The daily Astorian. (Astoria, Or.) 1961-current, March 18, 2021, Page 45, Image 45

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THE ASTORIAN • THURSDAY, MARCH 18, 2021
651 Help Wanted
651 Help Wanted
SECURITY OFFICER
TRAINING
Obtain Oregon DPSST
License. Contact Hauer’s
Security at 295 W. Marine Dr,
Astoria. (503)325-8788
661 Childcare/
Adult Care
Caregiver position
40+ hours in Seaside. Must
pass background check.
(503)717-5477
854 Lawn & Garden
Equipment
Immediate Openings
Full-Time
Alignment Tech
Suspension/Brake
Mechanic
Experience required
Tire Sales/Service
Experienced preferred
But not required
Starting wage DOE
Generous benefits
Medical, Dental, Vision,
401K, Vacation, Sick Pay,
Profit Share
Uniforms provided
Apply in person
1167 SE Marlin Ave
Warrenton
The City of Gearhart is
accepting applications for a
full-time City Treasurer-
Water Clerk-Administrative
Assistant. The job
description and application
are both available on the City
website under Contact Us/
Job Openings. Completed
applications will be accepted
via email, mail, or City Hall
outdoor drop box per the
application instructions.
Wage - $50,000.00 to
$55,000.00 Annual, DOE
Contact Krysti Ficker -
Executive Administrative
Assistant, with any questions
at (503) 738-5501, krysti@
cityofgearhart.com
The position is open until
filled.
IF YOU HAVE an eye for real
value, you’ll eye the classified
ads regularly.
Top soil $12 per cubic yard
(503)440-5505
(503)440-6818
Use our classified ads to get
results fast! Call 503-325-3211
to place your ad today!
101 Legal Notices
AB8125
Clatsop County Public Works
is requesting quotes for sup-
ply and delivery of Liquid As-
phalt for the year beginning
May 1, 2021. Request for
Quotes packet available on-
line at co.clatsop.or.us, under
Jobs & Bid/RFPs, and avail-
able for review at 1100 Olney
Ave, Astoria, OR. Quotes are
due by April 6, 2021 at 2:00
p.m. Selected contractor will
sign a contract with County.
Published: March 18, 2021.
101 Legal Notices
101 Legal Notices
101 Legal Notices
AB8115
TRUSTEE’S NOTICE OF SALE TS No.: 095605-OR Loan No.: ******6412 Reference is made to that certain
trust deed (the “Deed of Trust”) executed by MONTE E REED AND DEBBY L REED, HUSBAND AND WIFE, as
Grantor, to TICOR TITLE INSURANCE CO, as Trustee, in favor of LONG BEACH MORTGAGE COMPANY, as
Beneficiary, dated 4/5/1999, recorded 4/15/1999, as Instrument No. 09904802, in Book 1008, Page 481, in the
Official Records of Clatsop County, Oregon, which covers the following described real property situated in Clatsop
County, Oregon: LOT 5, BLOCK 4, WEST SLOPE, IN THE CITY OF ASTORIA, COUNTY OF CLATSOP,
STATE OF OREGON. EXCEPTING THEREFROM THAT PART THEREOF CONVEYED TO KONSTA A.
MIKKOLA AND ANNA MIKKOLA, HUSBAND AND WIFE, BY DEED RECORDED MAY 24, 1954 IN BOOK
226, PAGE 248, RECORDS OF DEEDS OF CLATSOP COUNTY, OREGON. APN: 26707 / 80918BD
05600 Commonly known as: 311 W NIAGARA AVE ASTORIA, OR 97103 The current beneficiary is: HSBC
BANK USA, N.A., AS TRUSTEE ON BEHALF OF ACE SECURITIES CORP. HOME EQUITY LOAN TRUST
AND FOR THE REGISTERED HOLDERS OF ACE SECURITIES CORP. HOME EQUITY LOAN TRUST,
SERIES 2005-SD3, ASSET BACKED PASS-THROUGH CERTIFICATES Both the beneficiary and the trustee
have elected to sell the above-described real property to satisfy the obligations secured by the Deed of Trust and
notice has been recorded pursuant to ORS 86.752(3). The default for which the foreclosure is made is the grantor’s
failure to pay when due, the following sums:
Delinquent Payments:
Total:
Dates:
9/1/2020 – 2/1/2021
$4,442.10
Beneficiary Advances:
$2,438.74
Total Required to Reinstate:
$6,880.84
TOTAL REQUIRED TO PAYOFF:
$201,646.78
By reason of the default, the beneficiary has declared all obligations secured by the Deed of Trust immediately due
and payable, including: the principal sum of $190,928.79 together with interest thereon at the rate of 3.5 % per
annum, from 8/1/2020 until paid, plus all accrued late charges, and all trustee’s fees, foreclosure costs, and any sums
advanced by the beneficiary pursuant to the terms and conditions of the Deed of Trust Whereof, notice hereby is
given that the undersigned trustee, CLEAR RECON CORP, whose address is 111 SW Columbia Street #950,
Portland, OR 97201, will on 7/7/2021, at the hour of 1:00 PM, standard time, as established by ORS 187.110, AT
THE FRONT ENTRANCE TO THE CLATSOP COUNTY COURTHOUSE, 749 COMMERCIAL STREET,
ASTORIA, OR 97103, sell at public auction to the highest bidder in the form of cash equivalent (certified funds or
cashier’s check) the interest in the above-described real property which the grantor had or had power to convey at
the time it executed the Deed of Trust, together with any interest which the grantor or his successors in interest
acquired after the execution of the Deed of Trust, to satisfy the foregoing obligations thereby secured and the costs
and expenses of sale, including a reasonable charge by the trustee. Notice is further given that any person named in
ORS 86.778 has the right to have the foreclosure proceeding dismissed and the Deed of Trust reinstated by payment
to the beneficiary of the entire amount then due (other than the portion of principal that would not then be due had
no default occurred), together with the costs, trustee’s and attorneys’ fees, and curing any other default complained
of in the Notice of Default by tendering the performance required under the Deed of Trust at any time not later than
five days before the date last set for sale. Without limiting the trustee's disclaimer of representations or warranties,
Oregon law requires the trustee to state in this notice that some residential property sold at a trustee's sale may have
been used in manufacturing methamphetamines, the chemical components of which are known to be toxic.
Prospective purchasers of residential property should be aware of this potential danger before deciding to place a bid
for this property at the trustee's sale. In construing this notice, the masculine gender includes the feminine and the
neuter, the singular includes plural, the word “grantor” includes any successor in interest to the grantor as well as
any other persons owing an obligation, the performance of which is secured by the Deed of Trust, the words
“trustee” and ‘beneficiary” include their respective successors in interest, if any. Dated: 2/24/2021 CLEAR RECON
CORP 111 SW Columbia Street #950 Portland, OR 97201 Phone: 858-750-7600 866-931-0036 Hamsa Uchi,
Authorized Signatory of Trustee
Published: March 18th & 25th, April 1st & 8th, 2021.
101 Legal Notices
101 Legal Notices
101 Legal Notices
AB8126
NOTICE OF SUPPLEMENTAL BUDGET HEARING
• For supplemental budgets proposing a change in any fund's expenditures by more than 10 percent.
A public hearing on a proposed supplemental budget for _____________
Sunset Empire Park and Recreation District
(District Name)
for the current fiscal year will be held at ____
1225 Avenue A, Seaside, OR 97138
(Location)
The hearing will take place on ____
(Date)
☐ AM
X PM .
☐
5:15
March 23, 2021
(Time)
The purpose of the hearing is to discuss the supplemental budget with interested persons.
A copy of the supplemental budget document may be inspected or obtained on or after _____________March 15, 2021
(Date)
1140 Broadway Street,
Seaside, OR 97138
8:00
between the hours of
(Location)
X AM
PM
and
5:00
AM
X PM
(Time)
(Time)
SUMMARY OF PROPOSED BUDGET CHANGES
AMOUNTS SHOWN ARE REVISED TOTALS IN THOSE FUNDS BEING MODIFIED
FUND: General Fund
If you’re a print subscriber
Resource
1 Other Resources
2
3
4
Revised Total Fund Resources
Amount
$35,010.00
Expenditure - indicate
Org. Unit / Prog. & Activity, and Object Class.
1
2
3
4
3,026,938.00
Department Expense
Transfers
Contingency
Ending Fund Balance
Revised Total Fund Requirements
Amount
$2,220,434.00
$237,000.00
$50,000
$513,003
$3,026,938.00
Explanation of change(s):
Additional funds have become available as a part of the Federal Emergency Management Agency and the Department of Administrative Services
- State of Oregon. Department expenses have been reduced due to District operations reduced during the State of Emergency of the
Coronavirus Pandemic. General Fund transfers have increased to accommodate the acquisition of the purchase of additional property and the
creation of an additional fund. The General Fund contingency has increased to accommodate Coronavirus Pandemic expenses that may occur.
The ending fund balance of the General Fund has increased to accommodate the additional staffing needed in the interim of the Coronavirus
Pandemic for the upcoming fiscal year.
FUND: Building Fund
Resource
1 Revenue
2
3
Revised Total Fund Resources
Amount
$159,000.00
Expenditure - indicate
Org. Unit / Prog. & Activity, and Object Class.
1 Ending Fund Balance
2
3
$159,000.00
Revised Total Fund Requirements
Amount
$159,000.00
$159,000.00
Explanation of change(s):
Revenue in the Building Fund has been reduced as a result of General Fund transfers redistributed to a newly created Sunset Recreation Fund
after the acquisition of additional recreation property. The ending fund balance of the Building Fund has been decreased due to the redistribution
of transfers from the General Fund to the newly created Sunset Recreation Fund.
FUND: Broadway Field Fund
Resource
1 Revenue
2
3
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Revised Total Fund Resources
Amount
$26,400.00
Expenditure - indicate
Org. Unit / Prog. & Activity, and Object Class.
1 Personnel Services
2 Materials and Services
3
$26,400.00
Revised Total Fund Requirements
Amount
$12,886.00
$13,514.00
$26,400.00
Explanation of change(s):
Revenue in the Broadway Field Fund has increased to reflect income that will be generated as a result of partnerships in accordance with the
Intergovernmental Agreement already in effect. Expenses for the Broadway Field Fund have increased to reflect needed repairs and
maintenance to the facility which includes increased staffing needs.
FUND: Sunset Recreation Center Fund
Resource
1 Revenue
2
3
4
5
Revised Total Fund Resources
Amount
$504,170.00
$504,107.00
Expenditure - indicate
Org. Unit / Prog. & Activity, and Object Class.
1
2
3
4
5
Personnel Services
Materials and Services
Capital Outlay
Contingency
Ending Fund Balance
Revised Total Fund Requirements
Amount
$4,484.00
$70,600.00
$18,642.00
$10,000.00
$400,444.00
$504,107.00
Explanation of change(s):
The creation of the Sunset Recreation Center Fund has an increase in the revenue as a result of loan proceeds and income generation as a
result of the additional recreation space. Expenses of the Sunset Recreation Fund are increased to accommodate income generation activities
staffing need, equipment needed to maintain the facility, repairs and maintenance of facilities, a contingency for unforeseen expenses while in the
State of Emergency as a result of the Coronavirus Pandemic, and an increased Ending Fund Balance to utilize for future operations at the Sunset
Recreation Center.
150-504-073-8 (Rev. 12-16)
Published: March 18, 2021.
DOUBLE THE
PUZZLES IN
EVERY EDITION!