Students present
1 film animation
SIX- Heppner Gazette-Times, Heppner, Oregon Wednesday, June 1, 1994
FREE
Animation instructor Sharon
Nemiczysk from the Northwest
Film Center in Portland will give
a film presentation of works done
by Heppner students on Thurs
day, June 2 at the junior high
gym.
Grades five through eight will
view the presentation at 12:40
p.m. and grades kindergarten
through four will view the
presentation at 1:30 p.m.
The film presentation is the
result of the artist in residence
workshop that took place this
spring.
Soil additive mulch
and bark available.
Kinzua Resources L.L.C.
Monday through Friday.
676-9000
Roger Britt Septic Service
Serving Morrow-Gilliam County
& Surrounding areas
Three to be
confirmed
24 Hr. Service • Licensed & Bonded
#37316
D
EO
A p n p n ro
ro v v e
p d
d
u tz
u a
Septic tanks
pumped>
residental
& commercial
Jayme Hansen, Jessica
Keersemaker and Jessica Van
Winkle will receive the rite of
confirmation on Sunday, June 5
at 11 a.m. at Hope Lutheran
Church in Heppner. The girls
completed two years of basic in
struction in the Christian faith.
The girls will read the scripture
lessons and serve as communion
assistants. A special reception in
their honor will be held in the
church basement following the
worship service.
Communion service at Valby
Lutheran church w ill be
celebrated at 9 a.m. Pastor Hoob-
ing will preach on the theme
“ You Are Pentecost People” ,
based on the scripture reading of
II Corinthians 4:5-12. An adult
Bible class on the Book of
Hebrews will be held at 8:15 a.m.
prior to the communion service.
Visitors and friends are
welcome to attend worship ser
vices and coffee hour.
6 7 6 -5 0 9 6 • R t. 2 Box 2 0 6 0 • H e p p n e r , O R
Your Local Septic Service
WHGffLNID
INSURANCE CENTER, INC.
lone
Buy Your
Crop Insurance Here: Why?
• Low Rate & Cash Discounts Available
• One of the largest crop agencies
• We offer EX P ER IEN C E and SER VICE
Call Us Soon 422-7410 or
1-800-585-7410
FORM
LB-1
NOTICE OF BUDGET HEARING
C. J Republication
N am e of
Fund
.1 Total Capital Outlay
90,819
of
M o rro w C o m m is s io n ______________
(G o w rii, Bod,|
CD a.m.
at J : 0 0
r tn m at
1 M a r in e
D riv e ;
B o a rd m a n ,
(Location)
the fiscal year beginning July 1, 1994 as approved by the
June
_will be held on
OK
22,
<Ds»l
The purpose of this meeting is to discuss the budget tor
P o rt
.Budget Committee
o f M O rro w
(MunlckMJ Co.po.Mlao)
A summary ot the budget is presented below A copy ot the budget may be inspected or obtained at P o t t
I Marine
D r.,
B oard m an ^
(St-** MÀM.I
OK_________________ between the hours n t8 n"1
and 5 pm
°f
M o rr o w
O ffice,
1 his certifies that the budget
was prepared on a basis of accounting that is £]consistent;Clnot consistent with the basis ol accounting used during the preceding year
County
John
5/26/94
B oard m an
6. Total Contingencies....................................................
Bristow
Anticipated
Requirements
Total
Total
Total
Total
11.
12.
13.
14.
Total Prop Taxes Received/Rsquired to Balance .
Total Resources (add Unas 10 and 11) ..................
Property Taxes Required to Balance (Irom line 11)
Estimated Property Taxee Not to be R eceived.. . .
A. Lota Dua to Constitutional Lim it.........................
B. Discounts. Other Uncollected A m o u n ts ........... i s
10. Total Resources Except Properly Taxes
11. Total Properly Taxes Required to Balance Budget........
153.458
13. Total Properly Taxes Required to Balance Budget (line 11 )
14. Plus: Estimated Property Taxes Not to be Received
11.738.000
1.013.978
107.100
110.402
3.124.475
•
16 Levy Within (he Tax Base
85.000
18.317.839
18.154.191
163.648
18.317.839
163.648
'
2,5 81
7,864
2,159
7.635
1 AT
B Discounts Allowed. Other Uncollected Amounts
Tax Levies
By Type
9 9 . 0 7 5 __________
92,540
92,540
5 . 0 0 0 __________
94 ,117.5__________
9 9 . 0 7 5 __________
1,0 00
92.540
;
s
s
s
s
a
. _______4 x 1 2 4 __________
5,788
98,446
i a
aw
_____1 P 5 .J 9 2 _______
m m m st
W Ê Ê Ê Ê Ê Ê B 3B B S M Ê M
19. L e w lor Payment ol Bonded D e b t.......................
iso so« orara*, »m
m
w
i
f
105.399
98.446
l
FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED
FORM LB-2
[ H I Rnpuhlicntiof
Publish ONLY completed portion of this page. Total Anticipated Requirements must equal Total Resources.
N am e o l
Fund
Enterprise
711,777
2x473,822
1.171.081
.
...
Fund
1DRB C o n s t r u c t i o n
205.352
63.600
-0-
5. 117.545
5.317.545
4.833.647
713.284
5,546.931
5.546.931
10. Total Resources Except Property T a x e s ................
N am e o f
1»713,000
1 .0 0 7 x 5 6 6 .
,107.000
98.632.
__ 6 3 . 6 0 0 __
__________ 7 3 . 0 0 0 ______
4 , 9 1 5 . 3 2 5 ______
4.915.325
Approved Budget
N ext Y e a r 9 4 - 9 5
A dopted Budget
This Y e a r 9 3 - 9 4
Actual D ata
Last Y e a r
92-93
Fund
797,948
1,054,174
6 2 3 . 8 8 6 ......
.
1.020.305
.......
2,023,000
. .
1,274,402
107,000
..
72.000
7. Total All Other Expenditures and Requirements ..
8. Total Unappropriated or Ending Fund Balance . . .
Approved Budget
N ext Y e a r 9 4 - 9 5 ___
A dopted Budget
This Y e a r
93-94
Actual D ata
Last Y e a r
92-93
Fund
404,967
10,000.000
1 0 ,0 0 0 _ » 0 0 0
10.000.000
5. Total Transfers.............................................................
4
7. Total All Other Expenditures and Requirements ..
8. Total Unappropriated or Ending Fund Balance . . .
N am e o f
Fund
Idaho
Power
Bond
1 0 . 000.000
10.000.000
10.000.000
10. Total Resources Except Property T a x e s ................
Approved Budget
Next Y e a r
qi-qs
A dopted B udget
This Y e a r
93-94
Actual D ata
Last Y e a r
92-93
Fund
10.000.000
10.000.000
in.non.non
2. Total Materials and S ervice s....................................
318,600
316.100
4. Total Debt S e rv ic e ......................................................
5. Total Transfers.............................................................
6. Total Contingencies.................................................... SfS- i i *
N am e of
1.
2.
3.
4.
5.
6.
7.
8.
9.
10.
Service
’
2,500
318,600
318.900
318.900
10. Total Resources Except Property T a x e s ................
1DRB D e b t
316.100
2.800
7. Total All Other Expenditures and Requirements . .
8. Total Unappropriated or Ending Fund Balance . . .
318.600
318.600
318.600
Actual D ata
Last Y e a r
9 2 -9 3
Fund
Total Personal S ervices.............................................
Total Materials and S ervice s....................................
Total Capital O u tla y ....................................................
Total Debt S e rv ic e ......................................................
Total Transfers.............................................................
Total Contingencies....................................................
Total All Other Expenditures and Requirements . .
Total Unappropriated or Ending Fund Balance . . .
Total R equirem ents....................................................
Total Resources Exceot Property T a x e s ................
Approved Budget
N ext Y e a r
94-95
A dopted B udget
This Y e a r
q3-94
2.648,326
1,134,850
to o
507.150
3.155.576
600,000
1,734,850
3.155.576
1.734.850
2.037.400
ROD
6 0 0 . UU0
2.638.200
_____ 2 .6 - 1 8 ,2 0 0 ___
1V) 504 002 (Rwv. 0 9?)
i o
914.910
1 .223,974
1.185.605
12.039.000
1.274.402
107.100
233.462
2.21)9.590
18.000
17,783.019
17,629.561
1 5 3 . ASS
17.7 R 3.Otq
Material and Services
Capital Outlay
Debt Service
Transfers
9 Tout Requirement* — edd lines t through 8
Anticipated
Tax Levy
5.000
—
Approved Budget
Next Year — 1994-95
Adopted Budget
This Y e a r— 1993-94
7. Total All Other Expenditures and Requirements................
Anticipated
Resources
l ,0 0 0
5,000
92,540
FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED
715^860
2
3
4
5
23.995
114.814
19.329
95.495
114.814
8. Total Unappropriatad or Ending Fund Balance . . .
F IN A N C IA L S U M M A R Y
TOTAL O F ALL FUNDS
93,075
Telephon» Nurrtoet
(503)481-7678
Cheirpereon of Governing Body
D«e
C*y
M o rro w
86,540
5. Total Transfers.............................................................
Fund
A meeting of the 1’o r t
Approved Budget
Next Y e a r
94-95
A dopted Budget
This Y e a r 9 1 - 9 4
Actual D ata
Last Y e a r
92-93
0() B on ded D e b t
66,806
174.093
68,694
98.646
163.252.
105.399
174.093
h m
Rnpuhlirntioi
in ?
Publish ONLY completed portion ol this page
N a m e ot
Fun<*
In dustrial
A pproved Budget
N ext Y e a r 9 4 - 9 5 ____
A dopted B udget
This Y ear
93-94
Actual D ata
Last Y ear
92-93
Bond R e s e r v e
................... - O r _
-0-
........
5. Total Ira n s le ts .............................................................
6. Total Contingencies....................................................
7.
8.
9.
10.
Total
Total
Total
Total
All Other Expenditures and Requirements . .
Unappropriated or Ending Fund Balance . . .
Requirem ents....................................................
Resources Except Property T a x e s ................
-0 -
-0 -
-0 -
-0 -
Published: June 1, 1994
NOTICE OF BUDGET HEARING
18 Serial and Continuing Levies..............................................
20. Totfl ol knot 16 through 19 iw uali line 15)......................
Total Anticipated Requirements must equal Total Resources
FORM
ED-1
□ Repubtication
District has only one fund_______
|N«w»)
—
Debt Outstanding
EH As Summarized
□ None
□ None
Debt Authorized. Not Incurred
£3 As Summarized
PUBLISH BELOW ONLY IF COMPLETED
Long-Term Debt
•I
Debt Outstanding
Debt Authorized, Not Incurred
July 1. 1994-65 Approved Budget Year
12,310,000
July t. 1994-95 Approved Budget Year
1 0 .0 0 0
Total Indebtedness.......... .... _____________4 6 . 5 0 3 . 3 6 3 _____________________ _____________1 0 . 0 0 0 ___________________________
This budget indudes the intention to borrow in anticipation ol revenue (‘Short Term Borrowing-) a t summaozed below
FUND LIABLE
Estimated Amount
to be Borrowed
7 ! ° ° a p.m. at
270 W. M A I N S T R EET.
Actual D ata
Fund
4 Total Debt S e rv ic e ......................................................
Transfers.............................................................
Contingencies....................................................
All Other Expenditures and Requirements
Unappropriated or Ending Fund Balance
9
10
11
12
13
14
1 q
Last Y e a r
92-93
40,944
1 3 2 , 6 0 4 __________
23,458
5,169
60,000
283,821
545,996
Total R equirem ents....................................................
492,589
Total Resources Except Property Taxes ..............
53.407
Total Prop Taxas Recerved/Rsquired to Balance
545.996
Totel Resources (add lines 10 and 11) ..................
Properly Taxes Required to Balance (from line 11)
CtlimaleH Prnnertv
Ciiimeiieu
rrujwfijr T i a w v e i i Not
tw i to
iw Ho
we PflTAiVftfl
■ i
«w . . B M M
A Loss Dus to Constitutional Limb .......................
B Discounts. Other Uncollected Amounts
15 Total Tax Levy (add lines 13 and 14)
1
.
...
ic | auu Within tho T ax Race
17 O n c -Y iir Levy Outside th< Tax B z m
18 Serial and Continuing Lavras . .....................
V
. The purpose ol this meeting Is to discuss the budget lor
MORROyt Ç O Ü M II . SCHOOL D I S TRI C I .
Approved Budget
Next Y e a r
94-95
Adopted Budget
This Y e a r 9 3 - 9 4
91,974
165,300
16,000
-0-
_______1 1 1 x 2 4 2 ____
______ 1 6 9 , 8 0 0
25,000
_________ 6 x 0 1 2 _____
______ LOP
_______ 1 1 . 7 6 5 ____
100
28,110
18,000
319,484
I2 .Ö Ö Ö
258,566
County
LEXINGTON.
O R _________ between the hours of
B ; 30
__ 6 4 , 8 0 6
end 3 : 3 0
Cbalrpereon of Qovernhg Body
0 «e
C ty
Anticipated
Requirements
LEXINGTON
June
1,
1994
MARCIA KEMP
Adopted Budget
This Year — 1993-9 4
. This certifias that ths budget
______ 3 4 L » 6 1 9
64.J73
..
2.5 81
1 . 5 4 0 ___
66.694
68 »614
989-8202
Approved Budget
Next Y e a r— 1994-95
7,996,406
4,964,891
17.537
.............................................................
307.000
8 Total Unappropriated or Endng Fund B a la n » ..................
2 8 3 f 200
204.893
14.004.417
569,000
4. Total Debt Service
6 .0 0 0
2 0 0 .0 0 0
13.491,834
505.200
13.997.034
8.267.771
6 . .305 . R4fi
14.573.417
9.509.302
4.487.732
13.997.034
4.487.732
2.218.554
480.148
9.004,348
4.247.587
8 Discounts Alowed, Otter Uncollected Amounts..........
13. Levy WIMn tile Tax B ase..................................................
1.255,244
Anticipated
Resources
10. Total Resources Except Property Taxee............................
11.. Total Properly Taxes Flequlred to Balan» Budget ..........
Anticipated
Tax Levy
13. Total Property Taxes Required to Balan» Budget (> » 11)
14. Plus: Estimated Property Taxes Not to be Received
A Lost Due to Constitutional Limit»..................................
Tax Levies
By Type
Telephone Number
7,811.123
5,689,184
10.017
6 .0 0 0
14.573.417
277.066
6 4 . 5 7 3 _________
6j}j918
319,484
60.918
2,159.
1.7 29
64.806
_______ Budget Committee.
(M untegli Corporation)
[__] Republication
1. Total Personal S ervices.............................................
2 Total Materials and Services
i Total Canrtal Outlay
Total
Total
Total
Total
OR
FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED
N am e of
5
6
7.
8
, LEXINGTON;
T O T A L O F ALL FUNDS
FORM
LB-3
., 1 9 _ il
was prepared on a basis ot accounting that is S fconsistant; O not consistent with the basis ot accounting used during the preceding year.
Estimated
Interest Cost
Estimated
Interest Rate
1SOSO.C01 (Bov t m
G e n e ra l
office
20
(0«4
the fiscal year beginning July 1 ,1 9 9 4 as approved by the
MORROW
Fund
THE DISTRICT
June
A summary of the budget Is prssented below. A copy ol the budget may be Inspected or obtained at TH E D I S TR I C T . OF F I C E .--------
34.193.363
Other
.w ill be held on
A meeting ol the B O A R D O F D I R E C T O H S ________
□ a.m.
(O ow rnlnfl Body)
269.029
9.004.348
1.330.558
7.673.790
13. One-Year Levy Outsid* to# Salary N e t..............................
13. One-Year Levy Outside tire Tax Base ..............................
20 SerW Levies
21 Levy for Payment of Bonded Debt....................................
'
9,004,348
ITATEMENT OF WDEBTEDNES8
Debt Outstandtag
□ A* Summarized Below
□ None
Debt Aphorized, Not Incurred
Q As Summarized Below