CLASSIFIEDS Friday, May 27, 2016 Employment 335 Employment 335 UTILITY WORKER 1 City of Pendleton, Oregon Applications are being accepted for a Utility Worker 1 position in the City of Pendleton's Public Works Department. Position performs a variety of work for operation and maintenance of public works facilities. Position will assist with implementation and on-going work related to preventative maintenance management software and data collection. Requires: working knowledge of tools, methods and materials used in street, water, and sewer construction and maintenance; ability to skillfully and safely operate equipment such as tractors, loaders, etc.; experience using hand and power tools; and ability to work in all types of weather. Work is physically strenuous and requires walking, bending, stooping, and lifting. Must possess, or have the ability to obtain within 6 months of hire, an Oregon Class A commercial driver's license and be able to pass a criminal background check. Salary range is $2,901-3,905 per month plus excellent benefits. Applications are available at http://pendleton.or.us/employment or at the Human Resources Office at City Hall, 500 SW Dorion Avenue, Pendleton, Oregon, 97801. Completed applications must be returned to the same address no later than 5:00 pm on June 10, 2016. The City of Pendleton is an Equal Opportunity Employer. COMMUNITY ACTION Program of East Central Oregon (CAPECO) a non-profit organization is currently seeking applications for our CEO position located in Pendleton, Oregon. Incumbent will be responsible for overall management of the agency, securing, allocating, implementing, providing oversight, policy guidance, program planning and monitoring operations to bring about execution of contract awards. Provide strategic leadership by working with the Board of Directors, management team, and partners to establish long range goals, strategies, plans and policies. Position requires Bachelorʼs degree with a major in social services, public administration, or business plus seven years of professional managerial experience within a non-profit or related community services organization. Salary range $5765.00 - $7992.00 per month DOE, must pass background, driver and drug testing checks. Position closes on June 15, 2016 at 4:00 pm. Contact CAPECO to request the CEO Packet: 541-276-1926 (Kelly) or kthornburg@capeco-works.org CAPECO is an equal opportunity employer. Auxiliary aids and services are available upon request. Legal Notices Legal Notices EO-8297 NOTICE OF BUDGET COMMITTEE MEETING A public meeting of the Budget Committee of the Lower McKay Creek Water Control District, Umatilla County, State of Oregon, to discuss the budget for the fiscal year July 1, 2016 to June 30, 2017, will be held at 116 SE 2nd Street, Pendleton, Oregon. The meeting will take place on June 6, 2016 at 8:30 am. The purpose of the meeting is to receive the budget message and to receive comment from the public on the budget. This is a public meeting where delliberation of the Budget Committee will take place. Any person may appear at the meeting and discuss the proposed programs with the Budget Committee. A copy of the budget document may be inspected or obtained on or afer June 1, 2016 at 116 SE 2nd Street, Pendleton, Oregon between the hours of 1:00 pm and 5:00pm May 27, 2016 EO-8298 NOTICE OF BUDGET COMMITTEE MEETING A public meeting of the Budget Committee of the Riverside Mission Water Control District, Umatilla County, State of Oregon, to discuss the budget for the fiscal year July 1, 2016 to June 30, 2017, will be held at 116 SE 2nd Street, Pendleton, Oregon. The meeting will take place on June 6, 2016 at 4:00 pm The purpose of the meeting is to receive the budget message 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 proposed programs with the Budget Committee. A copy of the budget document may be inspected or obtained on or after June 1, 2016 at 116 SE 2nd Street, Pendleton, Oregon between the hours of 1:00 pm and 5:00pm May 27, 2016 EO-8299 NOTICE OF BUDGET COMMITTEE MEETING A public meeting of the Budget Committee of the Lower McKay Creek Fire Protection District, Umatilla County, State of Oregon, to discuss the budget for the fiscal year July 1, 2016 to June 30, 2017, will be held at 116 SE 2nd Street, Pendleton, Oregon. The meeting will take place on June 6, 2016 at 9:00 am. The purpose of the meeting is to receive the budget message and to receive comment from the public on the budget. This is a public meeting where delliberation of the Budget Committee will take place. Any person may appear at the meeting and discuss the proposed programs with the Budget Committee. A copy of the budget document may be inspected or obrained on or after June 1, 2016 at 116 SE 2nd Street, Pendleton, Oregon between the hours of 1:00 pm and 5:00pm May 27, 2016 EO-8300 NOTICE OF BUDGET COMMITTEE MEETING A public meeting of the Budget Committee of the Riverside Rural Fire Protection District, Umatilla County, State of Oregon, to discuss the budget for the fiscal year July 1, 2016 to June 30, 2017, will be held at 116 SE 2nd Street, Pendleton, Oregon. The meeting will take place on June 6, 2016 at 5:00 pm The purpose of the meeting is to receive the budget message and to receive comment from the public on the budget. This is a public meeting where delliberation of the Budget Committee will take place. Any person may appear at the meeting and discuss the proposed programs with the Budget Committee. A copy of the budget document may be inspected or obrained on or after June 1, 2016 at 116 SE 2nd Street, Pendleton, Oregon between the hours of 1:00 pm and 5:00pm May 27, 2016 EO-8291 PENDLETON SCHOOL DISTRICT #16R PSD ADMINISTRATIVE OFFICE BUILDING FIRE SPRINKLERS Bid Date: Tuesday, June 7th @ 2:00 PM As a part of this bid, KNCC is requesting proposals for the installation of a fully automatic fire sprinkler system at the Pendleton School District Administration Building. A non-mandatory pre-bid meeting will be held at the project site on Thursday 6/2/2016 at 3:30 PM Bids may be delivered by the following methods: - Hand delivered to KNCC's construction office at 505 SW 16th St., Pendleton, OR 97801 - Faxed to KNCC's construction office at 541-385-5834 - Emailed to jasont@kirbynagelhout.com or dan.harris@kirbynagelhout.com -Uploaded to Procore. 505 SW 16th St., Pendleton, OR 97801. Phone: (541) 389-7119 Fax: (541) 385-5834 jasont@knccbend.com dan.harris@kirbynagelhout.com Bid documents can be viewed at The Hermiston Plan Center, Central Oregon Builders Exchange, Spokane Regional Plan Center, Yakima Plan Center, Tri-City Construction Council, Oregon Contractor Plan Center, DJC Plan Center. KNCC is an equal opportunity employer and encourages all interested firms including tribal, women, disadvantage, minority, disabled veterans, and emerging small business to submit bids. May 25, 2016 East Oregonian Page 5B EO-8284 NOTICE OF BUDGET HEARING A public meeting of the City of Pendleton City Council will be held on June 7, 2016 at 7 pm at City Council Chambers, City Hall, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2016 as approved by the City of Pendleton Budget Committee. A public hearing before the City Council on the proposed uses of State Revenue Sharing funds in relation to the entire budget will be held. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at City Hall, 500 SW Dorion Ave., Pendleton between the hours of 8 a.m. and 5 p.m. or on the City website, www.pendleton.or.us under the Finance Department tab. 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. Contact: Robb Corbett, City Manager Telephone: 541.966.0201 Email: Robb.Corbett@ci.pendleton.or.us FINANCIAL SUMMARY - RESOURCES Total Of All Funds Actual Amount Adopted Budget Approved Budget 2014-15 This Year 2015-16 Next Year 2016-17 Beginning Fund Balance/Net Working Capital 10,581,334 12,356,300 12,163,175 Fees, Licenses Permits, Fines, Assessments & Other Service Charges 15,684,836 15,060,090 16,986,840 Federal, State and All Other Grants, Gifts, Allocations and Donations 3,323,395 5,594,148 5,733,440 Revenue from Bonds and Other Debt 29,629 4,977,500 8,882,805 Interfund Transfers/Internal Service Reimbursements 5,666,820 6,132,323 7,908,693 All Other Resources Except Property Taxes 1,374,976 3,044,317 294,265 Property Taxes Estimated to be Received 5,431,786 6,689,100 6,675,060 Total Resources 42,092,776 53,853,778 58,644,278 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION Personnel Services Materials and Services Capital Outlay Debt Service Interfund Transfers Contingencies Special Payments Unappropriated Ending Balance & Reserve for Future Expenditure Total Requirments 12,565,747 10,896,018 4,163,114 2,652,795 1,624,665 0 187,303 0 32,089,642 13,646,260 12,391,985 10,965,645 5,704,673 1,431,803 3,501,577 240,000 5,971,835 53,853,778 13,862,035 12,593,540 15,155,820 5,233,172 1,944,918 2,965,628 250,000 6,639,165 58,644,278 FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY ORGANIZATIONAL UNIT OR PROGRAM * General Fund-Municipal Court 322,291 363,350 366,050 FTE 2 1/4 2 2 General Fund-Police 3,989,287 4,335,500 4,375,900 FTE 27 1/4 28 1/4 28 1/4 General Fund-Fire 3,854,256 4,098,500 3,954,150 FTE 22 7/10 24 7/10 24 7/10 General Funds-Park 1,064,525 1,078,600 1,092,900 FTE 11 3/4 11 81/89 11 81/89 General Funds-Recreation 493,169 508,400 509,500 FTE 5 1/4 5 29/50 5 29/50 General Fund-Aquatic Center 417,665 540,630 568,000 FTE 8 1/4 7 1/3 7 1/3 General Fund-Cemetery 252,138 273,200 277,900 FTE 2 1/5 2 9/25 2 9/25 General Fund-Planning 240,068 476,950 286,750 FTE 2 13/30 2 13/30 2 7/12 General Fund-Building 319,732 358,450 377,350 FTE 2 5/12 2 16/49 3 5/12 General Fund-Economic Development 35,274 76,000 56,200 FTE 0 0 0 General Fund-Non-Departmental 1,320,614 1,274,875 1,379,815 FTE 0 0 0 General Fund-Contingency 0 2,483,895 2,206,265 FTE 0 0 0 General Fund-Reserve for Debt 0 42,000 349,000 FTE 0 0 0 Street Fund 1,431,097 2,302,400 3,084,850 FTE 5 5 5 Bike Fund 9,500 18,350 18,850 FTE 0 0 0 Library Fund 454,851 699,000 737,330 FTE 8 2/21 7 49/81 7 49/81 Library Special Trust Fund 28,585 115,425 112,800 FTE 0 0 0 City Transportation Fund 366,976 416,900 416,000 FTE 0 0 0 Community Development Block Grant Fund 0 2,600 2,600 FTE 0 0 0 Community Development Fund 320,315 432,500 433,400 FTE 0 0 0 Sidewalk Repair Loan Fund 678 60,300 33,300 FTE 0 0 0 Pendleton Convention Center 668,186 813,850 844,300 FTE 4 9/16 4 47/50 4 5/6 PCC TPAC Fund 831,031 137,400 300,500 FTE 0 0 0 Police Interagency Revolving Fund 142,110 196,000 191,000 FTE 0 0 0 System Development Fees Fund 12,384 911,900 1,014,500 FTE 0 0 0 Parks & Cemetery Capital Equip. Reserve Fund 0 31,350 36,600 FTE 0 0 0 Public Safety Capital Reserve Fund 232,685 247,025 364,100 FTE 0 0 0 Parks Trust Fund 23,910 116,500 120,500 FTE 0 0 0 City/County Public Safety Fund 17,500 149,950 121,500 FTE 0 0 0 Horne Special Trust Cemetery Fund 60 20,275 20,275 FTE 0 0 0 General Obligation Debt Service Fund 232,225 238,625 10,000 FTE 0 0 0 Local Improvement District Construction Fund 224,171 882,550 657,125 FTE 0 0 0 HB 2001 Road Projects Construction Fund 18 875,300 883,550 FTE 0 0 0 Library Permanent Trust Fund 30 6,130 6,120 FTE 0 0 0 Cemetery & Mausoleum Perpertual Care Trust Fund 12,028 797,150 753,000 FTE 0 0 0 Water Fund 3,934,667 6,813,300 7,494,900 FTE 6 1/4 7 2/5 7 1/2 Water Capital Reserve Fund 0 501,000 1,002,000 FTE 0 0 0 Sewer Fund 4,246,027 4,945,700 8,194,100 FTE 8 1/3 8 1/2 8 1/3 Sewer Capital Reserve Fund 0 3,618,600 3,392,600 FTE 0 0 0 Wastewater Treatment Plant Capital Projects Fund 141,419 0 0 FTE 0 0 0 Wastewater Treatment Plant Debt Service Fund 744,573 744,698 743,923 FTE 0 0 0 Wastwater Treatment Plant Bond Reserve Fund 0 744,700 744,700 FTE 0 0 0 Wastwater Treatment Plant Rate Stablization Fund 0 450,000 450,000 FTE 0 0 0 Airport Fund 1,028,684 5,293,400 5,132,250 FTE 3 1/2 3 1/2 3 17/18 PW Administration & Fleet Fund 1,477,876 1,649,900 1,871,375 FTE 12 3/4 12 3/4 14 Central Service-City Manager 394,845 405,450 433,350 FTE 3 2/5 3 2/5 3 8/9 Central Service-City Council 44,209 52,950 53,000 Not reresented as FTEʼs 9 9 9 Central Service-PDC Administration 17,459 35,000 35,000 FTE 1/2 1/2 1/2 Central Service-Insurance 375,909 379,500 381,500 FTE 0 0 0 Central Service-Legal 301,986 293,600 313,700 FTE 2 2 2 Central Service-Finance 674,755 851,250 750,650 FTE 6 1/5 6 1/4 6 2/3 Central Service-Engineering 427,258 468,310 445,625 FTE 4 1/4 4 1/4 3 3/4 Central Service-Facilities 537,766 565,700 604,000 FTE 6 1/10 6 1/10 6 2/3 Central Service-Information Technology 171,287 194,500 200,500 FTE 0 0 0 Central Service Contingency 0 151,690 127,405 FTE 0 0 0 Central Service-Interfund Transfers 66,260 72,700 61,720 FTE 0 0 0 Pendleton Foundation Trust 187,303 240,000 250,000 FTE 0 0 0 Total Requirements 32,089,642 58,853,778 58,644,278 Total FTE 155 15/34 159 5/59 162 9/11 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING* The proposed fiscal year 2016-2017 budget attempts to maintain our current level of services while we continue to discuss ways to address our long and short term capital needs.While we might expect increases in revenues associated with new construction and legislation, we cannot be entirely sure of our future given increases in future personnel cost. Our ability to maintain existing services was bolstered last year with the addition of fire department staff. Newly hired single role paramedics are proposed to be promoted to firefighter/paramedics positions. The police department will create a new lieutenant position within the current workforce. Parks and recreation continue to work to find ways to do more with less. They have relied upon technology to increase efficiencies and focus on increasing revenues at the pool while reducing costs. Community Development has generated increased revenues associated with increased construction activity. The facilities department has reassessed their work demands which resulted in changes to the central service fees across the City. Finance is still in the middle of a major software upgrade and this budget maintains adequate resources for this project. Public works is entering into a season of construction as new revenues are allowing long overdue work to be done on our infrastructure. Every effort will be put into completeing the 2 year road projects and implementing the water and sewer master plans. Airport grant funds continue to come in to support the UAS test range and Congress has just approved legislation extending the monopoly. While results on the ground have been slow, the City continues to see high profile opportunities that whet the appetite for things to come. The Convention Center has reversed itʼs financial position and the library has obtained technology grants. PROPERTY TAX LEVIES Rate or Amount Imposed Rate or Amount Imposed Rate of Amount Approved Permanent Rate Levy (rate limit 6.5771 per $1000) 6.5771 6.5771 6.5771 Levy for General Obligation Bonds 227,340 238,625 0 LONG TERM DEBT on July 1, 2016 Other Bonds Other Borrowings Total May 27, 2016 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding Estimated Debt Authorized, But Not incurred on July 1, 2016 Not incurred on July 1, 2016 $12,775,000 $0 $11,312,788 $625,000 $24,087,788 $625,000