Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 20, 1990)
■ «■ ■ ■ ■ ■ ■ ■ fli Heppner Gazette-Times, Heppner, Oregon Wednesday, June 20, 1990 - FIVE TREASURER FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-2 PubNah ONLY completed portion ol this pig* Total Anticipate Raquiramanli must equal Total Ratourcat. ICS---------------------------------------------------------------------------------------- GENERAL 1. Total Personal ftorrir— c r ----------------------------------------------------------- AMBULANCE RESERVE 1. Toul Paraonal Sarvlcaa ............................ 2. Total Malartala and Sarvlcaa........................ 3. Total Capital Outlay.................................. 4. Total OeM Service.................................... 8. Toul Tranalara ....................................... 6 TO»#* 7. Total Afl Other Expenditures end Requirements .. S. Total Unappropriated Ending Fund Balance ...... 8. Total Ending Fund Balanca.......................... 10. Total Anticipale Raquiramanu .................... 7.356 12.000 N/A N/A ™ . , î r w w - - 500 MUSEUM TRUST 8.350 8.350 , . „ v „ r r * 83 7?,7/1 lie 7 3 Tft k 7ti,R75 7li 875 - - 12.388 - - 5.000 - - 600 - - *t00 6. Total Contingancias.................................. . 17.907 ^nn 12.938 11. Total Raaourcea ....................................... _______ 13.207______ ________12.988______ iao>ofla- Toul Personal Samcai ........................................ Tout Matanaii and Sarvtcai.................................. Total Capital Outlay................................................. Total Dabi Sarvtca.................................................. Total Tranalara ....................................................... Total Contlnganaai................................................ Total Al Otnar Expandlturaa and Raqulramanta .. Total Unappropnatad Ending Fund Balança ........ Total Ending Fund Balança.................................... Tout Antictpalad Requiremenu ............................ Total Resources .................................................... 2 0 1 ..1 9 0 65 158 885 A d o p te Budget This Yaar 1989-90 82,673 »3.500 Toul Paraonal Samoa» ............................................ Total Malartala and Sam oa»...................................... Toul CapfW Outlay.................................................... Total DaM Sarvtca...................................................... Total Transféra .......................................................... Total Conongancies.................................................... Total AS Otnar fapendMuras and Raqulramanta Total Unappropriate Ending Fund Balanca . . . Total Ending Fund Balanca................................. Total Anticipate Requiremenu........................ -3 2 * 1 8 2 - 10.202 I 9 9 0 -9 1 2 9 8 .7 2 3 ___________ 101.657 2.000 _ lQ 5 »iZ 8 . 3 1 2 .^ 2 0 . Approve Next Year. ACtt Last Year _ i .919 3 .?Q? ^ 1.*106 3 2 ,7 5 9 Ô8.873 18.105 200 4 ,* -A . Í • •1 ' • * S. - » * - - • . - -1 02.17,2, 109.363 - - 29.173 ---------------------------------------------------------------------------------------- m 1. 2. 3 4 . S. 6 . Toul Personal Sarvicea ............................................ Toul Metarule and Sam oa»...................................... Toul Capital Outlay.................................................... Toul Debt Sam o a...................................................... Total Tranalara .......................................................... Total Cononganclea.................................................... 7 Yrv.i ajtr>n«. F.nxmin.»»? *~t Adopted Budgat This Yaar 1989-90 ________5x381_______ * » , "• ! 1 a V - -•* » , 5.891 5,539 1 61 5 : . •I . .. . » _ _ • V . \ V . .‘a ./ r .* . - * -• - - _ ___________ 8 , 3 7 5 _________ 1----------------------- & - Û &6 _________ N bwsb ol UwR/Eroy wm BOARD OF EQUALIZATION (Previously combined with County Clerk budget) Art Actual Data Last Year '9 8 8 -8 9 GENERAL 1. 2. 3. 4. 5. 6 . 7. 8 . 8 . 10. Tout Personal Services ............................................ Toul Malarial» and S a m e »»...................................... Total Capital Outlay.................................................... Toul Debt S e m e s...................................................... Toul Tranalara .......................................................... Toul Condngancies.................................................... Toul AS Other Expenditures and Raquiramanu Total UnapproprUUd Ending Fund Balança . . . Toul Ending Fund Balança................................. Total Anticipate Raquiramanu........................ N/A Adopted B e g e t This Year 1 9 8 9 -9 0 Approved Budget Next Year .1990-91 3.831 1 .675 1 . 700 N/A _ *.*. • • %• * . 5 . 5 n5 (Previously combined with Treasurer budget) Actual Data La .tY .a r '9 8 8 -8 9 t. Toul Personal Sarvicea ............................................. 2. Toul Materials and S a m c a i...................................... 3. Total CapiW Outlay..................................................... 4. Total Dabi Sam oa....................................................... See T reasurer ‘ s Budget Adopted Budgat This Yaar ' 9 8 9 - 9 0 Approved Budgat See T reasurer1s Budget 58.610 9.350 1 .700 _ - 6 . Total Cononganclea.................................................... a ■ ' 6B.q5n \ s * ■' - I \ . • V . ’. IDENTIRCATION OF FUNDS BY UNIT/PROGRAM JUSTICE COURT 2 8 ,3 2 5 . AdcptadI This Yaar 5 GENERAL ' 9 Total Oabt Service............................................. Total Transfers ................................................ Total Continganciaa.......................................... Total Al Otnar Expenditures and Raqutramants Total Unappropnatad Ending Fund Balanca .. Total Ending Fund Balanca.............................. Total Anticipate Requirement»...................... 26.QQQ ? 6 , nnn 2. 3. 4. 5. 8 . 7. 8 . 8 . 10. 75 nu n ~ Adopted Budget This Year Actual Data I sat Yaar 83 t. Toul Paraonal Services N/A N/A ..................................... To u l Malariait and Service»............................... Toul CaplUI O utU y............................................ To u l Oabt Service.............................................. Total Tranafers .................................................. To u l ConbnganclM............................................ To u l AS Othar Expandlturaa and Raquiramanu Total Unapproprtaud Endmg Fund Balanca . . . Total Endwg Fund Balanca................................. To u l Andopated Raquiramanu......................... . Approved Budgat i qqn-qi A d o p te Budgat This Yaar » 9 8 9 ^ 0 5 1 .2 2 1 . Ü . 1 Ü - 56.731 750 200 h h .C iX L 77.076 Nt»! ï » f 61 - 0 6 2 16.185 1 5 . 195 1 1 ,2 1 13- • w unuangnM Approved Budget Next Year EMERGENCY MANAGEMENT Adopted Budget Actual data Toul Paraonal Sanncas ........................................ Total Materials and Sarvlcaa.................................. Toul CaprUI Outlay................................................ Total Debt Sarvtca................................................... Total Transfers ....................................................... Toul Contingencies................................................ Total AS Omar Expandlturaa and Requirement» .. Total Unappropriate Ending Fund Balanca ........ Total Ending Fund Balanca.................................... Toul Anticipate Requiremenu............................ To u l Resources ..................................................... GENtRAL 1. To ta l R v -.u iia l ü ,ir .ic .i 2. 3. 4. 5. 8 . 7. t. 8 . 10. lU L Y tr ’ f f l - 8? I Approved Budget va.., > 9 9 0 - 9 * 'This Year ^ J 9 8 9 - 9 0 12 .0 5 5 - . Tout Material» and Sarvlcaa............................... To u l CaplUI OuOay............................................ Total Oabt Sam oa.............................................. Tout Tranalara .................................................. Toul ConWtgenciee...................... ................... To u l AB Othar Expandlturaa and Raquiramanu Total Unapproprlaae Ending Fund Baianoa . . . To u l Ending Fuid Balanca ................................. Toul Anticipate Raquiramanu......................... un. 90. 91 11 h n .o m . et UrtR/erogram DISTRICT ATTORNEY FORM LB-4 1 ast Yaar ^ 8 - 8 9 86.539 12.066 _____________________ Publish ONLY Complete Portion of This Paga COUNTY COURT A d o p te Budget This Yaar ' 3 8 9 -g O n ' t . 628 125.9'5 16.220 - - 3. Toul CaplUI OuOay..................................................... 23.255 - - » - - g Total Condngenclee.................................................... 7 . Tout AS Other Expenditures and Raquiramanu . . . . - - A p p r o v e Budge! Next Yaar ' 9 9 0 - 9 1 182.063 22,li05 - - -• - - - 7. 8 . 8 . 10. GENERAL 32. 521 1.676 87.912 3.670 Approved B e g a t Next Yaar ' 9 9 0 - J I 55.561 3.820 J Tötxl CBpftxl Outlay.................................................... . . 7. Tout AS Other Expandlturaa and Raquiramanu------ ■ ■ ■ H - 10 T o w Anticipate Raquiramanu................................ _________ 3 8 . 1 9 7 I • . _ _ - - - . _ - ,ii7.ftia, Adopted Budget 66.628 28,005______ 5 - « 172.692- 7. 8 . 8 . tO 69.529______ 23,610______ - - a. Total Conangancua ................................................... Toul AS Omar Expenditures and Raqukamanu Total Unapproprtaud Endbig Fund Balanca . . . Total Ending Fund Balanca................................ Total Anticipale Requirements........................ Approved Budget - - FO R M LB-4 68,802 99.633 “ 23 al133- IDENTIFICATION OF FUNDS BY UNIT/PROGRAM _______________________ Pubttah O NLY C o m p ia te Portion of Th u Page __________ 5 1x 5 82_________ 1___________ 5 9 . 3 6 1 __________ SHERIFF ASSESSOR GENERAL 9S.5fll 58.968 5.522 339 ACCOUNTANT Adoptad B e g a t Thla Yaar ' 9 8 9 ‘ 90 - ______________ *• Actual Data . .. . Y a a r 1988-89 GENERAL 152 J 3 5 __________ ________ 157 x 883_________ 1_________ 1 6 6 . M B Actual Data la,.Yaar '988-89 - - JUVENILE DIRECTOR * 0 * - 9 . Total Ending Fund Balance........................................ tO. To u l Anddpate Raquiramanu ................................ Tout Conongeroes.................. .................................. Total AS Othar Expenditures and Requiremenu Total Unappropnaie Endbig Fund Balanca . . . Toul Ending Fund Baianoa................................. Toul Anticipated Raquiramanu......................... . - 1 6. 98.703_______ 26.690 __________ 5fiQ_______ 93.329 26.690 . Actual Data 1 eat Yaar ' 9 8 8 - 8 9 GENERAL 733 Approved Budget Next Year ' 9 9 0 - 9 3 Actual Data„ GENERAL IDENTIFICATION OF FUNDS BY UNIT/PROGRAM Pant AClUf ' 9 q 0 $ B - B 8 ? q Last Yaar A d o p te B e g a t T h ,,Y ..r W f W '95,38è »50.817 9. 581 17,900 A p p r o v e Budget Next Yaar ' 9 9 0 9 ' '91 .8 29 n rrfö o Actual Data Adoptad Budgat 362,003 121 j I 9 S 220,810 3,183 2.395 GENERAL 2 Total Materici« and Servie*«...................................... 626,018 Approved Budgat Next Yaar 1 9 9 0 ^ 1 ----------- 686,330 226,960 ____________ 1 ^ 0 0 0 _________ 1.000 - - W Ê Ê Ê Ê Ê Ê Ê Ê m K Ê m * - - - - * - - - - 6 Total Cont»ng«nc**«.................................................... - - 1 . 050 - 7. ToW AS Other Expendduree and Requiremenu . . . . - - 1.050 t- l. - v 'y-.A - l V ;‘ :*• • % « ,* 4* ; "t** y 1 iv *‘ • - ^ . j ■ 1 1 ,i v; ; 1 É - - - . to. Tout Anaopate Requiremenu ................................ ________ 1 5 9 . 9 5 8 _________ _________2 1 1 .2 9 8 _________ 1_________ 2 0 6 . 9 2 9 : . * >• . h U V U U n a X lfl . ,3 5 x 2 5 2 - . JJ »-I PuMsh ONLY Complete Portion of This Paga IS.,997 8.3.325 1. Total Paraonal Services .................................. 2. Total Materials and Service»............................ 3. Total Capital Outlay.......................................... ' l Approved Budgal Next Year 1 9 9 0 - 9 1 2.365 - - - , * - * '. \ Actual Data La.IY.ar '988-89 - 3. Toul Ending Fuid Balança........................................ 10 ToW Anticipate Raquiramanu ................................ ___________ 6 - 7 5 6 FORM LB-4 L . „ Y . , Ar h« 8 3 ‘ V L- • . FAIR 8 RODEO BUILDING RESERVE •- • , 91 .313 18.050 7. Tout AS ornar Expandlturaa and Raquiramanu 8 . Toul Unappropnaie Ending Fund Balanca . . . 8 Toul Ending Fund Balance................................ 10 Total Anticipale Requrem enu........................ N/A ; A p p r o v e Budgat Next Year 1990-91 V» GENERAL 226J.12. ; VETERANS OFFICER TAX COLLECTOR Total Oabt Sarvtca............................................... Total Tranalara ................................................... Total Continganciaa............................................. Total Al Otnar Expandlturaa and Requremenn Total Unapproprlatad Ending Fund Balanca . . . Total Ending Fund Balanca................................ Total Anticipated Raqulramanta........................ Total f fiM 1. 2. 3. 4. S. e. 7. 8 . 8 . 10. fiM* 1. Total Paraonal Sarvtca» .................................... 2. Total Malartala and Sarvlcaa.............................. 3. Total Capital Outlay............................................. 1. 2. 3. 4. 5. 6 . 7. 8 . 8 . 10. 11. ti Yaar This Yaar Last Yoar. MOTOR POOL 4. 5. 8 . 7. 8 . 8 . 10. 5.ÍI00 ________5x50a_______ Approve Budget MENTAL HEALTH 4. 5. 8 . 7. 8 . 8 . tO. 11. Actual Data 1 3 I - - r ’ .- a , * • GENERAL i 3. Toul CaprUI Outlay.................................. 900 i, COUNTY CLERK « - 1 .4 . 20.071 1 QO . â l t û 91.222 1 31,895 31 .895 - ; - ■. : • f Publiah ONLY Completed Portion of Tin» Pag# GENERAL . _ . - . - • • ■. ■ . a'- . . . _ 11 Total Ratourcat ............................. LAND ACQUISITION AND RIGHT OF WAY - 3.900 20.975 1 .900 19.995 _ _ 4. Total Dabi Servies.................................... I 2 . 7I1T I 2 . 7I13 . ™ .v îr m w 115_______ 2. Total Matshals and Sarvicea........................ - . 13.213 1.889 15.102 8. Total Ending Fund Balance.......................... 10. Tout Anticipate Raquiramanu .................... It. Total Ratourcat ..................................... . --------------------------------------------------------------------------------------- j— 7.850 1 .000 - - 3.893 7.850 _ IDENTIRCATION OF FUNDS BY UNIT/PROGRAM FORM LB-4 1— VICTIM/VITNESS ASSISTANCE ......... 7 m t. Toul Paraonal Sarvlcaa ............................. 1.785 2. Total Malartala and Sarvlcaa........................ Ut it 3. Total Capital Outlay.................................. 4. Total Oabt Sarvica.................................... - 8. Toul ConHngancua.................................. - 7. Total Al Other Expenditures end Requirements .. 65,398 a L75 1 7nn 96,960 5 , 7 no 85.833 5, n55 ............................................ T o w Malartala and 1 arnica»........................ Toul Capua! Outlay . . . . T o w OaW Sarvtca....................................................... T o w Tranalara ........................................................... T o w Conangancua.................................................... Total AJ Oner Expenaturee and f Total Unappropnaie EndUg Fund I Total Endatg Fund Balança............ Total Anticipate Raquvemanu . . . . 19.780 19.780 fyjn* t. 2. 3. 4. 5. 6 . 7. 8 . t. to. 11 3. 3 . 4. I. 5. 7. a 8. t0 Adopted Budoet A p p r o v e Budget A d o p te Budget Actual Data 10. Toul Andcweted Requiremenu ............................ 886.653 650.273 1__________Zl.Lv.38Q_________ » I * - y ' . •S ' J ■- .: ä - ■: v t *