CLASSIFIEDS East Oregonian A12 102 Public Notices 102 Public Notices 102 Public Notices Thursday, June 2, 2022 101 Legal Notices EO-11936 NOTICE OF BUDGET HEARING Sell your car, truck, motorbike, or other vehicle right here in Classifieds adorable abodes You’ll find apartments, condos and adorable abodes in our A public hearing on a proposed budget for Helix Cemetery District IV, Umatilla County, State of Ore- gon, for the fiscal year July 1, 2022 to June 30, 2023, will be held at the M. Wood residence. The hearing will take place on Thursday, June 9th, 2022 at 7:00 PM. The purpose of the hearing is to discuss the budget with inter- ested persons. The first Notice of Budget Hearing and Financial Summary were published in the East Oregonian on April 28th and May 5th, 2022. A copy of the budget document may be in- spected at the Wood residence, 46269 Hudemann Rd, Adams, OR 97810 between the hours of 5:00 PM and 8:00 PM. June 2, 2022 CLASSIFIEDS CLASSIFIED SECTION 101 Legal Notices EO-12058 SUPPLEMENTAL BUDGET HEARING A public hearing on a proposed supplemental budget for the Pendleton Development Commission, Umatilla County, State of Oregon, for the fiscal year July 1, 2021 to June 30, 2022 will be held at the Council Chambers, 501 SW Emigrant, Pendleton, Oregon. The hearing will take place on the 21st day of June, 2022 at 6:00 p.m. Public may join the meeting by Zoom with instructions on the City Council Agenda posted on the City website. The purpose of the hearing is to discuss the supplemental budget with interested persons. A copy of the preliminary supplemental budget document can be inspected on or after June 15th on the City’s website at www.pendleton.or.us. To obtain a hard copy, call 541-966-0331 after June 15th during regular City Hall business hours. This budget notice is also posted on the City’s website. SUMMARY OF SUPPLEMENTAL BUDGET Current Increase Appropriations (Decrease) PDC Debt Service Fund Revenues Beginning Fund Balance $143,300 Taxes 960,000 Total Resources Expenditure PDC Debt Operations 173,130 Debt Service 900,000 Reserve for Future 31,170 Total Requirements Increase debt service to accommodate principal payment made. Publish June 2, 2022 Amended Budget Total Revised Fund Budget $1,159,300 $9,000 46,000 $55,000 $152,300 1,006,000 (149,830) 236,000 (31,170) $55,000 23,300 1,136,000 -0- $1,159,300 Something for everyone in the Classifieds 101 Legal Notices 101 Legal Notices 101 Legal Notices 101 Legal Notices 101 Legal Notices 101 Legal Notices 101 Legal Notices EO-12068 EO-12047 NOTICE OF BUDGET HEARING NOTICE OF BUDGET HEARING A public meeting of the Pendleton Development Commission URA will be held on June 21, 2022 at 6 pm at Council Chambers, City Hall, 500 SW Dorion Ave., Pendleton, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the Pendleton Development Commission URA Budget Committee. A summary of the budget is presented below. Instructions for public access through Zoom Meeting to the Public Hearing is available on the meeting agenda located on the City's Website, https://cityofpendletonor.civicweb.net/Portal/MeetingSchedule.aspxon or after June 11th, A copy of the budget may be inspected on the City website, www.pendleton.or.us/finance/city-budgets. 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. A hard copy of the budget may be checked out by calling 541-966- 0380. Contact: Robb Corbett, Executive Director TOTAL OF ALL FUNDS Telephone: 541-966-0201 Email: Robb.Corbett@ci.pendleton.or.us FINANCIAL SUMMARY - RESOURCES Actual Amount Adopted Budget Approved Budget 2020-2021 Next Year 2022-23 Beginning Fund Balance/Net Working Capital This Year 2021-22 608,117 Revenue from Bonds and Other Debt 7,134,625 506,575 5,800,000 2,605,000 1,749,000 All Other Resources Except Division of Tax & Special Levy 103,080 47,725 82,100 Revenue from Division of Tax 934,568 960,000 1,033,000 8,780,390 7,314,300 5,469,100 Total Resources FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION 0 0 0 Materials and Services 1,248,611 3,703,130 1,878,630 Capital Outlay 1,879,819 2,497,700 2,780,000 Debt Service 2,173,820 900,000 810,470 Personnel Services Interfund Transfers 0 0 0 Contingencies 0 182,300 0 All Other Expenditures and Requirements 0 31,170 0 Unappropriated Ending Fund Balance 0 0 0 5,302,250 7,314,300 5,469,100 Total Requirements 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 Urban Renewal District Operating Fund 3,017,310 6,210,000 0 0 0 2,284,940 1,104,300 1,033,500 0 5,302,250 0 0 7,314,300 0 0 5,469,100 0 FTE Urban Renewal District Debt Service fund FTE Total Requirements Total FTE 4,435,600 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING * The Pendleton Development Commission (PDC ) is focusing on improving the economy and livability of the urban renewal district. The PDC has one credit line for up to $10 million for the remaining years of the PDC authorized. Those funds willl help finance second story development, demolition grants, jump start loans to downtown owners, facade restoration and possible development of a festival area. The PDC contracts for a Associate Director's position with the City of Pendleton. The concept of an urban renewal district is based on borrowing dollars now to invest in the development of the district and those investment dollars will bring a increased tax return on the dollar in future years. LONG TERM DEBT Other Borrowings Total STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding July 1, 2022 $5,334,625 $5,334,625 101 Legal Notices Contact: Kim B. Puzey TOTAL OF ALL FUNDS 2020-2021 Beginning Fund Balance/Net Working Capital 4,136,904 Fees, Licenses, Permits, Fines, Assessments & Other Service 672,171 Federal, State & all Other Grants, Gifts, Allocations & Donations 19,754 Interfund Transfers / Internal Service Reimbursements 330,767 All Other Resources Except Current Year Property Taxes Current Year 1,578,984 Property Taxes Estimated to be Received 947,927 Total Resources 7,686,507 Next Year 2022-2023 5,412,056 693,650 2,000,000 424,200 155,575 997,542 9,683,023 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION 311,043 342,000 1,085,219 3,543,474 9,574 120,000 187,832 83,000 330,767 169,176 0 150,000 Unappropriated Ending Balance and Reserved for Future Expenditure 5,762,072 5,412,056 Total Requirements 7,686,507 9,819,706 366,050 3,542,750 156,000 70,000 424,200 150,000 4,974,023 9,683,023 Personnel Services Materials and Services Capital Outlay Debt Service Interfund Transfers Contingencies 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 FTE 1.10 Container Dock Services FTE Regional Water Services FTE Road Project Expense FTE Hermiston Chamber of Commerce FTE Business Oregon FTE Strategic Services FTE Not Allocated to Organizational Unit or Program FTE Total Requirements Total FTE 782,105 1.10 452,970 0 0 0 0 0 253,593 0 55,000 0 50,000 0 6,092,839 0 7,686,507 1.10 1,227,250 1.10 509,500 0 0 0 2,000,000 0 331,724 0 0 0 70,000 0 5,681,232 0 9,819,706 1.10 1,476,900 1.10 490,200 0 0 0 2,000,000 0 22,700 0 0 0 195,000 0 5,498,223 0 9,683,023 1.10 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING * The Port of Umatilla continues to sell land within the Port's Industrial Park. The Container Dock Fund is currenty serving customers with refrigerated containers and dockside storage. The Regional Water System Fund was closed by Resolution #20-07 on September 8, 2020. In a previous legislation we were awarded $2 million for a road project. We anticipate receiving this appropriation for the FY 2022-2023. The Port received a grant thru Business Oregon to complete our strategic plan in FY 2021-2022. The Port of Umatilla continues to find unique opportunities for economic development in the region with the Strategic Reserve Fund. 2020-2021 Permanent Rate Levy (rate limit 0.1539 per $1,000) LONG TERM DEBT Estimated Debt Authorized, But Not Incurred on July 1, 2022 $3,665,375 $3,665,375 General Obligation Bonds Other Bonds Other Borrowings Total Publish June 2, 2022 101 Legal Notices 101 Legal Notices Rate or Amount Approved This Year 2021-2022 .1539 .1539 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding on July 1. $0 $0 $165,000 $165,000 EO-12078 101 Legal Notices Next Year 2022-2023 0.1539 Estimated Debt Authorized, But Not Incurred on July 1 $0 $0 $0 $0 101 Legal Notices EO-12077 NOTICE OF BUDGET HEARING A public meeting of the Ukiah School District will be held on June 8, 2022 at 7:00pm at Ukiah School District, Ukiah, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the Ukiah School District #80 Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 201 Hill Street, Ukiah, Oregon between the hours of 9:00 a.m. and 3:00 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 basis of accounting used during the preceding year. Telephone: (541) 427-3731 Approved Budget This Year 2021-2022 5,762,072 695,650 2,021,496 169,176 188,052 983,260 9,819,706 Rate or Amount Imposed Rate or Amount Imposed NOTICE OF BUDGET HEARING Contact: Jim Reger, Superintendent/Budget Officer Telephone: 541-922-3224 Email: kimpuzey@uci.net FINANCIAL SUMMARY - RESOURCES Actual Amount Adopted Budget PROPERTY TAX LEVIES Publish June 2, 2022 101 Legal Notices A public meeting of the Port of Umatilla will be held on June 14, 2022 at 1:00 p.m. at Eastern Oregon Trade and Event Center, 1705 East Airport Road, Hermiston, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022, as approved by the Port of Umatilla Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at Port of Umatilla, 500 Willamette Ave, Umatilla, Oregon, between the hours of 8:00 a.m. and 11:00 a.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. If different, the major changes and their effect on the budget are: Not applicable A public meeting of the Helix School District #1R will be held on June 8, 2022 at 7:00 pm at Helix School District, Helix, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the Helix School District #1R Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 120 Main Street Helix, Oregon between the hours of 9:00 a.m. and 4:00 p.m. , This Budget is for an annuall 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. Contact: Brad Bixler, Superintendent/Budget Officer Telephone: 541-457-2175 Email: brad.bixler@helix.k12.or.us Email: jim.reger@ukiah.k12.or.us FINANCIAL SUMMARY - RESOURCES TOTAL OF ALL FUNDS FINANCIAL SUMMARY - RESOURCES TOTAL OF ALL FUNDS Actual Amount Last Year 2020-21 505,623 Adopted Budget This Year 2021-22 $571,900 Approved Budget Next Year 2022-23 $799,900 Current Year Property Taxes, other than Local Option Taxes 99,445 94,000 97,000 Current Year Local Option Property Taxes 0 47,711 0 61,540 0 60,850 2,266 964,005 50,879 23,934 1,725 1,124,568 176,663 40,000 1,655 1,757,486 867,233 80,000 Beginning Fund Balance Other Revenue from Local Sources Revenue from Intermediate Sources Revenue from State Sources Revenue from Federal Sources Interfund Transfers All Other Budget Resources 15,972 60,000 0 $1,709,835 $2,130,396 $3,664,124 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION Salaries $438,400 $605,301 Other Associated Payroll Costs 299,508 434,506 147,383 297,585 Purchased Services 73,372 181,204 Supplies & Materials 40,967 251,000 Capital Outlay Other Objects (except debt service & interfund transfers) 41,054 52,800 0 0 Debt Service* 23,934 40,000 Interfund Transfers* Operating Contingency 0 0 Unappropriated Ending Fund Balance & Reserves 645,217 268,000 Total Requirements $1,709,835 $2,130,396 $665,862 512,138 376,637 194,037 1,511,400 56,050 0 80,000 0 268,000 $3,664,124 Total Resources FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY FUNCTION $567,778 $808,060 $935,277 1000 Instruction 6 8 6.5 FTE 402,882 757,022 821,114 2000 Support Services 3.5 5 5 FTE 3000 Enterprise & Community Service 40,838 87,314 98,333 1 1.5 1.5 FTE 4000 Facility Acquisition & Construction 29,186 170,000 1,461,400 0 0 0 FTE 0 0 0 5000 Other Uses 0 0 0 5100 Debt Service* 23,934 40,000 80,000 5200 Interfund Transfers* 0 88,000 88,000 6000 Contingency 645,217 180,000 180,000 7000 Unappropriated Ending Fund Balance $1,709,835 $2,130,396 $3,664,124 Total Requirements 10.5 14.5 13 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 The 2022-23 budget was based on 51% state resources at $9.3 billion. This affords the District to maintain current staffing levels and programs, honor negotiated agreements and provide upgrades to the facilities. This budget supports the District goals and each student's success. Permanent Rate Levy PROPERTY TAX LEVIES Rate or Amount Imposed (Rate Limit 4.8146 per $1,000) 4.8146 LONG TERM DEBT Publish June 2, 2022 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding July 1 NONE Actual Amount Last Year 2020-21 $3,063,569 Adopted Budget This Year 2021-22 $3,538,591 Approved Budget Next Year 2022-23 $3,637,851 1,153,455 105,574 1,117,000 101,700 1,111,000 111,900 25,116 2,386,982 206,596 287,426 26,250 2,359,678 287,592 168,800 20,000 2,570,553 317,805 94,800 $7,228,718 $7,599,611 $7,863,909 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION $1,178,873 $1,593,595 Salaries Other Associated Payroll Costs 891,122 1,241,553 407,585 883,172 Purchased Services 256,678 761,591 Supplies & Materials Capital Outlay 48,378 1,099,400 Other Objects (except debt service & interfund transfers) 61,685 161,500 472,502 475,000 Debt Service* 287,426 168,800 Interfund Transfers* 0 865,000 Operating Contingency Unappropriated Ending Fund Balance & Reserves 3,624,469 350,000 Total Requirements $7,228,718 $7,599,611 $1,748,858 1,332,154 965,475 770,837 1,083,650 158,135 475,000 94,800 885,000 350,000 $7,863,909 Beginning Fund Balance Current Year Property Taxes, other than Local Option Taxes Other Revenue from Local Sources Revenue from Intermediate Sources Revenue from State Sources Revenue from Federal Sources Interfund Transfers Total Resources FINANCIAL SUMMARY - REQUIREMENTS BY FUNCTION $1,762,069 $2,701,277 1000 Instruction 20.04 20.04 FTE 2000 Support Services 1,022,988 1,752,294 FTE 2.50 2.50 3000 Enterprise & Community Service 59,724 159,740 1.25 1.25 FTE 4000 Facility Acquisition & Construction (460) 1,127,500 0.00 0.00 FTE 5000 Other Uses 0 0 5100 Debt Service* 472,502 475,000 5200 Interfund Transfers* 287,426 168,800 6000 Contingency 0 865,000 7000 Unappropriated Ending Fund Balance 3,624,469 350,000 Total Requirements $7,228,718 $7,599,611 Total FTE 23.79 23.79 * not included in total 5000 Other Uses. To be appropriated separately from other 5000 expenditures. STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING ** The 2022-23 budget was based on 51% of state resources at $9.3 billion. This affords the District to maintain current staffing levels and programs, honor negotiated agreements and provide upgrades to the facilities. This budget supports the District goals and each student's success. PROPERTY TAX LEVIES Permanent Rate Levy (Rate Limit 4.5542 per $1,000) Levy For General Obligation Bonds Rate or Amount ImposedRate or Amount Approved 4.8146 4.8146 Estimated Debt Authorized, But Not Incurred on July 1 $2,860,846 20.35 1,871,763 4.50 130,000 1.25 1,196,500 0.00 0 475,000 94,800 885,000 350,000 $7,863,909 26.1 LONG TERM DEBT General Obligation Bonds Total Publish June 2, 2022 Rate or Amount Imposed Rate or Amount Imposed Rate or Amount Approved 4.5542 $509,000 4.5542 $491,000 4.5542 $490,000 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding July 1 $3,330,000 $3,330,000 Estimated Debt Authorized, But Not Incurred on July 1 NONE $0