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
—