CLASSIFIEDS East Oregonian B8 651 Help Wanted Full-Time Employment The City of Pilot Rock is ac- cepting applications for a Po- lice Officer position. Must possess a high school diploma or GED. Must be 21 years of age, a US citizen, have valid Oregon driver’s license and be able to pass a background in- vestigation. Must be able to successfully complete the Ore- gon Department of Public Safety Standards and Training (DPSST) basic police acad- emy, if not currently certified as a police officer. Salary range is $4,629 - $5,317 month, DOQ. The City offers an excellent benefit package. Applications are available at www.cityofpi- lotrock.org or at City Hall, 144 N Alder Pl. Completed applica- tions must be submitted to the City of Pilot Rock by 5:00 p.m. on June 17, 2022 and can be emailed to teri.bacus@cityofpi- lotrock.org. The City of Pilot Rock is an equal opportunity employer. Pilot Rock, OR. (541) 443-2811 teri.bacus@cityofpi- lotrock.org Call for Applicants 651 Help Wanted 651 Help Wanted Confederated Tribes of the Umatilla Indian Reservation Office of Finance Full-Time Employment At Grande Ronde Hospital we have an exciting career in jani- torial service waiting for you. Working in our Environmental Services department is excit- ing, you get to learn new things and have the opportunity to grow a career. If you are inter- ested please go to https://www.grh.org/careers and then to our EVS positions. We offer competitive wages, great benefits and paid time off. Please be certain you fill out the online application com- pletely. La Grande, OR. (541)963-1513 HR@grh.org Accounting Coordinator Full Time with benefits package $57,349-$91,578 annually DOE/DOQ. This position for the Confeder- ated Tribes of the Umatilla In- dian Reservation is to perform general accounting functions, maintain accounting records and other related duties of the Tribal Office of Finance. Work requires sound knowledge of accounting principles and pro- cedures and regulations of fed- eral grants and contracts. This person’s primary responsibilities will be to assist the Director of Finance, Accounting Manager and the Financial Services Manager in their duties as well as other duties as assigned. For Employment Application or Va- cancy Announcement please visit the Tribes website at https://www.ctuir.org/career-op- portunities/ or call (541)429- 7180 the position closes June 30, 2022. BUY IT! SELL IT! FIND IT! Confederated Tribes of Umatilla Indian Reservation Transit Fleet and Safety Manager Full time with benefits pack- age, $57,349.32-$84,000 an- nual DOE/DOQ Exempt. The Transit Fleet and Safety Manager (TFSM) will be re- sponsible and accountable for ensuring that cost effective pre- ventive maintenance, repair and inspection activities are per- formed on a regular schedule for all vehicles and equipment associated with the Kayak Pub- lic Transit Program. Fleet Mechanic Full Time with benefits pack- age $43,345.68-$48,595.68 annual DOE/DOQ Non-Ex- empt. The Public Transit Fleet Me- chanic will diagnose, repair, and maintain fleet vehicles and fleet equipment associated with the CTUIR Public Transit Program; work effectively with the Transit Fleet and Safety Manager, As- sistant Transit Program Man- ager and other Transit staff; perform routine safety inspec- tions and maintenance on tran- sit vehicles, tools and equipment and maintenance fa- cility, and provide safe, reliable and cost efficient vehicles by performing quality preventive maintenance inspections to pre- vent breakdowns on road, re- duce vehicle down time and improve total fleet reliability. For Application for Employment or Vacancy Announcement please call (541)429-7180 or visit the Tribes website at https://www.ctuir.org/career-op- portunities/ Position is open until filled. East Oregonian Classified 1-800-962-2819 CLASSIFIEDS Something for everyone in the Classifieds 101 Legal Notices HOMES SELL FAST IN CLASSIFIEDS! 102 Public Notices The Oregon Judicial Depart- ment’s Umatilla County Circuit Court, is looking for multiple new Court Clerk. To find out more and apply, please follow this link by June 22, 2022: https://tinyurl.com/2p84vbnm 664 Services Tree trimming, tree removal, stump removal, shrub pruning. Call Extreme Tree Service, 509-528-7819. Licensed and bonded. 102 Public Notices The City of Arlington is request- ing applicants for a full-time po- sition as a Public Works Maintenance Crew Member and Water/WasteWater Opera- tor Trainee. General Statement of Duties: Perform a variety of tasks in the maintenance and repair of city facilities such as streets, water systems, wastewater, solid waste collection and disposal, buildings and parks, golf course and related work as required. He/she shall operate equipment in the maintenance of city facil- ities. Will work rotating weekend duty. This worker is under the supervision of the Public Works Superintendent. Requires High School diploma or equivalent, valid Oregon dri- ver’s license. Class B CDL de- sirable, or must be able to obtain within 90 days. Certifica- tion I in Wastewater Collection, Wastewater Treatment, and Water Distribution are preferred; but not required. Application packets and job de- scription available during busi- ness hours at the City Recorder’s Office, Municipal Building, 500 W First Street, P.O. Box 68, Arlington, Oregon 97812 (541)454-2743. Applica- tions will be accepted until 5:00 p.m. June 17, 2022. The City of Arlington is an equal opportunity employer and main- tains a drug free workplace. The Council reserves the right to reject any and all applicants. All employment offers are con- tingent upon successful com- pletion of a physical and drug test. Saturday, June 11, 2022 EO-12104/ HH-6600 CITY OF UMATILLA REQUEST FOR PROPOSAL The City of Umatilla is engaging this Request for Proposals (RFP) to obtain submittals from qualified organizations to develop and im- plement Project PATH, a program designed to provide Practical As- sistance through Transitional Housing (PATH). The intent of this program is to bring together vari- ous services to assist individuals and families facing homelessness with the objective to move them into and through transitional housing to permanent housing. An integral part of Project PATH will be the suite of services that will be available to participants within the Hermiston, Umatilla, Echo, and Stanfield (HUES) area. A major component of Project PATH will include a facility on property owned by Umatilla County within the City of Umatilla to create a safe space for overnight or longer stays with support services available onsite. The chosen organization will be the designated entity responsible for planning and delivering serv- ices for transitional housing and related support services to move an individual from homelessness to permanent housing. The se- lected contractor will be responsi- ble for management of the Project PATH facility that includes a gen- eral building with offices, indoor common area(s), showers, and meal facilities; initially a minimum of 12 sleeping huts that can ac- commodate one to two people; and outdoor common areas in a secured fenced area. One entity is being sought to coordinate all services. Project PATH is funded primarily through the Oregon Department of Administrative Services with funds from House Bill 4123 (2022) and the City of Umatilla expects to subcontract with the selected provider for these serv- ices. For more information please visit: https://www.umatilla-city.org/rfps Deadline: July 7, 2022 at 4:00 p.m. EO: June 11, 14, 16, 2022 HH: June 15, 2022 101 Legal Notices 101 Legal Notices You can find your dream home Check out our Real Estate Listings in the Classifieds GIVE your budget a break! Check today’s classified ads for excellent buys on the items you need. UPCOMING GARAGE OR ESTATE SALE? Call 1-800-962-2819 to advertise it in our classified section and get your sale out there! WHY store items you’ll never use again? Exchange them for cash with a low-cost ad in the classifieds. You can find your dream home... 102 Public Notices 102 Public Notices EO-12061 NOTICE TO INTERESTED PERSONS IN THE CIRCUIT COURT OF THE STATE OF OREGON FOR THE COUNTY OF UMATILLA PROBATE DEPARTMENT No. 22PB03299 EO-12106 NOTICE OF BUDGET HEARING MEETING DATE 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. 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 Check out our real estate listings in the classifieds! CLASSIFIEDS 101 Legal Notices 101 Legal Notices Fund: HUMAN SERVICES-Subcontracted Services Program Resources: Amount: Requirements: State Revenue $157,064 Materials & Services Revised Total Fund Resources $6,963,999 A public meeting of the North Morrow Vector Control District Board of Trustees will be held on June 29, 2022 at 6:30 pm at 3 Marine Drive Boardman, Oregon 97818. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the North Morrow Vector Control District Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 3 Marine Drive Boardman, Oregon 97818, between the hours of 9 a.m. and 4 p.m. or online at nmvcdmosquito.org. This budget is for an annual budget period. This budget was prepared on a basis of accounting that is the same as than the preceding year. Contact: Gregory A. Barron Requirements: Personnel Services 2020-21 Beginning Fund Balance/Net Working Capital Revised Total Fund Requirements $541,092 101 Legal Notices 1 Local Revenue 2 State Revenue 101 Legal Notices Requirement 986,100 3,499,743 60,000 60,000 0 54,990 0 47,000 0 35,000 536,178 594,350 787,929 1,094,813 1,290,350 1,738,929 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION 330,915 364,604 Materials and Services 253,648 240,000 294,000 0 300,000 666,929 60,000 Capital Outlay Debt Service 400,000 22,003 113,003 Interfund Transfers 0 0 0 Contingencies 0 112,743 80,000 Special Payments 18,085 40,000 50,000 470,162 120,000 188,000 1,094,813 1,290,350 1,738,929 Unappropriated Ending Balance and Reserved for Future Expenditure 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 FTE: Mosquito Operations Total Requirements Total FTE 3 3 3 1,094,813 1,094,813 3 1,290,350 1,290,350 3 1,738,929 1,738,929 3 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING * Tax Revenues, Short Term Note at Banner Bank PROPERTY TAX LEVIES Rate or Amount ImposedRate or Amount ImposedRate or Amount Approved 2020-21 Permanent Rate Levy Local Option Levy General Obligation Bonds Other Bonds Other Borrowings Total Publish June 11, 2022 This Year 2021-22 Next Year 2022-23 0.1899 0.1899 0.10 0.10 0.1899 0.10 (rate limit 0.1899 per $1,000) STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding on July 1. $0 $0 $0 $0 Estimated Debt Authorized, But Not Incurred on July 1 $0 $0 $60,000 $60,000 A public meeting of the City of Helix will be h eld on June 20, 2022 at 7:15 pm at 119 Columbia Street, Helix, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the City of Helix Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 116 SE 2nd St, Pendleton, OR 97801, 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 used the preceding year. If different, the major changes and their effect on the budget are: Kylie McClintock, City Recorder Email: cityofhelix@gmail.com Adopted Budget Approved Budget 2020-2021 This Year 2021-2022 Next Year 2022-2023 Beginning Fund Balance/Net Working Capital 109,804 114,588 124,507 Fees, Licenses, Permits, Fines, Assessments & Other Service Charges 46,917 61,625 70,750 126,050 56,550 75,523 0 0 0 Interfund Transfers / Internal Service Reimbursements 13,000 20,000 18,081 All Other Resources Except Property Taxes 20,922 1,523 28,110 Property Taxes Estimated to be Received 54,862 56,000 65,000 307,130 388,911 367,771 Total Resources FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION Personnel Services 104,797 120,750 127,035 Materials and Services 69,546 91,412 125,024 Capital Outlay 13,474 135,045 65,179 Debt Service 0 0 0 13,000 20,000 18,081 Interfund Transfers Contingencies 0 9,458 32,452 Special Payments 0 12,246 0 106,313 0 0 307,130 388,911 367,771 Total Requirements Amount 1 Transfers Out Telephone: 541-276-3521 FINANCIAL SUMMARY - RESOURCES Actual Amount Unappropriated Ending Balance and Reserved for Future Expenditure $ $ 0 Personnel Services Revenue from Bonds and Other Debt General Fund* Amount 0 56,000 All Other Resources Except Current Year Property Taxes Federal, State and All Other Grants, Gifts, Allocations and Donations Summary of Supplemental Budget Publish Only Those Funds Being Modified Resource 800,000 0 59,000 Interfund Transfers / Internal Service Reimbursements TOTAL OF ALL FUNDS EO-12103 NOTICE OF SUPPLEMNTAL BUDGET A public hearing on a proposed supplemental budget for Pilot Rock School District 2R, Umatilla County, State of Oregon, for the fiscal year July 1, 2021 to June 30, 2022 will be held on the 15th day of June 2022 at 7:00 PM. The purpose of the hearing is to discuss the supplemental budget. A copy of the supplemental budget document may be inspected or obtained on or after June 9, 2022 at the District office or on the District website at: https://pilotrock.k12.or.us. Fund: 530,000 Revenue from Bonds and Other Debt Total Resources Approved Budget Next Year 2022-23 0 53,981 Federal, State and all Other Grants, Gifts, Allocations and Donations Current Year Property Taxes Estimated to be Received Adopted Budget This Year 2021-22 449,664 Fees, Licenses, Permits, Fines, Assessments & Other Service Charges Amount: $93,503 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 increase in Personnel Services of $40,000. Publish June 16, 2022 101 Legal Notices Email: gbarron@centurytel.net NOTICE OF BUDGET HEARING Revised Total Fund Requirements $6,963,999 Revised Total Fund Resources $541,092 Telephone: 541-481-6082 FINANCIAL SUMMARY - RESOURCES TOTAL OF ALL FUNDS Actual Amount Contact: Amount: $447,092 101 Legal Notices EO-12107 Amount: $157,064 Comments: The Subcontracted Services Program requires a supplemental budget to appropriate funding not known at adoption of the budget. This requires an increase in State Revenue of $20,000 and increase in Materials & Services of $20,000. Fund: COURT SECURITY Resources: Transfers In Class- if- ieds EO-12095 NOTICE OF BUDGET HEARING LONG TERM DEBT EO-12099 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 29th day of June at 9:00 a.m. A copy of the supplemental budget documents may be inspected or obtained on or after June 9, 2021 at the Umatilla County Courthouse, Room 116 between the hours of 8:00 a.m. and 5:00 p.m. A public meeting of the Riverside Rural Fire Protection District will be held on June 16, 2022 12:15pm at 116 SE 2nd Street Pendleton, Oregon to discuss the budget for the fiscal year July 1, 2022 to June 30, 2023. Original notice of this meeting was pub- lished on May 21, 2022 and the meeting date was incorrectly listed as June 7, 2022. Please refer to that publication for Form LB-1 for financial and contact in- formation. Publish June 11, 2022 $ FINANCIAL SUMMARY - REQUIREMENTS BY ORGANIZATIONAL UNIT OR PROGRAM * 340,000 Name of Organizational Unit or Program FTE for that unit or program Fund: Resource 1 State Revenue 2 Transfers In Fund: Resource 1 Transfers In Total Resources $ 5,915,943 Special Revenue Funds** Amount $ $ 250,000 100,000 Total Resources $ 2,227,770 Capital Projects Funds*** Amount $ 240,000 Total Requirements $ 5,915,943 General - Administration FTE Requirement Amount 1 Instruction 2 Support Services $ $ Total Requirements $ Requirement 1 Facilities Acquisition & Improvement 1,520,092 428,416 2,227,770 Amount $ 15,515,000 Total Resources $ 15,515,000 Total Requirements $ Comments *Local Revenue increased due to receipt of more than budgeted property taxes. State Revenue increased due to an increase and recalculation in the State School Fund Formula Transfer appropriation is increased due to investment in Capital Projects Fund and Bus Fund. 15,515,000 General - Service & Maintenance 10,404 10,850 0 0.25 0.25 0.00 51,561 35,436 42,625 FTE 0.50 0.50 0.34 State Street 12,901 17,600 17,961 FTE Water FTE Library FTE Total Requirements Total FTE 0.25 0.25 0.33 24,209 24,075 28,146 0.75 0.75 0.33 21,547 25,600 29,367 0.75 104,497 2.50 0.75 120,750 2.50 0.75 127,035 1.75 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING * The City now utilizes a contract City Recorder, therefore a reduction in Admin Personnel Services cost, Materials and services costs continue to rise. State revenue will be used for city beautification. Land Use Planning has been capped to approximately $5,000 total in fund. Some Interfund transfers will be done this year to help replenish capital funds. PROPERTY TAX LEVIES **Funds 251 and 260 are increasing due to the Grant Awards being awarded after the adoption of the budget, carryover awards and appropriation to be spent. Transfer Revenue increased due to General Fund investment in the Bus Fund (299) and appropriations to match revenue increase. Permanent Rate Levy ***Transfer revenue is increased due to General Fund investment into Capital Projects along with the appropriations to be spent The addition of the Bond Fund due to the passage of the 2020 November Bond by the community. Facilities Acquisition allocation increased to account for initial Bond expenditures. Publish June 11, 2022 General Obligation Bonds Other Bonds Other Borrowings Total Publish June 11, 2022 (rate limit 6.8007 per $1,000) LONG TERM DEBT Rate or Amount Imposed Rate or Amount Imposed Rate or Amount Approved 6.8007 6.8007 6.8007 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding on July 1. None None $0 $0 Estimated Debt Authorized, But Not Incurred on July 1