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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (May 24, 1995)
• • . • . ... • -, Hut *%» 'V-tS EIGHT - Heppner Gazette-Times, Heppner, Oregon Wednesday, May 24, 1995 Nam* ol Fund NOTICE OF BUDGET HEARING FORM ED-1 202 Q ] Rspubhcjiion District has only ona lund _____________ Drug & A l c o h o l P r e v e n t i o n Adopted Budget This Year 94-95 Actual Data Last Year 9 3-94 15.042. 15.031. A meeting ol the Board of Pi rectors ___ eKM shei .will be held on □ am al 7:00 B p m. at Riverside Highschool in Boardman June Approved Budget Next Year 95-96 2 - QQQ- ---------------- -, 19 95 12, l Data) The purpose ol this meeting is to discuss the budget lor (locator*) the liscal year beginning July 1, 1995 as approved by the Morrow County School District A summary ol the budget is presented below A copy ol the budget may be inspected or obtained at ______ w - Main, L e x i n g t o n , OR 97B39______ between the hours ol Name of . This certifies that the budget |SMW V » » W 1 Fund 2 0 3 was prepared on a basis ot accounting that is CSconsistent.Onol consistent with the basis ol accounting used during the preceding year. City County Adopted Budget Th is Year 94-95 Approved Budget Next Year 95-96 119. Chairperson ol Governing Body DM 989- 8202 Marcia Kemp May 24, 1995 I.exi ngton Morrow 3000 Actual Data Last Year 9 3-94 Mentor Teacher 2.000. 15,042. 15,031. 15.031. The District Office; 270 8 ; 30 and 3 : 30 _________ 2 «n n o ------------- — 1 * C iA J 7. Total All Other Expenditures and Requirements . . 8. Total Unappropriated or Ending Fund Balance . .. ______ Budget Committee (Muredpai Corporator*) FINANCIAL SUMMARY Adopted Budget This Year — 1994-95 Approved Budget Next Year — 1995-96 7.996.406. A rQ£A, ft Ql . 17 r ^ T 7 . 6.000. 107.000. 300.000. 1l r 4 Q l r ft 1 4 . 7nn . 1 1, Q Q 7 f n 14. 9.509.102 4.487.732 11.997.014. 4.487.712. 7.922.692. 1 6 . 7 4 1 . 3 2 7 . ______ 21 - 4 6 9 . ________ TO TA L OF ALL FUNDS Anticipated Requirements 7. Total All Other Expenditures and Requirements............... 8. Total Unappropriated or Ending Fund Balance................. Anticipated Resources 11. Total Properly Taxes Required to Balance Budget 13 Total Property Taxes Required to Balance Budget (line 11) 14. Plus Estimated Property Taxes Not to be Received Anticipated Tax Levy l i s t e r 4 , 7 4 7 , 5R7 269,029. 9.004.348. 1.330.558. 7.673.790. B. Discounts Allowed. Other Uncollected Amounts 6-000- 328.000. 200. 000 38.762.919. 906.700. 2 9 . 6 6 8 . 1 1 9 . _______ i 25.160.969. 4. 507.150. 29.668.119. 1 4.507.150. - > v iS F « ISOSOaOMin» »Ml N am e of Fund Debt Outstanding Ö A s Summarized Below CD None 1 1 2 3 4 5 6 7. 8. 9. 10. PUBLISH BELOW ONLY IF COMPLETED Debt Outstanding Debt Authorized, Not incurred Julv 1. 1995-96 Approved Budqet Year 13.290.000. Julv 1. 1995-96 Approved Budget Year Lonq-Term Debt Interest Bearing Warrants . 1^,290,909- Total Indebtedness............- FUNDS REQUIRING A PROPERTY TA X T O BE LEVIED FORM ED-3 15. 16. 17. 18. 19. 20. 21. 7.019,660. Total Instruction........................................................ 4.429.005. Total Supporting Services....................................... 8,755. Total Community Services....................................... Total Debt Service.................................................... 203.754- Total Transfers.......................................................... Total Contingencies.................................................. 11,661,174. Total All Other Expenditures and Requirements 1.849,208. Total Unappropriated or Ending Fund Balance . 13.510,382. Total Requirements.................................................. 7,335,213. Total Resources Except Property Taxes Property Taxes ReceivedTRequired tp Balance . 6.179.16?:. . Tot^n^asoujces (add lines 10 and 1 1 ) ........... 13.510.382.- Property Taxes Required tb Balance (from line 11) Estimated Property Taxes Not 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 ....................................... • »- Safety Net Portion.................................................... One-Year Levy Outside the Safety N e t ................. .............................................. One-Year Levy Outside the Tax B a s e ................... • ' ' - ' ' • Serial Levies ............................................................ ’. y ' . Lew lor Payment ol Bonded D e b t.......................... N am e of J ‘ * ‘ ‘ * ii F * '■'k- * L '',* / * f " * / * * • Ç ■* 1% V; • r, I ; .»Vi ' > - • ;■ * . * «♦ •?■ * ; / * •. • . ^ ; * Fund 1. 2. 3. 4 5. 6. 7. 8. 9. 10. 11. 12. 13 14 15. 16. 17. 18. 19. 20. 21. À.: : - : ' Adopted Budget Th is Year 94-95 Actual Data Last Year 9 3-94 1 2. 3 4 5. 6 7. 8. 9. 10. Total Instruction........................................................ Total Supporting Services....................................... Total Community Services....................................... Total Debt Service . . - ............................................. Total Transfers................................................. . Total Contingencies.................................................. Total All Other Expenditures and Requirements . . Total Unappropriated or Ending Fund Balance . Total Requirements.................................................. Total Resources Except Property T a x e s ............... Property Taxes Received/Required to Balance . Total Resources (add lines 10 and 11) .................. Property Taxes Required to Balance (trom line 11) Estimated Property Taxes Not to be Received. . . . A. Loss Due to Constitutional Limit........................ B. Discounts, Other Uncollected A m ounts........... Total Tax Levy (add lines 13 and 14)...................... Levy Within the Tax Base ....................................... Safety Net Portion.................................................... One-Year Levy Outside the Safety N e t ................. One-Year Levy Outside the Tax B a s e .................... Serial Levies ............................................................ Lew for Payment ol Bonded D e b t.......................... Approved Budget Next Year 9 5 - 9 6 7. 215,034. 6,840,271. 4. 200.222. 16, 937 6,000. 307,000. 200,000. 11,945,193. 500,000. 12,445,193. 7,957,461. 4.487,732. 12,445,193* 4,487,732. 4.244.765- 15,869. 6,000. 328,000. 200,000. 11,634,905. 900,000. 12,534,905- 9, 564,943. 2, 969,962. 12,534,905. 2 , 9 6 9 , 9 6 2 . >. • re 4.247.587. 269.029. 9.004.348. 1. 330.558. 7.673.790. i • 5, 910.732. 123.654. 9.004.348. 1.410.391. 7.593.957. Title t Total Instruction........................................................ 2. Total Supporting Services ..................................... 4 5. 6 7. 8 9 10. Total Debt Service.................................................... Total Transfers . ..................................... Total Contingencies Total All Other Expenditures and Requirements . . Total Unappropriated or Ending Fund Balance Total Requirements.................................................. Total Resources Exceot Prooeitv T a x e s ............. N am e ot F u n d 201 Tjtle j Approved Budget Next Year 3 5 - 9 6 ...... 497.154. 1,537,188. 497.154. 497.154. 1. 537,188. 1 1.537.188. 1.537.188. 1. 537.188. 1 -l» *• - nl ;- v a s a B s m s m m i 9 4 r QSA 94,958. 94.958. Actual Data Last Year 93-94 ______ 1 Q 1 . 6 4 & .----------------- • Q*> r QQQ 1 0 1 - 6 4 5 . _________ 95 , 999 . 101.64 j . 95 . 999 . Adopted Budget Th is Year 94-95 Approved B udget Next Y e a r 9 5 - 9 6 8 . 5 1 3 . _________ 0 , 5 1 3 ___________________ 1 1 f son. _______________ 8.513. 11.500. 1 1 . 5 0 0 . Adopted Budget This Year 94-95 Approved Budget Next Year 9 5 - 9 6 920. 1 ------------------------------------T T 7 - 920. 920. 920. ... Republication Actual Data Last Year 93-94 PI. 8 9 - 3 1 3 Adopted Budget Th is Year 94-95 Approved Budget Next Year 9 5 - 9 6 6. 7. 8. 9. 10. Total Total Total Total Total Contingencies.................................................. All Other Expenditures and Requirements . Unappropriated or Ending Fund Balance . . . Requirements.................................................. Resources ExceDt ProDertv T a x e s ............... II Adopted Budget This Year 94-95 Approved Budget Next Year ” - 9<? 495. 495. 495. Actual Data Last Year 93-94 C ar r y O ver 67,392. 10,155. 8,000. 4,000. 10.155. 289 10.444. 10.444. 8,000. 4.000. 8.000. 8 . non. 4.000. 1,604,580. 4. Total Debt Service.................................................... 1.604.580. - 186.056. 37.194- 223,250. 223.250. ... 37.001. Total Total Total Total Total Fund 248,019. 186.056. 6. 7. 8 9. 10. I I Republication Approved Budget Next Year 9 5 - 9 6 247,759. 1. 2. 3. 4. 5. 6 7. 8. 9. 10. 211 40.000. 287.759. N a m e of 240.019. 248.019. 287.759. 287.759. 1. 2. 3. 4. 5. 6 7. 8. 9. ■10. Adopted Budget Th is Y ear 94-95 43.253. Approved Budget Next Year 9 5 - 9 6 40.000. - last day of school. Tickets are available at The Shoebox for $1 each or six for $5. Title Actual Data Last Year 97-94 xx Total Instruction........................................................ Total Supporting S ervices.....................................! Total Community Services....................................... Total Debt Service.................................................... Total Transfers.......................................................... Total Contingencies.................................................. Total All Other Expenditures and Requirements . . Total Unappropriated or Ending Fund Balance . . . Total Requirements.................................................. Total Resources Except Property T a x e s ................ 248.019. 37.001. 17 r w ^ Contingencies.................................................. All Other Expenditures and Requirements . . Unappropriated or Ending Fund Balance . . . Requirements.................................................. Resources Except Property T a x e s ........... ■ . N a m e of Adopted Budget Th is Year 94-95 HHS freshmen to raffle jewelry » 95.999. Approved B udget Next Y e a r o i . o t FUNDS N O T REQUIRING A PROPERTY TA X T O BE LEVIED N a m e of F u n d 210 T i t l e - 3. Total Community Services....................................... 4 Total Debt Service ........ .............................. 5. Total Transfers.......................................................... Th e Heppner High School freshman class jewelry raffle drawing will be held June 7, the 1. Total Instruction ...................................................... 2. Total Supporting Services . . *1 Total O. t VJIdl nnmmimilv L/UI1 IIIIUI Illy Owl Vluca , ■ r r . . i'FTT * • • • 4. Total Debt Service .•>............... 5. Total Transfers.......................................................... 6. Total Contingencies.................................................. 7. Total All Other Expenditures and Requirements . 8. Total Unappropriated or Ending Fund Balance . . . 9. Total Requirements.................................................. J O . . Total Resources Except PropertyJaxes . . . i s . n o n __________ Adopted Budget This Year 94-95 94.958. Actual Data Last Year 93-94 Education 10.000. . 495. 1.537.188. 37.001. 7. Total All Other Expenditures and Reguirements . . 0. Total Unappropriated or Ending Fund Balance 9 Total Requirements................................................. Prevention ___ 1 6 . QQQ.----------------- Publish ONLY completed portion ol this page. Total Anticipated Requirements must equal Total Resources. 497.154. Actual Data Last Year 93-94 c a r r y O ver A Alcohol 207 V o c a t i o n a l FUn<1 209 Actual Data Last Year 9 3- 94 I 206 D ru g 10.000. _______ l A . n n n ------------------- in.non. 1 0 .0 0 0 .---------------- Instruction Supporting Services Community Services Debt Service Transfers m Contingencies All Other Expenditures and Requirements Unappropriated or Ending Fund Balance . . . Requirements.................................................. Resources ExceDt ProDertv T a x e s ............... N a m e of Publish ONLY completed portion ol this page. Total Anticipated Requirements must equal Total Resources. Fund 200 Bi-Lingual Approved B udget Next Y e a r 9 5 - 9 * I5O-5O4-0S3 (R»v » M l » 497.154. .. . Total Instruction Total Supporting Services . . Total Community Services Total Debt Service Total Transfers Total Contingencies Total All Other Expenditures and Requirements . . Total Unappropriated or Ending Fund Balance . . . Total Requirements.................................................. Total Resources Except Property T a x e s ............... Fund FUNDS N O T REQUIRING A PROPERTY TA X T O BE LEVIED N am e of VII Adopted Budget Th is Year 94-95 Actual Data Last Year 93-94 Actual Data Last Year 9 3- 9 4 N am e of ISO-SM os» m »v » M| FORM ED-2 Total Total Total Total Total Total Total Total Total Total FORM ED-2 Adopted Budget Th is Year 94-95 Actual Data Last Year 97-94 De b t S e r v i c e s 300 C/ O Total Instruction Total Supporting Services Total Community Services Total Debt Service Total Transfers Total nnntinnonrio« 1 CM Cl 1 vUI lilt ItjCI IL.I03.................................................. Total All Other Expenditures and Requirements . Total Unappropriated or Ending Fund Balance . . Total Reguirements.................................................. Total Resources E xcod I Property. Taxea . . . . . . . . Fund Republication Fund Bi-Lingual O O m - —f •H fit 1. 2, 3 4 5. 6. 7. 8 9 10 11. 12 13. 14 General VII N am e of Publish O NLY completed portion ol this page. N am e of F u n d 100 Title N am e of Fund , , 205 T i t l e Debt Authorized. Not Incurred □ As Summarized Below □ None 204 c c c 1 2 3 4 5 c u. 7. 8 9 10 . 5.910.737. 191,046. 1 0 . 6 0 8 . 9 2 8 ________ | 1.410.391. 7.593.957. 1 Q - 6 QB - 9 2 8 - FUNDS N O T REQUIRING A PROPERTY TA X T O BE LEVIED FORM ED-2 1.604.580. 9.004.348. 119. 119. 10 Total Resources Except Prooeitv T a x e s ............... Tax Levies By Type 22 Total Tax Levy (equels line 15)............................... 119. 7. Total All Other Expenditures and Requirements . . 8. Total Unappropriated or Ending Fund Balance . . . Fund 2 x 2 Century 21 - S i t e Council Adopted Budget This Year 94-95 Approved Budget Next Year 9 6 - 9 6 1.777. 16.147. 1.777. 16.147. 17.000. 1 r 777. 16.147. 17. 000 Actual Data Last Year 93-94 Total Instruction........................................................ Total Supporting Services....................................... _____________ 6 6 7 . Total Community Services....................................... Total Debt Service.................................................... Total Transfers........................................................... Total Contingencies.................................................. 667. Total All Other Expenditures and Requirements . Total Unappropriated or Ending Fund Balance . . __________ 7 . 1 7 3 , 7.840. Total Requirements................................................ Total Resources Except Property T a x e s ................ Adopted Budget Th is Year 94-95 17.000. Approved Budget Next Year 9 5 - 9 6 23.128. _______ 2 3 . 1 2 8 . _________ 23.128. ISO-SM OM (<>•* » M l 43.253. 40.000. 43.253. 40.000. Scratch _ . Pads 5 0 * Gazette-Times 676-9228 Todd Cox named top consultant To d d Cox, son of Bill and Winifred Cox, was recently named the number one consul tant in the nation for the inter national corporation TeleCheck Services, Inc. Cox topped his colleagues in sales, retention and profitability of TeleCheck's checkreader Access 1 in 1994, said a release from TeleCheck. Cox was awarded a trip to Key West, Florida, in early M ay for his "o u tsta n d in g m ents." achieve Cox, a 1973 graduate of Heppner High School, hat been with TeleCheck for five and a half years.