SIX- Heppner Gazette-Times, Heppner, Oregon Wednesday, April 29, 1992
.
P U B L IC N O TIC E
FORM
Fund
NOTICE OF BUDGET HEARING
-SO' 1
......... ......... ,
w
q
,
■ be held on
B o a rd m a n , OR
the tacs! yes. beginning duty 1.1992 ss spproved by the
Lexington,
4. 424
The purpose oi this mooting is lo discuss the budget tor
Mo r r o w C o u n t y S c h o o l , D i s t r i c t ------------------------Budget Committee
OR____________ between the hours ol
9 aBI
th e d i s t r i c t
o f f i c e ----------
end . 1 .E ” ... This certifies that the budget
7. Total All Other Expenditures and Requirements
8. Total Unappropriated Ending Fund Balance . . . M
8. Total Ending Fund Balanca ................................
10. Total Anticipatad Requirements .......................
Cm
t
u ___
Ê Ê Ê ^ B Ê Ê Ê M
3. 502
FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED
FORM SO-2
____I .L * i___ MA ___a ___IL.. «-------1---a ____.„.U U w id kaUui
m
Om.
c %
«
C h a k p a r w n o l O o v a m to e B o d y
—
Publish ONLY completed portion of this page Total Anticipated Requirements must equal Total Resources
989-8202
A l a n Hol mes
4-29-92
LEXIN GTON
MORROW
10.000
8.500
iSO-tM-OUfT-tti
was prepared on a basis of accounting that is ^consistent. Dnot consistent with the basis of accounting used during the preceding year.
• • I
1 0 1 000
. . 1# 92
MaY 18________
(0-.I
A summery of the budget a presented below A oopy of the budget mey be inspected or obtained at
Ma i n S t .
Approved Budget
Adopted Budget
Th iaV aa, 1 9 9 1 - 9 2 _
8.500
Actual Data
( 2 0 7/ 2 0*
□ C h - i here H Me It an amended toon
BOARD OF D IR EC TO R S
A meeting ol the
-------------
a « .m .
„
7 : 10W p m , , R i v e r s i d e H i g h S c h o o l ,
2 7 0 w.
V O C A TIO N A L ED U CATIO N
School districts wiH use this form in lieu of LB-2.
F IN A N C IA L S U M M A R Y
6.597.809
5.648,463
10. 072
466.650
160.000
203.993
1.295.515
Approved Budget
Next Year - 1992- 93
7.140.578
5.709.352
9.231
468.550
508.200
2 0 3 . 3 1 6 ---------------
1.301.495
14.382.502
5.483.040
8.899.462
14.382.502
1 5 - 3 4 0 . 7 2 2 ---------------
7 . 4 7 7 , 4 0 9 ________
7 . 8 6 3 . 3 1 3 ________
1 5 - 3 4 0 . 7 2 2 ---------------
Adopted Budget
This Year - 1991- 92
TO TA L O F ALL FUNDS
Anticipated
Requirements
BLOCK GRANT
(
Approved Budget
Adopted Budget
Actual Data
Fund
210/211)
16.965
18.000
18.000
lB.nnn
18 | 0 0 0
t b . fin n ____________
7. Total AH Other Expend!'.urea and Requirements
8. Total Unappropriated Ending Fund Balance . . .
1.754
Anticipated
Resources
11. Total Property Taxes Requrad to Balance Budget
18.719
Fund
FOOD S E R V IC E
(600
567.981
14 Plus. Esamaled Properly Taxes Not to be Received
Anticipated
Tax Levy
■
568.051
9.467,513
1,117,163
7,527,988
359,197
B. Discount* Aiowed. Other Uncollected Amounts..........
15 Total T u Lew — add Knes 13 and 14......... ............... ...
____ 1 - 2 4 8 . 5 9 7 ---------------
408.612
9.520.522
1,184,192
7.820,156
(
463.165
9.467.513
21. Levy lor Payment ol Bonded Debt.....................................
□ None
________________________ STATEMENT OF INDEBTEDNESS
Debt Outstanding
CB As Summarised Below
□ None
Long-Term Debt
Debt Outstanding
Debt Authorized, Not Incurred
July 1. 1002-93 Approved Budget Year
July 1. 1992-93 Approved Budget Year
549.580
7 1 5 . 4 9 9 __________
5 4 9 . 5H0
549.580
7 1 5 . 4 9 9 -------------------
715.499
6. Total Contingencies .............................................
7. T o u t AH Other Expenditures end Requirements
8. Total Unappropriated Ending Fund Balance . . .
Tax Levies
By Type
516,174
9 f 520,522
Approved Budget
Adopted Budget
T h ..Y .a , 1991- 92
Actual Data
)
FUnd
S TU D E N T BODY
16.905
1
Actual Data
last Year 1 9 9 Q - 9 1 ------
(610)
0___________
209.589
Oebt Authorized. Not Incurred
□ As Summarized Below
Approved Budget
Adopted Budget
This Year 1 9 9 1 - 9 2
100.640
_________ 2 - 3 0 0 __________
____________ SÛÛ__________
PUBLISH BELOW ONLY IF COMPLETED
4 5 Q . Q Q Q ____________________
S.
6.
7.
8.
Total
Total
Total
Total
8,200
Tra n s fe rs ............................................... ..
Contingencies .............................................
Ail Other Expenditures and Requirements
Unappropriated Ending Fund Balance . . .
_________ 3 . 3 1 6 __________
81,882
Talal Infla Mfldnfliz________
Fund
This budget includes tie r ten Son x> borrow m anticipation of revenue (-Short-Term Borrowing-) as summarized below
FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED
FORM SD-3
Actual Data
l.stVaar 1990- 91
(800)
Estimated
Interest Cost
Estimated
Interest Rate
Estimated Amount
lo be Borrowed
FUND LIABLE
HOUSING
Publish O N LY Completed Portion of This Page
Approved Budget
Next Year
1 9 9 7 -9 3
Adopted Budget
Th isV a a , 1 9 9 1 - 9 2
1.425
7. Total All Other Expenditures and Requirements
8. T o u t Unappropriated Ending Fund Balance . . .
I
114.956
114.956
0
0
291.471
2.600
3.100
5,036
5,036
10.209
I Cher* here t this
a an amended form.
Ì
J.hih
7^636
^ ^ 6 3 4
School Districts will use this form in lieu of LB-3
8.136
8,136
1
ISO-SOX-OS3 (7 S t )
Name ol
Fund
t.
2.
3.
4.
5.
6.
7.
6.
9.
10.
11.
12.
13.
14.
Name of
Fund
15.
16.
17.
18.
t9.
20.
21.
(100)
Total Instruction.....................................................
Total Supporting S ervices...................................
Total Community Services...................................
Total Debt Service.................................................
Total Transfers.......................................................
Total Contingencies..............................................
Total All Other Expenditures and Requirements
Total Unappropriated Ending Fund Balance . . .
Total Ending Fund Balance
Total Anticipated Requirements .
Total Resources Except Properly Taxes
Properly Taxes Received
Properly Taxes Required to Balance .
Estimated Property Taxes Not to be Received.. .
A Loss Due to Constitutional Limit.
B. Discounts, Other Uncollected Amounts
Total Property Tax Levy .
Levy Within Tax Base. . .
Safety Net Portion . .
One-Year Levy Outside the Safety Net
One-Year Levies Outside Tax Base......................
Serial Levies ............................................................
Levy lor Payment ol Bonded D e b t........................
15.
16.
17.
18.
19.
20.
2 1.
1.
2.
3.
4.
5.
6.
7.
8.
9.
10.
It.
12.
13.
14.
GENERAL
156,240
10,540,278
i i ü i a ü
■
2,363,000
6 , 00 0
500,000
2 0 0 ,0 0 0
200,000
11,810,566
840,754
12,291,122
833,644
m
4.
5.
6
7
8
9
10
11.
Total Debt Service ................................................
Total Tra n s fe rs .......................................................
Total Contingencies
Total AH Other Expenditures and Requirements
Total Unappropriated Ending Fund Balance
Total Ending Fund Balance .................................
Total Anticipated Requirements
Total Resources
..................................................
Fund
3. Total Community Services
« ---— ---------- -----»
Approved Budget
Next Year 1 9 9 2 - 9 3
Adopted Budget
This Year 1991- 92
1.
2.
3.
4
5.
6
7.
8
9
10.
460,650
462.550
463,165
516,174
’ t>
m
n u n
I«
Adopted Budget
This Year
1991- 97
158.778
158.778
158. 77f t
167,950
1. Total Instruction
2. Total Supporting Services
3. Total Community Services
4. Total Debt Service
5. Total Transfers
6. Total Contingencies .............................................
7. Total AH Other Expenditures and Requirements
8 Total Unappropriated Ending Fund Balance
9 Total Ending Fund Balance
10 Total Anticipated Requirements
10. 133
Approved Budget
19.000
3.710
1i - 5 o n
11, 50
Actual Data
t
1. 1 B 1
iQ.nnn
19.00
Adopted Budget
T h .s Y .a r 1 9 9 1 - 9 2
10.236
Approved Budget
Next Year 1 9 9 2 - 9 3
12.000
0
1
I
0
9.055
*
250.000
Adopted Budget
T h .s Y .a r
1991-92
11.500
(202)
(203)
Approved Budget
Next Year 1 9 9 7 - 9 3
25Q. QQQ
lfi.961
13. 843
MENTOR
6.
7.
8.
9
Total
Total
Total
Total
0
Actual Data
l a . t Y . a r 1990- 91
590
)
150.000
Adopted Budget
Approved Budget
Yaar 1 9 9 2 - 9 3
0
Next
0
.................................
Contingencies .............................................
All Other Expenditures and Requirements
Unappropriated Ending Fund Balance . . .
Ending Fund Balance ................................
I
19-nnn
P U B LIC N O TIC E
The Council for the City of
Heppner, Oregon will conduct
public hearings at 7:00 PM on
May 11, 1992 at Heppner City
Hall, 188 West Willow Street
regarding violations of City Or
dinance No. 474, an Ordinance
Abating Nuisance for Accumula
tion o f Solid Waste and Fire
Hazards.
The following properties are in
violation of the ordinance because
of deposits of solid wastes scat
tered about the premises that
create a fire hazard and harborage
for rodents and insects and is in
jurious to the health, safety and
general welfare of the people.
1. Corner of Birch and River
side Street, Map 2S 26 27DA,
Lot *1600A
2. 595 S Court Street, Map 2S
26 35CB, Lot #3600
3. 605 E Cowins Street, Map
2S 26 35CA, Lot #1700
Published: April 29, 1992
0
-------------------------------2------------------
P U B L IC N O TIC E
NOTICE OF
PUBLIC HEARING
On Monday, May 11, 1992 at
7:00 at Heppner City Hall, the
City Council of the City of Hepp
ner will hold a public hearing on
a proposed ordinance. The or
dinance would amend the City’s
Zoning Ordinance No. 489 by
clarifying minimum lot size re
quirements for residential uses;
redefine the term “ mobile
home” ; add a definition for "fac
tory built homes"; delete the
definition of modular homes; and
declare an emergency. Copies of
the ordinance are available at City
Hall for public examination.
The public hearing is where
deliberation of the City Council
will take place on this ordinance.
Any person may appear at the
meeting and discuss the propos
ed ordinance with the Council.
Gary B. Marks
City Administrator
Published: April 29, 1992
P U B L IC N O TIC E
NOTICE OF BUDGET
COMMITTEE MEETING
A public meeting of the Budget
Committee of the Town of Lex
ington, Oregon, Morrow Coun
ty, State of Oregon, to discuss the
budget for the fiscal year July 1,
1992 to June 30, 1993, will be
held at City Hall on Tuesday May
5, 1992 at 7:00 p.m. The purpose
is to receive the budget message
and document of the Town. This
is a public meeting where
deliberation of the Budget Com
mittee will take place. Any per
son may appear at the meeting
and discuss proposed programs
with the Budget Committee.
Susan L. Baker, Budget Officer
Published: April 29, 1992
P U B L IC N O TIC E
IN THE CIRCUIT COURT
OF THE STATE OF OREGON
FOR THE COUNTY
OF MORROW
No. 92 PR 7
ESTATE OF:
FRANCES M. CARLSON.
Deceased.
NOTICE TO INTERESTED
PERSONS
Notice is hereby given that the
undersigned has been appointed
and has qualified as the personal
representative of the estate. All
persons having claims against the
-
V
Approved Budget
0
0
Published: April 29, 1992
148.989
Total Instruction ....................................................
Total Supporting S e r v ic e s ..................................
Total Community Services ................................
Total Oebt S e r v i c e ..........................................
Total Transfers
Total Contingencies
Total All Other Expenditures end Requirements
Total Unappropriated Ending Fund Balance
Total Ending Fund Balance
Total Anticipated Requirements
Fund
Adopted Budget
150.000
■ ■
Actual Data
DRUG «. ALCOHOL PREVEN TIO N
Actual Data
last Year 1 9 9 Q - 9 1 .
(820)
S P E C IA L GRANT ( 206
Actual Data
lest Y . » , 1 9 9 0 - 9 1
1 Total In s tru c tio n ....................................................
2. Total Supporting S e r v ic e s ...................................
BUS PURCHASES
Fund
School districts will use this form in lieu of LB-2
(201)
Fund
o
Publish ONLY completed portion of this page Total Anticipated Requirements must equal Total Resources
CHAPTER I
School districts will use this form in lieu of LB-2.
2. Total Supporting Services ...................................
FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED
Fund
Publish ONLY completed portion of this page Total Anticipated Requirements must equal Total Resources
7. Total All Other Expenditures and Requirements
8. Total Unappropriated Ending Fund Balance . .
9. Total Ending Fund Balance ................................
Total Instruction.........................................................
Total Supporting Services........................................
Total Community Services........................................
Total Debt Service.....................................................
Total Transfers...........................................................
Total Contingencies...................................................
482,850
Total All Other Expenditures and Requirements ..
Total Unappropriated Ending Fund Balance.........
Total Ending Fund Balanoe.....................................
Total Anticipated Requirements...............................
Total Resources Except Property Taxes
...........
Properly Taxes Received..........................................
Properly Taxes Required to Balance......................
Estimated Property Taxes Not to be Received , .
A. Loss Due to Constitutional Limit
B. Discounts. Other Uncollected Amounts
Total Properly Tex L e vy...............................
Levy Within Tax Base.................................................^ 1 9 *
* *- * >
n* *
'*
Safety Net Portion.................................
■a
One-Year Levy Outside the Salety Net
One-Year Levies Outsids Tax Base
—
my 1
Serial Levies ..........................................
M i l l (ill I
Levy lo> Payment of Bonded Debt , ,,
FORM SO-2
FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED
13,117,766
Actual Data
Last Year 1 9 9 0 - 9 1
BO ND ED DEBT
FORM SD 2
6,730,938
4,838,453
8,731
6,364,634
5,070,210
9,722
6,000
160,000
5.775,738
4,602,265
6,035
Ä
Approved Budget
Next Year 1 9 9 2 - 9 3
Adopted Budget
This Year 1 9 9 1 - 9 2
Actual Data
Last Year 1 9 9 0 - 9 1
estate are hereby required to pre
sent the same, with proper
vouchers, within four months
after the date of first publication
o f this notice, as stated below, to
the personal representative at:
P.O . Box 218, Pendleton,
Oregon 97801 or they may be
barred.
All persons whose rights may
be affected by the proceedings in
this estate may obtain additional
information from the records of
the court, the personal represen
tative or the attorney for the per
sonal representative.
Dated and first published: April
29, 1992.
Charles A. Carlson
Personal Representative
P.O. Box 45
lone, Oregon 97843
Steven H. Corey OSB #72058
O f Attorneys for Personal
Representative
Corey, Byler, Rew, Lorenzen &
Hojem
222 S.E. Dorion Avenue
P.O. Box 218
Pendleton, Oregon 97801
503-276-3331
Published: April 29; May 6 and
13, 1992
Ackley
Carpet Cleaning
U sing the Von Schrader
dry foam system. Serving
all o f Morrow County.
Senior Citizen discount.
Call
for
esti ma te ,
922-3976
Fully Insured