Heppner Gazette-Times, Heppner, Oregon Wednesday, May 15, 1996 - THIRTEEN
Survey planned on respite care
St. Patrick's Senior Center
Bulletin Board
Local Arts, Garden clubs plan trip
The commission has a small
federal grant that will help de
fray some of the costs for
families who could not other
wise pay for these services. "It
is hoped that respite care will
alleviate some of the pressures
families face in raising special
needs kids and reduce some of
the risk factors for abuse,"
Merrill added.
To receive a survey or more
information, contact the com
mission at 676-9675.
The Morrow County Com
mission on Children and
Families (MCCCF) is conduct
There were 101 people present for the senior center Mother's ing
survey to detemine the
Day meal May 8, and five meals were home delivered. Marguerite need a for
respite care for families
Messenger won the meal ticket, and Martha King, the mother's with children
with mental and
day violet plant, which was provided by Corol Mitchell. Members physical disabilities.
of the Seventh-day Adventist and Nazarene churches helped the
"There has been a need for
cooks, served and cleaned up.
this
type of service in Morrow
Hearing aid assistance and blood pressures were taken before County
a long time, but the
the meal. The senior board met following the meal. Eva Mabbot extent of for
the
has not been
and Corol Mitchell of CAPECO were present for the meeting. determined," need
said
ex
The menu for May 22 will be Salisbury steak, potatoes with ecutive director Dar MCCCF
Merrill.
gravy, com, rolls, fruit and dessert. Members of the Methodist
The commission has develop
Church will serve.
ed
aimed at families
Four ladies played pinochle Friday afternoon, and five seniors who a survey
could
possibly benefit
watched the movie, "One-Eyed Jacks" Sunday evening. Satur from this service.
of the
day evening, 25 seniors listened and danced to the music of Tim survey are available Copies
at
the
Cundell. The "generous sharing of his talent is much appreciated mission office in Heppner, com
the
by the seniors," said a center spokesperson. Because of the Health Department, Mental
Historical Society trip, and George and Anna Mae Steagall's 50th
Educational Services
wedding anniversary reception in Spray, there were fewer seniors Health,
District
and
Educational Re
than usual for the party.
source
Centers
at each school.
Rachel Harnett had the misfortune of falling in her apartment Once the need for
respite care
early Sunday morning. She was taken by ambulance to Pioneer is determined, providers
will be
Memorial Hospital with a broken arm.
recruited
and
trained,
and
ser
Dates to remember: Tuesday and Thursday exercise, 10 a.m.; vices will begin, said Merrill.
Wednesday blood pressure clinic, 11 a.m., senior meal, noon;
Friday cards, 2 p.m.; Sunday movie, 7 p.m.
We make
Posters
Gazette-Times
676-9228
FUNDS NOT REQUIRING
A PROPERTY TAX TO BE LEVIED
N am e o f
Fund
STATE
REVENUE
S H A R IN G
LB-1
Morrow County Health District
A mealing ol the
at
June 3
.w ill be held on
I’loiieer Drive, Heppner
K) p.m a l .
2 - 5 Q 0 ________
The purpose ol this meeting is to discuss the budget for
(Location)
the fiscal year beginning July 1, 1 9 .__ as approved by the M o r r o w C o u n t y
H e a lth
D is tr ic t
N am e ot
F u nd
------Ilg l’ l?1!? r i . OH____________________________________ between the hours of 6
S P E C IA L
CAPITAL
O UTLAY
0 _________
0
5.647
0 _________
2. Total Materiale and Servtcea...................................
E.
P io n e e r
D riv e
a . m . and 5 p . m . This certifies that the budget
(Straat A tM ia a t)
County
City
Cho»rp#f«on ol Governing Body
DM*
Mo V row
A dopted B udget
This Y ear— 19 9 5 - 1 9 9 6
E Q U IP M E N T
Actual Data
Last Year 9 4 - 9 5
REPLACEM ENT
1 Total Personal S e rv ic e s .........................................................
3 ,0 2 8 ,7 9 9
3 ,3 4 3 ,1 9 2
1 ,7 7 1 ,6 0 0
1 ,6 5 0 ,0 7 1
3. Total Capital O u tla y ...............................................................
2 5 1 ,2 0 0
2 5 0 ,0 0 0
4 Total Debt Service
1 6 7 ,5 5 0
5 8 ,3 5 0
8 0 ,0 0 0
7 Total All Other Expenditures and Requirements
A nticipated
R esources
Tax Levies
By Type
7 5 0 ,0 0 0
7 6 6 ,5 2 3
9 0 5 ,9 6 0
3 5 8 ,5 5 9
9. Total Raaulramants — add lines 1 throuah 8
6 .9 5 5 .1 0 9
6 ,5 0 6 .6 9 5
6 .5 0 0 .1 0 9
6 ,0 2 4 ,4 1 3
11. Total Property Taxes Required to Balance B udget............
12. Total Resources — add lines 10 and 11 . . . . . . . . . .
4 5 5 ,0 0 0
4 8 2 ,3 0 0
6 ,9 5 5 .1 0 9
6 ,5 0 6 ,7 1 3
4 5 5 ,0 0 0
4 8 2 ,3 0 0
■
14. U 8
8 .3 5 0
13. Total Property Taxes Required to Balance Budget (line 11)
A nticipated
8 0 ,0 0 0
10. Total Resources Except Property T a xes.............................
14 Plus: Estimated Property Taxes Not to be Received
B. Discounts Allowed. Other Uncollected A m ounts............
15. Total Tex L e w — add lines 13 and 1 4 ................................
1 5 ,8 8 2
2 3 .4 5 0
4 8 5 ,0 0 0
5 1 4 ,1 0 0
16. Levy Within the Tax Base ....................................................
4 8 5 .0 0 0
5 1 4 ,1 0 0
17. One-Year Levy Outside the Tax B a s e ..................................
-0 -
-0 -
18 Serial and Continuing Levies................................................
-0 -
-0 -
19 Levy tor Payment ot Bonded D ebt........................................
-0 -
-0 -
fa m e of
:u n d
1
□ None
Jam e of
:u n d
E stim ate d D ebt O utstanding at the
B eginn ing o f thé B udget Y ear
E stim ated D ebt A uthorized, N ot Incurred at the
B eginn ing ot the B udget Y ear
July 1, 19 9 6 - 19_j}_Z Approved Budget Year
July 1, 1 9 .2 6 - 19 9 7 Approved Budget Year
2.
3.
4.
8.
8.
7.
8.
9.
Bonds
Interest Bearing Warrants .
O th e r......................................
Total ImioPlodnoss........... . .
Short-Term Debt
2 5 0 .0 0 0
_____________ 3 3 5 . I M ___________________
Estimated Amount
to be Borrowed
FU N D LIABLE
Estimated
Interest Cost
Estimated
Interest Rate
t. Total Personal Sandes«............................................
2. Total Mataríais and Service»...................................
1.
2.
3.
4.
8.
NOTICE O F BUDGET HEARING
□
WA T E R
CITY QF IONE.
(Qovarnéng Body)
□ a.m.
at 7 i 3 Q . Ûfp.m. a t .
.w ill be held on
Republication
IONE CITY HALL
1 9 Ìfil_
J J U W £ _ iL
CITY OF IONE
A summary of the bueget Is presented below. A copy of tha budget may be Inspected or obtained at
S P R IN G
B ■ 9 8 0
17.766
__ Q___________
0 ___________
3 . 5on
Total
Total
Total
Total
Total
3D
3
33
9 9
Actual Data
L a atY ea r 9 4 - 9 5
LCDC
__ Q___________
1.520
n
n___________
n
Personal Service»............................................
Materiale and Service«...................................
Capital O utlay....................................... . ' . . . .
Debt Service....................................................
Transiera..........................................................
7. Total All Other Expenditures and Requirements . .
6. Total Unappropriated or Ending Fund Balanca . . .
9. Total Requirements..................................................
fa m e of
:und
1 , *?20
1 rn m
7 j
CO UNTY
between the hours of 8 6 > M • and 5
R OA D
.B udget Committee.
MORROW
CO.
4. Total Debt Service....................................................
GRAIN
GRC
P . M -This certifies that the budget
consistent [Dnot consistent with the basis ol accounting used during the preceding year.
Dato
C*ty
MORROW
IONE
of
DENNIS STEFANI
Chafrporton Govaméng Body
5/9/96
1. Total Personal Services.........................................................
38 .046
4 1 . 546
2. Total Material and Services..................................................
3 Total Capital Outlay ...............................................................
1 0 0 r fifi5
95 r 047
fi2 r 4 5 0
n
19,73A
4. Total Debt Service
fir 3nn
________ O
4 .0 0 0
q . 7i 7
2 1 fi r 8 7 8
1R Q . 1 t 1
2 2 .n n n
2 3R . A 7 A
1 Ql r 1 1 1
tO. Total Raaourcaa Except Proparty Taxaa...........................
2 1 R ,655
1RQ.R7A
11. Total Proparly Taxaa Required to Balanca Budgat
20 .2 3 3
2 3 f t ft 7 A
21 . 4 3 f i
5 Total Transfers.......................................................................
6 Total Conlingencies...........................................................
7. Total All Oth»r Expenditure» and Requirement»
8 Total Unappropriated or Ending Fund Balance
Anticipated
Tax Levy
B Discounts Allowed, Other Uncollected Amounts
18. Total Tax Latnf - add Nna» 13 and 14................................
Tax Lavtaa
By Type
17. Ona-Yaar Lavy Outalda tha Tax Baaa
18. Sartal and Continuing Lavtaa.................................................
Fund
□ A t Summarized
3 . 4 Ad
2 r 720
1.5 1 3
A OO
2 A .2 20
25 r 2 20
24.QAA
2 4 . QAR
O
O
0
0
¿ 4 *8 5 6 -,
Debt Authorized. Not Incurred
□ None
GENERAL
□ Aa Summarized
«t. % «Pi f ;
10.451
11.160
21.611
21 . f i l l
- y -
Adopted Budget
This Year 9 5 - 9 6
Approved Budget
Next Y ear
96
0,130
52,170
0
0
___________ Q __
0
60,300
0
60,300
6 0 . TOO
Approved Budget
Next Y e a P 6 - 9 7
8.900
14,900
11.100
0
_Q__________
4 .B70
3Q . R5 f )
n
8,980
17,900
0
0
0
3.870
3 0 . 7 5 0 __________
0
30.750
3 0 . 75fl
3 q . flfin
Adopted Budget
This Y ear 9 5 - 9 6
Approved Budget
Next Y e a 6 6 - 9 7
100
927
100
945
n
n
ft
n
i , r >46
n
1 .045
____________ Q _ ________
____________ 0 __________
0
O
1 - 0 2 7 __________
n
1 .027
} i 9 4S
Adopted Budget
This Year 9 5 - 9 6
Approved Budget
Next Year 9 6 - 9 7
3,000
7,000
8.350
0
0
3,000
8,350
5,000
0
____________0 __________
18.350
0
718.350
1 0 - 3 5 0 __________
4
0
16,350
0
16,350
1 6 - 3 5 0 __________
I
3 Total Capital Outlay
7. Total AH O th « Expenditure* and Requirements . .
8. Total Unappropriated «E nd ing Fund Balance . . .
11.
12.
13.
14.
I
Actual Data
Last Year 9 4 - 9 5
2i.nq6
10.298
................................................ ____________ Q__
Q
ID.14fi
1 Q1 . 1 1 1
2 t . 43fi
2^-22^
Debt Outstanding
&,■
FUNDS REQUIRING A
PROPERTY TAX TO BE LEVIED
N a m e of
22 .000
_______________ 0 ________
O
18. Lavy for Paymant of Bonded Debt........................................
3J None
Adopted Budget
This Y ear 9 5 - 9 6
PubHsh ONLY comptai«! portion of Urta page.
14. Plua E.timatad Properly Taxaa Not to be Received
A. Loae Due to Conetitutlonal Limit»
7. Total All Other Expandlturas and Requirement* . .
8. Total Unappropriated or Ending Fund Balanca . . .
FORM
LB-3
A . 7 AO
20 .223
13. Total Proparly Taxaa Required to Balance Budget (Una 11)
...—
t41rK2r,73fi4
Adopted Budget
Approved Budget
Thl* Y ear— 19 9 5 -1 9 9 6 Next Y eer— 19 9 6 -1 9 9 7
TO TA L O F ALL FU N D S
Anticipated
Resources
3.000
7.451
__ Q___________
Q
0
Telephone Numb##
FINANCIAL SUMMARY
Anticipât«!
Requirem ent*
^97
Actual Data
L a atY ea r 9 4 - 9 5
2. Total Mataríais and Services...................................
(S »««t A d d r*M )
County
.246
. 6R5
r Q31
Q 9 1
STREET
was prepared on a basis of accounting lhat is
2 - ^ n n ______- - I -
4,630
Actual Data
L a atY ea r 9 4 - 9 5
UTILITY
(M unicipal Corporation)
S.
______________ 0 ________
2.300
_____________ Q-----------------
. The purpose of this mealing la to discuss the budget lor
(Location)
the fiscal year beginning July 1. 19 9 6 as approved by th e .
M A IN
0
1______________0 __ _____
2.300
62.570
20.000
0
0
0
D7.20Q
0
87.200
ft 7 . 2 n n
9
A meeting of the __
0
2,130
6.221
6ft.qnq
65.21n
Total Material* and Services...................................
Total Capital O utlay..................................................
Total Debt Service....................................................
Total Transiera . .........................................................
Total Contlnganctae..................................................
Total All Other Expandlturas and Requirements . .
Total Unappropriated or Ending Fund Balanca . . .
Total Requirement!.............................. ................
J a m * of
:und
ISO-504-001 (B #v 1 0 -tS I
FORM
LB-1
0
0
0
0
0
0
0
0
0
0
0
4. nqt
0
0
n
10. Total Resource* Exceot Prooertv T a x e * ...............
□ As Summarized
PUBLISH BELOW ONLY IF COMPLETED
Lo ng-T erm D ebt
Actual Data
L a a tY e a r 9 4 - 9 5
STREET
7. Total All Otlisr Expenditure# and Requirements . .
8. Total Unappropriated or Ending Fund Balance . . .
Debt Authorized, Not Incurred
Q9 As Summarized
STATE
4. Total Debt Service....................................................
5. Total Transiere..........................................................
6. Total Contingencies..................................................
STATEMENT OF INDEBTEDNESS
□ None
____
Approved Budget
Next Year . 3 4 - 9 7
Adopted Budget
This Year 9 5 - 9 6
FUNDS NOT REQUIRING
A PROPERTY TAX TO BE LEVIED
Total ol lines 16 through 19 (equals Una 15 )....................... ________4 8 5 . 0 0 0 _______ _________ 5 1 4 , 1 0 0 ______
Debt Outstanding
O
2 . 3A7
2 0 . 3 A7
TO . 3 5 .7
7. Total All Other Expenditures and Requirement» .
8. Total Unappropriated or Ending Fund Balanca . .
-0 -
-0 -
5 Total Transfers.....................................................................
0
Q
0
0
1 ft . 0 0 0
Approved Budget
Next Year— 1 9 9 6 - 1 9 9 7
2. Total Material and S e rv ic e s ................................................
6 Total C ontingencies...............................................................
______________0 ________
______________ 0 ________
_____________0 __________
______________Q
o
_____________0 __________
1 1 . 3 3 8 __________
20.700
n
Fund ° f
A nticipated
R equirem ents
2 Q . 7 0 Q ________
0
541-676-5816
FINANCIAL SUMMARY
T O T A L O F A LL FU N D S
0
0
11,338
0
0
0
0
0
T d e p h o n t Number
Cnrn Omnln
05-15-96
Q . 1 47
1 9 f
7 1 , A 71
7. Total All O th « Expenditures and Requirement» . .
8. Total Unappropriated or Ending Fund Balanca . . .
was prepared on a basis of accounting that is Inconsistent D n o t consistent with the basis of Recounting used during the preceding year.
Approved Budget
Next Y e a r 9 6 - 9 7
Adopted Budget
This Year 9 5 - 9 6
Actual Data
L a a tY e a r 9 4 - 9 5
.B udget Committee
(M unicipal Corporation)
A summary of the bucget is presented below A copy of the budget may be inspected or obtained at 5 6 4
______________0
2.500
0
2.500
400
2 . 3 RR
2 . 7 R fi
7. Total All O th « Expendlturee and Requtremente . .
8. Total Unappropriated or Ending Fund Balanca . . .
19 96
(Governing Body)
□ a.m.
0
100
3,400
0
0
0
3,500
0
3,500
_____________ Q________
0
) no
100
2 . 4 0 0 ________
3 0 0 _________
o
0 _________
0
2. total Mataríais ana ssivicsf ...................................
T 1 Republication
Approved Budget
Next Year 9 6 - 9 " ___
Adopted Budget
T h l* Year 9 5 - 9 6
Actual Data
L a atY ea r
94-95
NOTICE OF BUDGET HEARING
FORM
Hotel on the way home.
The cost for the trip will be
$99 per person, double occu
pancy, which includes trans
portation, lodging, fees for the
rock gardens and museum,
dinner, and pie and coffee.
Those interested should sign
up with Bebe Munkers,
676-9677, or Betty Mills,
676-5546, as soon as possible.
All trip forms must be paid and
room accomodations finalized
by Saturday, May 25.
The public is invited to join
the groups on this tour.
Morrow County Creative
Arts and Crafts and the Hepp
ner Garden Club are sponsor
ing their annual trip Wednes
day and Thursday, June 26-27.
This year's trip will be to the
Peterson Rock Gardens, Desert
High Museum and then an
overnight stay in Sisters, with
dinner at the Sisters' Historic
Hotel. The next day, travelers
will have time to see Sisters on
their own and then will stop for
shopping at the outlet mall near
Bend. The group will stop for
pie and coffee at the Shaniko
Total Prop Tax«« RacalvedfRequtred to Balance
Total Raaourcaa (add Hnea 10 and 1 1 ) ..................
Prop«ty T u n Required to Balance (from Una 11 ) |
EstimatedPropartyTaxes N « lo b e Received.
A. Loaa Qua to ConaMtuHonal Limit..................
B. Discount», O th « Uncoltactad Amount» , . .
15. Total Tan Lavy (add Una» 13 and 1 4 )...............
16. Lavy Within tha Tan Baaa .................................
17. Ona-Yaar Lavy Out »Ida tha Tax B a a a ..............
H Sartal and Continuing Lavtaa.............................
18 . Un toP»YrawialBandKlPt*...«i......
41.542
nn.ngg
f i t .641
21.533
3 1 . 7 3 A
Adopted Budget
This Y # * r 9 5 - 9 6
I Republication
Approvsd Budget
Next Year 9 6 - 9 7
21.336
21.336
1 5 , 6 0 0 ___________
15.150
__ Q___________ ___________ Q___________
0
0 ___________
4,000
4.000
4 . 9 1 Q ___________
4.547
45.033
45.846
22.000
1
23.000
67.846
R7.033
4 6 . 4 1 0 _________
4 6 . A 1O
21.436
30.333
___ 6 7 . 0 3 1
?,4&4
1 1 5 1 3
25.220
25.220
O__________
Q __________
____6 1 ^ 8 4 6 __________ 1
2.720
800
2 4 . 9 5 6 ____
24.956
O
n