Annual Report Secondary School District No. 6, 1960-1961, Part 1

Author: Cooperative Secondary School Disrict Number 6 (Rockingham County, N.H.)
Publication date: 1960
Publisher: Hampton, N.H. : Hampton Publishing Company, Inc
Number of Pages: 38


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Part 1


Report


SECONDARY SCHOOL DISTRICT NO. 6


A Cooperative School District Including Hampton, Hampton Falls, North Hampton and Seabrook New Hampshire '


1960 - 61


Digitized by the Internet Archive in 2014


https://archive.org/details/reportseconda19601961coop


Annual Report


Secondary School District No. 6


1960 - 1961


PRINTED AND BOUND BY THE HAMPTON PUBLISHING COMPANY, INC. HAMPTON, N. H.


School Officials


SCHOOL BOARD


CHAIRMAN


Representing


Term Expires


Carroll L. Blackden


North Hampton 1961


SECRETARY


Harold L. Pierson, D.M.D.


Hampton 1962


Karl J. E. Gove


Louis B. Janvrin


Hampton Falls 1963


D. Malcolm Hamilton


Hampton 1964


MODERATOR


Edward S. Seavey, Jr. 1960


CLERK


Mrs. Florence Haley


Appointed


TREASURER


James F. Leavitt


Appointed


SUPERINTENDENT OF SCHOOLS Clarence M. Green, A.B., M. Ed.


Seabrook 1965


Cooperative High School Teachers


Name


Degree


Experience


Daniel S. Maloney


B. S., M. Ed.


6 years


Elton B. Smith


B. S., M. Ed.


14 years


Allan G. Bushold


A. B., M. Ed.


12 years


Stillman M. Hobbs


A. B.


33 years


Charles Ashley


A. B., M. Ed.


2 years


Raymond Blanchette


B. Ed.


3 years


Betty J. Blatchford


B. S.


8 years


i


George Bossi


B. S., M. S.


2 years


John Connolly


B. S.


2 years


Robert J. Dodge


B. S.


7 years


Alice C. Downing


B. E.


20 years


Harold Fernald


B. E.


6 years


Theodore Geers


B. E.


4 years


Ernest Gregorowicz


A. B., M. Ed.


3 years


Carl Grover


B. Ed.


2 years


Richard J. Ladd


B.S., M. Ed.


8 years


Barbara Lamphere


B. Ed.


3 years


Joseph Lapchick


B. S.


2 years


Anita MacDonald


B. Ed.


2 years


Walter Mackey


A. B., M. Ed.


3 years


Barbara Mahoney


B. S.


8 years


G. Otis Mudge


A. B.


9 years


Richard Nye


B. Ed.


1 year


Jean A. Perkins


B. A., M. Ed.


10 years


Andrew Polychronis


B. A., M. S.


3 years


Grace Ann Ridlon


B. A., M. A.


6 years


Bruce E. Russell


B. S., M.A.


37 years


Ruth Seidel


B. S.


1 year


Charlyn Stevens


B. A.


3 years


Robert M. Swasey


B. S., M. Ed.


18 years


John B. Tucker


B. Ed.


2 years


Doris J. Valley


B. A.


6 years


Neal Wiggin


B. Ed.


9 years


Shirley McRae


R. N.


8 years


Frank Esile


B. S.


2 years


-


- 4 -


Report of the Cooperative School Board


The Taxpayers and Parents of this area can take proper pride in their school for the progress made in the past three years, and we are sure that with the international unrest we should all look with "An eye to the future", for at no time in history has progress in education been more important. I am sure that we all want a good education for our children and a good education costs money. Since we are moving into the most demanding era of our times we have to meet this problem with the same decisive and agressive action that has built our nation in the past.


For our advancement in education over the past few years a great deal of credit must be given to our fine staff of teachers and administrators. In the past we have been most fortunate in having the services of Dr. Manning and Mr. Tanzi who helped immeasur- ably in getting our school off to a good start.


Our present Principal, Mr. Maloney, and Assistant Principal, Mr. Smith, have worked untiringly for progress in education at Winna- cunnet High School. Mr. Green, our Superintendent, who has de- cided not to accept a new contract, will certainly be missed. His continuing efforts for progress in our schools will live long as a reminder of his fine ability as an educational administrator.


We are sure that with your attendance at school meetings and continued support the progress at Winnacunnet High School will continue, and that the future will see your School Board, Superin- tendent, and school officials cooperating in efforts for better educa- tion for the young people of this area.


Respectfully submitted,


CARROLL L. BLACKDEN, Chairman of Cooperative . School Board


- 5 -


Report of the Superintendent of Schools


TO: the School Board and Citizens of Cooperative Secondary District No. 6.


"I view education as the most important subject we as a people can be engaged in." Abraham Lincoln


I wish to take a few moments of your time to submit my third and final report as your Superintendent. It has been a pleasure to serve you and to play a small part in the growth and progress of Winnacunnet High School. The opportunity to start a school from "scratch" is one that does not often come to a Superintendent and I am privileged to have had this good fortune. I wish you and your school the best of success in the future.


This brief report cannot attempt to touch upon all the significant items pertaining to Winnacunnet High School. At best, it can only lightly cover the more important.


The resignation of Mr. Edmund Tanzi, Principal during the first two years of the operation of Winnacunnet, was keenly felt by all persons connected with the school. "Ted" devoted a full measure of himself and his tremendous ability to the administration and super- vision of the school and students. Much of the initial progress is directly attributable to him.


Fortunately for the school a very capable successor, Mr. Daniel Maloney, was secured and the impetus of progress has not dimin- ished. Mr. Maloney has continued the movements in all of the areas inaugurated by Mr Tanzi and has begun anew in other areas. It would seem that success is building upon success and the future is indeed bright for those students scheduled to attend Winnacunnet.


-6 -


Our emphasis has been on the improvement of instruction, both through up-grading of traditional methods and by introducing newer methods. Individual instruction has been improved through careful selection of replacement and additional personnel and through closer supervision of all staff members.


Additionally, "team teaching" techniques have been introduced. Teachers who have participated in this activity have been Mr. Allan Bushold, Mr. Ernest Gregorowicz, and Mr. Neal Wiggin and the subject areas have been English and American History. While we are not ready to move to complete "team teaching" per Wayland and Newton, Massachusetts high schools, we are capable of accept- ing some of the advantages of the program. The appreciation of all should be extended to the personnel who devoted extra time and effort to establish the ground-work for this improved technique.


Our science program is reaching out under the direction of our capable staff; the foreign language department is making rapid progress; instruction in mathematics moves ahead rapidly. Other areas, too, are improved and will continue to improve.


In keeping with the advances in instruction your School Board is considering my suggestion that the school year be increased from 180 days to 185 days of instruction. It stands to reason that in- creased demands require increased time to meet these demands. I feel that this added time will assist us to provide more learning.


What of the future ? Additional personnel are required to meet the increased enrollment. The School Board is requesting six. The request of last year was reduced by two and a half ($10,000 re- duction in an item asking for six Teachers at $4,000 each) and this necessitated a revision in the program. Some classes were increased in size, others were eliminated, and the Coordinators returned to nearly full - time teaching duties. A close observer can notice the reduction in effectiveness and it is hoped that the School District will express confidence in the administration by fulfilling the re- quest of the School Board. I see small reason for the public to question this item.


- 7 -


We need to increase our guidance personnel. Our current part- time person will be increased to full - time if the six additional per- sons mentioned above are provided. Mr. Robert Swasey does an excellent job but the enrollment is reaching the point where he cannot meet the demand on his services. Clerical assistance for the guidance office is also included in the budget and this, too, is sorely needed.


The equipment item is slowly being fulfilled and our current request will nearly complete the "lag" that has been created by the rapid expansion in the number of students. Future years should find a reduced figure for this portion of the budget.


Our adult education and summer school programs have been educational and financial successes. Mr. Robert Swasey and Mr. Edmund Tanzi, assisted by Mr. Elton Smith, Assistant Principal, have contributed greatly to this. I would hope that this activity will continue, expecially that area inaugurated by Mr. Smith this past Fall when, as a "public service" excellent discussions were con- ducted on politics and political parties by Mr. William Treat and Mr. William Dunfey, National Committeemen of the Republican and Democratic parties, respectively. A school, especially a regional school, should strive to serve all the people. Your interest and cooperation are necessary, if this obligation is to be met.


Little is likely to be said about the cafeteria now that it has reached its predicted goal of being self - supporting. May I assign this item to its proper "educational" role by expressing my appreci- ation to its manager, Mrs. Helen Robertson, and her staff for a fine job accomplished and by stating the hope that the administrative and public energy expended on this matter will now be directed toward the improvement of instruction.


The enrollment projection, contained in my annual report of last year, has come close to fulfillment. It appeared at that time that there would be a student population of 621 for the current school year. The initial enrollment was 600 as of November 30. An increase of 79 (obtained by subtracting Grade 12 from Grade 8) will be


- 8 -


supplemented by persons transferring to the school. Past experience causes us to place this figure at 25 so that an over - all increase of 100 is not unreasonable.


This leads to the conclusion that steps should be initiated to provide an addition to the building that will be available, at the latest, by September 1962. Adequate time is the basic criteria for thoughtful planning. I see no gain from waiting until the inevitable is upon us.


An important item in any school budget is that portion assigned to Teachers' salaries. I am disappointed that it was not possible to take more positive steps toward increasing the salaries of the staff. Our current schedule, though one of the better ones in New Hampshire, still does not permit us to reach into neighboring school systems in other states to secure the services of outstanding people. My hope is that this is merely a temporary "slow - down" in the forward progress manifested in previous years. It is not unrealistic to plan for teaching salaries in the $7,000 to $8,000 range, expecially when the demands upon the abilities of the per- sonnel are in keeping with that range.


If there is a basic fault with current public education, and there are those who will make this plural, it is because School Boards and professional educators have succumbed to the demands of the public that we emphasize "services" to the detrement of "in- struction". Far too many parents are concerned more with trans- portation than with teaching, lunches than with learning, and athletics than with "academics".


It is a courageous and thankless task to combat popular opinion and one of my more pleasant memories of this position will be that I have served School Boards that were willing to tread this path. The future will prove them deserving of far more credit than is now their lot to receive.


The organization of the Supervisory Union and the repeated proposal to provide the services of an Assistant to the Superinten-


- 9 -


dent are discussed in your annual reports for the elementary school districts. The latter item warrants your support.


I wish to express my appreciation to all who have assisted with the functioning of Winnacunnet High School. The School Board, members of the staff, volunteer aides, interested citizens, the Hampton Academy Trustees, and, of course, the personnel of the central office with special mention of Miss Leota Whitcomb, Help- ing Teacher, and Miss Edith Hammond, Executive Assistant; all share in the progress that has been manifest.


I have enjoyed my services with you and shall always be grateful for your part in providing the matchless opportunities that have come my way. Again, my best wishes to you for the future success of your school.


Respectfully submitted,


C. M. GREEN


Superintendent of Schools


January 3, 1961


- 10 -


FINANCIAL REPORT


for the


Fiscal Year Beginning July 1, 1960 and Ending June 30, 1961


CERTIFICATE


This is to certify that the information contained in this report was taken from official records and is complete and correct to the best of my knowledge and belief. The accounts are kept in accordance with Section 24 of Chapter 71 of the Revised Statutes Annotated, and upon forms prescribed by the State Tax Com- mission.


CLARENCE M. GREEN,


Superintendent of Schools


CARROLL L. BLACKDEN


HAROLD L. PIERSON D. MALCOLM HAMILTON LOUIS B. JANVRIN


School Board


Receipts


FEDERAL AID


National School Lunch & Special Milk


$5,004.89


Public Law 874


Current Expense Aid


19,068.00


Other N. D. E. A.


876.48


$24,949.37


STATE AID


Building Aid


37,500.00


Guidance Aid


186.32


37,686.32


- 11 -


LOCAL TAXATION


Current Appropriation


365,417.20


Balance Due on Previous Appro.


20.00


Advance on Next Year's Appropriation 15,000.00


380,437.20


OTHER SOURCES


Secondary School Tuitions


3,634.21


Trust Funds


2,659.31


465.00


Other


6,758.52


TOTAL NET RECEIPTS FROM ALL SOURCES


$449,831.41


Cash on hand at beginning of year, July 1, 1959


6,798.54


GRAND TOTAL NET RECEIPTS


$456,629.95


Explanation of difference between net (Actual) expenditures and gross transactions.


RECEIPTS


Total Net Income plus Cash on Hand July 1, 1959 (Agrees with "GRAND TOTAL NET


$456.629.95


RECEIPTS" Above)


Receipts from Refunds, Double Payments,


"In and Out" Transactions Between District, Transfers to or from Building or Other Accounts


2,709.66


TOTAL GROSS RECEIPTS


TOTAL GROSS INCOME


PAYMENTS


TOTAL Net Payments Plus Cash on Hand June 30, 1960 (Agrees with GRAND TOTAL NET PAYMENT)


$456,629.95


Payments refunded or returned


2,709.66


TOTAL GROSS PAYMENTS


$459,339.61


- 12 -


$459,339.61


PAYMENTS


ADMINISTRATION


Salaries of District Officers


$546.40


Superintendent's Salary (Local Share)


1,813.44


Tax for State Wide Supervision


678.00


Salaries of Other Administrative Personnel


5,605.49


Supplies and Expenses


3,532.96


INSTRUCTION


Teachers' Salaries


145,036.72


Principals' Salaries


8,300.00


Books and Other Instructional Aids


5,029.76


Scholars' Supplies


8,857.53


Salaries of Clerical Assistants


8,593.79


Supplies and Other Expenses


3,199.24


OPERATION OF SCHOOL PLANT


Salaries of Custodians


16,908.73


Fuel or Heat


7,111.75


Water, Light, Supplies and Expenses


13,834.18


MAINTENANCE OF SCHOOL PLANT


Repairs and Replacements


2,580.93


AUXILIARY ACTIVITIES


Health Supervision


5,685.44


Transportation


16,786.00


Tuition


351.44


Special Activities and Special Funds


11,275.25


School Lunch (Federal and District Funds Only)


10,488.79


FIXED CHARGES


Retirement


11,550.75


Insurance, Treas. Bonds and Expenses


4,803.92


TOTAL NET CURRENT EXPENSES


$292,570.51


- 13 -


CAPITAL OUTLAY New Equipment


DEBT AND INTEREST Principal of Debt Interest on Debt TOTAL NET PAYMENTS FOR ALL PURPOSES


$19,373.85


75,000.00


49,680.00


$436,624.36


CASH ON HAND AT END OF YEAR, June 30, 1960 General Fund


20,005.59


GRAND TOTAL NET PAYMENTS $456,629.95


- 14 -


BALANCE SHEET, June, 30, 1960


Assets


Cash on Hand June 30, 1960


(Including Building Funds)


$20,005.59


Accounts Due to District From State N. D. E. A.


212.30


TOTAL ASSETS


$20,217.89


Excess of Liabilities Over Assets


$1,239,782.11


GRAND TOTAL


$1,260,000.00


Liabilities


Accounts Owed by District


Advance on '60-'61 Appropraition


$ 15,000.00


Notes and Bonds Outstanding


1,245,000.00


TOTAL LIABILITIES


$1,260,000.00


GRAND TOTAL


$1,260,000.00


- 15 -


SUPERINTENDENT AND HELPING TEACHER'S SALARY SHARES


The following figures show the State's Share of the Superintendent's and Helping Teacher's Salaries and the proportionate share paid by each school district in Supervisory Union No. 21, for 1960-61.


Superintendent


Helping Teacher


State's Share


$2,500.00


$2,500.00


Cooperative No. 6


2,017.90


1,097.97


Hampton


2,081.82


1,132.76


Hampton Falls


216.24


117.66


New Castle


185.64


101.01


North Hampton


601.46


327.26


Rye


916.98


498.95


Seabrook


662.32


360.38


South Hampton


117.64


64.01


TOTAL


$9,300.00


$6,200.00


- 16 -


NOTIFICATION OF SCHOOL ASSESSMENT, 1960 Expenditures (1960-61)


Current Expenditures


$333,021.22


Capital Outlay


Additions and Improvements


2,088.00


New Equipment


8,191.40


Debt and Interest


121,800.00


TOTAL APPROPRIATION


$465,100.62


Receipts (1960-61)


Balance, June 30, 1960


Less Liabilities (Est.)


$ 5,000.00


Federal Aid (Estimate)


26,804.20


State Aid (Estimate)


37,500.00


Tuition (Estimate)


2,580.00


Other Receipts (Estimate)


2,600.00


Assessment Required to Meet School


District Appropriation :


Hampton


$219,767.22


Hampton Falls


27,442.91


North Hampton


71,875.79


Seabrook


71,530.50


390,616.42


TOTAL APPROPRIATION


$465,100.62


Authorization to issue notes or bonds None


- 17 -


CERTIFICATES


TO THE BOARD OF SELECTMEN :


I certify that the above is a correct statement of the obligations authorized, and the amounts to be assessed to meet statutory re- quirements and appropriations made at the annual meeting of the Cooperative Secondary No. 6 School District held March 17, 1960.


FLORENCE D. HALEY


June 10, 1960


Clerk of the School District


TO THE STATE DEPARTMENT OF EDUCATION:


I certify that the above is a correct statement of the financial proceedings of the district for the school year 1960-61, and that copies of this statement have been filed with the chairman of the board of selectmen and entered in the records of the school board in accordance with N. H. Revised Statutes Annotated, Chapter 197, Section 20.


CARROLL L. BLACKDEN


June 10, 1960


Chairman of the School Board


- 18 -


Report of the School District Treasurer


General Fund Fiscal Year July 1, 1959 to June 30, 1960


Cash on Hand (Treasurer's Bank Balance)


$6,798.54


Received from Selectmen


Current Appropriation


380,417.20


Balance of Previous Appropriations


20.00


Received from State Treasurer


State Funds


38,962.80


Federal Funds


5,004.89


Received Directly from Federal Agencies


19,068.00


Received from Tuitions


3,634.21


Received from all Sources


5,433.97


TOTAL RECEIPTS


$452,541.07


Total Amount Available for Fiscal Year


(Balance and Receipts)


$459,339.61


Less School Board Orders Paid


439,334.02


Balance on Hand June 30, 1960


(Treasurer's Bank Balance)


$20,005.59


July 11, 1960


JAMES F. LEAVITT District Treasurer


AUDITOR'S CERTIFICATE


This is to certify that we have examined the books, vouchers, bank statements and other financial records of the treasurer of the school district of Cooperative #6 of which the above is a true summary for the fiscal year ending June 30, 1960 and find them correct in all respects.


July 29, 1960


HERBERT E. HUNT Auditor


- 19 -


SCHOOL LUNCH PROGRAM


Summary of Receipts, Expenditures and Proof of Balance Fiscal Year Ended June 30, 1960


Balance - July 1, 1959


$692.31


Receipts During Year:


Lunch Sales


Children


$17,246.23 1,357.83


Adults


$18,604.06


Reimbursements


5,004.89


Miscellaneous


5,846.26


Total Receipts


$29,455.21


GRAND TOTAL


$30,147.52


Expenditures During Year:


Food


$23,308.53


Labor:


Adult


$2,073.31


Children


639.20


2,712.51


Equipment


550.02


Other


1,162.46


Total Expenditures


$27,733.52


Balance - June 30, 1960


2,414.00


GRAND TOTAL


$30,147.52


- 20 -


PROOF OF BALANCE


Balance in Hampton National Bank - As Per Statement June 30, 1960 $3,491.61


Less Outstanding Checks $1,077.61


Reconciled Balance - June 30, 1960


$2,414.00


July 29, 1960


HERBERT E. HUNT Auditor


- 21 -


ADULT EDUCATION PROGRAM


First Session, September - December 1960


TO: Superintendent of Schools, Cooperative School District


The following report indicated the status of the Adult Education Program at the end of the first session :


COURSE


Ball Room Dancing


Mr. Richard Ingraham 29


Beginning Sewing


Mrs. Margaret Barry 19


Beginning Typing


Miss Alice Downing


26


Rug Hooking


Mrs. Clara Brown


8


Cake Decorating


Miss Daisy Heath


17


Beginning Contract Bridge


Mrs. Bruce Russell


12


Woodworking & Furniture Repair Mr. John Connolly


10


Sheet Metal Working


Mr. Richard Nye


8


Chess


Mr. Neal Wiggin


6


Art


Mr. John Mansur


17


152


Breakdown -


$1,002.50


Total Receipts


898.81


Total Payments


Balance at end of first semester


$103.69


Plus Previous Balance, June 30, 1960


407.84


Total Balance, December 13, 1960


$ 511.53


- 22 -


WINNACUNNET HIGH SCHOOL Report of Summer School 1960


Total Number of Students Registered: 83


Name of Course


Teacher


No. Students


Total No. Taking for Credit


English I


Allan Bushold


9


5


English II


Allan Bushold


7


5


English III


Allan Bushold


6


3


English IV


Allan Bushold


1


1


Algebra I


John C. Duncklee


12


8


Algebra II


John C. Duncklee


7


5


Geometry


John C. Duncklee


7


5


Personal Typing


Elsie M. Keene


25


13


Driver Education


Elton Smith


13


13


Reading


Bettiann Donahue


8


0


-


TOTALS


95


58


FINANCIAL REPORT:


Receipts : Balance on hand June 30, 1960


$ 491.79


Student Tuition


2,375.00


Book Deposit


340.00


Adult Driver Education


150.00


State Treasurer - Aid on Dr. Ed. , 260.00


TOTAL RECEIPTS


$3,616.79


Expenditures :


Book Refunds


$ 345.00


Car Insurance


21.15


Car Expenses


26.21


Salaries


2,000.00


Social Security


36.00


TOTAL EXPENDITURES


$2,428.36


Balance on hand 12/31/60


$1,188.43


- 23 -


COOPERATIVE SECONDARY SCHOOL DISTRICT DISTRIBUTION OF COSTS AND RECEIPTS 1961 - 1962


Current Expenses


Cap. Outlay Debt and Interest


Totals


Estimated Expenditures


$383,660.89


$137,249.00


$520,909.89 65,779.91


Estimated Receipts


32,029.91


33,750.00


Amount to be raised by taxation


$351,630.98


$103,499.00


$455,129.98


1958 Equal. Val.


% Valuation


1959-60


% Membership


Hampton


$38,644,900


.6231


234.3


46.1


Hampton Falls


3,487,689


.0563


41.3


8.1


North Hampton


10,295,842


.1660


111.4


21.9


Seabrook


9,589,629


.1546


121.6


23.9


TOTALS


$62,018,060


1.0000


508.6


100.0


CURRENT EXPENSES Distribution Per Town of Amounts to be raised by Taxation


% of Equalized Valuation


Share Based on Valuation (A)


% of ~A.D.M.


Share Based on ADM (B)


TOTAL (Columns) (A & B)


Hampton


6231 $109,550.63


46.1


$ 81,050.94 $190,601.57


Hampton Falls


.0563


9,898.41


8.1


14,241.06


24,139.47


North Hampton


.1660


29,185.37


21.9


38,503.59


67,688.96


Seabrook


.1546


27,181.08


23.9


42,019.90


69,200.98


TOTALS


1.0000 $175,815.49 100.0 $175,815.49 $351,630.98


CAPITAL OUTLAY, DEBT AND INTEREST Distribution Per Town of Amounts to be raised by Taxation (Fourth Year)


1956 Equal. Val.


% of Equal. Valuation


Share Based on Valuation


Hampton


$33,509,550


.6176


$ 63,920.98


Hampton Falls


3,063,757


.0565


5,847.69


North Hampton


9,561,465


.1762


18,236.53


Seabrook


8,119,465


.1497


15,493.80


TOTALS


$54,254,237


1.0000


$103,499.00


Distribution Per Town of Total Amounts To Be Raised By Taxation


Amount to be Raised for :


Current Expenses


Debt and Interest Cap. Outlay


TOTALS


Hampton


$190,601.57


$ 63,920.98


$254,522.55


Hampton Falls


24,139.47


5,847.69


29,987.16


North Hampton


67,688.96


18,236.53


85,925.49


Seabrook


69,200.98


15,493.80


84,694.78


TOTALS


$351,630.98


$103,499.00


$455,129.98


A.D.M.


- 24 -


School Warrant


- 25 -


WARRANT FOR ANNUAL COOPERATIVE SECONDARY SCHOOL DISTRICT MEETING


of the Cooperative Secondary School District of Hampton, Hampton Falls, North Hampton, and Seabrook


To the Inhabitants of the Cooperative Secondary School District of Hampton, Hampton Falls, North Hampton, and Seabrook quali- fied to vote in District affairs:


You are hereby notified to meet at the WINNACUNNET HIGH SCHOOL located off Landing Road in Hampton, New Hampshire, on Tuesday, March 7, 1961, at TEN O'CLOCK in the FORENOON and to cast your ballots from that hour until at least 7:30 o'clock in the evening of said day for candidates for the following District Officers :


1. Moderator for the ensuing year.


2. Member of the School Board of the District for the ensuing five years. (This member of the Board must be a resident of the school district of the Town of North Hampton.)


You are also notified to meet at the same place at 7:30 o'clock in the evening of the same day to act upon the following subjects:


1. To see what sums of money the Cooperative Secondary School District will raise and appropriate for the support of secondary schools, for the salaries of school district officers and agents, and for the payment of statutory obligations of the district and to authorize the application against said appropriation of such sums as are estimated to be received from the State Equalization Fund together with other income; the district school board to certify to the Selectmen of each town included within the Cooperative School


- 26 -


District, after determining the balance between the estimated rev- enues and appropriations; the balance to be raised by taxes in each town.


2. To see if the Cooperative Secondary School District will vote to authorize the School Board to make application for and to accept, on behalf of the District, any or all grants or other funds for edu- cational purposes which may now or hereafter be forthcoming from the United States Government or from the State of New Hampshire.


3. To see if the District will vote to authorize and accept the employment of an assistant to the Superintendent of Supervisory Union No. 21, this article to take effect for the Supervisory Union year beginning with July 1, 1961 and to raise and appropriate the District's pro rata share of an Eight Thousand Dollar ($8,000.00) salary and of a One Thousand Dollar ($1,000.00) travel allotment and of One Hundred Fifty Dollar ($150.00) equipment purchase, namely Two Thousand Seven Hundred Thirty-Eight Dollars and Fourteen Cents ($2,738.14) ; provided that each of the other Dis- tricts in the Supervisory Union vote to accept this Article and to raise and appropriate their pro rata share of the salary, travel, alltoment, and equipment.


4. To see if the school district will raise and appropriate the sum of $10,000.00 to place in a capital reserve fund, as established by revised statutes annotated 35:1 to 35:18; which sums of money will be used for the purpose of developing outdoor physical edu- cation and athletic facilities on the school district property located in Hampton; the custody of which funds will be placed with the trustees of trust funds of Hampton.


5. On petition of Seth M. Junkins and eleven other legal voters of said District, to see if the Cooperative Secondary School District No. 6 will authorize and empower the School District Board to grant to Winthrop W. and Harriet Kenney, their heirs and assigns, an easement to permit the flow and discharge of surface drainage


- 27 -


water from land of said Kenneys over and on to land of the said School District, and an easement to install, repair and maintain underground pipes to convey said surface drainage water, all of said easement to be on such terms and conditions as said School District Board shall decide.


6. To transact any other business that may legally come before said meeting.


Given under our hands at said Hampton this 20th day of Feb- ruary 1961.


CARROLL L. BLACKDEN, D. MALCOLM HAMILTON, H. L. PIERSON, LOUIS B. JANVRIN, KARL J. E. GOVE,


School Board


A true copy of Warrant-Attest:


CARROLL L. BLACKDEN, D. MALCOLM HAMILTON, H. L. PIERSON, LOUIS B. JANVRIN, KARL J. E. GOVE,


School Board


- 28 -


School Budget


- 29 -


BUDGET FOR 1961 - 1962


Adopted Budget 1960-61


Proposed Budget 1961-62


ADMINISTRATION


1. Salaries of District Officers


$ 500.00


$ 525.00


2. Superintendent's Salary (local)


2,017.90


2,483.78


3. Tax for State-wide Supervision


1,014.00


1,108.00


4. Salaries of other Adm. Personnel


5,667.92


5,835.37


5. Supplies and other Exp. of Admin.


3,199.28


4,228.15


INSTRUCTION


6. Teachers' Salaries


181,475.00


219,770.00


7. Textbooks and Other Instr. Aids


10,000.00


9,700.00


8. Scholars' Supplies


8,685.00


8,500.00


9. Salaries of Clerical Assistants


9,000.00


11,400.00


10. Supplies and Other Expenses of Instr.


2,898.50


3,100.00


OPERATION OF SCHOOL PLANT


11. Salaries of Custodians


18,000.00


18,400.00


12. Fuel or heat


7,000.00


7,000.00


13. Water, Light and Custodial Supplies


11,660.00


13,300.00


MAINTENANCE OF SCHOOL PLANT


14. Repairs and Replacements


3,939.50


6,800.00


AUXILIARY ACTIVITIES


15. Health Supervision


6,405.00


6,405.00


16. Transportation


17,450.00


20,500.00


17. Tuition


870.00


18. Special Activities and Special Funds


13,881.12


17,195.24


18a. School Lunch and Milk


10,275.00


6,000.00


FIXED CHARGES


19. Retirement and Social Security


15,553.00


16,020.35


20. Insurance, Treasurer's Bonds


4,400.00


4,000.00


TOTAL OF CURRENT EXPENSES:


$333,021.22


$383,140.89


- 30 -


CAPITAL OUTLAY


21. Lands and New Buildings


22. Additions and Improvements to Prop.


2,088.00


1,414.00


23. New Equipment


8,191.40


16,915.00


DEBT AND INTEREST


25. Principal of Debt


75,000.00


75,000.00


26. Interest on Debt


46,800.00


43,920.00


GRAND TOTALS


$465,100.62


$520,389.89


ESTIMATED RECEIPTS


Balance (actual or estimated)


$20,217.89 33,750.00


$ 4,275.00 33,750.00


State Building Aid


State Foundation Aid


State Aid for Guidance Program


National School Lunch & Milk Program


6,000.00


6,000.00


Public Law No. 874 (Cur. Exp. Aid)


20,000.00


15,207.00


Public Law No. 815 (Construction Aid)


NDEA Federal Aid


804.20


1,747.91


Elementary School Tuition


High School Tuition


2,580.00


2,500.00


Trust Funds


Rent of School


300.00


300.00


Other: Sale of Supplies Athletic Receipts


2,300.00


2,000.00


TOTAL ESTIMATED RECEIPTS


$85,952.09


$65,779.91


District Assessment Raised or to be Raised by property taxes


379,148.53


454,609.98


TOTAL APPROPRIATION VOTED BY DISTRICT


$465,100.62 $520,389.89


31 -


Non-Profit Org. U.S. POSTAGE 11/4c PAID Hampton, N. H. Permit No. 17


BOX HOLDER RFD


Insavtallion artin crafts.


SameDay 1, 1961 In Ribet Ordinato ! Eclate Thuer Mardi 32 et 8 primi suis




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