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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (May 17, 1979)
The Gazette-Times, Heppner, Oregon, Thursday, May 17, 1979 THIRTEEN PUBLIC NOTICE PUBLIC NOTICE PUBLIC NOTICE PUBLIC NOTICE NOTICE OF SALE OF SHERIFF'S CERTIFICATE TO "SUMMIT CREEK" RANCH PROPERTY TO BE SOLD The property to be sold is the purchaser's interest in that certain Certificate of Sale of Real Property issued on March 23, 1979 by Jody Williamson, Sheriff of Wal lowa County, Oregon, which Certificate was filed for record on the 23rd day of March, 1979 and recorded in Book 89 at Page 401 of the Deed Records of Wallowa County, Oregon. WARNING: A SHERIFF'S CERTIFICATE IS NOT A TITLE TO REAL PROP ERTY. IT IS A TECHNICAL LEGAL DOCUMENT GOV ERNED BY OREGON RE VISED STATUTES. LEGAL ADVICE CONCERNING THE NATURE OF A SHERIFF'S CERTIFICATE SHOULD BE OBTAINED. Generally, if no redemption occurs, this Certificate will entitle the owner of it to a Sheriff's Deed on March 24, 1980. A Sheriff's Deed will convey all of the interest which Michael F. Beymer and Warrene G. Beymer had on August 30, 1976 and all of the interest which they had there after in the "Summit Creek" Ranch, a particular descript ion of which can be found in the Certificate of Sale of Real Property in the recording department of the clerk's office at the Wallowa County Courthouse. The Sheriff's Deed will not contain any warranties of title. The Certificate of Sale of Real Property being sold is present ly subject to prior outstanding liens, encumbrances and de linquent taxes. Those that are presently known to Pendleton Production Credit Association and the approximate amounts owing are: Real Property Taxes and Interest $8,000.00 Federal Land Bank Assoc iation at La Grande $160,000.00 William Taylor Alexander $27,000.00 William Kendall-Johnston $21,000.00 These amounts are not exact and reference is made to the owner of the prior encum brances for exact amounts. Some or all of these obliga tions are in default and attorney fees are and may be owing in addition to the amounts listed. The kendall Johnston note is presently in foreclosure and information on that note may be obtained from Mr. Carl Helm, Attorney at law, La Grande, Oregon. Information on the note owed to William Taylor Alexander may be obtained from Mr. Charles Wright, Attorney at law, Portland, Oregon. The Certificate being sold is subject to a. statutory right of redemption until March 23, 1980. Pendleton PCA will warrant its title as purchaser under the Certificate of Sale. It will not warrant title to the ranch. The Sheriff's Deed does not carry any warranties of title. Pendleton PCA cannot warrant or guarantee that any amount will be payable on redemption . other than the amount it bid at the sheriff's sale, plus 6 percent interest, minus the amount of set-off for reasonable rent required by NOTICE OF MEASURE ELECTION HEPPNER CEMETERY MAINTENANCE DISTRICT Notice is hereby given that Tuesday, May 22nd, 1979, an election will be held in Hepp ner Cemetery Maintenance District, Morrow County, Ore gon. The polls will be open from 8:00 A.M. to 8:00 P.M. in the Old Library Room of Heppner City Hall. The follow ing question will be submitted to the qualified voters thereof: SHALL DISTRICT EXCEED 6 PERCENT LIMITATION : Shall Heppner Cemetery Maintenance District be au thorized to exceed the 6 percent limitation by the sum of $14,860.00 to fund the budget for the District for fiscal year 1979-1980. Said amount is to be used to clean bad spots, patch holes and cross cracks, and overlay approximately 25,500 square feet of streets and parking lot damaged by win ter freeze in Heppner Masonic Cemetery, and to overhaul equipment. Maximum rate estimated at 29 cents per thousand dollars of true cash value. Elaine S. George, Secretary-Treasurer Published May 17, 1979 NOTICE OF OREGON WHEAT COMMISSION PUBLIC BUDGET HEARING NOTICE HEREBY IS GIVEN that a public meeting will be held pursuant to ORS Chapter 578, The Oregon Wheat Commission Act, in the Conference Room of the Pen dleton Grain Growers Build ing, Southwest Tenth and Dorion Avenue, Pendleton, Oregon, on Wednesday, June 6, 1979, from 10:00 a.m. to 11:00 a.m., upon a proposed budget for the operation of the Oregon Wheat Commission during the fiscal year July 1, 1979 to June 30, 1980. At this meeting any pro ducer of wheat in Oregon has a right to be heard with respect to the proposed budget, a copy of which is available for inspection under reasonable circumstances in the office of each County Extension Agent in Oregon. For further information, contact the Oregon Wheat Commission office, P.O. Box 400, Pendleton, Oregon 97801. Dated this 10th day of May, 1979. ATTEST: Frank Tubbs Chairman Ivan C. Packard Administrator Published May 17, 1979 MORROW COUNTY COURT ORDERS February, 1979 Adoption of the Citys of Irrigon, lone, Heppner & Lexington Comprehensive Plans. Refund Order on Airport Hanger rent. Consent of court on Deed of Dedication Section 28, T4N, R 27. Contract signed with John Jepsen dba Dobyns Pest Control. Resoulution signed declaring the County of Morrow a disaster area. March, 1979 No orders or resolutions signed. Published May 17, 1979 NOTICE OF SUPPLEMENTAL BUDGET HEARING At 8:00 p.m. on May 29, 1979 at 320 5th St., the Irrigon Community Park and Recrea tion District Board will hold a public meeting for the purpose of discussing the supplement al budget for the FY 1978-1979. A copy of the supplemental budget may be inspected or obtained between the hours of 4 to 7 p.m. at the residence of Marie Johnson, Clerk. Any person may appear at the public hearing to discuss the budget or any part of it. BURRELCOOLEY, Chairman Irrigon Park Board Published May 17, 1979. RUBBER STAMPS Made To Order At The Gazette-Times Call 676-9228 the Oregon state statutes. MINIMUM PRICE Pendleton Production Credit Association will accept the highest bid as long as it exceeds the minimum price of $190,900.00. METHOD OF SALE The sale will be by sealed bids. Sealed bids will be accepted at the office of Pendleton Pro duction Credit Association, P.O. Box 1088. 702 S.W. Dorion. Pendleton, Oregon 97801 until 5 p.m. May 25, 1979. No bids will be accepted after that. Sealed bids must state the amount bid and be signed by all parties who will be purchasers. Bids will be opened and accepted or reject ed Tuesday, May 29, 1979. PAYMENT OF BID The amount contained in the bid will be payable in cash to Tend' n Production Credit Association within seven days of the acceptance of the bid. PENDLKTON PRODUCTION CREDIT ASSOCIATION P.O. Box 1088 702 S.W. Dorion Pendleton. Oregon 97801 (Telephone: 503-276-2811)" Published May 17, 1979 A eeatlng of tha i 79 3 ??: NOTICE OF BUDGET HEARING Port of Morrow Commission icovernlng Body) " Koon u. neison bcuare . vlU be held i June 14 The purpoae of chls seating la to dlecuee eh budget for the fiscal year oaf Inning July 1, 19 79 aa approval by Cn Port Of MOITOW Commission municipal Corporation) ludiat Coemlttae. a aunmary of tha budgat la presented balm. A copy o tba budget Bay ba lnepectad or oktalnaa free of " the Port of Morrow office t-anaan tba hour, of 8:00 a.m. md 4:30 p.m.. ma budget vaa praparad on a basis of accounting consistent nor. coaalacant with tha baiia of accounting nana during tba pracadlni year. Major changes, if any, and their off act on tha budgac, ara explained below. Morrow (County) Boardman (City) May 17. 1979 LeRoy Gardner (Data) (Chalrparaoa of Go-eralg Body) i Adopted Budget I Approved ludaat 1 FINANCIAL SUHHAUT Tola leer 7H-7Q seat Yaar 79-80 Total Paraonal Services (Ineludea all payroll coata) . . . 41 ,037 61 ,904 Total Matariala and Sarvlcaa 135.180 177,909 ANTICIPATED EtPE DITVR S Total Capital Outlay 45.550 73.800 Total All Otbar Ixpondlturee and laqulraaanta 298.200 266,570 I TOTAL ANTICIPATED EXTIKPITUk-S 519.967 580.183 I Total lavannae Except Property Taxes 487.131 , 545.377 I ANTICIPATED ' REVENUES Total Praparty Tana a-aulrad to lalaaea Budgat 32.836 34.806 , TOTAL ANTICIPATED lEVENUM 519.967 580.183 j " Total Proparty Taxaa Required to talanca Budgat 32.836 34.806 ANTICIPATED Plua: Satleated Proparty Taxaa Hot to ba Received , ... c Aon J TAX, LEVT (Discount- A-md and Taiaa Not Paid) 3, 1 JJ S,tU j TOTAL PRQPERTT TAX LEVT 37,949 40,226 ! Lavy Within Tea Base I 37.949 40.226 ' SUMMARY OF One-Year Spaclal Lavy Outalda Tax Baa TAX LEVT Serial Lorlee and Continuing Lavlaa. ...... ..... Lavy for Paraant of Bondad Debt- siATEmMT or pgiEjTmmiss DEBT OUTSTANDING I DEBT AUTHORIZED, NOT -CUIUS (XI NONE Q - SUMMARIZED BELOW NONE AS SUMU-IZSD BELOW PUBLISH ONLY IT COMPLETED DEBT OUTSTANDING DEBT AUTHORIZED. HOT I CURS D TVr nv nca- Thia Yaar I -ext Yaar I Thia Yaar tail taar U"T aa of July 1 aa of July 1 aa of July 1 aa of July 1 40,033,604 40,111,516 Intaraat Eaarlag Warrant Short Tarn Notaa TOTAL INDEBTEDNESS 40,033,604 40,111,516 FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED -General fund Total Personal Services (Includes all Payroll Costs) Total Material and Services ............ Total Capital Outlay Total All Other Expenditures and Requirements Total Expenditures and Requirements Total Resources Except Property Taxes Property Taxes Received Property Taxes Required to Balance Estimated Property Taxes Not to be Received Total Property Tax Levy Levy Within Tax Base One-Year Special Levies Outside Tax Base . . Serial Levies and Continuing Levies Levy For Payment of Bonded Debt ACTUAL DATA ADOPTED BUDGET APPROVED BUDGET LAST YEAR 77-7 THIS YEAR 78-9, NEXT VEAH 79-80 . . . 28.415 30,969 61.904 16.457 25,410 28. 950 21 4,550 2.500 21 .007 79.707 11? 917 65.900 140 636 PoTmjI ......... j12 ifly bbbbbb msf m'mjmp JVxt gjiigi WMmMM I FUNDS MOT REQUIRING A PROPERTY TAX TO BE LEVIED Port Facilities FUND Total Personal Services (includes all Payroll Costs) . Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements . . . Total Expenditures and Requirements Total Resources Total Personal Services (Includes all Payroll Costs) Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements . . . Total Expenditures and Requirements Total Resources Total Personal Services (Includes all Payroll Costs) . . Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements .... Total Expenditures and Requirements Total Resources Total Personal Services (Includes all Payroll Costs) . Total Materials and Services Total Capital Outlay Total All Other Lxpenditures and Requirements . . . Total Expenditures and Requirements Total Resources ACTUAL DATA ADOPTED BUDGET APPROVED BUDGET LAST YEAR 77-78 THIS YEAR 78-79 NEXT YEAR 79-80 24.018 54,500 22,508 C 41,000 71,300 27.702 55,551 10,179 51 .720 151.051 103,987 I 53.836 1 151.051 I 103.987 Uttlitj-Ssjen FUND ACTUAL DATA I ADOPTED BUDQET I APPROVED BUncST" LAST YEAR 77-78 THIS YEAR 78-73 NEXT YEAR 6.077 10,068 40-164 65.270 126.451 -o- 75.780 162,942 144.154 122,021 228,280 270.605 122TQ21 I 228.280 I 270,605 PoLljiJjonC3nJroloni fund ACTUAL DAIA-l ADOPT ED BUDGET I APPROVED BUDGET LAST YEAR THIS YEAR 7R-7Q NEXT V-AR9-OU 3.500.000 18,000,000 X 3,500,000 18,000,000 Nl 3.500.000 I 18.OQQ.60Q IaduJu"aaL.BjmtLBesiu,ryfi fund ACTUAL DATA I ADOPTED BUDGE,! "l APPROVED BUnGEXT LAST YEAR JJJZ THIS YEAR ZJlZL NEXT YEAR 931, 311 1,033,000 " 1 .021.000 931.311 1,033,000 1.021.000 931.311 I 1.033.000 1 .021.000 ,f J.tiJL..Bmddesry.e. fund Total Personal Services (Includes all Payroll Costs) Total Capital Outlay Total All Other Expenditures and Requirements , Total Expenditures and Requirements Total Resources Total Personal Services (Includes all Payroll Costs) Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements . . Total Expenditures and Requirements Total Resources I ACTUAL DATA I ADOPTED BliPGfT I APPROVED BUDGET. j LAST YEAR 77-78 THIS YEAR 78-79 NEXT YEAR 79-jiQ I 1 i 186.882 164.500 " 157.000 186,882 164.500 157, QOO 1 $Y$B2ai 164.500 157. QQ. PGE Bond Keserve hund FUND ACTUAL DAIA, I ADOPTED BUOGfcT APPROVED -UpfiET" LAST YEAR 77-78 THIS YEAR B-79 NEXT YEAR72rSQ , XX 27177.500 y X y v - 177 goo XlX XI 2.177.51TO FINANCIAL SUMMARY ANTICIPATED E-TENDITUK-S ANTICIPATES REVENUES Nonas ar budget otarxns A Mating of th it 79 at e City rnnnr.n The Tcne clty"Hgft'd', tha flacal yaar baglnnlng July 1, 19 79 approved by tha Budgat onltta. A aumnary of tha budgat la' praaantad balov. " BrltQw'i nar-.t will ba hald on A-j. 79 Tha purpooa of thia aaatlng 1 to diacuaa to budgat for Cltv of TonP (Municipal Corporation) A copy of tha budget nay ba Inspected ..batvaaa tha hours of R : OOn m and 5-00 p.m. Tba budgat vaa praparad oo a baa la of accounting QfJ conalatant not conalatant vlth tha basis of accounting uad during th pracadlng yar. Major changaa. If any, and their effect on th budget, ara uplalnad balcv. Morrow (County) lone (City) (Data) (Chalrpi SLL. halrparaon of Sovtrnlng Body) ANTICIPATED I TAX LEVT SUMMARY Or TAX LVT Tocal Paraonal Samces (locludaa all payroll coata) Total Hatarlala and Sarvlcaa Total Capital Outlay Total All Other Expenditure and Raqulrea-nta . . . . TOTAL ANTICIPATED EXPENDITURES Total Raveauee Except Property Taxaa Total Proparty Taxaa Required to Be I enre Budget. TOTAL ANTICIPATED REVENUES Adopted Budget Tela I eat 7 ft -79 Approved Budget neat rear tv-HU 13.469.00 15,970.00 41 ,700.00 36,940.00 2,850.00 4,350.00 25, 370. 00 21 , 261 . 50 83,389.00 78, 521 . 50 68,814.00 63,557.50 14.575.00 14964.00 83, 389.00 78,521 . 50 Total Proparty Taaea Required to BaLsnca Budget. Plua: Eatlnatad Proparty Taxea Not to ba Received (Discount Allowed and Taxaa Not Paid). . . IOTA- PROPERTY TAX LEVT Lavy tuthln Tax Baee One-Tsar Special Levy Outald Tax Baaa Sarlal Lavlaa and Continuing Levies. Levy tor Per eoc of Spaded Debt . . 14.575.00 14 . 964 . 00 1,175.00 1 , 193. 00 15.750.00 16.157.00 g.750.00 ,7.157,00 4.QQQ.00 4,onn.on s, nnn.nn ,ei,noo,on STATEMENT OP IHD-BTEDHESS DEBT OUTSIANDIHC 1 DEBT AUTHORIZED. NOT INCURRED NOME AS SUHHARIZ-3 BELOW j NONE AS SUMMARIZED BELOM PUBLISH ONLY 17 COMPLETES I DEBT OUTSTANDING DEBT AUTHORIZED. NOT INCURRED tvf n np.T This Tsar t Year Thia Yaar Next Year TTf E OP DEBT aa of July 1 as of July 1 aa ot July t as ot July 1 95,000.00 90,000.00 Bonds I .------ Intaraat leering Warrant ------. Short Term Notes 3 .nnn.no none : total ikdeb oniss . 9Srnnn.onl grnnn nn none NONF 1 ' ' y FUNDS REQUIRING A PROI'tRTY TAX TO BE LEVItl) SerialLey Total Personal Services (Includes all Payroll Costs) Total Material and Services Total Capital Outlay Total All Other Expenditures and Requirements . . Total Expenditures and Requirements ........ Total P.esourccs Except Property Taxes Property Taxes Received . Property Taxes Required to Balance ' Estimated Property Taxes Not to be Received . . . Total Property Tax Levy Levy Within Tax Base One-Year Special Levies Outside Tax Base Serial Levies and Continuing Levies Levy For Payment of Bunded Debt Total Personal Services (Includes all Payroll Costs) Total Material and Services Total Capital Outlay Total All Other Expenditures and Requirements . . Total Expenditures and Requirements Total Resources Except Property Taxes Property Taxes Received Property Taxes Required to Balance Estimated Property Taxes Not to be Received . . . Total Property Tax Levy Levy Within Tax Base One-Year Special Levies Outside Tax Base Serial Levies and Continuing Levies Levy For Payment of Bonded Debt ACTUAL DATA ADOPTED BUDGET APPROVED BUDGET LAST YEAR THIS YEAR NEXT YEAn 37 5.00 250.00" - 625. 00 6 5000 3,000.00 3,000.00 5,200.00 4,000.00 37900.00 5,200T0"0 ZZZjZ 3UOTOT5 i , hop, on 4 , ooo'.' oOTTj-r: ;"7.7" T"-;- . v y,:-3rt.v. 400.00 400. 00 4T000T0D 4 , 00OTOQ i , , ;. .'.',.. 'r'jyy p, 4,000.00 4,000.00 Bond LInt er es t and Redemp t i on plJN)) Total Personal Services (Includes all Payroll Costs) Total Material and Services Total Capital Outlay Total All Other Expenditures and Requirements . . Total Expenditures and Requirements ........ Total Resources Except Property Taxes Property Taxes Received Property Taxes Required to Balance Estimated Property Taxes Not to be Received . . . Total Property Tax Levy Levy Within Tax Base One-Year Special Levies Outside Tax Base Serial Levies and Continuing Levies Levy For Payment of Bonded Debt ACTUAL DATA- -c ADOPTED BUDGET,- APPROVED BUpAETji. LAST YEAR J-LJ THIS YEAR -lfl.-t.-i NEXT YEAR -Ig-"1 ' 4,460.00 5",47.b0 5,000.00 5,000.00" 5,000.0U 5,000.00 9,460.00 a, -47.50 4,460.00 4,247.50 "" " 5 ;ooit:o'o srow.'or) '' ' " ' 5,000.TMr 5,000.00 " ' P'y '''':' "y .; 5,500.00 5, 000.00 QSOSLTAX FUND ACTUAL DATA J ADOPTED ttUDGLT I AI'PKOVfcD DM D GET LAST YEAR 7.7 -7 S THIS YEArt78r?9 NEXT Y6ArT980 3.020.00 3,500.00 4,870.00 10. 100. 00 11,100.00 9,870.00 785."ob 340.00 5j-4-? 13,905.00 14,940.00 15,174.00 9.335.00 8,865.00 8 ,810. 00 y ''' ' "yy' '''yr'yyyT7y' yy"jy' y v- -1 ' '''y wtmmwWi ":, 'on. oo ' 1 "'W2 '675.00 11TJ50-. 6,750.00 771 57. "00 ', '".-. " yyyiyZ(y'i,,.'y:.:l ; yyyrty;yy FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED Water Utility FUND Total Personal Services (Includes all Payroll Costs) . Total, Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements . . . Total Expenditures and Requirements Total Resources . . . ACTUAL DATA ADOPTED BUDGET APPROVED BUDGET LAST YEAR 77-78 THIS YEAR 78 -Z9 NEXT Y6AR7L- 8,700. OO 9, 380. 00 10,700.00 7,050.00 4,000.00 4,700.00 4,250.00 7,620.00" 8,600.00 20,000.00 21,000.00 24,000.00 20,000.00 21,000.00 I 24,000.00 . CJrJRoad FUND Total Personal Services (Includes all Payroll Costs) . Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements. . . Total Expenditures and Requirements Total Resources Total Personal Services (Includes all Payroll Costs) . Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements. . . Total Expenditures and Requirements Total Resources Total Personal Services (Includes all Payroll Costs) Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements. . Total Expenditures and Requirements Total Resources Total Personal Services (Includes all Payroll Costs) Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements . . , Total Expenditures and Requirements Total Resources Total Personal Services (Includes all Payroll Costs) . Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements . . . Total Expenditures and Requirements Total Resources otal Personal Services (Includes all Payroll Costs) . Total Materials and Services Total Capital Outlay Total All Other Expenditures and Requirements . . , Total Expenditures and Requirements Total Resources ACTUAL DATA ADOPTED BUDGET I APPROVED BUDGET LAST YEAR 2llZB THIS YEAR. 78-29 NEXT YEAR 7P-f 1.500.00 3,250.00 3,250.00 4,500.00 3,000.00 1 ,500.00 7,750.00 625000 1,500.00 1 77750.00 I 6, 250.00 i:LteS.et FUND ACTUAL DATA I ADOPTED BUDGET I APPROVED BUDGET LAST YEAR 7778 THIS YEAR 78-79 NEXT YEAR 79-8C 5.400.00 19, 200. 00 12,900.00 10.400.0Q 15,800.00 19,200.00 12,900.00 15.800.00 1 19.200.00 112,900.00 FedesjLL Jle.v.exLue .Sharing FUND ACTUAL DATA I ADOPTED BUDGET I APPROVED BUDGET LAST YEAR 77-78 THIS YEAR 78-79 NEXT YEAr79jAQ 3,400.00 3.700.00 " 700.00 1 ,650. 00 450.00 3,400.00 4 ,150.00 2,350.00 3.400.00 I 4.150.00 I 2.350.00 XLLeIJL fund ACTUAL DATA I ADOPTED BUDGET I APPROVED BUDGET LAST YEAR 77-78 THIS YEAR 78-79 NEXT YEARZ9LZ8J1 589.00 400.00 589.00 400T00" NONE I 589.00 I 400.00 L&niL-n&ej ACTUAL DATA I ADOPTED BUDGET I APPROVED BUDGET LAST VEAR7778 . THIS YEAR 78-79 NEXT YEAR 79-8( 6.300.00 300.00 " 300.00 6.300.00 300.00 ' 300.00 fi.300.00 1 300.00 I 300.00 A. PROPERTY TAX TO BE LEVIED StateRevenue SJijyin F(JND ACTUAL DATA ADOPTED BUDGET APPROVED BUDGET LAST YEAR77-78 THIS YEAR 78-79 NEXT YEAR7 2", 200.00 ' 2,700.00 NONE 2,200.00 " 2,700.00 NONE 2.200.00 2.700.00 FUND