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 Sign up for free 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