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Spirit of Jefferson Farmers Advocate
Charles Town, West Virginia
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March 31, 1966     Spirit of Jefferson Farmers Advocate
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March 31, 1966
 

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STATE OF WEST VIRGINIA, COUNTY OF JEFFERSON, MUNICIPALITY OF CHARLES TOWN, To-wit: At a regular session of the council of the municipality of Charles Town held in the council chambers thereof, in the City building on the 21sL day of March, 1966, there were present Nicholas Carson. Mayor, C. F. Printz, Recording Officer and Howard Sechx-ist, Robert Nicewarner, James Senseney, Richard Funk. D. C. Masters, D. H. Ambrose and Vivan Bush, members of the council of said munici- pality, i In accordance with Section 14, Article 8, Chapter 11, of the West Virginia Cede as Amended, the Council proceeded to make an esti. mate of the amounts necessary to be raised by levy of taxes for the current fiscal year, and both determine and estimate the several amounts to be as follows: CURRENT REGULAR MUNICIPAL PURPOSES Estimate Form No. 1 ESTIMATE (1) The amount due and the amount that will become due and collectible from every source during the fiscal year, EXCEPT FROM THE LEVY OF TAXES to be made for the year. Balance in Hands of City Treasurer (Estimated) ........ $1,200.00 Balance in Hands of Sheriff (Estimated) ................ 500.00 Po}ice Fines and Costs ................................ 10,0OO.00 GENERAL COUNTY PURPOSES ESTIMATE Estimate Form No. 1 F~STIMATED RECEIPTS: The amount due, and the amom]t that will become due and coilect- ible from every source during the current fiscal year, EXCEPT FROM THE LEVY OF TAXES to be made for the current year upon the county as a whole and upon any district of the county for which the levies are laid by the County Court. Balance Due Fund From Sheriff (Estimated) ............ $ 30,OO0.00 Delinquent Taxes, Redemptions and Sales ............... 2,000.00 Earnings, Sheriff ....................................... 100.00 Earnings, Clerk County Court .......................... 7,000.00 Earnings, Clerk Circuit Court ........................... 2,000.00 Earnings, PL~)secuting Attorney ......................... 50.00 Miscellaneous Receipts ................................. 19,000.00 Total Estimated Receipts ............................. $ 60,150.00 ESTIMATED CURRENT EXPENSES: 1. Clerk of the County Court .......................... $ 2. Deputy Clerks County Court, 2 in Number, Assistants and Employees ............................ 3. Clerk of the Circuit Court .......................... 4. Deputy Clerks Circuit Court, 1 in Number, Assistants and Employees ............................ 5. Sheriff and Treasurer .............................. Permits. Building, SWeet, Sewer and Other ............... 150.00 Parking Meters ...................................... 15,000.00 6. Deputy Sheriffs, 3 in Number, Rents, Buildings and Concessions ...................... 6,000.00 Assistants and Employees ............................ Pole Tax ................................................ 400.00 i 7. Expense serving Processes and Making Arrests ....... Capitation and Dog ...................................... 700.00 1 8. Prosecuting Attorney ............................... Franchise ............. : ................................ 1,600.00 9. Assistant Prosecuting Attorney and Employees . , Consumer's Sales (Liquor) .......................... 11,500.00 10, Assessor ........................................... Crematory and Garbage ................................ 17,0OO.OO. 11. Deputy Assessors, 8 in Number, License Fee ............................................ 190.00 Assistants and Employees ............................ Jail Fees ...... , ......................................... 350.00 llA. Assessor's Mileage ................................. Genera~ ....................................... ,. ........ 7,000.00 11B. Assessor's Agricultural Report ...................... Mlscetlaneous .............................................. 400.00 12. County Commissioners ............................... Total Estimated Receipts ........................... $71,990.00 14. County Agricultural Agents ....... in Number ........ 15. County Health Unit ................................ ESTIMATED CURRENT EXPENDITURES: 16. Audits by Tax Commissioner ........................ 1. Salary of Mayor ...................................... $250.00 19. Expense of Circuit and Intermediate Courts .......... " 2. Salary of Recorder or Clerk ............................ 600.00 22. Expense of Justices' Courts ...... : ................... 3. Salary of Treasurer .................................. 1,200.00 24. Jail Expense ....................................... 4. Salary of Mayor's Fee ................................ 2.000.00 25. Feed, ing Prisoners .................................. 5. Salary of City Attorney ................................ 600.00 26. Court House'Expense ............................... 7. Salary of Councilmen or Commiss~bners ................ 960.00 27. Janitor Court House, 2 in Number .................. 8. Salaries of Assistants and Clerks ...................... 400.00 28. Furniture and Fixtures ............................. 4,500.00 13,900.00 4,250.00 6,3oo.oo 5,0OO.00 1,960.00 12,950.00 1,000.OO 5.000.00 2,800.00 4,800.00 15,750.00 500.00 480.00 7,000.00 3,320.00 12,294.00 2,OO0.00 4,0OO.OO 350.OO 8,000.00 3,500.00 7,0OO.00 5,760.00 4,000.00 9. Salaries of Chief ...... Police .................. 26,500.00 29, Repairs ........................................... 1,000.00 10. New Eqiupment Police Department .................... 3,600.00 30. Water, Light,. Fuel and Ice ......................... 6,500.00 11. General Expenses Police Department .................. 3,000.00 31, Record Books ............. ........................ 3.500.00 12. Policemen's Pension Fund ............................ 2,750.00 32. Stationery and Office Supplies ...................... 2,500.00 13. Salaries and Expenses Feeding Prisoners ................ 900.00 33. Rents .............................................. 150.00 15. New Fire Equipment ................................ 1,500.00 33A, Rents, Utilities and Administrative Costs 16. General Expenses Fire Department .................... 1,500,00 Department of Weffare .............................. 3,OO0.00 17. Jefferson County Communication System .............. 3,000.00 34. Postage ........................................... 1,200.00 18. Salaries Health Commissioner and Employees ............ 50.00 35. Freight and Drayage ................................ 75.00 19. New Equipment Health Department ...................... 25.00 36. Advertising ....................................... 2,500.00 20. General Expenses Health Department .................. 150.00 37. Insurance .......................................... 2,000.00 21, Salaries, Crematory and Garbage Employees. ....... 10,800.00 38. Premiums on Official/Bonds ........................ 1,500.00 22. New Equipment Crematory and Garbage Department 1,000.00 39. Telephones and Telegraphs .. 1.200.00 2,3. General Expenses Crematory and Garbage Department 3,600.00 41. Expenses--General Election ........................ 8,000.00 24. Janitors' Salaries and Supplies .......................... 100.00 42. General Relief Fund ................................ 7,897.00 25. Repairs to City Buildings and Jail ...................... 2,000.00 43. County Infirmary ................................... 1,000.00 26. Furniture. Fixtures and Office Machines ................ 300.00 44. Lunacy ............................................ 400.00 27. Stationery, Office Supplies and Equipment .............. 300.00 28. Postage ............................................... 100.00 29. Water-Fire Protection, Streets and Sewers .............. 1,500.00 30. Water~CiW Buildii~g and Other Purposes ................ 60.OO 31. Light for Street Lighting ............................ 5.000.00 32. Light-City Building, Traffic Lights, Etc ................. 500.00 33. Repairs, Street and Traffic Lights ........................ 600.00 34. Fuel-Heating City Building ............................ 300.00 35. Telephone and Telegraph (All Departments) .............. 40.00 37. Legal Publications ...................................... 300.00 38. Insurance on City Building and Property .............. 1,700.00 39. Premiums on Palicemen's and Official Bonds ............ 250.00 40. Election EXpenses ...................................... 150.00 41. Attorney's Fees, Court Cost and Damages ................ 200.00 42. Salaries, Engineering Department ...................... 650.00 43. General Expense, Engineering Department ................ 50.00 44. Salaries and Wages all Street Employees .............. 7,000.00 45. New Equipment Street Department .................... 4,000.00 46. Materials, Supplies ~ Expenses, Street Department .... 3,439.00 48. Construction of New Streets, Sidewalks and Sewers. ....... 200.00 49. Workmen's Compensation Premiums .................... 450.00 50. Audit by Tax Commissioner ............................ 400.00 52. Parking Meters, Salaries, Supplies and Expenses ........ 900.00 53. Parks and Playgrmmds, Salaries, Supplies and Expenses .... 1.00 55. Traveling and Car Expenses of City Officials .............. 200.00 "56. Parking Lot, Salaries, Supplies and Expenses .......... 1,500.00 00. Social Sectlri~y ......................................... 900.OO 60A. Public Employees Retirement ........................ 1,000.00 61. Contingent (Mandatory Only) .................. 400.00 A--To Current Expemes $98,875.00 B-- Amount of unpaid obligations to be paid from current levy Total estimated disbursements (A-B) .............. 98,875.00 Less estimated receipts ............... $71.990.00 Net amount to be raised by levy ....... 26,885.00 TOTAL B_ECEIP'I ............................ $98,875.00 CLASS Assessed Rate of Number I " Valuation Proposed Persemai Prope~ ...................... $1,530,340.00 12.5 c Public Utility Property .................. 37,000.00 12.5c Total Class No, I ...................... 1,567~P~0.OO Number II Real Estate .............................. I 47;000.OO 25 c Number IV Real Estate .............................. 2,077,050.OO50 c Personal Property ........................ 1,77'1,620.00 50 c Public Utility Property ....................... 496,OO0.OO 50 e Total Class No. IV ...................... 4,344,670.0050 c TOTAL VALUATION ............... $7,759,010.00 March 31.2-t STATE OF VIRGINIA, COUNTY OF JEFFERSON, MUNICIPALITY OF CHARLES TOWN, TO-WIT: I, C. F. PrintZ, Recording Officer of sai dmunicipality, do hereby certify that the foregoing are true copies from the record of orders made and entered by the cou_ncfl of said municipality on the 21St. day of March, 1966. Given under my haP, d this 21st. day of March, 1966. March 31.2t. C. F. PRINTZ, Clerk State of West Virginia, County of Jefferson to-wit: At a Regular session of the County Court of Jefferson County, held on the 24 h day of March, 1966, Present James W. Milton, President, protem, and Charles W, Whittmgt0 George R. Cr4rn and E lward E. Henkle, Commissionm a m dance with Section 10, Article 8, Chapter 11, of the West Virgin Code as Amended, the Court proceeded to make an estimate of the Imeessary to be raised'by a levy of taxes for the current year, and cloth determineestimate the several amounts to be u follows: 45. Inquests ........................................... 500.00 46. Transportation and Support of Inmates: Penal and Other Institutions ......................... 8,000.00 47A. Vital Statistics ................................. ' .... 600.00 49. 4-H Camps (contributions) .......................... 500.00 49A. Fire Departments contributions) .................. 12,0OO.00 50. Social Security ..................................... 4,250.00 50A. Public Employees Retirement ...................... 6,000.00 151. Contingencies (Mandatory Only) .................... 8;000.00 ]52. County Agent-Office Budget and Expenses .......... 1,0OO.00 53. 4-H County Extension Agent ........................ 400.00 54. Garbage Disposal .................................. 6.000.00 55. Civil Defense ...................................... 1,200.00 A--Total Current Expenses ......................... $227,286.00 Estimated Outstanding Obligations: Orders .................................. $2,000.00 Estimated total amount outstanding June 30, 1966 ........................... $2,000.00 B---Amount of abov~ obligations proposed to be paid from Current Levy .............................. 2,000.00 To~l estimated disbursements A--B) ............... 229,286.00 Less estimated receipts ............... $ 60,150.00 Net amount to be raised by levy ........ $169,136.00 Total Receipts ................................... $229,286.00 "CLASS Assessed Rate of Levy Number I Valuation Proposed Personal Property ................ $ 4,699.210.00 13 c Public Utility Property ............ 124,500.00 13 c Total Class No. I ............... 4,823,810.00 Number II Real Estate ....................... 16,663,685.00 26 c Number HI Real Estate ....................... 7,207.000.0052 c Personal Property ................ 4,858.770.0052 c Public Utility Property ........... 4,994.300.0052 c Total Class No. III .............. 17,060,070.00 Number IV Real Estate ...................... 3.912.950.0052 c Personal Property ................ 3,434,325.0052 c Public Utility Property ............. 985.300.00 52 c Total Class No. IV .............. 8.332.555.00 TOTAL VALUATION ......... $46,880,120.00 STATE OF WEST VIRGINIA COUNTY OF JEFFERSON to-wlt: I, Emily A. M. Stanley, Clerk of the County Court of said County, do hereby certify that the foregoing are true copies from the r ord of orders made and entered by said court on the 24 day of March 1966. Given under my hand this 24 day of March, 1966. March 31-2t- EMILY A. M. STANLEY, Clerk County Court Jefferson County | STATE OF WEST VIRGINIA, COUNTY OF JEFFERSON, MUNICIPALITY OF HARPERS FERRY, W. VA., To, Wit: At a Special session of the council of the mtmicipality of Harpers Ferry, W. Va. held in the council chambers thereof, in the Municipal building on the 21st day of March, 1966, there were present Temple G. Wheeler, Mayor; William F. Ramey, Jr., Recording Officer, and Jack Cameron, Edward Smallwood, W. M. Garrison, W. J. Moler, Walter Jenkins, members of the council of said municipality. In accordance with Section 14, ArtiCle S, Chapter 11, of the West Virginia Code as Amended, the Council proceeded to make an esti- mate of the amounts necessary to he raised by levy of taxes for the curr~t fiscal year, and doth d~e and estimate the several amounts to be as follows: CURRENT REGULAR MUNICIPAL PURPOSES Estimate Form No. 1 ESTIMATE (I) The amount due and the amount that will become due and collectible from every source during the fiscal year, EXCEPT FROM THE LEVY OF TAXES to be made for the year. Balance in Hands of City Treasurer (Estimated) ........ $ 890.00 Balance in Hands of Sheriff (Estimated) ................ 950.00 Police Fines and Costs ................................ 200.00 Permits-Building, Street, Sewer and Other .............. 200.00 Rents, Buildings and Concessions ....................... 200.00 Taxes: Gross Sales (Business & Occupation) Capitation and Dog ................................. 50,00 Franchise .......................................... 160.00 Licenses: General .............................................. 500.00 Miscellaneous ......................................... 600.00 Total Estimated Receipts ............................. $3,750.00 ESTIMATED CURRENT EXPENDITURES: 1. Salary of Mayor ..................................... $ 110.00 2. Salary of Recorder or Clerk .......................... 70.00 3. Salary of Treasurer .................................. 50.00 5. Salary of City Attorney .............................. 200.00 7. Salary of Councilmen or Commissioners .............. 100.00 11. Geaxeral Expen~nes Police Department ..... . ........... 200.00 15. New Fire Equipment ................................ 75.00 16. General Expenses Fire Department .................... 50.00 18. Salaries Health Commissioner and Employees ...... ... 75.00 24. Janitors' Salaries and Supplies .... ................... 50.00 25. Repairs to City Buildings and Jail .................... 50.00 26. Furniture, Fixtures and Office Machines .............. 50.00 29. Water--F~re Protection, Streets and Sewers .......... 480.00 31. Light for Street Lighting ............................. 1020.00 32. Light--City Building, Traffic Lights, Ete .............. 25.00 34. Fuel--Heating City Building .......................... 200.00 35. Telephone and Telegraph (All Departments) .......... 25.00 37. Legal Publications ................................... 100.00 38. Insurance on City Building and Property .............. 200.00 39. Premiums on Policemen's and Official Bonds .......... 60.00 41. Attorneys' Fees, Court Costs and Damages ............. 200.00 46. Materials, Supplies and Expenses, Street Department 1,118.00 47. Maintenance of Sewers, Salaries and Supplies ......... 400.00 50. Audit by Tax Commissioner .......................... 360,00 55. Traveling and Car Expenses of City Officials .......... 100.00 60. Social Security ...................................... 200.00 A--Total Current Expenses ............................ $5,548.00 Estimated Former Year's Obligations: Orders Outstanding ........... : ............... $6.00 B--Amount of unpaid obligations to be paid from current levy ............................ 600.00 Total estimated disbursements (A--B) .............. $6,148.00 CLASS Assessed Rate of Levy Number I Valuation Proposed Persona] Property ...................... $ 3,500.00 12.5 c Public Utility Property .................. 39,300.00 12.5 c Total Class No. I ...................... 42,800.00 Number II Real Estate . , . **~ toao*.0 ~oo Number IV Real Estate .................. Personal Proper y ........... Public Utility Property ...... Total Class No. IV ........ .......... 244,900.0025 c ............ 138,400.00 50 e ............ 103,835.00 50 c ............ 129.000.00 50 c ............ 371,235.00 TOTAL VALUATION ......... .....$658,935.00 STATE OF WEST VIRGINIA, COUNTY OF JEFFERSON, MUNICIPALITY OF HARPERS FERRY, W. VA., TO-WIT: ,William F. Ramey, Jr,, Recording Officer of said municipality, do hereby certify that the foregoing are: true copies from the record of orders made and entered by tim council of said municipality on the 21 day of March, 1966. Given under my hand this 21 day of March, 1966. WILLIAM F. RAMEY, Jr. March 31-2t- Recorder STATE OF WEST VIRGINIA, COUNTY OF JEFFERSON, MUNICIPALITY OF BOLIVAR, To-witi At a'Special session of the council bf the municipality of Bolivar held in the council chambers thereof, inl the Municipal building on the 10 day of March, 1966, there were present J. R. Dunn, Mayor, Helen N. Katzaman, Recprding Officer, and Paul Courtney, Willis Smatlwood, Alvin Manuel, John Pope Mary Lancaster, members of the council of said municipality.' " In accordance with Section '14, aa' lele 8, Chapter 11, of the West Virginia Code as Amended, the Council proceeded to make an esti= mate of the amounts necessary to be raised by levy of taxes for the current fiscal year, and doth determine and estimate the several amounts to be as follows: CURRENT REGULAR MUNICIPAL PURPOSES Estimate Form No. 1 ESTIMATE (1) The amount due and the amount that will become due and collectible from every source during the fiscal year, EXCEPT FROM THE LEVY OF TAXES to be made for the year. Balance in Hands of City Treasurer (Estimatdd) .. ....... $107.00 Balance in Hands of Sheriff (Estimated) ................ 241.00 Police Fines and Costs ................................ 1,000.00 Permits---Building, Street, Sewer and Other ............ 35.00 Taxes: Capitation and Dog .... ................. ... ............. 150.00 Franchise .............................................. 125.00 Licenses: General ................................................. 300.00 Miscellaneous 80.00 Total Estimated Receipts ............................. $2,038.00 ESTIMATED CURRENT EXPENDITURES: 1. Salary of Mayor ...................................... $ 40.00 2. Salary of Recorder or Clerk ........... . ............... 40.00 11. General Expenses Police Department .................. 100.00 16. General Expenses Fire Department .................... 50.00 20. General Expenses Health Department .: ................. 75.00 27. Stationery, Office Supplies and Eqtgpment ............. 60.00 28. Postage ........................ . ....................... 12.00 29. Water---Fire Protection, Streets and Sewers ............ 420.00 31. Light for Street Lighting ...... ' ............... ........ 950.OO 32. Light--City Buildings, Traffic. Etc, ................... 12.00 35. Telephone and Telegraph (All Departments) .......... 80.00 37. Legal Publications ............. '. ...................... 80.00 i39. Premiums on PoHeemen's and Official Bonds .......... 80.00 40. Election Expenses ... '. ......... : ...................... 40.00 41. Attorney's Fees, Court Costs and Damages .............. 50.00 46. Materials, Supplies and Expenses, Street Department .... 437.00 50. Audit by Tax Commissioner ........................... 75.00 61. Contingent Expenses (Mandatory Only) ................ 10.00 A--Total Current Ex s ............................. $2,166.00 Estimated Former Year's Obligations: Orders Outstanding ........................ $1,750.00 Unpaid Bills .............................. 1,750,00 Estimated total amount outstanding June 30, 19-- ............................ $1,750.00 B---Amount of unpaid 0bligatRms to be paid from current levy .................................... $1,750.00 Total estimated disbursements (A--By ................ 2,166.00 Less estimated receipts .................... $2,038.00 Net amount to be raised by levy ............ 2215.00 TOTAL RECEIPTS ................................. $4,253.00 CLASS Assessed Rate of Levy Number I Valuation Proposed Public Utility Property ............ . $ 600.00 .12~ e Total Class No. I .................. 600.00 Number H Real Estate .......................... 374,050.00 .25 e SPIRIT OF JEFFERSON FARMERS ADVOCATE THURSDAY, MARCH 31, 1966 Number IV Real Estate ......................... 118,500.00 .50 Personal Property ................... 142,035.00 .50 Public Utility Property .............. 18,900.00 .50 Total Class No. IV ................. 279,435.00 TOTAL VALUATION ............ $654,085.00 STATE OF WEST VIRGINIA, COUNTY OF JEFFERSON, MUNICIPALITY OF BOLIVAR, TO-WIT: I, Helen V. Katzaman, Recording Officer of said munic~ certify that the foregoing are true copies from the record of made and entered by the council of said municipality on the 10~ of March, 1966. Given uader my hand this 10 day of March, 1966. HELEN N. March 3I-2t- STATE OF WEST VIRGINIA, COUNTY OF JEFFERSON, MUNICIPALITY OF RANSON, To-wit: At a Special session of the council of the municipality of held in the council chambers thereof, in the Town Hall the 11 day of March, 1966, there were present W. G. CarSon Mary I. Baker. Recording Officer, and Elizabeth Jenkins, Ramey, Frank Comer, Ralph Henry, members of the council of municipality. In accordance with Section 14, Article 8, Chapter 11, of the Virginia Code as Amended, the Council proceeded to make a~ timate of the amounts necessary to be raised by levy of taxes for currenfiscal year, and doth determine and estimate the to be as follows: CURRENT REGULAR MUNICIPAL PURPOSES Estimate Form No. 1 ESTIMATE (1) The amount due and the amount that will become due collectible from every source during the fiscal year, EXCEPT THE LEVY OF TAXES to be made for the year. Balance in Hands of City Treasurer (Estimated) ........... Police Fines and Costs ................................... Parking Meters ........................................... Capitation and Dog ...................................... Franchise Amusement .......................................... Fees: Crematory and Garbage ................................... Licenses: General . . , ,..o, ......,... , .....,, ,.o ................. o Miscellaneous ........................................... Total Estimated Receipts ............................ ESTIMATED CURRENT EXPENDITURES: 1. Salary of Mayor ......... : ............................ 2. Salary of Recorder or Clerk ..... / ....................... 3. Salary of Treasurer .................................... 5. Salary of City Attorney ................................ 7. Salary Councilmen or Commissioners ................ 8. Salaries of Assistants and Clerks ...................... 9. Salaries Chief and ........ Palice ............. .... of 10. New Equipment Police Department .................. 11. General Expenses Police Department ............... 13 Salarie and Expenses Feeding Prisoners .............. 16 General Expenses Fire Department .................... ,18 Salaries Health Commissioner and Employees .......... 21. Salaries, Crematory and Garbage Employees .......... 22. New Equipment Crematory and Garbage Department .... 23. General Expenses Crematory and Garbage Department 27. Stationery, Office Supplies and Equipment .............. 28. PoStage .............................................. 29. W:ater--Fire Protection, Street and Sewers ...... ...... 31. Light for Street Lighting .................... ...- ...... 32. Light--City Building, Traffic Lights, Etc..... .... :: .... 33. Repairs, Street and Traffic Lights . ....... .: .... :"-- i- ' 35. Telephone and Telegraph (~ll Departments) ............ 37. Legal Publications ....... ~ ........................ . :.. 38. Insurance on City Bui'lding ~nd Property ................ 39. Premiums on Policemen'~ and Official Bonds . ....... ~... 40. Election Expenses ..................................... 42. Salaries, Engineering Department . ... :... ...... ~ .' ..... 44. Salaries and Wages all Street Employees :. :." .- ..... 46. Materials, Supplies and Expenses, Street Department 50. Audit Tax Commissioner ............................ 52. Parking Meters, Salaries, Supplies & Expen.ses . ...... 60. Social Security. r ............... ......... . ............ 61. Contingent Expenses (Mandatory Only) ,-Total Current Expenses .......................... B--Amount af unpaid obligations to be paid from current Total estimated disbursements (A-B) ................. Less estimated receipts : ............. $19393.00 Net amount to be raised by levy .......... 5()67.00 TOTAL RECEIPTS ....... ~ ............ ~ ...... CLASS Assessed Number I Valuation Personal Property ...................... $ 574,380 Public Utility Property ................ 5,600.00 Total Class No. 1 579,980.00 Number II Real Estate ............................ 900,150.00 Number IV Real Estate ............................ 1,193,330.00 Personal Property ...................... 1,198,750.00 Publi Utility Property ........... ...... 184,800,00 Total Class No. IV .................... 2,576,880.00 TOTAL VALUATION ...............$4,057,701.00 STATE OF WEST VIRGINIA, COUNTY OF JEFFERSON, MUNICIPALITY OF RANSON, TO-WIT: I, Mary I. Baker Recording Officer of said municipality do certify that the foregoing are true copies from the record of made and entered by the council of said municipality on the of March, 1966 Given uncter my hand this 16th day of March, 1966. WILLIAM R. NOTARY March 24-2-t. ~o FO R YOUR HOT WATER NOW ADDED CALL CHARLES TOWN 725-7612 OR VISIT OUR PLANT AT MILLVILLE, W. VA THORN LUMBER COMPANY Ranson Plant - Call 725-7612 - Charles Town Martinsburg Plant 267-8955