East Oregonian : E.O. (Pendleton, OR) 1888-current, May 27, 2021, Page 12, Image 12

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    CLASSIFIEDS
East Oregonian
A12
101 Legal Notices
101 Legal Notices
EO-11386
ADVERTISEMENT FOR BIDS
CITY OF WESTON, OREGON
ALLEY SEWER REPLACEMENT - COLLEGE STREET TO
BRUCE STREET - 2021
City of Weston, Oregon
114 E. Main Street / P.O. Box 579
Weston, Oregon 97886
The City of Weston, Oregon, invites Bids for the construction
of Alley Sewer Replacement - College Street to Bruce Street
- 2021. The Work for this Project consists of replacement of ap-
proximately 850 linear feet of 8-inch sanitary sewer, sewer ser-
vices and manholes, associated restoration work in the alley east
of Water Street between College Street and Bruce Street, and
other Work as specified and/or shown on the Drawings.
Sealed Bids for the described Project will be received by the City
of Weston at City Hall, located
at 114 E. Main Street,
Weston, Oregon 97886, until 2:00 p.m., local time, June 10, 2021,
at which time the Bids received will be publicly opened and read.
The Contract is subject to the applicable provisions of ORS
279C.800 through ORS 279C.870, the Oregon Prevailing Wage
Law.
This Project is being funded with state funds by the Federal Emer-
gency Management Agency and the Oregon Military Department.
Bid security shall be furnished in accordance with the Instructions
to Bidders.
The Issuing Office for the Bidding Documents is: Anderson Perry
& Associates, Inc., 214 East Birch Street, Walla Walla, Washing-
ton 99362, (509) 529-9260, Adam Schmidtgall, P.E., aschmidt-
gall@andersonperry.com. Prospective Bidders may examine the
Bidding Documents at the Issuing Office on Mondays through Fri-
days between the hours of 8:00 a.m. and 5:00 p.m., or at the other
locations listed below.
City of Weston, 114 E. Main Street, Weston, Oregon
Anderson Perry & Associates, Inc., 1901 N. Fir Street, La Grande,
Oregon
Bidding Documents are available at http://www.andersonperry.
com under the Bid Docs link. The digital Bidding Documents
may be downloaded for a non-refundable payment of $25.00 by
inputting QuestCDN eBidDoc Number 7843981 on the website.
Assistance with free QuestCDN membership registration, docu-
ment downloading, and working with the digital Project informa-
tion may be obtained at QuestCDN.com, at 952-233-1632, or via
email at info@questcdn.com. No paper sets will be provided for
bidding purposes.
The Owner is an equal opportunity employer. Minority and wom-
en-owned businesses are encouraged to bid. Minority and wom-
en-owned businesses should indicate they are a minority on the
Planholders List.
Owner:
By:
Title:
City of Weston, Oregon
Duane Thul
Mayor
Published East Oregonian, Thursdays, May 20, 2021 and May
27, 2021
Your Dream Home
101 Legal Notices
Thursday, May 27, 2021
101 Legal Notices
A public meeting of the Umatilla City Council will be held on June 1, 2021 at 7:00 p.m. at 700 6th Street, Umatilla, Oregon. The
purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2021 as approved by the Budget Committee.
A summary of the budget is presented below. A copy of the budget may be inspected or obtained at Umatilla City Hall 700 6th
Street, Umatilla, Oregon between the hours of 8:00 a.m. and 5:00 p.m. 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. Major changes, if any, and their effect on the bud-
get, are explained below.
Contact: M. Ince Telephone Number: 541-922-3226 E-mail melissa@umatilla-city.org
FINANCIAL SUMMARY--RESOURCES
Actual Amounts
Adopted Budget
Approved Budget
2019-2020 This Year 2020-2021 Next Year 2021-2022
TOTAL OF ALL FUNDS
1.
2.
3.
4.
5.
6.
7.
Beginning Fund Balance/Net Working Capital
Fees, Licenses, Permits, Fines, Assmts & Other Svs charges
F ederal, State & all Other Grants, Gifts, Allocations & Donations
Revenue from Bonds & Other Debt
Interfund Transfers/Internal Service Requirements
All Other Resources Except Property Taxes
Property Taxes Estimated to be Received
12,059,478
13,915,971
2,313,335
3,184,300
5,038,150
218,250
2,308,900
17,262,227
14,926,445
10,564,253
4,621,855
5,274,905
108,125
2,786,300
8. Total Resources (add lines 1 thru 7)
26,378,884
39,038,384
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
55,544,110
9.
10.
11.
12.
13.
14.
15.
16.
Personnel Services
Materials and Services
Capital Outlay
Debt Service
Interfund Transfers
Contingencies
Special Payments
Name of Organizational Unit or Program
FTE for Unit Or Program
Name: Administration
FTE
Name: Planning/Community Development
FTE
Name: Court
FTE
Name: Parks
FTE
Name: Code Enforcement
FTE
Name: Marina and RV Park
FTE
Name: Police
FTE
Name: Golf Corse
FTE
Name: Water
FTE
Name: Sewer
FTE
Name: Streets
FTE
Name: Library
FTE
Name: Building
FTE
Non-Departmenal/Non-Program
FTE
Total Requirements
Total FTE
526,592
1.83
353,902
1.45
455,833
1.35
419,571
3.40
109,927
1.00
292,289
0
1,694,574
14.50
0
0
1,444,565
4.76
2,143,010
5.48
1,261,363
2.40
379,604
3.10
3,010,652
2.13
14,287,002
0.10
26,378,884
39,038,384
41.50
43.75
STATEMENT OF CHANGES IN ACTIVITIES AND SOURCES OF FINANCING
55,544,410
55.20
No notable reduction or changes in services for the upcoming year. The City does have one pending loan in underwriting for a
Hydraulic Well Connectivity Study through Business Oregon’s Infrastructure Finance Authority in the amount of $372,800. The
remainder of the project will be funded through a feasibility study grant from Oregon Water Resources Department.
PROPERTY TAX LEVIES
Rate or Amount Imposed
Rate or Amount Imposed
Rate or Amount Approved
2.9191
2.9191
2.9191
STATEMENT OF INDEBTEDNESS
101 Legal Notices
Call 800-781-3214
EastOregonian.com/newsletters
55,544,410
2,405,897
3.20
1,085,411
1.55
532,897
1.10
785,617
4.69
217,776
1.00
761,572
3.08
2,598,015
15.50
769,960
5.83
1,966,980
3.10
3,044,054
5.40
9,294,563
3.60
423,306
3.60
3,583,028
3.50
28,845,294
0.05
Estimated Debt
Oustanding on July 1
$510,000
$0
$5,842,805
$6,352,805
General Obligation Bonds
Other Bonds
Other Borrowings
TOTAL
May 27, 2021
East Oregonian subscribers can
receive daily email updates and
uninterrupted digital delivery on a
computer, tablet and smartphone
6,155,851
9,489,175
22,383,965
771,676
5,121,205
2,790,000
0
8,832,538
988,935
2.45
600,357
1.35
539,064
1.10
667,911
3.55
150,066
1.00
380,545
0
2,085,027
15.50
260,960
0
1,991,889
4.50
2,853,334
5.20
2,998,419
2.90
411,617
3.10
2,622,540
3.00
22,748,680
0.10
Long Term Debt
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digital access
4,989,609
6,457,385
9,426,478
787,348
5,013,150
2,045,402
0
10,319,012
Unappropriated Ending Balance & Reserved for Future Expense
12,608,213
17. Total Requirements - add lines 9-16
26,378,884
39,038,384
FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE)
BY ORGANIZATIONAL UNIT OR PROGRAM
MOMENT!
before your
mailbox
8,897,614
10,226,900
1,035,136
2,684,749
1,551,150
201,705
1,781,630
4,083,599
4,039,266
3,639,840
457,416
1,550,550
Permanent Rate Levy (Rate Limit 2.9191 Per $1000)
IT’S IN
YOUR
INBOX
101 Legal Notices
EO-11410
NOTICE OF BUDGET HEARING
Could Appear at any
DONT LET THAT MOMENT SLIP AWAY!
CHECK CLASSIFIEDS FOR LOCAL PROPERTY LISTINGS!
101 Legal Notices
101 Legal Notices
Estimated Debt Authorized
but not Incurred on July 1
$0
$0
$606,800
$606,800
101 Legal Notices
101 Legal Notices
EO-11413
NOTICE OF BUDGET HEARING
A public meeting of the Umatilla Rural Fire Protection District #7-405 will be held on June 2, 2021 at 7 pm at 305 Willamette Ave,
Umatilla, Oregon 97882. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2021 as ap-
proved by the Umatilla Rural Fire Protection District #7-405 Budget Committee. A summary of the budget is presented below. A
copy of the budget may be inspected or obtained at 305 Willamette Ave. Umatilla, Or. 97882, between the hours of 9 a.m. and
4 p.m. 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: Jeannie Bowman Telephone:541-922-3718 Email:jeannie.bowman@umatillafire.org
FINANCIAL SUMMARY - RESOURCES
Actual Amount
2019-2020
Beginning Fund Balance/Net Working Capital
442,728
Fees, Licenses, Permits, Fines, Assessments & Other Service Charges
26,247
Federal, State and all Other Grants, Gifts, Allocations and Donations
0
Revenue from Bonds and Other Debt
0
Interfund Transfers / Internal Service Reimbursements
145,000
All Other Resources Except Current Year Property Taxes
142,650
Current Year Property Taxes Estimated to be Received
635,712
TOTAL OF ALL FUNDS
Total Resources
Adopted Budget
This Year 2020-2021
529,100
Approved Budget
2021-2022
896,195
0
153,282
100,000
133,681
630,238
187334
0
153,681
755,057
1,392,337
1,546,301
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Personnel Services
Materials and Services
Capital Outlay
Debt Service
Interfund Transfers
Contingencies
Special Payments
371,519
412,100
158,375
279,096
145,000
20,000
0
6,247
821,773
424,100
6,000
173,282
100,000
20,000
0
1,146
Unappropriated Ending Balance and Reserved for Future Expenditure
Total Requirements
1,392,337
1,546,301
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 GENERAL FUND
FTE
AMBULANCE/FIRST RESPONDER GENERAL FUND
FTE
FIRE FIGHTING GENERAL FUND
FTE
EQUIPMENT RESERVE
FTE
SITE AND STATION
FTE
CAPITOL OUTLAY GENERAL FUND
FTE
DEBT SERVICE GENERAL FUND
FTE
DEBT SERVICE
FTE
OPERATING CONTINGENCY
FTE
TRANSFERS
FTE
UNAPPROPRIATED ENDING BALANCE
FTE
Not Allocated to Organizational Unit or Program
FTE
547,619
3
1,000
3
186,000
3
79,600
3
72,775
3
6,000
3
0
3
279,096
5
20,000
5
145,000
5
55,247
5
Total Requirements
Total FTE
821,773
5
2,000
5
179,000
5
60,195
5
157,775
5
6,000
5
0
5
173,282
5
20,000
5
100,000
5
26,276
5
1,992,267
858,354
384,384
6,000
160,334
125,000
27,000
0
431,195
1,992,267
1,043,238
7
3,500
7
196,000
7
155,195
7
276,000
7
6000
0
7
160,334
7
0
7
125,000
7
27,000
7
3
5
7
1,392,337
1,546,301
1,992,267
7
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING
None
PROPERTY TAX LEVIES
None
STATEMENT OF INDEBTEDNESS
LONG TERM DEBT
General Obligation Bonds
Other Bonds
Other Borrowings
Total
May 27, 2021
Estimated Debt Outstanding
on July 1.
$153,282
$0
$0
$153,282
Estimated Debt Authorized, But
Not Incurred on July 1
$160,334
$0
$0
$160,334