The daily Astorian. (Astoria, Or.) 1961-current, June 09, 2022, Page 34, Image 34

Below is the OCR text representation for this newspapers page. It is also available as plain text as well as XML.

    A11
THE ASTORIAN • THURSDAY, JUNE 9, 2022
101 Legal Notices
102 Public Notices
AB8749
NOTICE OF PUBLIC HEARING
SEASIDE CITY COUNCIL
City of Seaside, Oregon
101 Legal Notices
101 Legal Notices
AB8741
NOTICE OF BUDGET COMMITTEE MEETING
Council of Governments
All interested persons are invited
to attend the meeting.
Mark J. Winstanley,
City Manager
PUBLISHED: June 9, 2022.
AB8747
CITY OF WARRENTON
NOTICE OF PUBLIC HEARING – June 14, 2022 – 6 pm
Warrenton City Commission Chambers,
225 S. Main, Warrenton, OR
A small town
newspaper
with a global
outlook
101 Legal Notices
AB8746
FORM OR-LB-1
A public meeting of the Budget Committee of the Columbia River Es-
tuary Study Taskforce (CREST), Clatsop County, State of Oregon, to
discuss the budget for the fiscal year July 1, 2022 to June 30, 2023
will be held via Zoom. This meeting will take place on the 16th day
of June 2022 at 12:00 P.M. The purpose is to receive the budget
message and document of the district. This is a public meeting
where deliberation of the Budget Committee will take place. Any per-
son may appear at the meeting and discuss the proposed budget
with the Budget Committee. To get a copy of the budget or the Zoom
link email pgerttula@columbiaestuary.org
Published:
June Notices
9, 2022.
101 Legal
101 Legal Notices
On Monday, June 13, 2022 at
7:00 PM, a public hearing will be
held by the Seaside City Council
at Seaside City Hall, 989 Broad-
way, regarding a resolution de-
claring the City’s Election to
receive State Revenue Sharing
101 Legal Notices
SALE OF CITY REAL PROPERTY
The City of Warrenton is considering the sale of city-owned properties
no longer needed for public purpose. The properties in question do
not require action under Chapter XI of the City’s Charter. The City
has received unsolicited interest in the following tax lots and engaged
a Realtor and/or appraisal to establish the market value of the prop-
erty.
TL 81022BA02080 – 867 NE 1st Ct. – Water Dependent Commer-
cial
TL 81005DC03300 – 861 Pacific Drive (Building only) - Commercial
Mixed Use
NOTICE OF BUDGET HEARING
As provided for by ORS 294.426, a public hearing will take place on May 19, 2022 during the Sanitary District Board meeting at 6:00pm immediately following the Water District
Board hybrid in-person/ZOOM meeting. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the joint budget committee
meeting of the Arch Cape Domestic Water Supply District and Arch Cape Sanitary District on May 5, 2022. A summary of the Sanitary District budget is presented below. A
copy of the budget may be inspected or obtained by calling the district office between the hours of 8:30 a.m. and 4:30 p.m or at www.archcapeorg.org. 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. Additional materials may be viewed at
www.archcapewater.org and sign on information for the virtual meeting may be obtained by calling Phil Chick, District Manager at 503-436-2790
Telephone: 503-436-2790 Email: PhilChickACUtil@gmail.com
FINANCIAL SUMMARY - RESOURCES
TOTAL OF ALL FUNDS
Actual Amount
Adopted Budget
Approved Budget
2020-2021
This Year 2021-2022
Next Year 2022-2023
164,736
259,693
263,213
Beginning Fund Balance/Net Working Capital
360,688
400,242
399,500
Fees, Licenses, Permits, Fines, Assessments & Other Service Charges
Federal, State & all Other Grants, Gifts, Allocations & Donations
20,000
7,400
Revenue from Bonds and Other Debt
Interfund Transfers / Internal Service Reimbursements
All Other Resources Except Current Year Property Taxes
7,300
7,300
7,750
Current Year Property Taxes Estimated to be Received
150,446
147,000
144,600
Total Resources
683,170
834,235
822,463
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Personnel Services
Materials and Services
338,839
343,197
344,250
Capital Outlay
20,000
7,400
Debt Service
198,983
198,911
191,055
Interfund Transfers
Contingencies
110,652
169,658
186,254
Special Payments
Unappropriated Ending Balance and Reserved for Future Expenditure
34,696
102,469
93,504
Total Requirements
683,170
834,235
822,463
PROPERTY TAX LEVIES
Rate or Amount Imposed
Rate or Amount Imposed
Rate or Amount Approved
2020-2021
This Year 2021-2022
Next Year 2022-2023
Permanent Rate Levy (rate limit _________ per $1,000)
Local Option Levy
Levy For General Obligation Bonds
152,000
155,150
150,000
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
Estimated Debt Authorized, But
LONG TERM DEBT
on July 1.
Not Incurred on July 1
$2,528,887
General Obligation Bonds
Other Bonds
$415,800
Other Borrowings
Total
$2,944,687
150-504-064 (Rev. 11-19-21)
Contact: Phil Chick, District Manager
Published: June 9, 2022.
The City considers these properties surplus and better suited to pri-
vate ownership and placement on the tax rolls. Proposed uses of the
properties include activities as allowed in the zoning designation, i.e.,
commercial uses for marine-related warehousing, and VFW meeting
hall.
One of the Pacific
Northwest’s great
small newspapers
The public hearing is scheduled before the Warrenton City Commis-
sion on June 14, 2022, at 6 pm. You may also participate via zoom at
https://www.ci.warrenton.or.us/administration/page/live-stream-pub-
lic-meetings.
More information on the properties for sale may be found in the
6/14/22 Agenda Packet posted on the City’s website www.ci.warren-
ton.or.us (Posting 6/10/22), or by contacting City Recorder, Dawne
Shaw, at cityrecorder@ci.warrenton.or.us.
www.dailyastorian.com
In a hurry? Placing a classified
ad is fast and easy!
Call 503-325-3211
to place your ad order today!
Warrenton City Hall is accessible to the disabled. An interpreter for
the hearing impaired may be requested under the terms of ORS
192.630 by contacting Dawne Shaw, City Recorder, at 503-861-0823
at least 48 hours in advance of the meeting so appropriate assistance
can be provided.
Published:
June Notices
9, 2022.
101 Legal
101 Legal Notices
101 Legal Notices
AB8750
PUBLIC PROPERTY FOR AUCTION
The City of Cannon Beach is auctioning off the following items: (1) used 2015 GEM Electric Utility Vehicle,
(1) used EZ-GO GOLF CART, (1) used NAPCO 8000-DSE Autoclave Sterilizer, (1) new 2019 Ford F250
4x4 Rear Truck Bumper & Tailgate and (1) used 2006 Ford Explorer XLT. The items will be auctioned off
through GovDeals.com. For additional details see:
https://www.GovDeals.com/index.cfm?fa=Main.AdvSearchResults&myseller=22242
The City may reject any bid not in compliance with all prescribed bid procedures and requirement and
other applicable law, and may reject any or all bids in whole or in part when the cancellation or rejection
is in the best interest of the City. Sold as-is without any warranty, either express or implied, of any kind.
Auction will open June 16, 2022 @ 8am and close June 23, 2002 @ 4pm. Items will be available online
for preview starting June 16, 2022.
Published: June 9, 2022.
101 Legal Notices
101 Legal Notices
101 Legal Notices
101 Legal Notices
AB8751
FORM LB-1
NOTICE OF BUDGET HEARING
A public meeting of the Port of Astoria will be held on June 14th, 2022 at 4:00pm in-person at 10 Pier One #209, Astoria, Oregon, virtually, and telephonically. Online
access information is posted on the Port's website at www.portofastoria.com. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1,
2022. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 422 Gateway Ave, Suite 100, Astoria, Oregon, between the
hours of 8:00am and 4:30pm or online at portofastoria.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.
Contact: Melanie Howard, Finance, HR & Business Services Manager
TOTAL OF ALL FUNDS
Telephone: (503) 741-3300
FINANCIAL SUMMARY - RESOURCES
Actual Amount
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
Email: mhoward@portofastoria.com
Adopted Budget
This Year 2021-2022
1,792,882
133,500
4,678,334
Next Year 2022-2023
1,403,342
158,540
1,940,763
559,296
6,412,851
833,566
10,852,000
139,458
6,912,793
841,048
14,498,015
198,811
9,542,728
890,248
14,134,432
2,879,677
3,444,948
6,881,192
315,000
139,458
2,820,490
4,481,685
3,959,368
1,610,664
198,811
837,740
14,498,015
1,063,413
14,134,432
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Personnel Services
2,557,550
3,465,629
Materials and Services
2,803,347
Capital Outlay
282,200
Debt Service
Interfund Transfers
559,296
Contingencies
Special Payments
Unappropriated Ending Balance and Reserved for Future Expenditure
1,183,978
Total Requirements
10,852,000
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
Waterfront West
2,930,315
4,032,226
FTE
9.78
9.74
Waterfront East
1,909,718
3,964,932
FTE
6.16
6.09
Airport
2,495,254
3,666,110
FTE
2.14
2.39
Security
314,398
306,046
FTE
3.30
3.44
Administration
1,176,841
1,236,503
FTE
5.61
5.55
Not Allocated to Organizational Unit or Program
2,025,474
1,292,198
FTE
0.00
0.00
Total Requirements
Total FTE
NOTICE OF BUDGET HEARING
As provided for by ORS 294.426, a public hearing will take place on May 19, 2022 during the Water District Board meeting at 6:00pm immediately following the Water District
Board hybrid in-person/ZOOM meeting. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the joint budget committee
meeting of the Arch Cape Domestic Water Supply District and Arch Cape Sanitary District on May 5, 2022. A summary of the Sanitary District budget is presented below. A
copy of the budget may be inspected or obtained by calling the district office between the hours of 8:30 a.m. and 4:30 p.m or at www.archcapeorg.org. 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. Additional materials may be viewed at
www.archcapewater.org and sign on information for the virtual meeting may be obtained by calling Phil Chick, District Manager at 503-436-2790
Contact: Phil Chick, District Manager
Telephone: 503-436-2790 Email: PhilChickACUtil@gmail.com
FINANCIAL SUMMARY - RESOURCES
TOTAL OF ALL FUNDS
Actual Amount
Adopted Budget
Approved Budget
2020-2021
This Year 2021-2022
Next Year 2022-2023
202,870
204,502
209,504
Beginning Fund Balance/Net Working Capital
208,087
217,052
224,200
Fees, Licenses, Permits, Fines, Assessments & Other Service Charges
Federal, State & all Other Grants, Gifts, Allocations & Donations
1,464,301
Revenue from Bonds and Other Debt
155,789
157,597
150,000
Interfund Transfers / Internal Service Reimbursements
All Other Resources Except Current Year Property Taxes
4,600
33,035
3,153
Current Year Property Taxes Estimated to be Received
Total Resources
571,346
612,186
2,051,158
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Personnel Services
224,993
230,202
249,119
Materials and Services
171,198
165,998
144,375
Capital Outlay
30,000
78,768
Debt Service
20,772
20,772
20,772
Interfund Transfers
Contingencies
6,000
60,000
37,050
Special Payments
2,000
1,030,000
Unappropriated Ending Balance and Reserved for Future Expenditure
92,383
105,214
491,074
Total Requirements
517,346
612,186
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
Phil Chick, District Manager
FTE
1
1
Matt Gardner, Plant Operator
FTE
1
1
Total Requirements
Total FTE
2
2
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
Estimated Debt Authorized, But
LONG TERM DEBT
on July 1.
Not Incurred on July 1
General Obligation Bonds
Other Bonds
$384,276
Other Borrowings
Total
$384,276
150-504-064 (Rev. 11-19-21)
10,852,000
26.99
14,498,015
27.2
101 Legal Notices
PROPERTY TAX LEVIES
Rate or Amount Imposed
Permanent Rate Levy
(rate limit .1256 per $1,000)
Local Option Levy
Levy For General Obligation Bonds
2020-2021
.1256
Rate or Amount Imposed
Rate or Amount Approved
This Year 2021-2022
.1256
Next Year 2022-2023
.1256
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
on July 1.
$0
$0
$13,794,157
$13,794,157
LONG TERM DEBT
General Obligation Bonds
Other Bonds
Other Borrowings
Total
101 Legal Notices
101 Legal Notices
2,051,158
AB8744
1
1
2
101 Legal Notices
A public meeting of the Board of Directors will be held on June 15, 2022 at 7:00 pm in the Administration Conference Room and via Zoom. The purpose of
this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the Nehalem Bay Wastewater Agency Budget Committee. A
summary of the budget is presented below. A copy of the budget may be inspected or obtained online at www.nehalembaywastewater.org or by contacting
the office. The Zoom link for the meeting is available upon request. 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. If different, the major changes and their effect on the budget are explained below
Telephone:
503-368-5125
FINANCIAL SUMMARY - RESOURCES
Actual Amount
2020-2021
Beginning Fund Balance/Net Working Capital
$6,138,412
Fees, Licenses, Permits, Fines, Assessments & Other Service Charges
$1,406,601
Federal, State and all Other Grants, Gifts, Allocations and Donations
$0
Revenue from Bonds and Other Debt
$0
Interfund Transfers / Internal Service Reimbursements
$550,253
All Other Resources Except Current Year Property Taxes
$100,848
Current Year Property Taxes Estimated to be Received
$432,486
Total Resources
$8,628,600
TOTAL OF ALL FUNDS
Email:
nbwa2@nehalemtel.net
Adopted Budget
2021-2022
$4,400,000
$1,365,792
$0
$0
$514,800
$93,040
$450,732
$6,824,364
Approved Budget
2022-2023
$4,400,000
$1,387,314
$0
$0
$518,364
$66,000
$455,850
$6,827,528
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
$667,666
$736,862
Materials and Services
$443,864
$1,946,850
Capital Outlay
$418,285
$1,049,600
Debt Service
$0
$0
Interfund Transfers
$550,253
$514,800
Contingencies
$0
$426,420
Special Payments
$115
$3,000
Unappropriated Ending Balance and Reserved for Future Expenditure
$6,548,417
$2,146,832
Total Requirements
$8,628,600
$6,824,364
$884,492
$908,250
$1,545,000
$0
$518,364
$259,592
$3,500
$2,708,330
$6,827,528
Personnel Services
FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE)
Name of Organizational Unit or Program
FTE for that unit or program
Wastewater Collection and Treatment
$8,628,600
$6,824,364
FTE
6
6
Total Requirements
$8,628,600
$6,824,364
Total FTE
6
6
PROPERTY TAX LEVIES
Rate or Amount
Imposed
Permanent Rate Levy
(rate limit 0.4088 per $1,000)
Local Option Levy
Levy For General Obligation Bonds
2020-2021
0.4088
0
0
Rate or Amount
Imposed
6,827,528
7
6,827,528
7
Rate or Amount
Approved
2021-2022
0.4088
0
0
2022-2023
0.4088
0
0
STATEMENT OF INDEBTEDNESS
LONG TERM DEBT
General Obligation Bonds
Other Bonds
Other Borrowings
Total
Estimated Debt Outstanding
Estimated Debt Authorized, But
on July 1.
Not Incurred on July 1
$0
$0
$0
$0
150-504-073-2 (Rev. 11-18)
Published: 13
June 9, 2022.
$0
$0
$0
$0
Estimated Debt Authorized, But
Not Incurred on July 1
$0
$0
$0
$0
Published: June 9, 2022.
AB8707
Contact:
Bruce Halverson, Manager
14,134,432
24.60
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING *
NOTICE OF BUDGET HEARING
FORM LB-1
4,430,691
7.40
2,692,002
4.90
2,491,996
3.50
315,861
3.20
1,330,994
5.60
2,872,888
0.00
The fiscal year 2022-23 budget for the Port of Astoria includes the following significant changes: 1) a reduction in capital outlay and grant resource, mostly as a result of
decreased capital activity at the airport; 2) an increase in debt service as a result of an expired debt deferment agreement with Business Oregon; 3) an increase to Lease
& Rental Income, primarily due to an expired lease payment deferal agreement; 4) increases to estimated fuel sales revenues and estimated fuel costs due to currently
inflated prices.
Published: June 9, 2022.
101 Legal Notices
Approved Budget
2020-2021
1,730,447
136,030
1,179,811
101 Legal Notices
AB8745
FORM OR-LB-1
101 Legal Notices
Published: June 9, 2022.
Weekend Break
Now available in your Saturday edition of
101 Legal Notices