East Oregonian : E.O. (Pendleton, OR) 1888-current, June 04, 2022, WEEKEND EDITION, Page 14, Image 14

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    B4
CLASSIFIEDS
East Oregonian
664 Services
Tree trimming, tree removal,
stump removal, shrub pruning.
Call Extreme Tree Service,
509-528-7819. Licensed and
bonded.
710 Pets & Supplies
Koi Fish for sale 8” to 14”, $10 to
$25. Call in the evening and
weekends. Leave messages.
Hermiston, OR (541)564-8893
102 Public Notices
EO-12084
CITY OF PENDLETON
REQUEST FOR QUOTES
City of Pendleton Public Works
Department is requesting quotes
for ¾” minus crushed aggregate
during period ending June 30,
2023. Aggregate must be avail-
able and loaded on City vehicles
as required and must include lo-
cation of loading site and scale
availability. Haul distance shall
be considered by City during re-
view of quotes. Quotes shall be
submitted to the City of Pendle-
ton, c/o Casey Currin, Public
Works Purchasing Agent, 1501
SE Byers Avenue, Pendleton, OR
97801 or by email at casey.cur-
rin@ci.pendleton.or.us by 2:00
p.m., Thursday, June 23, 2022,
clearly marked “3/4” Minus Aggre-
gate”. For more information, con-
tact Jeff Brown, Public Works
Superintendent at 541 276-3078
jeff.brown@ci.pendleton.or.us or
Casey Currin, Public Works Pur-
chasing Agent, at 541 276-3078
casey.currin@ci.pendleton.or.us.
June 4, 2022
102 Public Notices
102 Public Notices
EO-12069
INVITATION TO BID
Abandoned property of Lavelle
Halladay and All Others. For Sale,
a
1973
SIERRA,
Serial
#3FB06814S1161, Home ID
#177142. The mobile home is lo-
cated at 1800 NE 10th Street #36,
Hermiston, OR 97838, in Vista
MHC. This will be a private sale
with a minimum bid of $15,000.
Bids accepted until June 11,
2022. Send/submit bids to 18150
SW Boones Ferry Road, Port-
land, OR 97224, Attn: Sarah.
Please call Traci at: 541-567-9555
for appointment to see home.
Publish May 28, June 4, 2022
EO-12087
NOTICE OF INTENT TO
AWARD
TO PUBLIC AND ALL
PROPOSERS
EO-12016
NOTICE TO INTERESTED
PERSONS
IN THE CIRCUIT COURT OF
THE STATE OF OREGON FOR
THE COUNTY OF
UMATILLA PROBATE CASE
NO. 22PB03638
RFP: School Photography
Services
Bid Due Date: 5/27/2022
Intent to Award: June 2, 2022
Issuing Agency: Pendleton
School District 16R
The Pendleton School District
has completed the evaluation
process for the Request for Pro-
posals for school photography
services. The evaluation was con-
ducted and scored in accordance
with the terms and conditions out-
lined in the solicitation document.
The Pendleton School District
16R publishes this Notice of In-
tent to Award a contract to:
Pictures with Class by Barksdale
In the Matter of the Estate of
Linda Marie Burgus, Deceased.
NOTICE IS HEREBY GIVEN that
Rebecca Lee Newkirk has been
appointed as the Personal Repre-
sentative of the above estate. All
person having claims against the
estate are required to present
them to the undersigned attorney
for the Personal Representative
at 1785 Willamette Falls Dr. #2,
West Linn, OR 97068, within four
months of the date of first publi-
cation of this notice or the claims
may be barred. All persons whose
rights may be affected by the pro-
ceedings may obtain additional
information from the records of
the court, the Personal Represen-
tative, or the attorney for the Per-
sonal Representative. Dated and
first published on May 19, 2022.
David M. Mitchell,
OSB No. 134294
Attorney for the Personal
Representative
Published: May 21, 28, June 4,
2022
EO-12039
NOTICE TO INTERESTED
PERSONS
IN THE CIRCUIT COURT
OF THE STATE OF OREGON
FOR UMATILLA COUNTY
Case No. 22PB03795
In the matter of the Estate of
Robert Dale Hilling.
Please direct any questions re-
garding this RFP to Michelle
Jones, Director of Business Serv-
ices, Pendleton School District
16R via email: mijones@pendle-
tonsd.org
Publish June 4, 2022
EO-12061
NOTICE TO INTERESTED
PERSONS
IN THE CIRCUIT COURT OF
THE STATE OF OREGON FOR
THE COUNTY OF UMATILLA
PROBATE DEPARTMENT
No. 22PB03299
In the Matter of the Estate of
David Lee Hoy Deceased. Notice
is hereby given that Suzanne
Marie Schooley has been ap-
pointed as the personal represen-
tative of the above estate. All
persons having claims against
the estate are required to present
them to the undersigned personal
representative in care of the un-
dersigned attorney at: 226 SE
Byers Ave, Pendleton, OR 97801,
within four months after the date
of first publication of this notice,
as stated below, or such claims
may be barred. All persons whose
rights may be affected by the pro-
ceedings in this estate may ob-
tain additional information from
the records of the Court, the per-
sonal representative, or the attor-
ney
for
the
personal
representative.
Dated and first published May 28,
2022.
EVERYTHING is coming up results
when you use a classified ad!
NOTICE IS HEREBY GIVEN that
Ronald L. Sperry III has qualified
and been appointed as the Per-
sonal Representative of the es-
tate. All persons having claims
against the estate are hereby re-
quired to present them, with
proper vouchers, within four
months after the date of first pub-
lication of this notice, as stated
below, to the Personal Represen-
tative, Ronald L. Sperry III, c/o
DC Law, P.O. Box 1265, Rose-
burg, OR 97470, or the claims
may be barred.
All persons whose rights may be
affected by the proceedings of
this estate may obtain additional
information from the records of
the Court or the Personal Repre-
sentative.
Dated and first published this 21st
day of May 2022.
Personal Representative:
Ronald L. Sperry III,
OSB #091525
DC Law, McKinney & Sperry PC
PO Box 1265
Roseburg, OR 97470
Telephone: 541-673-4451
Fax: 541-673-1202
Publish May 21, 28, June 4, 2022
EO-12088
BUDGET HEARING
A meeting of the Central and
Eastern Oregon Juvenile Justice
Consortium (CEOJJC) will be
held at 9:00AM (PDT) on June
16, 2022, via teleconferencing.
The purpose of the meeting is to
hear and adopt the budget, as
approved by the budget commit-
tee, for the fiscal year beginning
July 1, 2022. This is a public
meeting where any person may
appear for or against any item in
the budget document. Please
email trish.c@ceojjc.org by June
13, 2022 to request a copy or the
phone number to call to attend
the meeting.
Publish June 4, 2022
101 Legal Notices
101 Legal Notices
101 Legal Notices
It’s so easy to get your
Classified ad! Just call
800-962-2819
Suzanne Marie Schooley, Per-
sonal Representative
Wade P. Bettis, Ph.D. P.C.,
OSB #720255,
Attorney for Personal
Representative
226 SE Byers Ave
541-278-2143 ext. 2001
Publish May 28, June 4, 11, 2022
Saturday, June 4, 2022
101 Legal Notices
101 Legal Notices
101 Legal Notices
EO-12060
NOTICE OF BUDGET HEARING
A public meeting of the Umatilla County School District #8R (Hermiston) will be held on June 13, 2022 at 6:30 p.m. in the Hermiston School
District Office Boardroom at 305 SW 11th Street, Hermiston, OR. The purpose of this meeting is to discuss the budget for the fiscal year
beginning July 1, 2022 as approved by the Hermiston School District #8R Budget Committee. A summary of the budget is presented below.
A copy of the budget may be inspected or obtained at 305 SW 11th St, between the hours of 8 a.m. and 4 p.m., or online at
www.hermiston.k12.or.us. 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: Katie Saul
Telephone: 541-667-6067
Email: katie.saul@hermistonsd.org
FINANCIAL SUMMARY - RESOURCES
TOTAL OF ALL FUNDS
Actual Amount
Last Year 2020-2021
$114,566,168
Adopted Budget
This Year 2021-2022
$115,328,416
Approved Budget
Next Year 2022-2023
$94,174,147
17,840,947
2,653,039
2,804,180
54,798,461
6,713,475
2,094,872
834,076
$202,305,218
18,176,196
4,466,060
2,709,545
64,868,175
22,166,099
1,750,000
455,000
$229,919,491
18,660,117
8,390,541
2,863,690
65,471,319
17,755,650
1,750,000
62,590,000
$271,655,464
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Salaries
$33,914,605
$42,025,030
Other Associated Payroll Costs
21,394,836
26,728,517
10,834,272
24,520,523
Purchased Services
Supplies & Materials
5,583,094
21,846,650
Capital Outlay
7,606,877
79,671,612
Other Objects (except debt service & interfund transfers)
901,883
2,026,834
5,192,766
6,322,662
Debt Service*
Interfund Transfers*
2,094,872
1,750,000
Operating Contingency
0
3,365,000
Unappropriated Ending Fund Balance & Reserves
0
21,662,663
$87,523,206
$229,919,491
Total Requirements
$42,420,379
28,918,180
22,088,853
17,718,206
53,567,185
64,123,883
10,573,240
1,750,000
4,165,000
26,330,538
$271,655,464
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
All Other Budget Resources
Total Resources
FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY FUNCTION
1000 Instruction
$41,451,123
$60,717,656
$58,858,106
429.625
423.625
432.875
FTE
27,325,542
44,084,826
44,790,897
2000 Support Services
FTE
192.6875
198.6875
212.375
3000 Enterprise & Community Service
1,612,538
3,843,128
3,940,999
1
2
2
FTE
4000 Facility Acquisition & Construction
9,846,014
88,168,556
59,106,684
FTE
0
0
0
5000 Other Uses
0
0
61,510,245
5,193,116
6,327,662
11,202,995
5100 Debt Service*
2,094,872
1,750,000
1,750,000
5200 Interfund Transfers*
6000 Contingency
0
3,365,000
4,165,000
7000 Unappropriated Ending Fund Balance
0
21,662,663
26,330,538
Total Requirements
$87,523,206
$229,919,491
$271,655,464
623.3125
624.3125
647.25
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 total approved budget for fiscal year 2022-2023 represents an increase of approximately $41.74M from the prior year. The
primary source of this increase is a planned pension obligation bond, noted above in the 5000 Other Uses function, offset by
reductions in other areas. For example, the Bond Construction Funds, totaling approximately $53.43M is down approximately
35.94% as construction progresses as expected; two remaining federal grant funds designated for ongoing COVID-19 response
totaling approximately $11.1M; the state funded Summer Learning Program Grant which is down $1.3M from the prior year and the
General Fund budgeted at $81.78M. In a time of reduced enrollments, typically the General Fund would see a decline in revenues.
However, enrollment was down statewide, and when combined with higher than projected local revenues statewide, the district was
sheltered from the financial impact of reduced enrollment for the time being. The addition of a new elementary school in 2022-23 and
strategic investements utilzing Student Investement Account funds account for the growth in FTE.
PROPERTY TAX LEVIES
Rate or Amount Imposed Rate or Amount Imposed Rate or Amount Approved
Permanent Rate Levy (Rate Limit $4.8877 per $1,000)
Levy For General Obligation Bonds
LONG TERM DEBT
General Obligation Bonds
PERS UAL Bonds
Total
Publish June 4, 2022
4.8877
$8,118,250
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
on July 1
$134,550,330
$74,483,955
$209,034,285
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4.8877
$8,330,500
4.8877
$8,409,500
Estimated Debt Authorized, But
Not Incurred on July 1
$0
$0
$0
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in the classifieds!
EO-12073
NOTICE OF BUDGET HEARING
A public meeting of the Intermountain Education Service District will be held on June 15, 2022 at 4:00 pm at
InterMountain ESD, Pendleton, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year
beginning July 1, 2022 as approved by the InterMountain ESD Budget Committee. A summary of the budget is
presented below. A copy of the budget may be inspected or obtained at 2001 SW Nye Ave Pendleton, Oregon
between the hours of 7:30 a.m. and 4:00 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.
If different, the major changes and their effect on the budget are: NONE. This notice and copy of the budget
document will be available on our website at: https://imesd.k12.or.us
Contact: Beth O'Hanlon, Chief Financial Officer
Telephone: 541-966-3103
Email: beth.ohanlon@imesd.k12.or.us
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FINANCIAL SUMMARY - RESOURCES
TOTAL OF ALL FUNDS
Beginning Fund Balance
Current Year Property Taxes, other than Local Option Taxes
Current Year Local Option Property Taxes
Other Revenue from Local Sources
Revenue from Intermediate Sources
Revenue from State Sources
Revenue from Federal Sources
Interfund Transfers
Actual Amount
Last Year 2020-21
$6,070,148
Adopted Budget
This Year 2021-22
$7,221,105
Approved Budget
Next Year 2022-23
$8,173,906
7,457,105
7,640,000
8,200,000
0
14,770,482
0
17,573,366
0
18,635,112
139,087
16,194,531
4,980,311
851,681
122,012
19,150,953
8,875,254
1,532,027
142,012
20,961,888
8,537,938
1,454,000
All Other Budget Resources
0
18,480,020
1,200,000
$50,463,345
$80,594,737
$67,304,856
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Salaries
$13,992,490
$18,158,788
Other Associated Payroll Costs
8,109,514
10,496,106
Purchased Services
3,119,983
4,922,607
Supplies & Materials
6,480,706
8,618,761
566,118
641,500
Capital Outlay
Other Objects (except debt service & interfund transfers)
9,705,070
31,029,280
1,036,583
2,042,711
Debt Service*
851,681
1,532,027
Interfund Transfers*
0
713,730
Operating Contingency
Unappropriated Ending Fund Balance & Reserves
6,601,200
2,439,227
$50,463,345
$80,594,737
Total Requirements
$20,469,189
11,435,816
4,722,291
9,542,793
1,314,532
12,787,981
1,862,783
1,454,000
1,015,471
2,700,000
$67,304,856
Total Resources
FINANCIAL SUMMARY - REQUIREMENTS BY FUNCTION
$8,039,905
1000 Instruction
62
FTE
2000 Support Services
25,985,080
161
FTE
3000 Enterprise & Community Service
19,698
FTE
0
4000 Facility Acquisition & Construction
0
0
FTE
5000 Other Uses
0
5100 Debt Service*
1,036,583
5200 Interfund Transfers*
851,681
5300 Apportionment of Funds
7,929,198
5400 PERS UAL Lump Sum payment
0
6000 Contingency
0
7000 Unappropriated Ending Fund Balance
6,601,200
Total Requirements
$50,463,345
Total FTE
223
* not included in total 5000 Other Uses. To be appropriated separately from other 5000 expenditures.
$11,386,637
89
34,222,298
174
39,200
0
0
0
0
2,042,711
1,532,027
9,738,887
18,480,020
713,730
2,439,227
$80,594,737
263
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$10,834,940
90
38,998,431
194
29,200
0
194,032
0
0
1,862,783
1,454,000
10,215,999
0
1,015,471
2,700,000
$67,304,856
284
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING
The 2022-2023 budget was built utilizing the current state and federal funding estimates. The District's state contracts will allow increased special
education services to component districts and pre-kindergarten children.
PROPERTY TAX LEVIES
Permanent Rate Levy
(Rate Limit .6156 per $1,000)
LONG TERM DEBT
General Obligation Bonds
Other Bonds
Other Borrowings
Total
Publish June 4, 2022
Rate or Amount Imposed
Rate or Amount Imposed
Rate or Amount Approved
0.6156
0.6156
0.6156
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
July 1
$0
$18,890,000
$177,223
$19,067,223
Estimated Debt Authorized, But
Not Incurred on July 1
$0
$0
$0
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