Heppner gazette-times. (Heppner, Or.) 1925-current, June 12, 1969, Sec. 2, Page 2, Image 10

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    HEPPNER GAZETTE-TIMES, Thursday. Jun 12. 1969
Monument News
Br MARTHA MATTESON
MONUMENT Mrs. Maw
ilutilits of rendition and broth
er. Bill Elder of. Ontario, visited
Memorial Day here with their
brothers. Frank and Joe Elder,
Mrs. Vera Gardner took her
mother. Mrs. Vlsl Dury to the
hospital In John Day last Frl
day.
Mr. and Mrs. Charles Roach
of Helix were Monument visit
ors over the week end.
Mr. and Mrs. Loyd Glengcr
and family spent Memorial Day
at Fox with several other rela
tives and friends.
A cood crowd turned out Sun
day for the yard sale of Helen
Holmes. She Is getting ready to
move to S"" hern California In
the near future to make her
home there.
Mr. and Mrs. Robert Porter of
La Grande were week-end visit
ors with their parents, the Fred
Shanks and George Stubble
fields. Mrs. Edna Moore has return
ed home from Bend where she
was in the hospital for surgery.
Mrs. Louise Corley, Mrs. Alice
Kilby and five children of the
4-H knitting club went to Pen
dleton last Thursday to so
through the woolen mills.
Mr. and Mr. Robert Gertson
will be living in Umaplne this
fall, where he will be superin
tendent of the school.
Mr. and Mrs. Bll Condley and
Bonnie of Bend were In Monu
ment for Memorial Day.
Mrs. Earl Lewis and daugn
ter, Marlene, spent three days
in Heppner working.
Mrs. Ray Davis and her broth
er-in-law and sister, Mr. and
Mrs. Vernon Peterson of Rich
field. Calif., drove to Heppner
Monday. They were returning
home, after spending two weeks
here.
Mr. and Mrs. Owen Smith
took their son, Dale, to meet
the bus Monday, on his way to
enter the armed forces.
Mr. and Mrs. D. H. Fouts of
Bullhead, Ariz., came recently to
visit her brother, Ray Davis and
family.
Mr. and Mrs. Sam Scott and
sons. Robert and Robin, moved
to Granite Sunday, June 8, for
summer work. Thev will help
Alton McBride build roads for
logging operations.
A baby shower was held June
4 at the school cafeteria for Mi
chael Ray Moore, baby son of
Mr. and Mrs. Emery Moore. The
baby received many lovely pres
ents from the 21 persons attend-
NOTICE OF BUDGET HEARING
.... i iL. .UHMi.AMiilMif atiAilll4B WAS It FA.
The budget for City of Heppner, for the fiscal year 1969-1970, beginning July 1. 1969, a. detailed and e , ..,,. ......
on an accounting basis consistent with that used In prior years. Major cnanges. u any, na u.c.r " Meooner City Hall. The budget
. A copy of the budget document may be inspected by. interest persona nnwn .- . - - Common Council will be
or any portion of It, may be obtained for WW complete or, mav appear to discuss the budget
June 23, VMM, at o:(XJ r.M. at Heppner city nan, xor tne purpose oi hoiuihk imuuv nr.nus -
pared
statement
document.
held
or any part of It
W. C. COLLINS. Mayor
Chairman of Governing Body
Morrow County
FINANCIAL SUMMARY
FOR THE ENSUING FISCAL TEAR BEGINNING JULY I. 1969
Tax Levy Computation
Total
All Funds
Total Budget Requirements $265,077.35
Less Budget Resources, Except
Taxes to Be Levied 225,977.35
Taxes Necessary to Balance Budget 39.100.00
Add Taxes Estimated Not to Be
Received During Ensuing Year 2,059.00
Total Taxes to Be Levied $ 41,159.00
Analysis of Taxes to Be Levied
Within 6 Limitation $ 26,080.00
Not Subject to 6 Limitation 15,079.00
Total Taxes to Be Levied $ 41,159.00
All reserve funds and special revenue funds, if any, are included.
General
Fund
$ 77,300.00
52,500.00
24.800.0C
2,059.00
S 26,859.00
$ 20,580.00
6.279.00
$ 26,859.00
Streets
(Roads)
Fund
$ 38.000.00
32.500.00
5.5O0.00
Water
Fund
$ 47,800.00
39.000.0C
8.800.0C
Sewer
Fund
$ 34,000.00
34.000.0C
Special
Sewer &
Bridge
Assess.
Willow Cr.
Dam Re.
Water
Sink. Fund
S 66500 $ 2.000.00 $ 2,500.00
665.00
2.000.00
2,500.00
Fire Dept.
Res. Fund
$ 4,000.00
4,000.00
Sewer
Reserve
Fund
3 8,000.00
Sewer
Sinking
Fund
$ 40.240.00
Swim. Fool
Reserve
Fund
$ 10.572.35
8,000.00 40.240.00 10.572.33
$ 5,500.00 $ 8,800.00
$ 5,500.00
$ 5,500.00
8,800.00
8,800.00
Bonded debt requirements incl. in funds.
FOR THE CURRENT FISCAL YEAR BEGINNING JULY 1. 1968
Tax Levy Computation Total General
All Funds Fund
Total Budget Requirements $227,630.00 $ 77,500.00
Less Budget Resources, Except
Taxes to Be Levied 184,030.00 44,700.00
Taxes Necessary to Balance Budget 43,600.00 32,800.00
Add Taxes Estimated Not to Be
Received During Ensuing Year 534.00 534.00
Total Taxes to Be Levied $ 44,134.00 $ 33,334.00
Analysis of Taxes to Be Levied
Within 6 Limitation $ 24,604.00 $ 24,604.00
Not Sublect to 6 Limitation 19,530.00 8,730.00
Total Taxes to Be Levied $ 44,134.00 $ 33,334.00
A11 reserve funds and special revenue funds, if any, are Included.
Streets
(Roads)
Fund
$ 29,700.00
29,700.00
Water
Fund
$ 49.XC0.00
38,300.00
10,800.00
$ 10,800.00
10,800.00
10,800.00
Special
Sewer &
Sewer Bridge Willow Cr.
Fund Assess. Dam Res.
$ 29,800.00 $ 790.00
29,800.00 790.00
Water
Sink. Fund
$ 2,500.00
2,500.00
Fire Dept.
Res. Fund
$ 3,000.00
3.000.00
Sewer Sewer Swim. Fool
Reserve Sinking Reserve
Fund Fund Fund
$ 5,000.00 $ 30,240.00
5,000.00 30.240.00
Bonded debt requirements incl. in funds.
STATEMENT OF INDEBTEDNESS
OUTSTANDING JULY 1
1969 1968
Current Year Ensuing Tear
TYPE OF INDEBTEDNESS (Actual) (Estimated)
Bonds $232,000.00 204,000.00
Total Indebtedness $232,000.00 204,000.00
PETTY CASH Current Year Ensuing Year
(Actual) (Estimated)
Balance July 1, 1969 $80.00 80.00
Approved by Budget Committee June 23, 1969
GENE PIERCE
Chairman of Budget Committee
Ing. Hostesses were Mrs. Jessie
Scott, Mrs. Thelma Williams,
and Mrs. Cora Stubblefield.
Tim Kilby has put a fireplace
in the Elmer Matteson home.
Mr. and Mrs. Clarence Barratt
and daughter, Dorothy, Mr. and
Mrs. D. W. Hutchison of Malta,
Idaho, and Mrs. John Lyner of
bait Lake City, Utah, have been
visiting at the June Hutchison
home.
vr i
GENERAL FUND RESOURCES
FOR THE FISCAL YEAR 1969-1970. BEGINNING JULY 1. 1969
HISTORICAL DATA
ACTUAL
Second
Preceding
Year
$ 7,039.24
2,257.93
15,484.84
9,772.66
1,020.38
35,575.05
17,440.62
53,015.67
First
Preceding
Year
$ 6,544.19
2,732.08
16,607.49
11,002.78
19,515.56
56,402.10
20,549.40
$ 76,951.50
Budget
Current
Year
$ 13,900.00
13,910.00
9,200.00
7,690.00
44,700.00
32,800.00
$ 77,500.00
Budget For
Ensuing Year
Approved
Beginning Fund Balance:
Available Cash on Hand (Cash Basis) $ 15,681.00
Previously Levied Taxes Estimated to Be
Received During Ensuing Year 2,000.00
Other Resources
Local Sources 14,825.00
State Agencies 11,050.00
Transfers from Other Funds 8,944.00
Total General Fund Resources Except Taxes 52,500.00
Taxes Necessary to Balance Budget 24,800.00
Taxes Collected in Year Levied
Total Resources $ 77,300.00
STREETS (ROAD) FUND RESOURCES
FOR THE FISCAL YEAR 1969-1970. BEGINNING JULY 1. 1969
$ 18,685.59
13,068.56
3,784.61
152.50
8,000.00
43,691.26
1,627.20
$ 45,318.46
$ 28,202.16
14,081.89
3,317.82
248.18
None
45,850.05
None
$ 45.850.05
$ 13,000.00
12,500.00
4,000.00
200.00
None
29,700.00
None
$ 29,700.00
Beginning Fund Balance:
Available Cash on Hand (Cash Basis) $ 12,300.00
Other Resources
State Tax Street Fund
Morrow County Road Fund
Miscellaneous Sales
Transfer from Morgan St. Fund
Total Resources, Except Taxes to Be Levied
Taxes Necessary to Balance Budget
Taxes Collected in Year Levied
Total Resources
17,000.00
3,000.00
200.00
32,500.00
5,500.00
..$ 38,000.00
WATER FUND RESOURCES
FOR THE FISCAL YEAR 1969-1970. BEGINNING JULY 1, 1969
$ 5,000.00 'Available Cash on Hand (Cash Basis) $ 5,700.00
the
Little Things
that Count
($4,472.59)
34,926.25
314.40
5,021.72
$ 35,789.78
($3,940.50)
38,687.65
387.31
5.000.0C
$ 40,134.46
33.000.00
300.00
38,300.00
10,800.00
$ 49.100.00
Other Resources
Water Service
Miscellaneous Water Sales
Total Resources, Except Taxes to Be Levied
Taxes Necessary to Balance Budget
Taxes Collected in Year Levied
Total Resources
.. 33,000.00
300.00
.. 39,000.00
.. 8,800.00
"$ 47,800.00
SEWER FUND RESOURCES
FOR THE FISCAL YEAR 1969-1970. BEGINNING JULY 1, 1969
Like. ART POINT weddine invitations! One of the most im
portant little details which are necessary to make your wedding
a success.
Art Point invitations are always socially correct in every detail,
you will be proud to send them to your friends as it marks you
as a person of extreme good taste.
A price and a style for every bride-to-be; from $ 14.93 for i00
and up! Reception or At Home footnotes on the wedding no
extra charge.
Let our Society Editor have all the details about your wed
ding plans.
SEE US FOR YOUR WEDDING NEEDS
Invitations or Announcements 'Thank You' Notes
Reception Napkins Wedding Books
Free Booklet "Now That You Are To Be Married"
Our Gift to the Newlyweds with Each Order of Wedding Invi
tations 1 Year Gift Subscription to The Gazette-Times.
The Gazette-Times
$ 6,712.39
16,541.50
None
1,388.82
117.50
107.50
24,867.71
S 24,867.71
$ 8,296.99
16,252.50
None
2,000.00
None
38.70
26,588.19
$ 26,588.19
$ 2,000.00
16,200.00
10,000.00
1,500.00
None
100.00
29,800.00
$ 29,800.00
Available Cash on Hand (Cash Basis)
Other Resources
Sewer Service Charge
Transfer from Sinking Fund ,
Interest on TCDs
Transfer from Reserve Fund Int
Miscellaneous & Back Sewer Coll
Total Resources, Except Taxes to Be Levied
Total Resources
..$ 1,000.00
.. 16,200.00
.. 15,230.00
.. 1,500.00
None
70.00
.. 34,000.00
..$ 34,000.00
SPECIAL BRIDGE fir SEWER ASSESSMENT FUND
FOR THE FISCAL YEAR 1969-1970, BEGINNING JULY 1. 1969
911.65
108.73
911.65
108.73
$ 662.81
108.86
662.81
108.86
Resources:
700.00 Sewer Assessment & Interest
90.00 Bridge Assessment & Interest
Requirements :
700.00 Transfer Sewer Assessment & Interest
to General Fund
90.00 Transfer Bridge Assessment & Interest
..$ 625.00
40.00
625.00
..$ 40.00
FIRE DEPARTMENT RESERVE FUND SUMMARY
$ 1,000.00
1,000.00
1,000.00
$ 1.000.00
$ 1,000.00
1,000.00
2,000.00
2,000.00
$ 2,000.00
FOR THE FISCAL YEAR 1969-1970. BEGINNING JULY 1. 1969
Resources:
$ 2,000.00 Beginning Fund Balance
1,000.00 Transfer from Other Funds General Fund
3,000.00 Total Resources
Requirements:
3,000.00 Reserved for Expenditure in Future Years
Purchase of Fire Truck
$ 3,000.00 Total Requirements
..$ 3,000.00
.. 1,000.00
.. 4,000.00
.. 4,000.00
..$ 4,000.00
WILLOW CREEK DAM RESERVE FUND SUMMARY
FOR THE FISCAL YEAR 1969-1970. BEGINNING JULY 1. 1969
PH. 676-9223
HEPPNER. ORE.
None
None
None
None
None
None
Resources:
Available Cash on Hand (Cash Basis)
Transfer from Other Funds Water Operating
Total Resources, Except Taxes to Be Levied .
Taxes Necessary to Balance Budget
Total Resources
Requirements:
Reserved for Expenditures in Future Years
Willow Creek Dam Obligations
Total Requirements
None
2,000.00
2,000.00
None
2,000.00
. 2,000.00
..$ 2.000.00
None
None
None
None
None
None