TERRACE BAY NEWS JULY 28,1971 I WE pon'T DumP OUR GARBAGE on YouR PROPER TY.0o HOW SMILEY DEALT WITH OFFICER TYPES By Bill Smiley Last week I had a rare chance to do something I've always wanted to do, and I seized it with both hands and my tongue. I was speaking to the Vimy Branch, Royal Cana- dian Legion, at its annual observance of the battle for Vimy Ridge. The Vimy branch is unique in that nearly all its members are ex-officers of the Canadian armed forces. On the program for the banquet was printed a list of the executive and the past presidents. It contained a bounty of Brigadiers, a con- Vv, Bill Smiley Senior officers. Sitting - ducks. Ever since my days as a fledgling fighter pilot, I've enjoyed a firm conviction that there is no possible way anyone can pound anything into the head of a senior of- ficer. Here was a golden oppor- tunity to prove my theory, and I sailed into it with gusto. I didn't use a phoney survey or a lot of statistical facts, but personal experi- ence, and I let them have it with both barrels. As a flying student, I first ran into the obtuseness of the senior oftticer. This wing commander, the chief flying instructor, nearly had 'a stroke because I'd tried to land from one end of the t fusion of Colonels, a mess runway while another stu- vt of Majors, a wedge of Wing ye trying to land ° ~ Commanders and a scatter- from the other. How was I ing of Squadron Leaders. wile 2 : THE LAKE SUPERIOR BOARD OF EDUCATION REVENUE FUND BALANCE SHEET AS AT DECEMBER 31, 1970 ELEMENTARY SCHOOLS ASSETS LIABILITIES - Accounts Receivable - Local Taxation - Government of Ontarié Education Mill Rate Subsidy ~ Others - Individuals ASSETS Accounts Heceivable - Local Taxation, Underlevies, etc. - Other Ontario School Boards - Government of Ontario . Education Mill Rate Subsidy Cost of Education Canada Pension Plan Other Due from Individuals Due from Capital Fund' Due from Elementary Panel Prepaid Expenses $ 244,530 7,450 1,507 1,109 $ 254,59 SECONDARY SCHOOLS (INCLUDING TRAINABLE RETARDED) $ 44,390 79% 6,889 31,783 1,842 506 3,037 | 60,007 92,319 5,603 $ 247,170 Accounts Payable - Municipalities - Overlevies $ 491 Government of Ontario General Legislative Grant - Excess of $ 77,90 Canada Pension Plan - Ex 1,646 79,550 Government of Canada 62 Due to Secondary Panel 92,319 Surplus as at January 1, 1969 82,174 $ 254,596 LIABILITIES Bank Overdraft : $ 45,291 Accounts Payable = Local Taxation - Overlevies 39,881 Other School Boards = Tuitions 3,881 Government of Ontario General Legislative Grant - Excess of Advances 27,317 Government of Canada 3,220 Trade 24,18} Payroll Deductions Liabilities 57,712 Accrued Liabilities - Other 4,687 Reserves - Note 1 1,062 Surplus as at January 1, 1969 39,935 $ 247,170 i yf Je