East Oregonian : E.O. (Pendleton, OR) 1888-current, May 30, 2019, Page B6, Image 14

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    B6
East Oregonian
651 Help Wanted
Vadata, Inc. – Umatilla, OR.
Technical Operations Engineer
II. Design,dev, and deploy
Mech eng solutions to facilitate
the successful op of Amazon
data facilities. Domestic travel
required up to 50% including
travel within Oregon. Multiple
job openings. Send resume, ref-
erencing AMZ2652 to: Amazon.
com, P.O. Box 81226, Seattle,
WA 98108. EOE.
Morrow County Health De-
partment has an opening for
a part time (Spanish/English)
Interpreter.
Please see full job descrip-
tion on the Morrow County
website
at www.co.morrow.or.us or
contact Human Resources at
541-676-5620.
CALL 1-800-962-2819
to advertise here
Thursday, May 30, 2019
101 Legal Notices
1-800-962-2819
classifieds@eastoregonian.com
We can highlight your ad
with color!
828 Misc for Sale
101 Legal Notices
Notices under this classifi-
cation are required by law to
run in a newspaper of general
circulation. A notarized proof
of publication will be provided
for all notices. Some notices
may require pre-payment.
Deadline for submission is
2:30PM, three (3) working
days prior to required publi-
cation date. The East Orego-
nian will accept responsibility
for printing errors on the first
publication only.
Submit to:
Legals
211 SE Byers Ave.
Pendleton, OR 97801
legals@eastoregonian.com
EO-10212
NOTICE OF SPECIAL
MEETING
OF BOARD OF DIRECTORS
OF EAST IMPROVEMENT
DISTRICT
Notice is hereby given that
East Improvement District
(“EID”) will hold a special
meeting of the Board of Direc-
tors on Tuesday, June 4, 2019,
at 8:00 a.m. at the offices of
IRZ Engineering Consultants
located at 500 N. 1st, Hermis-
ton, Oregon.
Agenda items of the special
meeting include agreements
with UEC, easements and
rights-of-way, and financing.
Published May 30th of 2019.
EO-10214
NOTICE OF SPECIAL
MEETING
OF BOARD OF DIRECTORS
OF COLUMBIA
IMPROVEMENT DISTRICT
Notice is hereby given that
Robert G. Mueller, President
of Columbia Improvement
District (“CID”) calls a special
meeting of the Board of Direc-
tors to be held on Friday, May
31, 2019, at 10:00 a.m. at the
law offices of Corey, Byler &
Rew, LLP, located at 222 SE
Dorion Ave., Pendleton, Ore-
gon.
Agenda items of the special
meeting include easements
and route of pipeline.
Published May 30th of 2019.
EO-10090
Notice of Budget Hearing
A public hearing on a pro-
posed budget for Helix Ceme-
tery District IV, Umatilla Coun-
ty, State of Oregon, for the
fiscal year July 1, 2019 to June
30, 2020, will be held at the M.
Wood residence. The hearing
will take place on Thursday,
June 67th, 2019 at 7:00 PM.
The purpose of the hearing
is to discuss the budget with
interested persons. The first
Notice of Budget Hearing and
Financial Summary were pub-
lished in the East Oregonian
on April 23th and May 3rd,
2019. A copy of the budget
document may be inspected
at the Wood residence, 46269
Hudemann Rd, Adams, OR
97810 between the hours of
5:00 PM and 8:00 PM.
Published May 30th, 2019
101 Legal Notices
View all statewide legal notic-
es online at:
www.publicnoticeads.com
EO-10213
City of Pendleton
Invitation to Bid
City of Pendleton Public Works
Department is requesting bids
for a used ½ ton 4 x 4 extend-
ed cab or crew cab truck. Bid
documents may be obtained
by contacting the Public
Works Director’s office at 541
966-0202 or online at www.
pendleton.or.us under “Invi-
tations to Bid”. Bids can be
submitted by mail to the City
of Pendleton, c/o Jeff Brown,
Public Works Superintendent,
1501 SE Byers Avenue, Pend-
leton, OR 97801 or by email
to
jeff.brown@ci.pendleton.
or.us no later than 2:00 p.m.
local time, Thursday, June 20,
2019, clearly marked “PWD
Truck”. For more information,
contact Jeff Brown at 541 276-
3078 or jeff.brown@ci.pendle-
ton.or.us.
Publish EO: May 30, 2019
661 Childcare/Adult
Contact Rowan or Chloe
today to place your
classified ad!
101 Legal Notices
EO-10192
Pendleton Planning
Commission
Public Hearing Notice
City Hall Council Chambers
500 SW Dorion Avenue, 2nd
Floor
June 13, 2019
7:00 pm
The Planning Commission will
conduct the following hearing:
a. VAC18-01(Marshall): Re-
quest to vacate a portion of
the public right-of-way along
NW Furnish Avenue and NW
23rd Street. This petition to
vacate was received June 4,
2018, by Gale Marshall. The
portion of right-of-way to be
vacated is the irregular piece
of ground outside of the paved
area of NW Furnish and 23rd.
The request affects Tax Lot(s)
06200, Assessor map 2N-32-
04DD, Umatilla County, locat-
ed at 2286 NW Horn Place.
All objections and remon-
strances received in writing
will be heard at the June 13th
hearing.
For additional information or
questions, contact the City
Planning Department, 500
SW Dorion Avenue, Pendle-
ton, Oregon 97801, 541 966-
0204, TDD 541 966-0230,
fax 541 966-0251 or at www.
pendleton.or.us. For accom-
modations for hearing, visual
or manual impairment or an
interpreter, contact the City
Planning Department by the
Monday before the meeting.
Tim Simons, Director
Community
Development
Dept.
Publish: May 30 and June 6,
2019
GARAGE SALES are a big
success when advertised in
the classified ads!
A public meeting of the Boardman City Council will be held on June 4, 2019 at 7:15 pm at the Boardman City Hall Council Chambers,
Boardman, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2019 as approved by the City
of Boardman Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at the
Boardman City Hall, located at 200 City Center Circle, Boardman, Oregon, between the hours of 9:00 am and 4:00 pm. 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. If different, the
major changes and their effect on the budget are explained below.
Contact: T. Kligel or M. Barajas
Telephone: 541-481-9252
Insights of the Mercury/Jupiter conjunc-
tion: A personal history can be a point of
pride, part of your brand, a way of under-
standing yourself and the reason others
trust and are loyal to you. A personal his-
tory can also be an anchor, a burden and
a construct that must be shed to make
transformation and freedom a possibility.
Tweak accordingly.
ARIES (March 21-April 19). Whether the
deal is better for you or the other person
is beside the point. You seek to create
interactions that increase the quality of
your bonds. This principle will carry you
through many beneficial exchanges.
TAURUS (April 20-May 20). Real gifts
don’t demand direct reciprocation. The
best gifts are gifts that can’t possibly be
reciprocated because they are one of a
kind and could have only been created
by the giver.
GEMINI (May 21-June 21). Disagree-
ment causes stress. One of the most
common things people disagree about
is money. Whatever you can do to take
money completely out of the equation
will also take the stress out.
CANCER (June 22-July 22). To know a
person is to accurately predict what’s go-
ing to set them off, please them or bond
them to you. If you get this wrong, don’t
worry. The reckoning will be a shortcut to
becoming intimately acquainted.
LEO (July 23-Aug. 22). The way it goes
with teaching and influencing is that not
every exercise is going to be memorable.
Progress is often imperceptible. Trust
that development will happen in incre-
ments, each moment building on the last.
VIRGO (Aug. 23-Sept. 22). A sponta-
neous and uncharacteristic action will
set off a chain of events. It’s as though
some mysterious part of you springs
from the depths to optimize the situation.
LIBRA (Sept. 23-Oct. 23). Make room
for new people and contributions from
unexpected sources. Relatedly, those
who normally avoid the spotlight will step
forth with something relevant to add to
the show.
SCORPIO (Oct. 24-Nov. 21). While want-
ing approval is natural, wanting it too
much is dangerous. Such a craving can
easily be manipulated. If you find your-
self seeking validation, pull back and
question your own motives.
SAGITTARIUS (Nov. 22-Dec. 21). What
separates truly smart people from those
who merely think of themselves as or
aspire to be smart is that the truly smart
accept that there is much they don’t and
may never know.
CAPRICORN (Dec. 22-Jan. 19). Before
you get too busy, distracted and wrapped
up in today’s inevitable drama, take a
break and visit yourself. You’re excellent
company! And you have much to share
with yourself during this check-in.
AQUARIUS (Jan. 20-Feb. 18). You don’t
need an instrument to play music. Like
the singing bird or the howling wolf, you
are the instrument. Use this metaphor
as a guiding principle. In all ways, travel
light.
PISCES (Feb. 19-March 20). The ques-
tion of who deserves what is very tricky
and ego-bound. Many who think they
should get more actually have less of
a claim to it than the hard workers with
lower self-esteem who actually do the
required labor.
TODAY’S BIRTHDAY (May 30). Relation-
ships will be easy and smooth, having
something to do with the way you give
and command respect, and seek those
who reflect your values. You’ve a specific
intention for your own development. In-
stead of waiting for life to challenge you,
you’ll challenge yourself. As such, you’ll
grow in your preferred direction. Scorpio
and Aries adore you. Your lucky numbers
are: 6, 40, 33, 50 and 7.
Email: finance@cityofboardman.com
FINANCIAL SUMMARY - RESOURCES
TOTAL OF ALL FUNDS
- 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 Property Taxes
- Property Taxes Estimated to be Received
Total Resources
Actual Amount
2017-18
9,917,173
3,385,903
Adopted Budget
This Year 2018-19
7,782,700
4,068,072
Approved Budget
Next Year 2019-20
9,522,000
5,505,087
743,654
2,464,010
2,773,200
422,163
996,512
419,300
1,664,000
410,900
780,000
328,394
1,833,066
17,626,864
168,750
1,837,000
18,403,832
222,100
2,005,000
21,218,287
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
- Personnel Services
- Materials and Services
- Capital Outlay
- Debt Service
- Interfund Transfers
- Contingencies
- Special Payments
- Unappropriated Ending Balance and
Reserved for Future Expenditure
Total Requirements
2,587,490
2,077,412
2,381,530
541,592
730,000
0
0
0
3,069,782
3,240,237
4,806,413
605,500
1,050,000
1,453,900
500,000
3,678,000
3,435,567
3,500,828
5,174,492
553,400
650,000
2,259,500
0
5,645,000
8,318,023
18,403,832
21,218,787
FINANCIAL SUMMARY - REQUIREMENTS BY ORGANIZATIONAL UNIT OR PROGRAM *
Name of Organizational Unit or Program
FTE for that unit or program
General Government (General Fund)
200,032
308,582
292,287
FTE
1.65
1.95
1.95
Public Safety - Police
1,625,504
1,891,915
2,027,123
FTE
11.00
11.00
12.00
Facilities & Non-Departmental (General Fund) 640,031
1,836,203
2,145,840
FTE
0
0
0
Public Works
2,046,724
3,167,850
3,069,350
FTE
9.35
9.20
9.60
Building Department
984,125
5,344,872
7,204,787
FTE
2.00
3.35
4.45
Reserves & Capital Projects
2,280,017
5,300,910
5,926,000
FTE
0
0
0
Debt Service
541,592
553,500
553,400
FTE
0
0
0
Total Requirements
8,318,023
18,403,832
21,218,787
Total FTE
24.00
25.50
28.00
- Permanent Rate Levy
(rate limit 4.2114 per $1,000)
- Local Option Levy
- Levy For General Obligation Bonds
PROPERTY TAX LEVIES
Rate or Amount Imposed Rate or Amount Imposed
4.2114
4.2114
-0-
451,000
Rate or Amount Approved
4.2114
-0-
441,000
-0-
439,000
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
Estimated Debt Authorized, But
on July 1.
Not Incurred on July 1.
General Obligation Bonds
$4,095,000
$0
Other Borrowings
$667,200
$0
Total
$4,762,200
$0
* If more space is needed to complete any section of this form, insert lines (rows) on this sheet or add sheets. You may delete unused lines.
LONG TERM DEBT
Published May 30th of 2019.
101 Legal Notices
101 Legal Notices
101 Legal Notices
101 Legal Notices
EO-10205
FORM CC-1 NOTICE OF BUDGET HEARING
A public meeting of the Blue Mountain Community College Board of Education will be held on June 5, 2019 at 6:00 p.m. at the BMCC
Boardroom / Pioneer Hall, Room #101, 2411 NW Carden Ave, Pendleton, Oregon. The purpose of this meeting is to discuss the budget for
the fiscal year beginning July 1, 2019 as approved by the Blue Mountain Community College Budget Committee. A summary of the budget
is presented below. A copy of the budget may be inspected or obtained at the Office of the President or the BMCC Library, BMCC, 2411
NW Carden Ave, Pendleton, Oregon between the hours of 9:00 a.m. and 4:00 p.m. or by appointment, or may be viewed online at www.
bluecc.edu. This budget is for an annual budget period. This budget was prepared on a basis of accounting that is the same as the basis
of accounting used during the preceding year. If different, the major changes and their effect on the budget are:
TOTAL OF ALL FUNDS
In Light of the Mercury/Jupiter Conjunc-
tion
101 Legal Notices
EO-10195
FORM LB-1 NOTICE OF BUDGET HEARING
Contact: Tod R Case
THURSDAY, MAY 30, 2019
101 Legal Notices
- Beginning Fund Balance
- Current Year Property Taxes, other than
Local Option Taxes
- Current Year Local Option Property Taxes
- Tuition and Fees
- Other Revenue from Local Sources
- Revenue from State Sources
- Revenue from Federal Sources
- Interfund Transfers
- All Other Budget Resources
Total Resources
Telephone: 541-278-5785
Email: tod.case@bluecc.edu
FINANCIAL SUMMARY - RESOURCES
Actual Amount
Adopted Budget
Last Year 2017-18
This Year 2018-19
$13,592,379
$9,483,952
6,882,341
7,273,060
0
5,684,969
2,556,367
13,153,007
4,913,188
413,758
3,019,304
$50,215,313
0
6,172,440
2,785,561
10,689,016
7,712,089
1,298,175
3,012,327
$48,426,620
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
- Personnel Services
$18,177,863
$20,015,722
- Materials & Services
12,105,575
16,269,966
- Financial Aid
0
0
- Capital Outlay
5,868,335
1,054,723
- Debt Service
2,635,595
2,735,315
- Interfund Transfers
413,758
1,298,175
- Operating Contingency
0
376,856
- All Other Expenditures
0
0
- Unappropriated Ending Fund Balance &
Reserves
11,014,187
6,675,863
Total Requirements
$50,215,313
$48,426,620
Approved Budget
Next Year 2019-20
$10,361,931
7,676,730
0
5,993,030
2,852,960
11,612,142
7,726,613
3,311,975
2,664,577
$52,199,958
$21,273,401
18,720,931
0
930,723
2,813,115
3,311,975
395,418
0
4,754,395
$52,199,958
FINANCIAL SUMMARY—REQUIREMENTS AND FULL TIME EQUIVALENT EMPLOYEES (FTE) BY FUNCTION
Instruction
FTE
Instructional Support
FTE
Student Services other than Student
Loans and Financial Aid
FTE
Student Loans and Financial Aid
FTE
Community Services
FTE
College Support Services other than
Facilities, Acquisition & Construction
FTE
Facility Acquisition & Construction
FTE
Interfund Transfers
Debt Service
Operating Contingency
Unappropriated Ending Fund Balance and
Reserves
Total Requirements
Total FTE
$8,933,130
100.160
$4,440,946
46.052
$3,975,963
$9,834,471
114.237
$7,198,546
48.116
$4,408,584
$10,344,987
114.257
$8,362,257
48.116
$4,405,931
43.065
$5,953,052
3.000
$104,327
0.590
$5,958,430
48.490
$6,876,308
3.880
$151,212
0.710
$7,758,455
48.440
$6,859,426
2.850
$153,720
0.760
$8,943,734
38.292
$6,785,925
0.390
$413,758
$2,635,595
$0
$11,014,187
49.484
$1,112,835
0.000
$1,298,175
$2,735,315
$376,856
$6,675,863
52.304
$1,855,000
0.000
$3,311,975
$2,813,115
$395,418
$4,754,395
$50,215,313
231.549
$48,426,620
264.917
$52,199,958
266.727
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING FROM LAST YEAR *
The College’s 2019-20 Budget includes a few changes from the current year budget. It is anticipated that the College will have cost sav-
ings during the current fiscal year that will result in an increased Beginning Fund Balance. Revenue from State Sources has increased
due to planned increases in State Grant funding. This increased grant funding will impact Materials & Services Expenditures in the In-
structional Support functional category. The College has budgeted for increased Personnel Services due to contracted pay increases for
employees and increases in the Public Employee Retirement System (PERS) rates. These increases are reflected in the Instruction and
College Support Services functional categories. Materials & Services also reflects an increase for the new Enterprise Resource Planning
(ERP) software system the College is implementing. This also impacts the College Support Services functional area. The final significant
change is an increase in Interfund Transfers. This reflects a transfer from the College Reserves to the General Fund due to General
Fund Requirements exceeding Resources. This also has an impact on the Unappropriated Ending Fund Balance.
PROPERTY TAX LEVIES
Rate or Amount Imposed
Rate or Amount Imposed
Permanent Rate Levy
(Rate Limit 0.6611 per $1,000)
Local Option Levy
Levy For General Obligation Bonds
STATEMENT OF INDEBTEDNESS
LONG TERM DEBT
General Obligation Bonds
Other Bonds
Other Borrowings
Total
Published May 30th of 2019.
0.6611
$0
$1,657,504
Estimated Debt Outstanding
July 1
$19,240,000
$7,580,000
$0
$26,820,000
0.6611
$0
$1,749,658
Rate or Amount Approved
0.6611
$0
$1,947,713
Estimated Debt Authorized, But Not Incurred
July 1
$0
$0
$0
$0