590 376272 233916 274593 249595 393827 2216918 2440767 854154 862127 1054 3214 19486 12509 874694 877850 3371370 3428782 1980 actual s 265627 408247 230047 1534240 357581 14030 7571 459796 73400 2084912 857045 3075976 3933021 6017933 1103871 35568 345473 233599 289701 2008212 834809 2712 notes to the financial statements 1 accounting policies a statement of revenue and expediture this statement reflects the revenues and expeditures of the revenue funds and the following local boards and municipal enterprises public library board community recreation centres museum board arena boaio water utility stouffville cemetery board business improvement area board o statement of capital operations this statement reflects the capita expenditure of the municipality to be recovered from the general municipal revenue of the municipality and its local boards and municipal enterprises as described in note 1a c balance sheet this statement reflects the assets and liabilities of the revenue fund the capital fund reserve funds and local boards and municipal enterprises as described in note 1 a d rxed assets the historical cost and accumulated depreciation of fixed assets is not reported for municipal purposes instead the capital outlay to be recovered in future years which is the aggregate of the principal portion of unmatured long term liabilities capital funds transferred to other organizations and the cost of capital projects not yet permanently financed is reported on the balance sheet e municipal enterprises g j ijuv t municipal enterprises are those activities whose costs are sub stantially recovered from service charges on the users the enterprise of this municipality whose revenues and expenditures have not been consolidated in these financial statements is the whitchurchstouffville hydroelectric commission 0 charges for net long term liabilities debt retirement costs including principal and interest are charged against current revenues in the periods in which they are paid interest charges are not accrued for the periods from the dates of the latest interest paymehts to the end of the financial year g trust funds trust funds administered by the municipality amounting to s 1 07 1 20 are only reflected in the trust funds statement of continuity and balance sheet capital outlay to be recovered in future years a capital outlay to be recovered in future years not representing a burden on general municipal revenues as it is to bo recovered in future years from special charges on benefiting landowners is s99131980s11212 b capital outlays including fixed assets and the transfers of capital funds in the amount of 13371 1 which have been financed from general municipal revenues of the current year are reported on the- statement of revenue and expenditure i reserve funds during the year 441007 were credited directly to reserve funds without being recorded as revenues and expenditures of the revenue fund sources were income from investments subdividerand developer contributions donation and sundry 1981 120110 319900 997 5441007 214075 net long term liabilities the balance for net long term liabilities reported on the balance sheet is made up of the following 1981 1980 total long term liabilities incurred by the muni- cipality including those incurred on behalf of former school boards other municipalities and municipal enterprises and outstanding at the end of the year amount to in addition the municipality has assumed re sponsibility for the payment of principal and in terest charges on certain long term liabilities issued by other municipalities at the end of the year the principal amount of this libility is of the long term liabilities shown above the responsibility for payment of principal and in terest charges has been assumed by others for a principal amount of 442450 503723 294913 311212 435131 495157 302232 319778 5042 3376412 6468024 80677 16326 10620 net long term liabilities at the end of the year i96 5 accumulated net revenue deficit at the end of the year the balance in the revenue fund at the year end is available to reduce the 3439402 6758019 169768 59429 147 5501 41813 1064 6s568 857007 3066022 10310 3076332 the levies of the following classes of ratepayers general ratepayers designated ratepayers school board ratepayers region ratepayers 5941551 1981 86136 79610 5501 1479 1980 135355 53912 81 103 169768 189245 6 charges for net long term liabilities total charges for the year for long term liabilities 189245 were as folows 1981 96962 103 81 1980 prindpat payments interest 17547 27541 25351 20344 46610 189245 expenditure transfers to the capital fund transfers to the revenue fund sick leave paid forgiveness portion of ohrp loans transfer to region sewer debenture 1981 1980 actual actual 1224331 985201 136416 158349 319900 120750 997 1412 123936 93325 582661 372424 79786 68089 58440 39999 50659 1110 3950 4610 19486 19486 212321 133294 1594671 1224331 available at the year end for future municipal purposes analysis of yearend position as at december 31 1 981 reserves working fund sick leave capital expenditures reserve funds business improvement area library soft services lot fees and subdivider contributions recreational land planning act ontario housing renewal program year end position ol reserves and reserve funds 1981 actual 200000 56146 203885 460031 2000 17916 27423 573168 401371 112762 1134640 1594671 1980 actual 200000 97533 120767 418300 12500 33458 511095 141788 107190 b06031 1224331 trust funds statement of continuity for the year ended december 31 1 981 balance at the beginning of the year capital receipts transfer from operations re sale of plots interest earned other revenue expenditure transfer to operations chanty payments guarantor balance at end of the year total williamson grubln- trusts s 146463 56384 4160 13970 6226 18130 6226 4623 5601 47249 5601 57473 5601 107120 57009 guarantee emetery deposit care 44128 45951 as at december 31 1 981 assets cash investments at cost market value canada provincial municipal own other guaranteed income certificates other liabilities accounts payable and accrued- liabilities other balance capital income total williamson grubln trusts 2648 1087 9000 9050 86422 9000 5050 41872 104472 55922 107120 57009 106033 1087 107120 55922 1087 57009 107120 57009 4160 3121 4623 3121 8783 4623 47249 47249 4623 50111 et eshe 1981 guarantee cemetery deposit perpetual care 1561 4000 44550 48550 50111 50111 tfjjtt 50111 1981 1980 6 rates of taxation residential and farm mill rate for general municipal purposes for region or country purposes for school board purposes total commercial and industrial mill rate for general municipal purposes for region or country purposes for school board purposes total 8306 5704 27703 8146 4808 25093 41713 38047 9772 6710 32593 9583 5656 29522 49075 44761 16417 28937 treasurers note 45088 45354 copies of the 1981 financial statement for the electric uhrty see note the charges shown above wero paid from general municipal revenues of the iriunkwty art are incluctt in expense to rn statement are avalable at vvhitcrwrchtoufme expenottixectttstfed under the axcerwefunct hydro sectric office 130 main street wealstoufmee ontario

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