East Oregonian : E.O. (Pendleton, OR) 1888-current, May 19, 2022, Page 11, Image 11

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    CLASSIFIEDS
Thursday, May 19, 2022
101 Legal Notices
101 Legal Notices
101 Legal Notices
EO-11938
TRUSTEE’S NOTICE OF SALE
T.S. No.: OR-21-893177-RM Reference is made to that certain deed made by, HOWARD MURPHY,
WANDA R MURPHY, HUSBAND AND WIFE AS TENANTS BY THE ENTIRETY, AS TO A FEE SIMPLE
INTEREST as Grantor to GLENN H. PROHASKA, ATTORNEY, as trustee, in favor of CONSECO BANK,
INC., as Beneficiary, dated 11/29/2000, recorded 11/29/2000, in official records of UMATILLA County, Ore-
gon in book/reel/volume No. and/or as fee/file/instrument/microfilm/reception number 2000-3790290 and
subsequently assigned or transferred by operation of law to Wells Fargo Bank N.A., not in its individual or
banking capacity, but solely as trustee for Green Tree 2008-MH1 covering the following described real
property situated in said County, and State. APN: 4N2801A006600 Lot 1, Block 1, ROFF SUBDIVISION,
located in the Northeast Quarter of Section 1, Township 4 North, Range 28, East of the Willamette Merid-
ian, Umatilla County, Oregon Commonly known as: 2171 NE CHART STREET, HERMISTON, OR 97838
The undersigned hereby certifies that based upon business records there are no known written assign-
ments of the trust deed by the trustee or by the beneficiary and no appointments of a successor trustee
have been made, except as recorded in the records of the county or counties in which the above described
real property is situated. Further, no action has been instituted to recover the debt, or any part thereof,
now remaining secured by the trust deed, or, if such action has been instituted, such action has been dis-
missed except as permitted by ORS 86.752(7). Both the beneficiary and the trustee have elected to sell
the said real property to satisfy the obligations secured by said trust deed and notice has been recorded
pursuant to Section 86.752(3) of Oregon Revised Statutes. There is a default by grantor or other person
owing an obligation, performance of which is secured by the trust deed, or by the successor in interest,
with respect to provisions therein which authorize sale in the event of such provision. The default for which
foreclosure is made is grantor’s failure to pay when due the following sum: TOTAL REQUIRED TO REIN-
STATE: Not applicable due to loan maturity TOTAL REQUIRED TO PAYOFF: $118,408.55 PLEASE BE
ADVISED THAT REINSTATEMENT WILL NOT BE AN OPTION AT THIS TIME, AS THE ENTIRE BAL-
ANCE OF THE DEBT IS OWED AND DUE. Because of interest, late charges, and other charges that may
vary from day-to-day, the amount due on the day you pay may be greater. It will be necessary for you to
contact the Trustee before the time you tender reinstatement or the payoff amount so that you may be ad-
vised of the exact amount you will be required to pay. By reason of the default, the beneficiary has declared
all sums owing on the obligation secured by the trust deed immediately due and payable, those sums
being the following, to- wit: The loan has matured and all balances due under the terms of the promissory
note dated 11/22/2000 have not been paid, including the balance of principal and interest, along with late
charges, foreclosure fees and costs, any legal fees, and/or advances that have become due. Nothing in
this notice shall be construed as a waiver of any fees owing to the Beneficiary under the Deed of Trust
pursuant to the terms of the loan documents. Whereof, notice hereby is given that QUALITY LOAN SERV-
ICE CORPORATION OF WASHINGTON, the undersigned trustee will on 7/11/2022 at the hour of 1:00PM,
Standard of Time, as established by section 187.110, Oregon Revised Statues, Inside the lobby at the
main entrance to the Umatilla County Courthouse, located at 216 SE 4th Street, Pendleton, OR 97801
County of UMATILLA, State of Oregon, sell at public auction to the highest bidder for cash the interest in
the said described real property which the grantor had or had power to convey at the time of the execution
by him of the said trust deed, together with any interest which the grantor or his successors in interest ac-
quired after the execution of said trust deed, to satisfy the foregoing obligations thereby secured and the
costs and expenses of sale, including a reasonable charge by the trustee. Notice is further given that any
person named in Section 86.778 of Oregon Revised Statutes has the right to have the foreclosure pro-
ceeding dismissed by payment to the beneficiary of the entire amount then due (other than such portion
of said principal as would not then be due had no default occurred), together with the costs, trustee’s and
attorney’s fees and curing any other default complained of in the Notice of Default by tendering the per-
formance required under the obligation or trust deed, at any time prior to five days before the date last set
for sale. Other than as shown of record, neither the beneficiary nor the trustee has any actual notice of
any person having or claiming to have any lien upon or interest in the real property hereinabove described
subsequent to the interest of the trustee in the trust deed, or of any successor in interest to grantor or of
any lessee or other person in possession of or occupying the property, except: Name and Last Known
Address and Nature of Right, Lien or Interest HOWARD MURPHY 2171 NE CHART STREET HERMIS-
TON, OR 97838 Original Borrower WANDA MURPHY 2171 NE CHART STREET HERMISTON, OR
97838 For Sale Information Call: 916-939-0772 or Login to: www.nationwideposting.com In construing
this notice, the singular includes the plural, the word “grantor” includes any successor in interest to this
grantor as well as any other person owing an obligation, the performance of which is secured by the trust
deed, and the words “trustee” and “beneficiary” include their respective successors in interest, if any. Pur-
suant to Oregon Law, this sale will not be deemed final until the Trustee’s deed has been issued by QUAL-
ITY LOAN SERVICE CORPORATION OF WASHINGTON. If any irregularities are discovered within 10
days of the date of this sale, the trustee will rescind the sale, return the buyer’s money and take further
action as necessary. If the sale is set aside for any reason, including if the Trustee is unable to convey
title, the Purchaser at the sale shall be entitled only to a return of the monies paid to the Trustee. This shall
be the Purchaser’s sole and exclusive remedy. The purchaser shall have no further recourse against the
Trustor, the Trustee, the Beneficiary, the Beneficiary’s Agent, or the Beneficiary’s Attorney. If you have pre-
viously been discharged through bankruptcy, you may have been released of personal liability for this loan
in which case this letter is intended to exercise the note holders right’s against the real property only. With-
out limiting the trustee’s disclaimer of representations or warranties, Oregon law requires the trustee to
state in this notice that some residential property sold at a trustee’s sale may have been used in manu-
facturing methamphetamines, the chemical components of which are known to be toxic. Prospective pur-
chasers of residential property should be aware of this potential danger before deciding to place a bid for
this property at the trustee’s sale. NOTICE TO TENANTS: TENANTS OF THE SUBJECT REAL PROP-
ERTY HAVE CERTAIN PROTECTIONS AFFFORDED TO THEM UNDER ORS 86.782 AND POSSIBLY
UNDER FEDERAL LAW. ATTACHED TO THIS NOTICE OF SALE, AND INCORPORATED HEREIN, IS A
NOTICE TO TENANTS THAT SETS FORTH SOME OF THE PROTECTIONS THAT ARE AVAILABLE TO
A TENANT OF THE SUBJECT REAL PROPERTY AND WHICH SETS FORTH CERTAIN RE-
QUIRMENTS THAT MUST BE COMPLIED WITH BY ANY TENANT IN ORDER TO OBTAIN THE AF-
FORDED PROTECTION, AS REQUIRED UNDER ORS 86.771. TS No: OR-21-893177-RM Dated:
2/25/2022 Quality Loan Service Corporation of Washington, as Trustee Signature By: Maria Montana, As-
sistant Secretary Trustee’s Address: Quality Loan Service Corp. of Washington 108 1st Ave South, Suite
202, Seattle, WA 98104 Toll Free: (866) 925-0241 IDSPub #0177051
5/5/2022 5/12/2022 5/19/2022 5/26/2022
adorable
abodes
You’ll find apartments,
condos and adorable
abodes in our
CLASSIFIED SECTION
101 Legal Notices
101 Legal Notices
BUY IT!
SELL IT!
FIND IT!
1-800-962-2819
101 Legal Notices
Email: Paula.Warner@athwestsd.org
FINANCIAL SUMMARY - RESOURCES
Actual Amount
Last Year 2020-2021
$4,089,153
Beginning Fund Balance
1,822,238
Current Year Property Taxes, other than Local Option Taxes
244,136
Other Revenue from Local Sources
132,195
Revenue from Intermediate Sources
6,989,173
Revenue from State Sources
825,574
Revenue from Federal Sources
230,000
Interfund Transfers
$14,332,469
Total Resources
TOTAL OF ALL FUNDS
101 Legal Notices
Adopted Budget
This Year 2021-2022
$4,499,200
1,735,000
435,503
140,000
6,087,750
1,715,547
341,000
$14,954,000
Approved Budget
Next Year 2022-2023
$5,830,600
1,825,000
463,100
143,000
7,409,500
1,708,800
1,025,000
$18,405,000
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Salaries
$3,894,932
$4,950,692
Other Associated Payroll Costs
2,609,472
3,348,349
Purchased Services
492,083
1,121,675
697,650
2,040,594
Supplies & Materials
578,926
801,000
Capital Outlay
Other Objects (except debt service & interfund transfers)
175,958
245,990
Debt Service*
465,409
530,000
230,000
947,000
Interfund Transfers*
963,000
Operating Contingency
Unappropriated Ending Fund Balance & Reserves
5,700
Total Requirements
$9,144,431
$14,954,000
$5,270,585
3,429,177
1,625,705
2,555,226
1,928,900
290,207
536,000
1,625,000
1,138,100
6,100
$18,405,000
FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY FUNCTION
$5,221,877
$7,504,163
1000 Instruction
55.55
63.07
FTE
2,644,812
5,275,749
2000 Support Services
19.95
19.88
FTE
3000 Enterprise & Community Service
281,626
328,388
3.38
3.25
FTE
4000 Facility Acquisition & Construction
300,706
0
0
0
FTE
5000 Other Uses
465,409
530,000
5100 Debt Service*
230,000
347,000
5200 Interfund Transfers*
0
963,000
6000 Contingency
0
5,700
7000 Unappropriated Ending Fund Balance
$9,144,431
$14,954,000
Total Requirements
78.88
86.2
Total FTE
* not included in total 5000 Other Uses. To be appropriated separately from other 5000 expenditures.
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING **
NONE
EO-12018
NOTICE OF SUPPLEMENTAL BUDGET
A public meeting, at which proposed supplemental budgets for Umatilla County, State of Oregon
for the fiscal year July 1, 2021 to June 30, 2022 will be discussed, will be held in Room 130,
Umatilla County Courthouse, 216 S.E. Fourth Street, Pendleton, Oregon. The meeting will take
place on the 1st day of June at 9:00 a.m. A copy of the supplemental budget documents may be
inspected or obtained on or after May 19, 2022 at the Umatilla County Courthouse, Room 116
between the hours of 8:00 a.m. and 5:00 p.m.
Fund: GF-Public Health
Resources:
Local Revenue
State Revenue
Federal Revenue
Amount:
$68,000
$152,668
$80,000
LONG TERM DEBT
$8,340,023
62.6
6,943,887
18.48
415,890
3.5
0
0
536,000
1,025,000
1,138,100
6,100
$18,405,000
84.58
General Obligation Bonds
Other Bonds
Other Borrowings
Total
Publish May 19, 2022
Revised Total Fund Requirements
$41,100,792
Comments: The Public Health Program requires a supplemental budget to appropriate funding
not known at adoption of the budget. This requires an increase in Local Revenue of $28,000, an
increase in State Revenue of $37,000, an increase in Federal Revenue of $40,000, an increase
in Materials & Services of $65,000 and an increase in Contingency of $40,000.
Fund: Dispatch
Resources:
Transfers In
Amount:
$1,450,304
Requirements:
Materials and Services
Revised Total Fund Resources
$3,371,915
Amount:
$121,450
Revised Total Fund Requirements
$3,371,915
Comments: The Dispatch Program requires a supplemental budget to appropriate funding not
known at adoption of the budget. This requires an increase in Transfers In of $100,000 and an
increase in Materials & Services of $100,000.
Fund: Economic Development
Resources:
Amount:
Transfers In
$240,000
Requirements:
Materials & Services
Revised Total Fund Resources
$4,551,867
Amount:
$3,640,000
Revised Total Fund Requirements
$4,551,867
Comments: The Economic Development Program requires a supplemental budget to appropriate
funding not known at adoption of the budget. This requires an increase in Transfers In of
$140,000 and an increase in Materials & Services of $140,000.
Fund: Court Security
Resources:
Transfers In
Amount:
$407,092
Requirements:
Personnel Services
Revised Total Fund Resources
$501,092
Amount:
$42,093
Revised Total Fund Requirements
$501,092
Comments: The Court Security Program requires a supplemental budget to appropriate funding
not known at adoption of the budget. This requires an increase in Transfers In of $40,000 and
an increase in Personnel Services of $40,000.
Fund: GF-Jail
Resources:
Local Revenue
Amount:
$340,000
Requirements:
Materials & Services
Revised Total Fund Resources
$41,290,792
Amount:
$1,022,892
Revised Total Fund Requirements
$41,290,792
Comments: The Jail Program requires a supplemental budget to appropriate funding not known
at adoption of the budget. This requires an increase in Local Revenue of $190,000 and an
increase in Materials & Services of $190,000.
Fund: Inmate Welfare Program
Resources:
Amount:
Local Revenue
$120,000
Requirements:
Materials & Services
Contingency
Revised Total Fund Resources
$243,000
Amount:
$170,000
$48,000
Revised Total Fund Requirements
$243,000
Comments: The Inmate Welfare Program requires a supplemental budget to appropriate funding
not known at adoption of the budget. This requires an increase in Local Revenue of $120,000,
an increase in Materials & Services of $50,000 and an increase in Contingency of 10,000.
Publish May 19, 2022
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101 Legal Notices
101 Legal Notices
101 Legal Notices
A public meeting of the Umatilla Rural Fire Protection District #7-405 will be held on June 1, 2022 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, 2022 as
approved 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
Phone: 541-922-3718
Email: jeannie.bowman@umatillafire.org
FINANCIAL SUMMARY - RESOURCES
Actual Amount
Adopted Budget
TOTAL OF ALL FUNDS
2020-2021
This Year 2021-2022
529,100
896,195
Beginning Fund Balance/Net Working Capital
0
0
Fees, Licenses, Permits, Fines, Assessments & Other Service
0
0
Federal,
Charges State and all Other Grants, Gifts, Allocations and
153,282
187,334
Revenue
from
Bonds
and
Other
Debt
Donations
100,000
0
Interfund Transfers / Internal Service Reimbursements
133,681
153,681
All Other Resources Except Current Year Property Taxes
Current Year Property Taxes Estimated to be Received
630,238
755,057
Total Resources
1,546,301
1,992,267
Approved Budget
2022-2023
691,000
0
0
182118
85000
170,881
973,904
2,102,903
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Personnel Services
821,773
858,354
Materials and Services
424,100
384,384
Capital Outlay
6,000
6,000
Debt Service
173,282
160,334
Interfund Transfers
100,000
125,000
Contingencies
20,000
27,000
Special Payments
0
0
Unappropriated Ending Balance and Reserved for Future Expenditure
1,146
431,195
Total Requirements
1,546,301
1,992,267
951,192
402,593
6,000
162,118
85,000
20,000
0
476,000
2,102,903
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
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
1,043,238
7
3,500
7
196,000
7
155,195
7
276,000
7
6,000
7
0
7
160,334
7
0
7
125,000
7
27,000
7
1,139,500
7
3,500
7
210,785
7
170,000
7
306,000
7
6000
0
5
1,546,301
5
7
1,992,267
7
7
2,102,903
7
PROPERTY TAX LEVIES
Rate or Amount Imposed
Rate or Amount Approved
4.3937
$460,000
4.3937
$470,000
4.3937
$490,000
$1,890,000
Amount:
$113,400
$381,197
7
162,118
7
0
7
85,000
7
20,000
7
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING *
NONE
Rate or Amount Imposed
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
on July 1
$1,890,000
Requirements:
Materials and Services
Contingency
Revised Total Fund Resources
$41,100,792
PROPERTY TAX LEVIES
Permanent Rate Levy (Rate Limit 4.3937 per $1,000)
Levy For General Obligation Bonds
101 Legal Notices
EO-12008
NOTICE OF BUDGET HEARING
A public meeting of the Athena Weston School District will be held on June 13, 2022 at 6 pm at Athena Elementary Library, 375
South Fifth Street, Athena, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1,
2022 as approved by the Athena Weston School District Budget Committee. A summary of the budget is presented below. A
copy of the budget may be inspected or obtained at 375 South Fifth Street, Athena, Oregon between the hours of 9 a.m. and 3
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.
Telephone: 541-566-3551
101 Legal Notices
A11
The East Oregonian
Classifieds
EO-12012
NOTICE OF BUDGET HEARING
Contact: Paula L. Warner
East Oregonian
Estimated Debt Authorized, But
Not Incurred on July 1
Rate or Amount Imposed
Permanent Rate Levy
(rate limit .8511 per $1,000)
Local Option Levy
Levy For General Obligation Bonds
LONG TERM DEBT
General Obligation Bonds
Other Bonds
Other Borrowings
Total
Publish May 19, 2022
2020-21
Rate or Amount Imposed
0
0
0
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
on July 1.
$160,334
$0
$0
$160,334
This Year 2021-22
Rate or Amount Approved
0
0
0
Next Year 2022-23
Estimated Debt Authorized, But
Not Incurred on July 1
$162,118
$0
$0
$162,118
0
0
0