HEPPNER GAZETTE-TIMES. Thursday. Jun , 196(
Boys Participate
In AAU Junior
Olympic Meet
By DIANA KINCAIO
IONE On Saturday Mark
Ricimunn nd Douglas Bcrrs
participated In In AAU Olvrn
pic Track and Field Meet held
at Franklin Hign scnooi in run
In ml.
Mr. and Mr. Bill Rietman
and Mr. and Mrs. Harold Bo I'm
who accompanied their boys to
the meet, reported a steady
downpour of rain throughout the
entire meet wnicn maue irar
conditions very poor.
Mrs. Pete Cannon, librarian at
the lone l'ubllc Library, will bo
on dutv. starting thin week, on
Mondays and Thursdays be
tween the hours of 3:30 and 5:0
D.m. The summer schedule will
also be posted at the library.
Week-end guests of Rev. and
Mrs. A. II. llazzard were their
three daughters and families,
Mr. and Mrs. Guv Dalmarter and
children of Pendleton, Mrs. Paul
Collins and Peggy of Prinevlllo,
and Mrs. John Arnett, Sandra
and Karen of Redmond. The
Hazzanl.s left this week for their
home in Michigan. The address
Is Rt. 2, Lewiston, Mic h. 49750,
for those who may wish to cor
respond with them.
Mr. and Mrs. Los Roundy of
Kennewlck spent Memorial Day
with her father, Louis l'adnerg.
Mrs. Vela Eubanks of Madras
was visiting relatives and
friends In lone the past week
Sunday visitors with Mr. and
Mrs. Blaine Chapel were Mrs.
Jessie Furlong and Mrs. Con Ad
kins, both of Heppner, and Mrs.
Bessie Harrington of Vancouver,
Wn.
Bernioce Matthews was home
from Oregon College of Educa
tion at Monmouth this week
end with her parents, Mr. and
Mrs. Mike Matthews.
Swimming lessons will be
held In lone beginning on Tues
day. June 18, through Saturday,
for two weeks. Beginning class
es will be from 10:00 to 11:00
and advanced beginners will
swim from 11:00 to 12:00. Mrs.
I-cte Cannon will be the instruc
tor this year.
Princesses Jodi Snow and
Janet Palmateer appeared with
the Arlington Court at the Uma
tilla Sageriders Rodeo on Sat
urday evening. Miss Snow won
fourth place in the royalty
award division.
Cody Goodrow, young son of
Mr. and Mrs. Roy Goodrow, had
NOTICE OF BUDGET HEARING
The budget for City of Heppner, Oregon, for the fiscal year 19G8 1969, beginning July 1, 1968, as detailed and aummarlzed In the accompanying schedules
was prepared on an accounting basis consistent with that used In prior years. Major changes, if any, and their effects on this budget are set forth In an -;
panylng statement. A copy ol the budget document may be Inspected bv Interested persons between the hours of 9 12 and 1-5 at Heppner City Hall. The buagei
document, or any portion of It. may be obtained for $3.80 complete, or $.20 per sheet at Heppner City Hall. A meeting of the Heppner Common Council will be
held June 24, 1968, at 8 p.m., at Heppner City Hall for the purpose of holding a public hearing on this budget. Any person may appear to discuss the budget,
or any part of It. w c KQSEWALU ,.,
Morrow County, Oregon
Chairman of Governing Body
FINANCIAL SUMMARY
FOR THE ENSUING FISCAL TEAR BEGINNING JULY 1. 1968
Tax Lrr Computation
Total General
AU Funds
Total Budget Requirements $227,030
Less Budget Resources, Lxccpt
Taxes to Be Levied imusi
Taxes Necessary to Balance Budget 43.000
Add Taxes Kstlmated Not to Be
Received During hnsuing Year 531
Total Taxes to Be Levied $ 41,134
Analysis of Taxes To Bo Levied
Within 6 Limitation $ 21.001
Not Sublect to 6 Limitation 195.10
Total Taxes to Be Levied $ 41,134
All reserve funds and sK?cial revenue funds, if any, are Included.
Sewer
Sinking
Street
(Roads)
Water
Fund
Sower
Fund
$ 77,500 $30,210 $ 211,700 $ 49,100 $ 29,300
44.700 30.21C 29.700 38.300 29.S00
32,800 None None 10,800 None
531
$ 33,334 None None $ 10,800 None
$ 24,004' None None None None
8,730 10.80C
$ 33,334 None None $ 10,800 None
Spec. Sewer
Assessment
Fund
$ 700
700
None
None
None
None
Water
Sinking
Fund
$ 2,500
2.500
None
None
Sower Fire Dept. Swim. Pool Morgan St.
Reserve Special Reserve Reserv Reservo
Fund Bridge Fund Fund Fund Fund
$ 5.00C $ 90 $ 3,000 None None
5,000
None
None
90
3,000
None
None
None
None
None
None
None
None
None
None
FOR THE CURRENT FISCAL YEAR BEGINNING JULY 1, 1967
Tax Levy Computation
Total
All Funds
Total Budget Requirements $231,490
Less Budget Resources, Lxrept
Taxes to Be Levied 207,1 T
Taxes Necessary to Balance Budget 27,273
Add Taxes Estimated Not to Be
Received During Ensuing Year 937
Total Taxes to Be Levied $ 28,212
Analysis of Taxes To Be Levied
Within 0 Limitation $ 23.212
Not Sublect to 0 Limitation 5.000
ff.tal Taxes to Be Levied $ 28,212
All reserve funds and special revenue funds, if any,
General
Fund
$ 74,000
52,325
22,275
937
$ 23,212
$ 23,212
$ 23,212
arc included.
Sewer
Sinking
Fund
$ 40,210
40,210
None
None
None
None
Street
(Roads)
Fund
41,000
S 41.000
None
None
None
None
Water
Fund
Sewer
Fund
Spec Sewer
Assessment
Fund
Special
Bridge Fund
Fire DepL Swim. Pool Morgan St
Reserve Reserve Reserve
Fund
Fund
Fund
$ 40,500 $ 18,500 $ 700 $ 100 $ 2,000 $ 8,S30 $ 8,000
35.500 18,500 700 100 2,000 8.S50 8,000
5,000 None None
$ 5,000 None None None None None None
None None None
5,000
$ 5,000 None None None None None None
OUTSTANDING JULY 1
STATEMENT OF INDEBTEDNESS
1967 1968
Current Year Ensuing Year
TYPE OF INDEBTEDNESS (Actual) (Estimated)
Bonds $140,000 232,000
Total Indebtedness $140,000 232,000
PETTY CASH Current Year Ensuing Year
(Actual) (Estimated)
Balance July 1, 19G8 80.00 80.00
Approved by Budget Committee May 20,
LYNN PEARSON
Chairman of Budget Committee
1968
he misfortune to break his arm
on Sunday. He was taken to Con
don for treatment.
The Gazette-Times
offers complete
Printing Service
Dealer, Moore Business Forms
676-9228
More Fun,
Always... eugene
215 Coburg Road Phone: (503) 342-5181
RESTAURANT WITH
24-HOUfli COFFEE SHOP
Former Resident
Killed in Alaska
GENERAL FUND RESOURCES
FOR THE FISCAL YEAR 1968-1969. BEGINNING JULY I, 1968
HISTORICAL DATA
During the past week friends
here have received additional in
formation on the death of Rich
ard C. Calvin, a former Heppner
resident, and recently of Anch
orage, Alaska.
He was killed Sunday after
noon, May 26, when a light pick
up trucK in wnicn ne was a
passenger swerved off Bird Hill
on the Seward highway about
28 miles south of Anchorage
and plunged over a 64-foot em
bankment. He was killed in
stantly. Driver of the pickup
was hot seriously injured and
was released from Providence
hospital after minor treatment.
Calvin and his wife, Marguer
ite, had spent the week-end in
Homer, installing their camper
there for the summer. She was
not in the truck which crashed.
Calvin, 54, was employed in
the service department at Alas
ka Sales and Service. He re
sided in Anchorage with his
wife at 1462 W. 26th Ave., Apt.
13. Besides his widow, he is sur
vived by two daughters, Mrs.
Carolyn Bush and Mrs. Marilyn
Casa-Calvo, both in Alaska,
and his father, Gaccson C. Cal
vin of Anchorage.
Funeral services were held in
Anchorage on Wednesday, May
29.
Before moving to Anchorage
in 1960, he was parts manager
for the Ford garage for several
years, beginning in 1952. They
had returned for frequent visits
and to look after property here.
ACTUAL
Whether You Would Like A COOL,
Refreshing Treat Or A Hot Cup of
Coffee, Come in and Enjoy
OUR
NEW
1
w
Second
Preceding
Year
1965-66
$ 10,712.40
671.00
5,657.54
None
1,750.50
2,991.35
2,129.00
3,826.73
3,775.00
227.09
60.17
1,071.72
55.45
None
None
None
13,908.8?
(2,500.00)
5.000.0C
348.23
First
Preceding
Year
1966-67
$ 7,039.24
690.00
6,359.85
3,412.81
1,160.50
2,604.94
2,173.95
3,571.73
3,750.00
331.38
742.97
911.65
108.73
None
None
None
None
None
None
459.37
2,673.04
10,740.64'
$ 65,598.74
2,257.93
17,440.62
$ 53,015.67
Current
Year
1967-68
$ 10,000.00
600.00
5,000.00
4,200.00
1,000.00
2,000.00
1,800.00
3,400.00
3,775.00
200.00
250.00
700.00
100.00
8,850.00
8,000.00
2,000.00
None
None
None
450.00
2,000.00
20,275.00
S 74,600.00
Includes Unappropriated Balance budgeted last year.
Budget For
Ensuing Year
Approved
Beginning Fund Balance
Available Cash on Hand (Cash Basis) $ 13,900.00
Other Resources
Licenses & Fees 600.00
Liquor Revenues 5,000.00
Cigarette Revenues 4,200.00
Fines & Forfeitures 1,000.00
Parking Meters 2,000.00
Swimming Pool 2,000.00
Occupational Taxes (Franchises) 3,600.00
Rural Fire Protection District 3,775.00
Interest on Taxes 200.00
Interest on Time Certificates 250.00
Transfer from Sp. Sewer Assessment 700.00
Transfer from Hamiltcn-Happold Br ... .............. 90.00
Transfer from Swimming Pool Res None
Transfer from Streets (Roads) 3,200.00
Transfer from Sewer Pro Rata Exp 3,700.00
Transfer from Fire Dept. Reserve None
Offset on fire truck purchase None
Transfer from Water Pro Rata Exp None
MISCELLANEOUS, including: 485.00
Parking & Building Permits
Old Accounts Collected
Rentals
Dividends
Court Street Curb
Insurance Refunds
Delinquent Taxes Included
in Co. Tax
Total Resources Except Taxes to Be Levied 44,700 00
Taxes Necessary to Balance Budget 32,80000
Taxes Collected in Year Levied
Total Resources $ 77,500.00
It's Brand New to
Serve You!
Stop in Often For A 'Break' or a Bit
of Refreshment, Relax in Pleasant
Surroundings.
You're Welcome Here!
$ 12,416.03
15,988.76
4,173.32
186.72
None
6,366.95
$ 39,131.78
$ 18,685.59
13,068.56
3,784.61
152.5C
8,000.00
1,627.20
$ 45,318.46
STREETS (ROAD) FUND RESOURCES
FOR THE FISCAL YEAR 1968-1969. BEGINNING JULY 1, 1968
$ 15,800.00
12,500.00
4,500.00
200.00
8,000.00
None
$ 41.000.rt0
"Includes Unappropriated Balance budgeted last year.
Available Cash on Hand (Cash Basis) .-. $ 13,000.00
Other Resources
State Tax Street Fund 12,500.00
Morrow County Road Tax 4'ooo!o0
Miscellaneous Sales .' 200.00
Transfer from Morgan Street Res None
Total Resources, Except Taxes to Be Levied None
Taxes Collected in Year Levied None
Total Resources .'$ 29,700.00
WATER FUND RESOURCES
FOR THE FISCAL YEAR 1968-1969, BEGINNING JULY 1, 1968
($5,4SG.2D
34.757.32
529.40
5,468.25
$ 35,268.76
($4,472.59)
34.926.2S
314.40
5,021.72
$ 35,789.75
$ 2,000.00
33,000.00
500.00
5,000.00
S 40,500.00
Includes Unappropriated Balance budgeted last year.
Available Cash on Hand (Cash Basis)
Other Resources
Water Service
Miscellaneous Water Sales
Taxes Necessary to Balance Budget
Taxes Collected in Year Levied
Total Resources
..$ 5,000.00
.. 33,000.00
300.00
None
None
..$ 38,300.00
$ 921.77
13,031. 0C
4.S74 12
2.950.0C
1,487. 5t
None
235.5C
$ 23.499.SE
SEWER FUND RESOURCES
FOR THE FISCAL YEAR 1968-1969, BEGINNING JULY 1, 1968
$ 6,712.39 None Available Cash on Hand (Cash Basis)
Other Resources
16.511.50 16.200.00 Sewer Service Charge
None None Transfer from Reserve Fund
None None Transfer from Water Fund
1,388.82 2,000.00 Interest on TCDs
117.50 None Transfer from Reserve Fund Int
107.50 300.00 Back Sewer collections & Misc
$ 24.S67.71 S 1S.500.00 Total Resources
Includes Unappropriated Balance budgeted last yer.
..$ 2,000.00
.. 16,200.00
.. 10,000.00
None
.. 1,500.00
None
100.00
..$ 29,800.00
SPECIAL SEWER ASSESSMENT FUND
FOR THE FISCAL YEAR 1968-1969. BEGINNING JULY 1, 1968
$ 1,071.72
S 1.071.72
911.63
911.63
700.00
700.00
Resources :
Special Sewer Assessment & Interest
Requirements:
Transfer to General Fund
..$ 700.00
..$ 700.00
SPECIAL BRIDGE FUND
FOR THE FISCAL YEAR 1988-1969, BEGINNING JULY 1, 1968
$ 55.15
S 55.45
10S.73
$ 108.73
Resources:
100.00 Special Bridge Assessment and Interest
lHamilton-Happold Bridges)
Requirements:
100.00 Transfer to General Fund
..$ 90.00
..$ 90.00