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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (May 24, 1995)
SIX- Heppner Gazette-Times. Heppner, Oregon Wednesday. May 24. 1995 N O TIC E OF • u — Ky m p p m w n u i bvjpgt - M o rro u A pubkc heanrtg on • proposed supplemental bu dg « »Of — M firr n w EPu a t V . -------------- Staio ol Oregon. tor the «»cal yaar July 1 ,1 9 —2 á — -a th -K -« H T h e to Juna 30. 11 M o rro w C o u n tY ..19-21. The haanng wtll taire placa on tha — 14 t i l — day oI -------JilO fi-------- ............. C ouaU . kQ i U lU C P . A pnex (5 a.m. □ p.m. 02 —— fTewe» A copy o» tha aupplamantal budget documam may ba InapacMd or oMalnad on or a lia r— Ma y 74 . 12 2 1 __ Q _ Amount 0 _______ Q _ 3 Comments S u p p le m e n t a l b ud _ Q____ £ Z i2 Q Q __ . 0 Name ol Requirement Amount B u ffe s I.F In l ey S 1 ? *> . 0 0(1.00.. B u ffa » Z ---------------------------------------- — Total Raaourcas 0 S 12*1 0 0 0 . 0 0 .. -------------------------------- <i iti nnn tin Total Raquiramant» ] 1. ..... ............................ IT r a n a fr r • 3 ■ .■ __ Q_ _________ Û__ ___________ 2 G 5 Û Û ___ 7. Total All Other Expenditures and Requirements . 8 Total Unappropriated or Ending Fund Balance . . 9. Total R equirem ents............................................... _____________________ CL- ____________________Ü__ ___________ 71 .5 0 0 ___ $ 125,000.00 Total Requirements Name of Unil/Program/Deparlmenl S T A l'E REVENUE SHARING Published: May 24, 1995 June 13 .w ill be held on __ toodri (Locaio n ) C IT Y OF IONE the liscal year beginning July 1, 1995 as approved by th e . _ . — _____________ Budget Committee (StMt Addraul f, Telephon« Number ChairpMBon o f Governing Body OMB IONE 2 ,8 0 0 5 /1 9 /9 5 J IM BOOR LB-1 CD Republication A meeting ol the □ a.m. a t 7 : 30 Bp.m. at Lexington City Council .w ill be held on (Governing Body) City Hall the fiscal year beginning July 1, 1995 as approved by the _ 13, 19 9 5 Town of Lexington ______________________ Budget Committee. (Municipal Corporation) FINANCIAL SUMMARY Approved Budget Next Year — 1995-96 Adopted Budget This Y eaC- l?j>4-95 TOTAL OF ALL FUNDS 6 1 0 Anticipated Requirements 1 22.000 2 4 8 .7 0 8 2 2 9 .2 1 1 1 9 .0 9 7 ¿ A Q , 3 0 8 9. Total Raaulramanta — add linas 1 through 1 .................. 11. Total Proparty Taxas Required to Balance Budgat.......... .. 13 Total Proparty Taxas Required to Balance Budget (line 11) 8 Discounts Allowed. Other UnooSected Amounts............. 15 Tout Tax Levy - add tines 13 and I t ............................... H 3 ,2 6 8 1 ,4 2 8 2 3 ,7 9 3 3 ,4 8 4 T1 . 5 1 3 2 5 ,2 2 0 ' JTT755 2 5 .2 2 0 0 ---------------- 7 T T 7 T 3 ---------- Anticipated Tax Levy □ As Summarized Publish ONLY completed portion ol this page. □ Telephone Nu/nbar Bill Sheirbon Adopted Budget This Year — 1994-95 16,500 8 1 , 8 6 3 --------------- 63,326 8,522 5,700 2. 3. 4 5. Tolal Material and Services.............................................. Tolal Capital Outlay Total Debt Service.......... Tolal Transfers....................... Total Contingencies 7. Tolal All Other Expenditures and Requuemenls . . Tolal Unappropriated or Ending Fund Bolance 9 Tom Requirements - add lines t through ................. ' 6 8 8 10. Total Raaourcas Except Property Taxes It . Total Property Taxes Required lo Balance Budget 12. Total Resource» - add lines and ......................... 10 11 13. Tolal Property Taxes Required lo Balance Budget (line 14. Plus Estimated Properly Taxes Not lo be Received A Loss Due to Constitutional Limits 1/5,911 1 6 3 , 4 0 4 ---------------- 12,507 ” ' 1 / 5 , 9 1 1 ---------------- 11 ) "12,511/ 989-8526 Tax Levies By Type Republication 16 17 18. 19 . 20. Approved Budget Next Year — 1995-96 " Í’7 , 9 0 0 5 5 , 6 0 5 ----------- w f w i ----------- 8 T 5 T 2 ----------- S T T Ï Ï Ü ----------- 213,212 Z Ü Ó T 5 0 1 ------------ 1 2 , 7 1 1 ------------ 7 1 1 7 2 1 2 ----------- ------------ n ; v ------------ 11 5TT7---------------- ------------------- 5777----------- B Discounts Allowed. Other Uncollected Amounts 15 Total Tax L e w - a d d lines 13 and 14 F U N D S N O T R E Q U IR IN G A P R O P E R T Y T A X T O B E L E V IE D 5 : 0 0 This certifies that the budget fC p b ti parson o l Govarnirtg Body 5-24-95 TOTAL OF ALL FUNDS Anticipated Resources Debt Authorized. Not Incurred F O R M LB -4 and F IN A N C IA L S U M M A R Y Anticipated Requirements 0 0 0 — ? $ , 220 ' 0 5 O Nona Dale Lexington 2 0 -2 2 3 2 0 .2 2 3 19 Levy lor Payment ol Bonded Debt....................................... between the hours of f t j . P P C#Y Morrow 2 3 0 7 8 1 9 ,0 9 7 17. One-Year Levy Outside the Tax B a te ................................. Debt Outstanding County _________ 6 . 7 0 0 9 .7 1 7 71 f t . R7R 7 7 .n o n 7 7 8 .8 7 8 ______ 7 1 8 .6 6 6 3 .6 3 1 ? 7 f i. 7f)fl 430 West was prepared on a basis of accounting that is Q consislent D n o l consistent with the basis of accounting used during the preceding year. n 7 1 -5 0 0 A summary of the budget is presented below. A copy ol the budget may be inspected or obtained at (SDMI Ad*,M) 7R D rift f i n r ftfift 67.4517 7 7 . 7R6 17 ft. Q 7 ft.A D D □ As Summarized June -------------------------- - The purpose of this meeting is to discuss the budget lor (Location) 4 2 2 -7 5 6 8 ■; (3 None Published: May 24, 1995 NOTICE OF BUDGET HEARING FORM 7 ,6 0 0 ________________? « m . ,o prepared on a basis ol accounting that isfc) consistent D n o l consistent with the basis of accounting used during the preceding yea C*y 8 (MuXcUU CorvorMon) BANK OF EASTERN OR. A summary ol tha budget is presented below. A copy ol the budget may ba inspected or obtained at tt • 1 1 jQ O tt' .hlrbsr- M AIN AND GREEN STREET . This certifies that the bud§* ____________ between the hours or 9AM and 3PM MORROW 0 -------------------------- 2 , 9 0 0 — ---------------------- 2 ; 9 0 0 4uu Total Unappropriated or Ending Fund Balance . . 9. Total R equirem ents.................................................... 7 .^ 0 0 0 0 __ 7 , Ron n Q n 7. Total All Other Expenditures and Requirements _________ _ The purpose o l this meeting is to discuss the budget lo IONE OR. 100 300 .. 19 as. (OMI 0 100 0 0 100 CD Republication A meeting ol the □ a.m. at 7 ; 30 X ip m at IONE C IT Y H A U ., Approve^ B i^ je t Actual Data Last Y e a P ~ ^ _ N O T IC E O F B U D G E T H EA R IN G FORM LB-1 0 3- 5 125,000.00 Total Resources 0 0 z _______ ! _____________ 2, U Approved Budget Next Year Q 6_9ft £ ____________ Û__ 2 1 .6 0 0 _______________Q__ ______________ Q__ __ Q_ ____________________0 __ _________________ Q___ Amount naquOamant Amount 9 >6 __ Q_ __ Q_ FUND: Road Fund Resource Adopted Budget This Year g _ç Actual Data Last Year q q q<| -------------------- Name of Unil/Program/Department S P E C IA L C A P IT L OUTLAY S i7 S .n n n .Q Q . 0 0 0 2 ,3 0 0 0 2 ,3 0 0 0- 0 0 1 8 ,0 0 0 0 1 8 ,0 0 0 0 0 7 Total All Other Expenditures and Requirements . 8 Total Unappropriated or Ending Fund Balance 9 Total Requirements ................................................. Amount 9 A -9 S m oni e s 0 1 2 .6 7 5 ____________ _ _ _ _ _ ______________________ Approved Budget Next Year 9 5 - 9 6 ___ 0 Adopted Budget This Year Q 4 -9 5 0 zet reaulred to spend additional resources to be received from Resource , Actual Data Last Yeaqq_Ozi_____ 0 G e n e r a l Fund 1. T r a n s f e r F rom F i n l e y J Republicatioi $ 2 5 0 ,0 0 0 . 0 0 Total Requirements Finley Buttes Landfill tippage fees. Tax Levies By Type _______ ~Q _ 8 -‘ .n n n 60 m o Name of Unit/Program/Depailmenl $ 2 5 0 ,0 0 0 . 0 0 Total Resources Anticipated Tax Levy _ . Publish ONLY completed pomon ol this page 1 2 5 ,0 0 0 . 0 0 a Anticipated Resources . ___ . _ a ^ , Q Q Q - ft . 7 0 6 T 5 ,8 ? 3 ____0 ______ - ___ Q SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND FORM LB-4 S 1 2 5 ,0 0 0 . 0 0 ^.Transfer to Road Fund $ 2 5 0 ,0 0 0 .0 0 2 I* - _______ Q _ 0 0 9. Tolal Requirements ...................................................... Requirement Amount Fees County _ ___ ____________ d . 6 3 0 ______ . 6 2 .5 7 0 _______ 2 9 ^ 3 2 0 - - ___________2Q .Q Q Û _______ a 7 ,7 1 '» J . 9 3 2 __ 7. Total All Other Expenditures and Requirements . . 8. Tolal Unappropriated or Ending Fund Balance . . . »Transfer to Cenerei Fund FUND. S T A T E S TR E ET Approved Budget Next Year QS- Oft__ Adopted Budget This Year q«L-<7 S _____ Actual Data Last Year cjn o * C T ip p a g e 0 3 9 ,8 5 0 3 1 .9 5 0 License Fee Fund B u tte s Resource . ------------------ <1*, 2 5 2 3 9 ,8 * 0 3 1 ,9 5 0 0 " cc F in le y ' A Total 4. loiai rinKf ueoi Caniina o e rv ic o ........................................................ c 3. Total 1 Uldl TrsnelAre 1 fallal v i a ............................................................... C Total PjinlinnAnplqe SUM M A R Y O F SUPPLEM EN TA L BUDGET publish only t h o m sur«» a » « m o op « o FUND: 3 ,5 0 0 0 4 4 ,2 5 7 1 Total Personal Serviras O sn/j o Qenilrec c. Total I Oloi kiaterlflla iviaivfiais ana b iv il u ) ...................................... q Total Hart Hal lit au G a.m. □ p.m. an d. m Th«. H nrrou r. n .m t v r.n„r r hmiaa . H ap p n ar. QR batwaan tha hour» o<----- l if l û 1 V '3 7 1 2 ,4 6 6 0 0 Name ol Unil/Program Name ol Fund Tha purposa oI tha hearing a to dlacuaa tha supplemental budgat «Uh M aiaatad paiaena. ! 9 , *7 0 0 0 n , u;o 7. Total AH Other Expenditures and Requirements . . 8 Total Unappropriated or Ending Fund Balance . . . 9 Total R eq u irem en ts...................................................... 8 ,9 B 0 1 • f 900 1 1 / l 0Ó —----------------- — ------ t v ---------- 0 ' ------------------------------- Ä---------- 0 —---------------- “ '1 â—e — , 0 7 r f 0 r i— 8 , 9 8 0 __ 8 ,9 8 0 SU P PLEM EN TA L BU DG ET HEA R IN G Approved Budget Next Year n c r^c Adoptad Budget This Year rjc. Actual Dale Last Year no ns Hamm of .253 13,014 ------------n ----------- 5 7 T Z 5 ---------------- -------------- r r r n ----------- Levy Within the Tax Base One-Year Levy Outside the Tax Base Serial and Continuing Levies Levy lor Payment ol Bonded Debt In lH Ql lines 16 through 19 leauals line 151 1 8,888 8 7 M Ü ----------- " 1 3 , 0 1 4 ---------------- ------------ 1 3 , 2 5 3 ------------ Name ol Unil/Program Name ol Fund Adoptad Budget Thla Year of of Actual Data Last Yaar a ? 0,1 POUhTTY ROAD FUND 3 ,0 0 0 4,797 0 0 Approved Budget Next Year q f _ qf 3 ,0 0 0 3 ,0 0 0 1 9 ,0 0 0 2,500 77000 8,350 0 0 0 1 ,4J0 7 Total All Other Expenditures and Requirements . . 9. Total R eq u irem en ts ...................................................... 0 2 5 ,0 0 0 18,350 4,960 12,757 0 25,900 18,350 0 fCDC Total Personal S ervice s.............. Total Capital O u tla y ..................... Total Oabt S e rv ic e ........................ Total Tran siera.............................. 100 946 0 0 0 0 ___ 600 0 0 0 0 0 0 1 .015 ..... ............. : Total C ontingencias..................... Total A l Other Expenditures and Requirements Total Unappropriated or Ending Fund Balance . Total R eq uirem ents.................................................. 1.1 31 2.492 7.501 0 l .0*6 0 _______________ 3 x 6 2 3 . . . . ________________ 3 i : 0 L - . Memorial for Moore . . . . ... . A memorial service will be . . . c ut „ w held for Harvey R. Moore on May 28 at 11 a in at Lonerock Approved Budget Nexl Year 9 5 -9 6 0 2.6 01 Q___ 531 Total Malarial» and Services . . . .* x2* Adoptad Budget Thla Y e ft r t- J r Church. A potluck lunch will . ... . T r* __ __, , , be held at the Grange follow- . ,, ® *"§ • » Computer Paper Plain • Green Bar Gazette-Times 676-9228 Debt Authorized. Noi Incurred E3 None ______________□ As Summarized FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED I I Republication Publish ONLY completed portion of this page 7,797 Actual D a l i . Last Yaar Debt Outstanding □ As Summarized FORM LB-3 Name ol UniVProgram Name el Fund □ None N am « of Fund GENERAL FUND Actual D ata Last Y e a r 9 3 - 9 4 A dopted Budget This Y e a r 94-9 5 1. Total Personal Services.............................................. ---------- 3 - ^ 8 0 0 ___________ 3 , ?nn 2. Total Materials and S e rv ic e s ..................................... ______ 8 , 2 9 0 ___________ _____1 8 1 5 3 7 1 , Ann 3. Tolal Capital O u tla y ..................................................... 2.0 0 0 4. Tolal Debt S e rv ic e .................................................. 5. Total Transfers.............................................................. ---------- 2 , 7 0 0 ___________ 2.7 0 0 A pproved B udget N ext Y e a r 9 5-96 L non 15 .286 9.2 6 9 2.7 0 0 6. Total Contingencies..................................................... 7 Total All Other Expenditures and Requirements 8. Tolal Unappropriated or Ending Fund Balance 9 Total R equirem ents....................................... 10. Total Resources Except Property Taxes “ 1 ____ 1 6 . 1 9 0 _____2 6 . 4 ____ L 2 . 4 6 5 ___________ 22 .4 __ 3 .7 25 11. Total Prop Taxes ReceivetVRequfred to Balai*. 3 .9 16.190 12. Total Resources (add lines 10 and 11) .................. 26.4 13 Property Taxes Required lo Balance (from line 11) ______ 1 , 9 3 5 8 3 7 2 5 7 27 .0 6 6 4.1 89 85 4.1 89 14. Estimated Properly Taxes Not to be Received. A Loss Due to Constitutional L im it......................... 31 .255 1 -------------------- --------------------- - B Discounts. Other Uncollected Amounts 15 Total Tax Levy (add lines 13 and 14) .............. 16 Levy Within the Tax B a s e .................................. 17 One-Year Levy Outside the Tax Base .................. 18 Serial end Continuing Levies ................ 3 1 .255 141 - * -■ - 4 .1 2 6 4 r 1 7 ft 184 4.3 7 3 ------------I L a J "KTX ./ J —