B7 THE ASTORIAN • THURSDAY, MAY 20, 2021 651 Help Wanted Public Works Utility Worker City of Warrenton Public Works Department is accepting applications for a Utility Worker I or II depending on qualifications and experience. This is an AFSCME union position w/ excellent benefits including PERS/OPSRP, Medical, Life and AD&D insurance, paid vacation, holidays and sick leave. Utility Worker I Salary Range 17: $3,255.20- $3,956.72 monthly Utility Worker II Salary Range 19: $3,592.31- $4,366.48 monthly A Utility Worker operates heavy construction equipment, power equipment and commercial vehicles. Duties range from semi-skilled to manual work in construction and maintenance of the City’s streets, stormwater, water, wastewater and parks divisions. Applications packets are available at 45 SW 2nd Street, Warrenton, OR And online on the City of Warrenton website. https:// www.ci.warrenton.or.us/ jobs “EOE” 652 Work Wanted Hiring Roofing Laborers 15.00 hr to Start 2 Week Trial Apply in Person Be Ready to Work That Day 2952 Hwy 101 N. Ask For Jesse 664 Services Radiation Protection Products Learn More: www. shenanriversemfprotection. online Classified Ads work hard for you! 828 Misc for Sale For Sale 2 x 4.5 gallon Rino propane bottles, Charged and ready to use. $70.00 for both 1 set of Rhino Racks, fits medium size car. currently on a VW Passat 1 Large vinyl cargo bag for same, both for $425 Please call for viewing (530)408-9271 101 Legal Notices AB8231 In the Matter of the Estate of Rosalie Ramsey Clatsop County Case No. 21PB03158 All persons having claims against the above-identified estate must present them, within four months after the date of the first publication of the notice to the personal representative at the address designated in the notice for the presentation of claims or they may be barred. Tom Larimer, Personal Representative 570 Liberty St. SE, Suite 240 Salem, Oregon 97301 All persons whose rights may be affected by the proceeding may obtain additional infor- mation from the records of the court, the personal represen- tative, or the attorney for the personal representative. This notice was first published on May 13, 2021. Published: May 13, 20, 27, 2021. 101 Legal Notices 101 Legal Notices AB8222 The Sale will be held at the address below: SAFEKEEPING STORAGE CENTERS, 1983 DOLPHIN WARRENTON, OR 97146 (503)861-2588 Intends to hold a Public Sale at oral bid the following per- sonal property pursuant to its lien rights for non-payment: LAURA REYNOLDS, RAYMOND REYNOLDS- G21 KEVIN CONDRA - M26, F04 The CASH ONLY sale will take place on Saturday, MAY 22nd 2021, AT 10am. Published: May 8, 20, 2021. AB8242 IN THE CIRCUIT COURT OF THE STATE OF OREGON AB8223 NOTICE OF BUDGET COMMITTEE MEETING A public meeting of the Bud- get Committee of the Olney Walluski Fire & Rescue Dis- trict, Clatsop County, State of Oregon, to discuss the budget for the fiscal year July 1, 2021 to June 30, 2022, will be held at River Point Station 36115 Riverpoint Drive, Astoria, OR. The meeting will take place on May 27, 2021 at 7 pm. The purpose of the meeting is to receive the budget mes- sage and to receive comment from the public on the budget. This is a public meeting where deliberation of the Budget Committee will take place. Any person may appear at the meeting and discuss the pro- posed programs with the Bud- get Committee. All persons will stay outside the station until called to testify. Testimo- ny limit will be 3 minutes. A copy of the budget docu- ment may be inspected on or after May 13th at Olney General Store, Highway 202, Olney, OR, between the hours of 10 am and 5 pm. A digital copy of the proposed budget may be obtained by email at olneywalluskifire@yahoo.com Published: May 13, 20, 2021. SPECIALTY SERVICES W E URGE YOU TO PATRONIZE THE LOCAL PROFESSIONALS ADVERTISING IN T HE A STORIAN S PECIALTY S ERVICES . T O PLACE YOUR S PECIALTY S ERVICES AD , CALL 325-3211. AB8246 IN THE CIRCUIT COURT OF THE STATE OF OREGON FOR THE COUNTY OF CLATSOP In the Matter of Estate of CARLEY E. KIRBY, Deceased. Case No. 20PB04080 NOTICE TO INTERESTED PERSONS NOTICE IS HEREBY GIVEN that Rachel S. Whisler has been appointed and has qual- ified as the personal repre- sentative. All persons having claims against the estate are hereby required to present them, with vouchers attached, to Rachel S. Whisler, person- al representative at P. O. Box 1030, Astoria, Oregon 97103, within four months after the date of first publication of this notice or the claims may be barred. All persons whose rights may be affected by the proceed- ings may obtain additional information from the records of the court, the personal rep- resentative or the attorney for the personal representative, Blair J. Henningsgaard, P. O. Box 1030, Astoria, Oregon 97103. Dated and first published May 20, 2021. /s/ Blair J. Henningsgaard, OSB#78240 Published: May 20, 27, June 3, 2021. FOR THE COUNTY OF CLATSOP PROBATE DEPARTMENT In the Matter of the Estate of: DAVID MERLE HAMMERBERG, Deceased. Case No. 21PB03895 NOTICE TO INTERESTED PERSONS NOTICE IS HEREBY GIVEN that Linda Marie Hammerberg has been appointed Personal Representative. All persons having claims against the es- tate are required to present them, with vouchers to the undersigned Personal Repre- sentative, at 416 Bond Street, Astoria, OR 97103, within four (4) months after the date of first publication of this notice, or the claims may be barred. All persons whose rights may be affected by the proceed- ings may obtain additional in- formation from the records of the court, the Personal Rep- resentative, or the attorney for the Personal Representative, Steven D. Gerttula. Dated and first published May 20, 2021. ATTORNEY FOR PERSONAL REPRESENTATIVE: Steven D. Gerttula, OSB #77184 416 Bond Street Astoria, OR 97103 (503)325-5434 Published: May 20 & 27, June 3, 2021. AB8245 IN THE CIRCUIT COURT OF THE STATE OF OREGON FOR THE COUNTY OF CLATSOP [Probate Department] 101 Legal Notices AB8243 FORM LB-1 A public meeting of the Wickiup Water District Board of Commissioners will be held on June 9, 2021, at 5:30 pm. The purpose of this meeting is to discuss, and receive public comment, concerning the budget for the fiscal year beginning July 1, 20210, as approved by the Budget Committee. A summary of the budget is presented below. A copy of the budgetmay be inspected or obtained at 92648 Svensen Market Rd., Astoria, Oregon between the hours of 9:00 a.m. and 4:00 p.m. or online at http://wickiupwater.specialdistrict.org. This budget is for an annual budget period. This budget was prepared on a basis of accounting the same as the preceding year. If different, the major changes and their effect on the budget are: none. Case No. 21PB03514 NOTICE TO INTERESTED PERSONS: NOTICE IS HEREBY GIVEN that CARL NYBERG has been appointed as personal repre- sentative. All persons having claims against the estate are required to present them, with vouchers attached, to the undersigned personal repre- sentatives at 20 Basin Street., Suite 105, Astoria, OR 97103, within four months after the date of first publication of this notice, or the claims may be barred. All person whose rights may be affected by the proceed- ings may obtain additional information from the records of the court, the personal rep- resentative, or the lawyers for the personal representative, Dated and first published May 20, 2021. ATTORNEY FOR PERSONAL REP: DAN VAN THlEL, OSB No.64110 ATTORNEY AT LAW 20 Basin St., #105 Astoria, OR 97103 Ph: 503-325-5911 Fax: 503-325-0208 danvanthiel@gmail.com PERSONAL REPRESENTATIVE: CARL J. NYBERG c/o Dan Van Thiel 20 Basin St., #105 Astoria, OR 97103 Ph: 503-325-5911 Published: May 20, 27, June 3, 2021. Check today’s classified ads for excellent buys on the items you need! 101 Legal Notices AB8228 101 Legal Notices Telephone: (503) 458-6555 Contact: Michelle Bolton (michelle@wickiupwaterdistrict.com) Total Resources 1,287,952 Adopted Budget 2020-2021 747,485 432,860 111,000 Approved Budget 2021-2022 588,336 522,986 21,000 24,009 550 187 1,315,904 1,132,509 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION 205,000 235,200 196,200 175,695 175,000 281,500 56,876 60,472 96,810 Personnel Services Materials and Services Capital Outlay Debt Service Interfund Transfers Contingencies Special Payments Unappropriated Ending Balance and Reserved for Future Expenditure Total Requirements 296,650 202,050 260,000 76,560 21,210 20,000 654,876 466,227 246,039 1,287,952 1,315,904 1,122,509 FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY ORGANIZATIONAL UNIT OR PROGRAM * Name of Organizational Unit or Program FTE for that unit or program Administration 49,000 63,200 72,000 FTE - 1 Maintenance 110,000 172,000 185,000 FTE 2 Total Requirements Total FTE 159,000 3 235,200 3 257,000 3 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING: NONE PROPERTY TAX LEVIES Rate or Amount Imposed 2019-2020 Permanent Rate Levy (rate limit _________ per $1,000) Local Option Levy Levy For General Obligation Bonds Rate or Amount Imposed 2020-2021 Rate or Amount Approved 2021-2022 0 0 0 0 0 0 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding on July 1. LONG TERM DEBT General Obligation Bonds/Other Bonds Other Borrowings Total Estimated Debt Authorized, But Not Incurred on July 1 708,263.00 708,263.00 0.00 0.00 150-504-073-2 (Rev. 11-18) Published: May 20, 2021. 101 Legal Notices 101 Legal Notices 101 Legal Notices AB8244 FORM LB-1 NOTICE OF BUDGET HEARING A public meeting of the Gearhart City Council will be held on June 2, 2021 at 7:00 pm virtually. Online access information is posted on th City website calendar and meeting agenda. The purpose of this meeting is to discuss the budget for the City of Gearhart fiscal year beginning July 1, 2021 as approved by the City of Gearhart Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained online at www.cityofgearhart.com. 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. Revised May 17, 2021. Telephone: (503)738-5501 FINANCIAL SUMMARY - RESOURCES TOTAL OF ALL FUNDS Actual* Amount 2019-2020 $ 2,418,247 Beginning Fund Balance/Net Working Capital $ 1,627,965 Fees, Licenses, Permits, Fines, Assessments & Other Service Charges Federal, State & all Other Grants, Gifts, Allocations & Donations $ 364,283 Revenue from Bonds and Other Debt $ - Interfund Transfers / Internal Service Reimbursements $ 175,000 All Other Resources Except Current Year Property Taxes $ 288,980 Current Year Property Taxes Estimated to be Received $ 1,281,646 Total Resources $ 6,156,122 Email: chadsweet@cityofgearhart.com $ $ $ $ $ $ $ $ Adopted Budget This Year 2020-2021 2,679,287 1,486,000 351,500 - 180,000 334,441 1,372,059 6,403,287 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION Personnel Services $ 1,085,008 $ Materials and Services $ 1,364,233 $ Capital Outlay $ 210,642 $ Debt Service $ 795,825 $ Interfund Transfers $ 75,000 $ Contingencies $ - $ Special Payments $ 25,732 $ Unappropriated Ending Balance and Reserved for Future Expenditure $ 2,599,682 $ Total Requirements $ 6,156,122 $ $ $ $ $ $ $ $ $ Approved Budget Next Year 2021-2022 2,965,893 1,811,000 736,500 - 385,000 374,143 1,435,113 7,707,649 1,418,723 $ 3,171,809 $ 705,365 $ 740,266 $ 180,000 $ - $ 51,000 $ 136,124 $ 6,403,287 $ 1,491,713 3,908,609 1,005,633 796,610 385,000 - 35,300 84,784 7,707,649 FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY ORGANIZATIONAL UNIT OR PROGRAM Name of Organizational Unit or Program FTE for that unit or program Name General Fund $ 1,937,301 $ 2,004,500 $ FTE 8.85 8.85 Name Debt Service $ 851,505 $ 872,559 $ FTE 0 0 Name Water Improvement Construction $ 3,906 $ 3,832 $ FTE 0 0 Name Water $ 978,420 $ 1,106,000 $ FTE 3.55 3.55 Name State Revenue Sharing $ 84,193 $ 76,556 $ FTE 0 0 Name State Street $ 316,911 $ 279,240 $ FTE 0.60 0.60 Name Water Reserve $ 1,274,602 $ 1,463,000 $ FTE 0 0 Name Police Car Reserve $ 100,991 $ 67,000 $ FTE 0 0 Name Fire Apparatus & Equipment Reserve $ 231,017 $ 234,000 $ FTE 0 0 Name Hazard Mitigation $ 80,995 $ 55,200 $ FTE 0 0 Name 9-1-1 Reserve $ 2,199 $ - $ FTE 0 0 Name Public Works Major Equipment Reserve $ 120,259 $ 119,200 $ FTE 0 0 Name Building Reserve $ 173,824 $ 122,200 $ FTE 0 0 Total Requirements $ 6,156,122 $ 6,403,287 $ Total FTE 13 13 2,568,201 8.85 877,413 0 3,981 0 1,350,000 3.55 35,300 0 375,000 0.60 1,562,371 0 83,860 0 309,909 0 149,250 0 - 0 160,744 0 231,620 0 7,707,649 13 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING The General Fund anticipated resources for this fiscal year are $2,568,201 from various sources. While revenue is increasing, municipal tax rate remains at $1.0053 per thousand. The 3.9% conservative increase of city tax revenue is appropriate due to the amount of new development in 2020/2021 and increased property values. Another source of revenue is the Transient Room Tax (TRT), which is anticipated to be $380,000, and is a $130,000 increase over last year’s budgeted amount. Room taxes from hotels and vacation rentals are expected to be similar to this year because of the COVID-19 pandemic and pent-up demand for travel. Last year the TRT was underestimated not anticipating COVID would increase travel to Gearhart. A future drop in building permit fees may be in the future as available buildable land in Gearhart is reduced because our available buildable lands are in decline. Included in the budget are the appropriations necessary to implement the City’s personnel costs. A Cost Of Living Adjustment (COLA) increase of 1.3% per the Social Security Administration is applied to salaries this year, beginning January 1st, 2022. Gearhart Reserve funds will again receive additional resources this year. The proposed State Revenue Sharing Fund expenditures will be finalized after citizen input at the public hearing. This year’s budget is unique in that the City of Gearhart may receive $330,000 from The American Rescue Plan approved by Congress. Research indicates that these funds may be used for infrastructure, planning, and emergency response. Permanent Rate Levy City (rate limit $1.0053 per $1,000) Local Option Levy Levy For General Obligation Bonds General Obligation Bonds Other Bonds Other Borrowings Total $ $ $ $ PROPERTY TAX LEVIES Rate or Amount Imposed Rate or Amount Imposed Rate or Amount Approved 2019-2020* This Year 2020-2021 Next Year 2021-2022 $ 1.0053 $ 1.0053 $ 1.0053 0 0 0 $ 774,204 $ 788,059 $ 913,971 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding on July 1. 4,879,674.00 - - 4,879,674.00 *2019-2020 Pending Final Audit Figures 150-504-073-2 (Rev. 11-18) Published: May 20, 2021. Published: May 20, 2021. Email: wickiupwaterdistrict@hotmail.com FINANCIAL SUMMARY - RESOURCES TOTAL OF ALL FUNDS Actual Amount 2019-2020 487,813 Beginning Fund Balance/Net Working Capital 499,000 Fees, Licenses, Permits, Fines, Assessments & Other Service Charges Federal, State & all Other Grants, Gifts, Allocations & Donations 300,489 Revenue from Bonds and Other Debt Interfund Transfers / Internal Service Reimbursements All Other Resources Except Current Year Property Taxes 600 Current Year Property Taxes Estimated to be Received 50 Contact: Chad Sweet In the matter of the Estate of HAZEL HARRIET NYBERG, Deceased. 101 Legal Notices NOTICE OF BUDGET HEARING LONG TERM DEBT 101 Legal Notices 101 Legal Notices Estimated Debt Authorized, But Not Incurred on July 1 $ $ $ $ - - - -