Email: olheiser@pacifier.com B10 THE ASTORIAN • THuRSdAy, JuNE 6, 2019 101 Legal Notices 101 Legal Notices AB7307 FORM LB-1 101 Legal Notices $35,269.00 $0.00 $0.00 $45,000.00 $0.00 $0.00 $57,000.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $5,000.00 A public meeting of the John Day Fernhill Fire District will be held on June 11th, 2019 at 7:00 pm at the John Day Fire Station, 38885 Hwy 30, Astoria, Oregon. The purpose $16,428.00 $3,200.00 $4,100.00 of this meeting is to discuss the budget for the fiscal year beginning July 1, 2019 as approved by the John Day-Fernhill RFPD Budget Committee. A summary of the budget is NOTICE OF BUDGET HEARING presented below. A copy of the budget may be inspected or obtained at 43114 Hillcrest Loop, Astoria, Oregon or by calling (503) 458-6610, $53,700.00 between the hours of 9:00 a.m. $53,700.00 $45,456.00 and 4:00 p.m. This budget is for an annual budget period. This budget was prepared on a basis of accounting that is the same as the preceding year. Contact: Paul Olheiser, Fire Chief Email: olheiser@pacifier.com Telephone:(503) 458-6610 $0.00 FINANCIAL SUMMARY - RESOURCES $35,017.00 $0.00 $47,800.00 Actual Amount $748.00 Adopted Budget $3,200.00 $8,400.00 2017-2018 $8,071.00 Email: This Year 2018-2019 olheiser@pacifier.com $0.00 $25,000.00 Beginning Fund Balance/Net Working Capital $35,269.00 $45,000.00 $6,755.00 $7,500.00 Fees, Licenses, Permits, Fines, Assessments & Other Service Charges $0.00 $0.00 $0.00 $0.00 Federal, State and all Other Grants, Gifts, Allocations and Donations $0.00 $0.00 $46,564.00 $10,000.00 Revenue from Bonds and Other Debt $0.00 $0.00 Interfund Transfers / Internal Service Reimbursements $0.00 $0.00 $35,269.00 $45,000.00 All Other Resources Except Current Year Property Taxes $16,428.00 $3,200.00 $0.00 $0.00 Current Year Property Taxes Estimated to be Received $45,456.00 $53,700.00 $0.00 $0.00 Total Resources $97,153.00 $101,900.00 $0.00 $0.00 $0.00 $0.00 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION $16,428.00 $3,200.00 Personnel Services $0.00 $0.00 $45,456.00 $53,700.00 Materials and Services $35,017.00 $47,800.00 Capital Outlay $748.00 $3,200.00 Debt Service $8,071.00 $8,400.00 Interfund Transfers $0.00 $25,000.00 $0.00 $0.00 Contingencies $6,755.00 $7,500.00 $35,017.00 $47,800.00 Special Payments $0.00 $0.00 $748.00 $3,200.00 Unappropriated Ending Balance and Reserved for Future Expenditure $46,564.00 $10,000.00 $8,071.00 $8,400.00 Total Requirements $97,155.00 $101,900.00 $0.00 $25,000.00 PROPERTY TAX LEVIES $6,755.00 $7,500.00 Rate or Amount Imposed $0.00 Rate or Amount Imposed $0.00 2017-2018 $46,564.00 This Year 2018-2019 $10,000.00 Permanent Rate Levy (rate limit 1.1763 per $1,000) 1.1763 1.1763 $0.00 $0.00 Local Option Levy TOTAL OF ALL FUNDS $0.00 $48,000.00 $18,300.00 Approved Budget $8,400.00 Next Year 2019-2020 $5,000.00 $57,000.00 $7,500.00 $0.00 $0.00 $0.00 $10,000.00 $0.00 $5,000.00 $57,000.00 $4,100.00 $0.00 $53,700.00 $0.00 $119,800.00 $0.00 $0.00 $5,000.00 $4,100.00 $0.00 $53,700.00 $48,000.00 $18,300.00 $8,400.00 $5,000.00 $0.00 $7,500.00 $48,000.00 $0.00 $18,300.00 $10,000.00 $8,400.00 $97,200.00 $5,000.00 $7,500.00 Rate or Amount Approved $0.00 Next Year 2019-2020 $10,000.00 1.1763 $0.00 Levy For General Obligation Bonds Published: June 6, 2019 $0.00 $0.00 on July 1. 101 Legal Notices 101 Legal Notices $0.00 101 Legal Notices 101 Legal Notices 101 Legal Notices AB7306 NOTICE OF BUDGET HEARING FORM LB-1 A public meeting of the SUNSET EMPIRE PARK AND RECREATION DISTRICT will be held on JUNE 18th, 2019 at 5:15 PM at BOB CHISHOLM COMMUNITY CENTER, 1225 AVENUE "A", SEASIDE, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2019 as approved by the SUNSET EMPIRE PARK AND RECREATION DISTRICT Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 1140 BROADWAY, SEASIDE, OR, between the hours of 8 AM and 5PM. This budget is for an annual budget period. This budget was prepared on a basis of accounting that is the same as used the preceding year. If different, the major changes and their effect on the budget are explained below: Telephone: (503) 738-3311 Marcus Runkle TOTAL OF ALL FUNDS Email: mrunkle@sunsetempire.com FINANCIAL SUMMARY - RESOURCES Actual Amount Adopted Budget 2017-18 Approved Budget $ 749,870 $ This Year 2018-19 584,000 $ Next Year 2019-20 794,000 $ 494,469 $ 482,450 $ 483,900 $ $ $ $ $ 21,861 - 22,870 112,747 1,539,192 $ $ $ $ $ 25,000 - 17,875 123,300 1,531,700 $ $ $ $ $ 21,000 - 21,347 110,700 1,585,475 $ 2,941,009 $ 2,764,325 $ 3,016,422 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION $ 1,408,730 $ 1,612,437 Personnel Services $ 498,167 $ 607,000 Materials and Services $ 279,351 $ 45,000 Capital Outlay $ 112,058 $ 119,500 Debt Service $ 22,870 $ 17,875 Interfund Transfers $ - $ 20,000 Contingencies $ - $ - Special Payments $ 613,993 $ 342,513 Unappropriated Ending Balance and Reserved for Future Expenditure $ $ $ $ $ $ $ $ 1,723,815 607,650 89,500 119,500 21,347 20,000 - 434,610 $ 3,016,422 Beginning Fund Balance/Net Working Capital Fees, Licenses, Permits, Fines, Assessments & Other Service Charges Federal, State and All Other Grants, Gifts, Allocations and Donations Revenue from Bonds and Other Debt Interfund Transfers / Internal Service Reimbursements All Other Resources Except Current Year Property Taxes Current Year Property Taxes Estimated to be Received Total Resources $ Total Requirements 2,935,169 $ 2,764,325 FINANCIAL SUMMARY - REQUIREMENTS BY ORGANIZATIONAL UNIT OR PROGRAM * 101 Legal Notices Name of Organizational Unit or Program FTE for that unit or program AB7299 FORM LB-1 Park and Recreation Program FTE Non-Departmental / Non-Program FTE NOTICE OF BUDGET HEARING If more space is needed to complete any section of this form, insert lines (rows) on this sheet. You may delete blank lines. A Permanent public meeting of the Olney Walluski Fire per & $1,000) Rescue District Board will be held on June 13, 1.1763 2019 at 6:45 pm at 36115 Riverpoint Drive, Astoria, Oregon. The 1.1763 purpose of this Rate Levy (rate limit 1.1763 1.1763 meeting is to discuss the budget for the fiscal year beginning July 1, 2019 as approved by the Olney Walluski Fire & Rescue District Budget Committee. A summary of the 150-504-073-2 (Rev. 02-14) budget is presented below. A copy of the budget may be inspected or obtained at Olney General Store, between the hours of 8 a.m. and 5 p.m.This budget is for an annual budget period. This budget was prepared on a basis of accounting that is the same as the preceding year. Contact: Robert McLellan Permanent Rate Levy Telephone: 503-338-0261 (rate limit 1.1763 per $1,000) Email: 1.1763 mac1164@gmail.com 1.1763 1.1763 Adopted Budget Approved Budget This Year 2018-2019 Next Year 2019-2020 FINANCIAL SUMMARY - RESOURCES on July 1. Actual Amount TOTAL OF ALL FUNDS 2017-2018 Beginning Fund Balance/Net Working Capital 163,855 Fees, Licenses, Permits, Fines, Assessments & Other Service Charges 50,397 Federal, State and all Other Grants, Gifts, Allocations and Donations 0 on July 1. Revenue from Bonds and Other Debt 0 If more space is needed to complete section of this form, insert lines (rows) on this sheet. You may delete blank lines. Interfund Transfers / Internal Service any Reimbursements 15,000 All Other Resources Except Current Year Property Taxes 3,864 150-504-073-2 (Rev. 02-14) Current Year Property Taxes Estimated to be Received 87,747 Total Resources 320,863 Total Requirements Total FTE 220,253 7,700 355,000 0 50,000 4,570 87,000 724,523 273,791 7,700 350,000 0 75,000 4,595 92,000 803,086 0 84,447 0 0 15,000 0 0 221,416 0 99,810 355,000 0 50,000 10,000 0 209,713 0 93,920 513,000 0 75,000 10,000 0 111,166 320,863 724,523 803,086 If more space is needed to complete any section of this form, insert lines (rows) on this sheet. You may delete blank lines. FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION Personnel Services 150-504-073-2 (Rev. 02-14) Materials and Services Capital Outlay Debt Service Interfund Transfers Contingencies Special Payments Unappropriated Ending Balance and Reserved for Future Expenditure Total Requirements FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY ORGANIZATIONAL UNIT OR PROGRAM * Not Allocated to Organizational Unit or Program 320,863 724,523 FTE 0 0 Total Requirements Total FTE 320,863 0 803,086 0 724,523 0 803,086 0 Rate or Amount Imposed 2017-2018 Permanent Rate Levy (rate limit .89 per $1,000) .00089 This Year 2018-2019 .00089 Rate or Amount Approved Next Year 2019-2020 .00089 Published: June 6, 2019 101 Legal Notices 101 Legal Notices 101 Legal Notices 3,016,422 33.43 $ 2,935,169 $ 31.01 2,764,325 $ 33.18 3,016,422 33.43 PROPERTY TAX LEVIES Permanent Rate Levy (rate limit .9280 per $1,000) Rate or Amount Imposed .9280 Rate or Amount Imposed .9280 Rate or Amount Approved .9280 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding Estimated Debt Authorized, But on July 1. Not Incurred on July 1 $ 215,000 $ Other Borrowings (over a year) $ 215,000 $ Total * If more space is needed to complete any section of this form, insert lines (rows) on this sheet add sheets. You may delete unused lines. Published: June 6, or 2019 LONG TERM DEBT 101 Legal Notices 101 Legal Notices - - 101 Legal Notices AB7262 TRUSTEE’S NOTICE OF SALE Reference is made to that certain trust deed made by Karen Robertson, as grantors, to First American Title Company, trustee, successor Trustee, Kelly M. Stearns, Attorney, LLC, in favor of The Estate of Richard T. Robertson, as beneficiary, Dated August 29, 2012, recorded on April 5, 2017, in the Records of Clatsop County as instrument # 201702684                                                  NOTICE  OF  BUDGET  HEARING                               See Exhibit A A  public  mee[ng  of  the  Lewis  &  Clark  Rural  Fire  Protec[on  District  will  be  held  on  June  11,  2019  at  7:00  pm  at  34571  Hwy  101  Business,  Astoria,  Oregon.  The  purpose  of  this   mee[ng  is  to  discuss  the  budget  for  the  fiscal  year  beginning  July  1,  2019  as  approved  by  the  Lewis  &  Clark  R.F.P.D.  Budget  Commifee.    A  summary  of  the  budget  is  presented   below.  A  copy  of  the  budget  may  be  inspected  or  obtained  at  34571  Hwy  101  Business,  Astoria,  between  the  hours    of  9:00  a.m.  and  4:00  p.m.  This  budget  is  for  an  annual   budget  period.    This  budget  was  prepared  on  a  basis  of  accoun[ng  that  is  the  same  as    the  preceding  year.   Contact:  Fire  Chief  Jeff  Golightly Telephone:  503-­‐325-­‐4192 Situs: 567 North Marion Ave, Gearhart, OR 97138 Email:  lewisclarkfire@gmail.com FINANCIAL  SUMMARY  -­‐  RESOURCES TOTAL  OF  ALL  FUNDS Actual  Amount 2017-­‐18 Beginning  Fund  Balance/Net  Working  Capital Fees,  Licenses,  Permits,  Fines,  Assessments  &  Other  Service  Charges Federal,  State  &  all  Other  Grants,  GiZs,  Alloca[ons  &  Dona[ons Revenue  from  Bonds  and  Other  Debt   Interfund  Transfers  /  Internal  Service  Reimbursements All  Other  Resources  Except  Current  Year  Property  Taxes Current  Year  Property  Taxes  Es[mated  to  be  Received          Total  Resources   300,064   Adopted  Budget This  Year  2018-­‐19 360,000   Approved  Budget Next  Year  2019-­‐20 360,000   100,285   101,000   101,000   148,539   321,518   870,406   36,500   348,000   845,500   114,000   375,000   950,000   245,000 184,500 195,000 265,000 195,000 205,000 221,000 845,500 285,000 950,000 FINANCIAL  SUMMARY  -­‐  REQUIREMENTS  BY  OBJECT  CLASSIFICATION Personnel  Services 237,500 Materials  and  Services 152,998 Capital  Outlay 107,468 Debt  Service Interfund  Transfers Con[ngencies Special  Payments Unappropriated  Ending  Balance  and  Reserved  for  Future  Expenditure 372,440          Total  Requirements 870,406 PROPERTY  TAX  LEVIES Rate  or  Amount  Imposed Rate  or  Amount  Imposed Rate  or  Amount  Approved 2017-­‐18 This  Year  2018-­‐19 Next  Year  2019-­‐20  Permanent  Rate  Levy            (rate  limit  1.0928  per  $1,000) 1.0928 1.0928 1.0928  Local  Op[on  Levy 0.7500 0.9000 0.9000  Levy  For  General  Obliga[on  Bonds Published: June 6, 2019 150-­‐504-­‐073-­‐2  (Rev.  11-­‐18) 101 Legal Notices 101 Legal Notices 101 Legal Notices AB7291 NOTICE OF BUDGET HEARING FORM ED-1 A  public  mee+ng  of  the  Seaside  School  District  10  will  be  held  on  June  18,  2019  at  6:00  pm  at  1801  South  Franklin  Street,  Seaside,  Oregon.  The  purpose  of  this  mee+ng  is  to   discuss  the  budget  for  the  fiscal  year  beginning  July  1,  2019  as  approved  by  the  Seaside  School  District  10  Budget  CommiLee.    A  summary  of  the  budget  is  presented  below.  A   copy  of  the  budget  may  be  inspected  or  obtained  at  1801  South  Franklin  Street,  Seaside,  Oregon  between  the  hours  of  8:00  am  and  4:00  pm,  or  online  at   www.seaside.k12.or.us.  This  budget  is  for  an  annual  budget  period.    This  budget  was  prepared  on  a  basis  of  accoun+ng  that  is  the  same  as  the  preceding  year.     Contact: Justine N Hill Telephone: (503)738-5591 Email: jhill@seasidek12.org FINANCIAL SUMMARY - RESOURCES Actual Budget 2017-2018 TOTAL OF ALL FUNDS Beginning Fund Balance Adopted Budget This Year 2018-2019 Approved Budget Next Year 2019-2020 $112,145,131 $112,484,837 $90,945,138 18,527,252 1,188,820 2,733,592 18,699,062 1,207,304 2,636,552 19,551,688 1,348,800 2,598,642 Revenue from Intermediate Sources Revenue from State Sources 2,267,560 264,793 1,464,789 4,741,649 1,383,374 713,304 Revenue from Federal Sources 1,240,697 1,343,463 1,413,948 658,144 583,997 1,580,498 0 $139,025,990 0 $143,161,652 0 $119,535,392 Current Year Property Taxes, other than Local Option Taxes Current Year Local Option Property Taxes Other Revenue from Local Sources Interfund Transfers All Other Budget Resources Total Resources FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION $9,927,963 Salaries $11,068,948 $11,043,542 Other Associated Payroll Costs 6,416,737 7,397,511 7,905,976 Purchased Services 5,444,017 66,063,716 85,701,676 Supplies & Materials 1,285,153 1,760,560 1,751,497 356,776 325,000 260,000 Capital Outlay Other Objects (except debt service & interfund transfers) Debt Service* Interfund Transfers* 354,211 431,429 714,329 4,380,781 4,550,640 4,722,540 416,907 583,997 1,580,498 Operating Contingency Unappropriated Ending Fund Balance & Reserves Total Requirements 0 500,000 450,000 110,443,445 50,479,851 5,405,334 $139,025,990 $143,161,652 $119,535,392 FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY FUNCTION 1000 Instruction $12,625,028 $14,239,088 127.8 128.34 130.14 6,900,693 8,404,172 8,791,766 FTE 2000 Support Services FTE 3000 Enterprise & Community Service $14,886,059 57.17 57.37 58.75 648,311 724,250 749,529 FTE 4000 Facility Acquisition & Construction 5.82 6.07 6.07 7,964,067 68,202,755 87,644,666 0 0 0 FTE 5000 Other Uses 5100 Debt Service* 5200 Interfund Transfers* 27,540 27,540 27,540 416,907 583,997 1,580,498 6000 Contingency 7000 Unappropriated Ending Fund Balance Total Requirements 0 500,000 450,000 110,443,445 50,479,851 5,405,334 $139,025,990 $143,161,652 $119,535,392 190.79 191.78 194.96 Total FTE * not included in total 5000 Other Uses. To be appropriated separately from other 5000 expenditures. STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING FROM LAST YEAR RESOURCES: The District is projecting stable local property tax collections and continued steady timber revenue. The District has a local option levy which will continue to assist with general operating expenses. Revenue allocations have been made to Special Revenue Funds 246 Student Support and Academic Enrichment. There is a General Obligation Bond for the K-12 campus project. REQUIREMENTS: The District's General Fund budget represents an increase over 2018-2019, but overall the budget decreased. In the General Fund, staffing has projected increases of: a classroom middle school teacher to alleviate large class size; additional staff in executive administration; more hours for an established groundskeeper position; and support for special education (transportation/classroom). General Fund transfers will be allocated to ASPIRE, Food Service, Equity in Education, Student Support and Academic Enrichment, Wellness and Capital Maintenance Reserve funds. Allocations to support projected Charter School requirements. Vehicle replacement includes two buses. Debt service has been allocated for GO bond payment. Transfers have also been allocated in Capital Projects and Capital Maintenance Reserve funds if they are needed to support the new construction project. Appropriations will continue for required bond construction costs. PROPERTY TAX LEVIES Permanent Rate Levy Rate or Amount Imposed Rate or Amount Imposed Rate or Amount Approved 4.4105 4.4105 4.4105 0.52 0.52 0.52 $4,680,858 $4,863,531 $5,026,767 (Rate Limit $4.4105 per $1,000) Local Option Levy Levy For General Obligation Bonds STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding Estimated Debt Authorized, But General Obligation Bonds on July 1 $95,942,656 Not Incurred on July 1 $0 Other Bonds $6,910,000 $0 Other Borrowings $1,170,483 $0 $104,023,139 $0 LONG TERM DEBT Total 2,764,325 $ 33.18 Covering the following HALF INTEREST IN real property situated in Clatsop County Oregon described as: AB7297 FORM  LB-­‐1   2,935,169 $ 31.01 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING * The Fiscal Year 2019-2020 Budget, as presented, provides for the operation of Sunset Pool, Bob Chisholm Community and Senior Center, Seaside Youth Center, Mary Blake Play House (formerly the Boy Scout Hut), Broadway Field, preschool programs, after school programs, community wellness and fitness, and the Seaside Skate ‘n Ride Park. Operational Summary-This Budget proposes to fund and support: Medical and Dental contributions for full-time and part-time staff that qualify and their dependents; Accrued leave benefits for staff; Training and educational commitment to our staff and patrons; Maintain direct-service staff levels for aquatics, youth, sports, special events, and fitness and recreation instruction programs; Scholarship Program; Our existing free services that includes but are not limited to: Community & Senior Center drop-in services and referrals, Holiday activities, Sponsored School’s Out Free Swims by Seaside Kids, Skate park use; Donations to community partners; Shared leadership supporting community development; Work with our community in efficient emergency preparedness; Continuation and expansion of our special event activities and including Farmers Market, Daddy Daughter Dance, and Senior Dance; Coordinate the Sunset Park & Recreation Foundation to raise funds for scholarships through the annual Sweet Affaire and other events. Changes in Financials-There are no major changes to the financials of the District during the FY 2019-2020. Changes in Activities- The District partnered with Northwest Senior Disability Services to take over and manage the Senior Meal Site Program and the Meal Site Coordinator position at the Bob Chisholm Commuity Center; The District is working with consultants and advisors to plan for the recreation future for District guests and residents which includes the acquisition and/or development of increased indoor recreation space. PROPERTY TAX LEVIES Rate or Amount Imposed $ Published: June 6, 2019 Both the beneficiary and the trustee have elected to sell the real property to satisfy the obligations secured by the trust deed and a notice of default has been recorded pursuant to Oregon Revised Statutes 86.735(3) as instrument #2015-03604 Lincoln County Records; the default for which the fore- closure is made in grantor’s failure to pay when due the following sums: The Monthly payments of: Interest at 0.28% for 11 months ($24.42 per month) = 268.62 Interest at 6% for 19 ($480.60 per month) months = $9,131.40 Interest at 6% for 46 ($480.60 per month) months = $11,053.80 = $20,453.82 By reason of the default just described, the beneficiary has declared all sums owing on the obligation secured by the trust deed immediately due and payable, those sums being the following, to-wit: The principal loan amount due of: $48,060.00 The interest due of: $20,453.82 Taxes & Insurance: $2,034.83 Foreclosure Guarantee: $441.00 Postage: $14.40 Attorney Fees: $3,039.50 Total Amount Due to cure default: $74,043.55 WHEREFORE, notice is hereby given that the undersigned trustee will on August 5th, 2019 at The Front Entrance of the Clatsop County Circuit Court in the City of Astoria, County of Clatsop, State of Oregon, at the hours of 1:00 o’clock P.M. in accord property described above which the grantor had or had power to convey at the time of the execution by grantor of the trust deed together with any interest which the grantor or grantor’s successors in acquired after the execution of the trust deed, to satisfy the foregoing obligations thereby secured and the costs and expenses of the sale, including a reasonable charge by the trustee. Notice is further given that any person named in ORS 86.753 has the right, at any time prior to five days before the date last set for the sale, to have this foreclosure proceeding dismissed and the trust deed reinstated by payment to the beneficiary of the entire amount then due (other than such portion of the principal as would not then be due had no default occurred) and by curing any other default complained of herein that is capable of being cured by tendering the performance required under the obligation or trust deed, and in addition to paying those sums or ten- dering the performance necessary to cure the performance necessary to cure the default, by paying all costs and expenses actually incurred in enforcing the obligation and trust deed, together with trustee and attorney fees not exceeding the amounts provided by ORS 86.753. In construing this notice, the singular includes the plural, the word “grantor” includes any successor in interest to the grantor as well as any other person owing an obligation, the performance of which is secured by the trust deed, and the words “trustee” and “beneficiary” include their respective successors in interest, if any. Dated: March 13, 2019 /s/Kelly M Stearns, agent for Trustee Kelly M. Stearns, Attorney, LLC, Trustee 1139 Exchange Street Astoria, OR 97103 503 468 0160 I certify that I am the attorney or one of the attorneys for the above named trustee and that the foregoing is a complete and exact copy of the original trustee’s notice of sale. /s/ Kelly M. Stearns Attorney for Trustee EXHIBIT A’ Legal Description: A tract of land in the Southeast quarter of Section 4, Township 6 North, Range 10 West, Willamette Meridian, in the County of Clatsop, State of Oregon, more particularly described as follows: Beginning at a point in the East line of Marion Avenue in the City of Gearhart, which point is 60 feet East and 100 feet North of the Northeast corner of Lot 39, Block 2, Kruse’s First thence North along the East boundary of Marion Street a distance of 75.00 feet to a 5/8’ diameter rebar; thence continuing North along the East boundary of Marion Street a distance of 25.00 feet to a 5/8” rebar; thence East a distance of 250.00 feet to a 5/8” diameter rebar on the Western boundary of the Gearhart Golf Course; thence South along the West boundary of the Gearhart Golf Course a distance of 100.00 feet to a 5/8” diameter rebar; thence West a distance of 115.00 feet to a 5/8” diameter rebar; thence North a distance of 75.00 feet to a 5/8” diameter rebar; thence West 135.00 feet to the true point of beginning. Published: May 16, 23, 30 ,and June 6, 2019.