PUBLIC NOTICE
Heppner Gazette-Times, Heppner, Oregon Wednesday, April 12, 1995 - SEVEN
PUBLIC NOTICE
NO TICE OF B U O G ET HEARING
L B -1
l~"l RepuMcsnon
A me«lmg ol the .
□ am.
Board of Directors
at .. f l i flfl Bp.m. a l---------l one C m
H a ll.
Hay 3
.will be held on
lO e«««"» *00)1
lo n g . O regon 97843
I»
NOTICE OF BUOGET HEARING
FORM
LB-1
95
A meeting ol the
□ a.m.
. The purpose ol thia meeting is to discuss the budget for
ILO U W II
H e p p ne r W a te r C o n tr o l D i s t r i c t
| 0i i"«isaM|ri
at 7 :0 0 Kp.m at
the fiscal year beginning July 1 .1995 as approved by the
_ wSt be held on
-.19
A p r i l 27
95
43Q H e p p ne r L e x in g to n H w y ------------------------------ The purpose of this meeting is to discuss the budget lor
Ione-l.exlnuton Cemetery District _______ Budget Committee
(MuTKipftl CorpCXtUOl)
the fiscal year beginning July 1,1995 as approved by the— H eppner M e t e T j ^ ^ r o l ^ D l a t r l e t ----------------- Budget Committee
A summary of tha budget is presented below. A copy of the budget may be inspected or obtained at
A summary of the budget la presented below. A copy of the budget may be inspected or obtained , t430 H e p p n e r/ L e x in g to n Hwy
A60
I la in ,
lo n e , O re gon 97843____ between the hours ol
(S i i m i
momm
a n d _ l l 2 2 . . This certifies that tha budget
)
H e p p n e r. OR
was prepared on a basis ol accounting that is E consistent Qnol consistent with the basis ol accounting used during tha praceding year
Major changes, it any, ano iheir etlecl on the buogel. are explained below
County
w is prepared on a basis of accounting that is ^consistent Qnot consistent with the basis of accounting used during the piecetfng yuur.
Major changes, if any, and their effect on tte budget, are explained below.
^
___________
C.I»
Morrow
Ione-Lexington
_________________________ between the hours o » J L “ !!___ end U P"1 .. This certifies that the budget
A p r i l 1 2 , 199
Morrow
5 0 3 -6 7 6 -5 4 5 2
4-10-95
Heppner
F IN A N C IA L S U M M A R Y
Adopted Budget
This Year — 1994-95
-------- 1 7 ,7 1 6 (0 0 -------------
Total Personal Services..........................................
9 .1 5 0 .0 0
Total Material and Services............................................
3 3 ,3 8 7 .7 5
Total Capital Oullay.......................................................
Total Debt Service.........................................................
3 .7 6 7 .0 0
Total Transfers
7 5 0 .0 0
Toial Contingencies
..............................................
1
2.
3.
4.
5
6
7 Total All Other Expenditures and Requirements ............
8 Total Unappropriated or Ending Fund Balance................
9 Total Requirements — add lines 1 ihrouoh 8
Anticipated
Requirements
1 ,0 0 0 .0 0
12 Total Resources — add lines 10 and 11
13 Total Property Texas Required lo Balance Budget (line 1 1 )
14 Plus Estimated Properly Taxes Nol lo Be Received
A Loss Due lo Constilulional limns
.........................
B Discounis Allowed. Ollier Uncollecled Amounts...........
15, Total Tax Law — add lines 13 and 14
Anticipated
Tax Levy
Tax Levies
By Type
16 Levy Within the Tax B a te ..............................................
17. One-Year Levy Outalda the Tax Base.............................
1 8 Serial and Continuing Levies . .
.............
19 levy for Payment ol Bonded Debt
.......
_2Q. Total ol lines 16lhrouah 19 feauais line 151 ................
Dabi Oulslanding
□ As Summarized
0 None
2 4 .3 3 7 .0 0
¿ 2 ,2 1 4 .7 5
24 ! 3 3 7 .0 0
1 .0 0 0 .0 0
7 0 .0 6 5 .4 2
4 4 .2 4 5 .4 2
2 5 .8 2 0 .0 0
7 0 .0 6 5 .4 2
2 5 .8 2 0 .0 0
1 ,0 4 6 .0 0
2 5 ,3 8 3 .0 0
■' 2 5 .3 8 3 .U U
1 .0 8 5 .0 0
2 6 .9 0 5 .0 0
2 6 .9 0 5 .0 0
2 5 ,3 8 3 .0 0
2 6 .9 0 5 .0 0
»
Anticipated
Requirements
Anticipated
Resources
- ■— — s - s i
Name of
Fund
1
2,
3.
i ■
A c tu a l D a ta
PERPETUAL CARE
Last Year 1 9 9 3 -9 4
T h is
Adopted Budget
Year 1 9 9 4 - 9 5
Approved Budget
Next Year 1 9 9 5 -9 6
Name of
Fund
Construction
T o ta l M a te ria ls and S e rv ic e s . .
2 0 .6 7 0 .7 5
T o ta l C a p ita l O u l l a y .........................
5.
6.
7
T o ta l C o n tin g e n c ie s .......................................................
8
T o ta l U n a p p ro p ria te d o r E n d in g F u n d B a la n ce
9,
T o ta l R e q u ire m e n ts
T o ta l A ll O th e r E x p e n d itu re s an d R e q u ire m e n ts
...............................................
2 0 .6 4 8 .2 5
2 0 ,6 7 0 .7 5
2 d ,8 2 8 .2 5
2 0 .6 4 8 .2 5
2 0 .6 7 0 .7 5
-2 0 2 8 7 2 5
A c tu a l D a ta
Last Year
9 3 -9 4
EQUIPMENT RESERVE
1,
2,
3,
T o ta l P e rso n a l S e r v ic e s ........................................
4
T o ta l D ebt S ervice
T h is
Adopted Budget
Year
9 4 -9 5
Approved Budget
Next Year 9 5 -9 6
FORM
T o ta l M a te ria ls and S e r v ic e s ........................................
1 .7 2 4 .7 7
T o ta l C a p ita l O u t la y ..........................................................
1 2 .7 1 7 .0 0
433
8234
8234
0
0
0
— '5234
Ü~
1
Debt Authorized, Not Incurred
□ As Summarized
Adopted Budget
This Year 9 4 -9 5
-o
-0
-0
-0
-
-
-
-
-0 -
-0 -
36948
36948
FUNDS REQUIRING A
PROPERTY TA X T O BE LEVIED
' ’ ■ " ’ ■• w t ' - t w
Nam« of
Fund
General
,
T o ta l R e q u ir e m e n t s ............................................................
J Q . T o t a l R e s o u r c e s E x c e o t P ro o e r ty T a x e s
■
9 .9 5 0 .0 0
1 2 .7 1 7 .0 0
1 8 ,3 2 7 .1 7
9 ,9 5 0 ,0 0 _______
1 2 .7 1 7 .0 0
.„ q a 4 2 2 * 1 ^
FUNDS REQUIRING A
PROPERTY TAX TO BE LEVIED
Adopted Budget
This Year 1 9 9 4 -9 5
Approved Budget
Next Year 1 9 9 5 -^ 6
1 3 ,6 5 6 .2 0
9 .2 0 1 .1 3
1 4 ,1 6 0 .0 0
9 ,1 5 0 .0 0
1 4 ,2 0 0 .0 0
8 ,9 2 5 .0 0
3 ,5 0 0 .0 0
3 ,7 6 7 .0 0
7 5 0 .0Ô
5 ,7 8 5 .0 0
1 ,0 0 0 .0 0
1 9 4 .8 7
2 6 ,5 5 2 .2 0
4 ,2 1 8 .3 8
2 2 .3 3 3 .8 2
2 6 .5 5 2 .2 0
1 ,0 0 0 .0 0
2 8 !8 2 7 .0 0
4 .4 9 0 .0 0
2 4 ,3 3 7 .0 0
2 8 .8 2 7 .0 0
Actual Data
L ast Y ear 1 9 9 3 - 9 4
2. Total Materials and Services................................
3. Total Capital Outlay ............
4. Total Debt Service..............................................
Total Contingencies..............................................
Total All Other Expenditures and Requirements . .
Total Unappropriated or Ending Fund Balance . . .
Total Requirements..............................................
Total Resources Excepl Properly Taxes
Total Prop Taxes Received/Requireo to Balance
13. Property Taxes Required to Balance (from line It)
14. Estimated Properly Taxes Not to be Received___
1 .0 0 0 .0 0
1
3 0 .9 1 0 .0 0
5 ,0 9 0 .0 0
2 5 .8 2 0 .0 0
3 0 .9 1 0 .0 0
2 5 .8 2 0 ,0 0 _______
1.
2.
3.
4.
5.
6.
7.
8.
9.
10.
11.
12.
13.
14.
15.
16.
17.
18.
19.
1 .0 4 6 .0 0
2 5 .3 8 3 .0 0
2 5 .3 8 3 .0 0
1 -0 8 5 .0 0 _______
2 6 .9 0 5 .0 0 ______
2 6 .9 0 5 .0 0 _______
r u D i i s n e a : / \ p ru i z , v rro
■
■
• I
lone pre-school
plans open house
Actual Data
Last Year 9 3 -9 4
Adopted Budget
9 4 -9 5
This Year 94
Total Personal Services....................................
Total Materials and Services............................
Total Capital Outlay..........................................
Total Debt Service............................................
Total Transfers..................................................
Total Contingenclaa..........................................
Total All Other Expenditures and Requirements
Total Unappropriated Or Ending Fund Balance .
Total Requirements..........................................
Total Resources Except Property Ta x e s........
Total Prop. Taxes Recehred/Requlred to Balance
Total Resources (add lines 10 and 11)
Property Taxes Required to Balance (from line 11
Estimated Property Taxes Nol to be Received..
A. Loss Due to Constitutional Limit..................
B. Discounts, Other Uncollected Amounts------
Total Tax Levy (add lines 13 and 14)................
Levy Within the Tax Base ................................
One-Year Levy Outside the Tax Base..............
Serial and Continuing Levies
Lew lor Payment ol Bonded Dahl
tv
I‘ A
if,* r
1 I Republication
Approved Budget
Next Year 9 5 -9 6
Published: April 12, 1995
Health Dept, plans free immunization day
\ -
B Discounts, Other Uncollected Amounts ..........
15. Total Tax Levy (add lines 13 and 14)....................
16 Levy Within the Tax Base ....................................
17. One-Year Levy Outside the Tax Base..................
15000
-Ó -
-0 -
-0 -
17767
-o -
-o -
32767
• / v'i'iH pfMund to ütMßii
Publish ONLY completed portion ol this page.
T o ta l U n a p p ro p ria te d o r E n d in g F u n d B a la n ce
Approved Budget
Next Year 9 5 -9 o
11000
---------------- =ü=--------------------
-0 -
-O -
28676
-0 -
-0 -
39676
39676
L
T o ta l T r a n s fe rs ............................................. . ....................
GENERAL
LB-3
1 8 .3 2 7 .1 7
T o ta l C o n tin g e n c ie s ....................... . ..................................
T o ta l A ll O th e r E xp e n d itu re s a n d R e q u ire m e n ts
Actual Data
Last Year 9 3 -9 4
Reserve
4. ToUl Debt Service................................................
5. Total Transfers.....................................................
6. Totel Contingencies.............................................
7. Total All Other Expenditures and Requirements ..
8. Total Unappropriated or Ending Fund Balance . . .
9. Total Requirements..............................................
10. Totel Resources Except Property Texe s..............
2 0 .6 4 8 .2 5
10, T o ta l R e s o u r c e s E x c e p t P r o o e n v T a x e s
6.
7.
8.
9
10.
11.
0
0
0
0
0
0
0
FUNDS N O T REQUIRING
A PROPERTY TA X T O BE LEVIED
3. Total Capital Outlay.............................................
.
Name of
Name of
Fund
3206
42943
36642
6301
42943
63Ò1
1. Total Personal Services........................................
2 0 .8 2 8 .2 5
T o ta l T r a n s fe rs ..................................................
FORM
LB-3
1530
45825-----------------------
45826
0
45825-----------------------
0
1 — 1 .
4. T o ta l D ebt S e r v ic e ............................................................
5.
6.
7.
8.
9.
3UUU-
19767
20 Total of limn 16 ttvouoh 19 feouals Une 151.................
STATEMENT OF INDEBTEDNESS
Debt Outstanding
□ As Summarized
_______ D None
FORM
LB-2
T o ta l P e rso n a l S e r v ic e s ...........................
Fund
2000
29676
Tex Levies
By Type
FUNDS N O T REQUIRING
A PROPERTY TAX TO BE LEVIED
-------a— e..... ............aaa— l . s —
169/0
IS. Total Tax Lew — add Unes 13 and 14...........................
CKN oos
FORM
LB-2
12620
Anticipated
Tax Levy
1
Debt Authorized, Nol Incurred
□ Aa Summarized
O None
Approved Budget
Next Year— 1995-9«
Adopted Budget
This Year— 1994-95
TOTAL OF A U FUNDS
5 .7 8 5 .0 0
1 .0 0 0 .0 0
62 ',2 1 4 .7 5 -------------
—377877773
Aniicipated
Resources
FINANCIAL SUMMARY
Approved Budget
Next Year — 1995-96
1 4 .2 0 0 .0 0
8 .9 2 5 .0 0
3 9 .1 5 5 .4 2
to t a l o f all fu n d s
Oregon Immunization Day
will be Saturday, April 22 at the
Morrow County Health De
partment office in Heppner and
Irrigon.
TTie department will provide
free immunization clinics from
10 a.m. to noon at the Heppner
office, 471 N. Main Street, and
2 to 4 p.m. at the Irrigon office,
205 N.E. Third.
According to the Oregon
Health Division, only about 65
percent of Oregon's children
are adequately immunized
before their second birthday.
This means that approximate
ly 30,000 children are not fully
protected against vaccine-
preventable diseases in
Oregon. OPIC's goal is to in
crease immunization levels in
Oregon to 90 percent of two
year olds fully immunized by
the year 2000.
Immunization rates in the
United States are the third
lowest in the Western Hemis
phere, only Haiti and Bolivia
are lower, according to the
Center For Disease Control and
Prevention.
Creative Care Preschool of
lone will hold an open house
for prospective students for the
1995-% school year on Friday,
April 28 at 10 a.m. Preschool
aged children along with their
parents can tour the preschool
and visit with the teacher about
the program. The preschool is
located at the Christian Educa
tion Building on Main St. in
lone.
Creative Care Preschool of
fers a developmental^ ap
propriate program with an em
phasis on learning by doing a
"hands on" approach to pro
vide children with a solid foun
dation for further schooling,
said a spokesperson. Classes
are offered for three and four
year olds with each group
The residents of Pioneer Memorial Nursing Home honored
meeting twice a week.
Heppner Elementary second grade teacher Lea Calver with a card
"Only about two-thirds of
Interested parents are en
of appreciation recently.
American children under age
couraged
to
attend
the
open
For the past 12 years Calvert has brought her class to the nur
house or to make registration two receive all the immuniza
sing home ach week. The children have sung songs, chared art
arrangements prior to the end tion« they need," said Cathy
work and showed their love and concern for the residents over
of the school year. For more in Krieger, OPIC chairperson.
the years.
formation contact Anne Morter "It's frightening to think how
many parents put their children
422-7429.
at risk without even realizing
it."
Proper immunization pro
tects children against nine
serious diseases: measles,
diphtheria, tetanus, pertussis
(whooping cough), polio,
mumps, rubella (German
measles), Hepatitis-B and
Haemophilus influenza type b
(a common cause of Meningi
tis).
Measles is the number one
vaccine-preventable disease
that kills infants worldwide.
Between 1989 and 1991, a U.S.
measles epidemic resulted in
more than 55,(XX) reported
cases, 11,000 hospitalizations
and more than 100 deaths.
More than half of those deaths
were infants.
Although childhood diseases
are less common today,
children who are not age-
appropriately immunized are
still at risk of serious illness. Im
munizing infants at the earliest
age is critical because infants
are more likely to suffer com
plications if they contract
vaccine-preventable diseases.
Proper immunization starts at
birth and continues through
adolescence with special em
phasis through age two. Bet
ween 11 and 15 doses are due
by a child's second birthday,
which can be administered in
four trips to a doctor or health
clinic.
«
Many county health depart
ments and private providers of
fer evening and weekend clinic
hours because clinic hours are
often inconvenient for parents
or guardians.
Although the cost of the full
series of vaccines has increas
ed from about $15 in 1980 to
about $280, so have the number
of vaccines available to protect
children. All county health
departments offer low-cost or
free immunizations, depending
on a familys ability to pay.
Founded in 1992, OPIC is a
broad-based collaboration of
more than 40 member organi
zations, agencies and com
munity groups united to in
crease the immunization levels
of Oregon's children.
In 1994, OPIC launched its
first statewide free immuniza
tion day with the help of
Oregon Public Broadcasting.
Nearly 6,000 children were
added to the immunization
rolls in just one day.
Contributing sponsors to the
Immunize 1995 Campaign in
clude Medicaid, McDonald's
and SmithKline Beecham.
For more information about
immunizations, contact your
private provider, the Morrow
County Health Department
676-5421 or 922-4103 or the
•tatewide SafeNet line at
1-800-SAFENET (723-3636).