The daily Astorian. (Astoria, Or.) 1961-current, June 17, 2021, Page 29, Image 29

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THE ASTORIAN • THURSDAY, JUNE 17, 2021
101 Legal Notices
101 Legal Notices
101 Legal Notices
101 Legal Notices
101 Legal Notices
101 Legal Notices
AB8295
AB8266
NOTICE OF BUDGET HEARING
A public meeting of the Knappa School District will be held on June 21, 2021 at 5:30 pm at the Knappa School District High School library
41535 Old Highway 30, Astoria OR 97103 and virtual via website link. Please see the district website for details. The purpose of this
meeting is to discuss the budget for the fiscal year beginning July 1, 2021 as approved by the Knappa School District Budget Committee. A
summary of the budget is presented below. A copy of the budget may be inspected or obtained online at knappa.k12.or.us. 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.
TRUSTEE’S NOTICE OF SALE TS No.: 085172-OR Loan No.: ******278D Reference is made to that certain trust deed (the “Deed
of Trust”) executed by NANCY K. CAIN, as Grantor, to NORTHWEST TRUSTEE SERVICES, INC., as Trustee, in favor of
MORTGAGE ELECTRONIC REGISTRATION SYSTEMS, INC., AS DESIGNATED NOMINEE FOR GUILD MORTGAGE
COMPANY, BENEFICIARY OF THE SECURITY INSTRUMENT, ITS SUCCESSORS AND ASSIGNS., as Beneficiary, dated
3/16/2018, recorded 3/23/2018, as Instrument No. 201802180, in the Official Records of Clatsop County, Oregon, which covers the
following described real property situated in Clatsop County, Oregon: ALL OF LOTS 18 AND 19, AND THAT PART OF LOT 17,
ELDERBERRY LODGES, CLATSOP COUNTY PLAT RECORDS, WHICH LIES SOUTHERLY OF THE FOLLOWING
DESCRIBED LINE: COMMENCING AT THE NORTHWEST CORNER OF LOT 16 OF SAID PLOT, SAID POINT BEING
MARKED WITH A 1/2 INCH IRON PIPE LYING ON THE EAST RIGHT OF WAY LINE OF RIVER BEND ROAD; THENCE
SOUTH 01 DEGREE 04 MINUTES 35 SECONDS WEST ALONG SAKI EAST RIGHT OF WAY LINE A DISTANCE OF 78,99
FEET TO A 5/8 INCH , IRON ROD WITH YELLOW PLASTIC CAP INSCRIBED HLB OTAK INC AND THE TRUE POINT OF
BEGINNING; THENCE SOUTH 90 DEGREES 00 MINUTES 00 SECONDS EAST A DISTANCE OF 99.51 FEET TO A 5/8 INCH
IRON ROD WITH YELLOW PLASTIC CAP INSCRIBED HLB OTAK INC; THENCE CONTINUING SOUTH 90 DEGREES 00
MINUTES 00 SECONDS EAST ALONG SOLD HUE A DISTANCE OF 17.1 FEET, MORE OR TESS, TO THE APPROXIMATE
LOW WATERLINE AND THE TERMINUS THEREOF, SITUATED IN THE SOUTHEAST QUARTER OF SECTION 29,
TOWNSHIP 5 NORTH, RANGE 7 WEST, WILLAMATE MERIDIAN,   COUNTY OT CLATSOP, STATE OF OREGON. THE
BASIS OF BEARINGS OF THIS DESCRIPTION IS BASED ON MAP B-12150, CLATSOP COUNTY SURVEY
RECORDS. MORE ACCURATELY DESCRIBED AS: ALL OF LOTS 18 AND 19, AND THAT PART OF LOT 17, ELDERBERRY
LODGES, CLATSOP COUNTY PLAT RECORDS, WHICH LIES SOUTHERLY OF THE FOLLOWING DESCRIBED LINE:
COMMENCING AT THE NORTHWEST CORNER OF LOT 16 OF SAID PLAT, SAID POINT BEING MARKED WITH A 1/2 “
IRON PIPE LYING ON THE EAST RIGHT OF WAY LINE OF RIVER BEND ROAD; THENCE SOUTH 01°04’35” WEST
ALONG SAID EAST RIGHT OF WAY LINE A DISTANCE OF 78.99 FEET TO A 5/8”, IRON ROD WITH YELLOW PLASTIC
CAP INSCRIBED “HLB OTAK INC” AND THE TRUE POINT OF BEGINNING: THENCE SOUTH 90°00’00” EAST A
DISTANCE OF 99.51 FEET TO A 5/8” IRON ROD WITH YELLOW PLASTIC CAP INSCRIBED “HLB OTAK INC”; THENCE
CONTINUING SOUTH 90°00’00” EAST ALONG SAID LINE A DISTANCE OF 17.1 FEET, MORE OR LESS, TO THE
APPROXIMATE LOW WATERLINE AND THE TERMINUS THEREOF, SITUATED IN THE SOUTHEAST QUARTER OF
SECTION 29, TOWNSHIP 5 NORTH, RANGE 7 WEST, WILLAMETTE MERIDIAN, COUNTY OF CLATSOP, STATE OF
OREGON. THE BASIS OF BEARINGS OF THIS DESCRIPTION IS BASED ON MAP B-12150, CLATSOP COUNTY SURVEY
RECORDS. APN: 52690 // 50729DD01800 Commonly known as: 82237 RIVERBEND RD SEASIDE, OR 97138 The current
beneficiary is: GUILD MORTGAGE COMPANY LLC 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:
FORM ED-1
Contact: William Fritz, Superintendent
Telephone: 503-458-5993
fritzw@knappak12.org
FINANCIAL SUMMARY - RESOURCES
Actual Amount
Last Year 2019-2020
$2,472,016
1,727,729
0
489,225
506,900
4,262,348
476,331
259,000
0
$10,193,549
TOTAL OF ALL FUNDS
Beginning Fund Balance
Current Year Property Taxes, other than Local Option Taxes
Current Year Local Option Property Taxes
Other Revenue from Local Sources
Revenue from Intermediate Sources
Revenue from State Sources
Revenue from Federal Sources
Interfund Transfers
All Other Budget Resources
Total Resources
Adopted Budget
This Year 2020-2021
$1,799,900
1,682,000
0
564,730
260,000
5,392,600
407,934
337,000
0
$10,444,164
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Salaries
$3,346,222
Other Associated Payroll Costs
1,766,223
Purchased Services
814,508
Supplies & Materials
636,371
Capital Outlay
0
Other Objects (except debt service & interfund transfers)
101,944
Debt Service*
546,106
Interfund Transfers*
259,000
Operating Contingency
0
Unappropriated Ending Fund Balance & Reserves
0
Total Requirements
$7,470,374
Approved Budget
Next Year 2021-22
$2,833,585
1,315,000
0
584,930
285,000
7,808,457
1,485,700
1,363,700
0
$15,676,372
$4,070,149
2,092,794
1,169,480
733,850
219,000
144,900
576,100
337,000
880,770
220,121
$10,444,164
$4,396,141
2,193,284
1,496,013
1,144,918
3,826,831
175,700
0
1,363,700
679,785
400,000
$15,676,372
FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY FUNCTION
1000 Instruction
$3,948,735
$5,013,535
FTE
48.69
54.34
2000 Support Services
2,475,092
3,148,338
FTE
21.88
23.55
3000 Enterprise & Community Service
241,441
268,300
FTE
3.06
3.06
4000 Facility Acquisition & Construction
0
0
FTE
0
0
5000 Other Uses
0
0
5100 Debt Service*
546,106
576,100
5200 Interfund Transfers*
259,000
337,000
6000 Contingency
0
880,770
7000 Unappropriated Ending Fund Balance
0
220,121
Total Requirements
$7,470,374
$10,444,164
Total FTE
73.63
80.95
* not included in total 5000 Other Uses. To be appropriated separately from other 5000 expenditures.
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING **
$5,576,915
55.94
4,066,641
26.34
256,500
3.06
3,332,831
0
0
0
1,363,700
679,785
400,000
$15,676,372
85.34
PROPERTY TAX LEVIES
Rate or Amount Imposed
4.6062
0
511,000
Rate or Amount Imposed
4.6062
0
557,000
Rate or Amount Approved
4.6062
0
0
STATEMENT OF INDEBTEDNESS
LONG TERM DEBT
General Obligation Bonds
Other Bonds
Other Borrowings
Total
Estimated Debt Authorized, But
Not Incurred on July 1
Estimated Debt Outstanding
on July 1
$0
$
-
$0
$
-
101 Legal Notices
101 Legal Notices
Published: June 17, 2021.
101 Legal Notices
Amount
No.
Dates:
04/01/19 thru 09/01/19
Total:
$7,932.54
6
$1,322.09
10/01/19 thru 12/01/19
3
$1,308.84
$3,926.52
01/01/20 thru 10/01/20
10
$1,346.93
$13,469.30
11/01/20 thru 12/01/20
2
$1,408.92
$2,817.84
01/01/21 thru 05/01/21
5
$1,552.48
$7,762.40
$524.90
Late Charges:
$0.00
Beneficiary Advances:
The following budget document outlines Knappa School District's financial plan for the 2021-2022 school year. With many of the unknowns of the pandemic behind us,
this plan will support a quality educational experience students as we move forward together. This budget reflects no cuts in staffing or programming. It assumes a slight
reduction in state funding, when compared with the state current service level school fund of $9.6 billion. The budget also honors the School Board's policy commitment
to maintaining a minimum 8% ending fund balance. During the upcoming year, Knappa School District plans to continue investing in teacher professional development in
the areas of mathematics instruction, literacy instruction, strategies for engaging students, and flexible approaches to reach more of our student population. The district
plans to continue our newly reinstated music program. The budget also supports initiation of a grant funded and tuition based preschool to support our community's
youngest learners. Some of the excess revenues from the 2020-21 school year are assigned specifically to fund future curriculum purchases, facility maintenance,
technology replacement, and transportation vehicle replacement. The 2021-22 budget adds to these special funds so that these recurring purchases can be sustained in
alignment with specific replacement cycles. The budget continues to be built around and for students. We are proud we have a very high graduation rate and our students
are college and career ready. It is with the generous support of Knappa, Brownsmead, Svensen and Burnside patrons that makes Knappa School District a great place to
live, work and go to school.
Permanent Rate Levy (Rate Limit 5.0121 per $1,000)
Local Option Levy
Levy For General Obligation Bonds
Delinquent Payments:
Total Required to Reinstate:
$36,433.50
TOTAL REQUIRED TO PAYOFF:
$223,937.80
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 $190,256.25 together with interest thereon at the rate of 5.125 % per annum, from 3/1/2019 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 9/29/2021, 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: 5/14/2021 CLEAR RECON CORP 111 SW Columbia Street
#950 Portland, OR 97201 Phone: 858-750-7600 866-931-0036 Hamsa Uchi, Authorized Signatory of Trustee
" 2
CRC NOS OR 05082018
Published: June 3, 10, 17, 24, 2021.
AB8287
101 Legal Notices
101 Legal Notices
101 Legal Notices
AB8298
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)
June 22, 2021
The hearing will take place on ____
(Date)
☐ AM
X PM .
☐
5:15
(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 _____________June 14, 2021
(Date)
1140 Broadway Street,
Seaside, OR 97138
between the hours of
8:00
(Location)
X AM
PM
and
5:00
(Time)
AM
X PM
(Time)
SUMMARY OF PROPOSED BUDGET CHANGES
AMOUNTS SHOWN ARE REVISED TOTALS IN THOSE FUNDS BEING MODIFIED
FUND: General Fund
Resource
1 Aquatics
2 Special Events
3 Youth Programs
4
Expenditure - indicate
Org. Unit / Prog. & Activity, and Object Class.
Amount
$76,200.00
$24,200.00
$267,450.00
3,158,710.00
Revised Total Fund Resources
Amount
$2,323,244.00
$311,443.00
$0
1 Department Expense
2 Transfers
3 Contingency
4
$3,158,710.00
Revised Total Fund Requirements
Explanation of change(s):
Additional funds have become available as a part of grants for Youth Program summer camp. Revenue has increased in aquatics with restrictions
lifting and private lessons being offered. Special Events has secured additional revenue for the Farmer's Market to offset additional needs as
determined by pandemic regulations from the CDC and OHA. Department expenses have increased as a result of grant expenses and personnel
structure changing. The General Fund contingency has decreased to accommodate loan and R/M work on the Sunset Recreation Center.
FUND: Building Fund
"
Resource
Expenditure - indicate
Org. Unit / Prog. & Activity, and Object Class.
Amount
1
2
3
Amount
1
2
3
Revised Total Fund Resources
Revised Total Fund Requirements
Explanation of change(s):
No changes made in the Capital Fund.
___________________________________________________________________________________________________________________
___________________________________________________________________________________________________________________
___________________________________________________________________________________________________________________
FUND: Broadway Field Fund
Resource
Expenditure - indicate
Org. Unit / Prog. & Activity, and Object Class.
Amount
1
2
3
Amount
1
2
3
Revised Total Fund Resources
Revised Total Fund Requirements
Explanation of change(s):
No changes made in the Capital Fund.
___________________________________________________________________________________________________________________
___________________________________________________________________________________________________________________
___________________________________________________________________________________________________________________
FUND: Sunset Recreation Center Fund
Resource
1 Transfer from General Fund
2
3
4
5
Expenditure - indicate
Org. Unit / Prog. & Activity, and Object Class.
Amount
$224,443.00
1
2
3
4
5
Materials and Services
Contingency
Debt Services
Personnel Services
$578,613.00
Revised Total Fund Resources
$
$
$
Amount
$175,900.00
-
17,727.00
-
$578,613.00
Revised Total Fund Requirements
Explanation of change(s):
Transfer from General Fund was increased to cover utilitie expenses and spending of the grant received by Youth Programs for summer camp
operations. Expenses have increased to accomindate necessary work for Summer Camp operations. Contingency was used for that purpose.
Debt Services was increased to accomidate for the interest payment due this fiscal year.
150-504-073-8 (Rev. 12-16)
Published: June 17, 2021.
G o . D o .
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