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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (May 21, 1997)
é • i * M\ 4 y y vtaiKÊËmmÊàÊtÊÊÊÊÊÊÊàm6tÊtKÊÊKlÊmaÊÊmatÊÊÊt0itÊÊÊiÊÊÊÊiêÊaài***m * r 'A . *■- * . # ■ ■r Heppner Gazette-Times, Heppner, Oregon Wednesday, May 21,1997 - ELEVEN N a m « of Fund 1. 2 3 4 5 6 . C O U N TY Actual Data ROAD Lest Year i n 9 Ä - 4 A . 3.000 4.284 Total Personal Service*...................................... Total Malanala and Services.............................. Total Capnal Outlay .......................................... Total Oaot Service ............................................ Total Translate .............................................. Total Contingencies............................................. 3.000 8.350 5.000 6.000 0 ¿ ■ ■ / ¡t j S 'f i W U 7 Total All Other Expenditures and Requirements • Total Unappropriated or Ending Fund Balance 9 Total Requirement! ............................................ 3,000 1,615 'Ï .10- Ifilal ««lawrces E»ctm P.Qoadv Taxes.......... A meeting ol the T o w n 7:30 Lexington (Gaseoaf^ BeBy) at 1 A 1 ^ <1 - 6 1 the fiscal ysar baginning July 1, 1997 «s approved by the T p w p IXfi S lS»M4«MHte. »Ml - • Lexington C ity Ju n e -wM be held on 4 ; 61 5 0 dpm.at of 16,350 0 • • NOTICE OF BUDGET HEARING FORM LB-1 0 0 0 0 0 0 0 ____________ 13,284 1,744 1 Tv nof l PUBLIC NOTICE Approved Budget Next Yearl 9 9 7 - 9 8 Adopted Budget Thia Year 1 9 9 f i r 97 H all 19 - - * '• - - . .. - . ■ . - J . • . .-1 :»/.• i - v f j w t ‘ •.) ■ 1* 9 7 i Via budgal tor _____________ The purpoee of M e meeting to to t gf *• '••■4 • - L e x l ria t Q P — ---------------------------------- A summary ol the budget to presented below. A copy ol the budget may be Inspected or obtained at. 430 ' West __________ L e x i n g t o n __________________________ _ t * t w e e n the hours of l l i £ £ and 2 l2 2 -.T h to c e rillle . that e * budget FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED FO R M L B -2 i prepared on a basto of accounting that Is □consistent Onot consistant with the basis ol accounting usad (bsStg 9>e precedbig year. STATE REVENUE Actual Data Last Year 1 g g R . Q f i SHARING Adopted Budget This Year 1 Q 9 f i - Q 7 Approved Budget Next Year L3 2 .1 = 3 0 __ Total Personal Services......................... 0 ____________ Q__ 0 Total Mattnais and S trvices................... 100 400 ______ LUfi_______________ Total Capital Outlay........................... ____5 i Q _______________ _______ i l f l S ___________ ________ 8 1 5 ___________ Total Dabi Service......................... u u ____________Q____________ 0 0 Total Transtars.................................... 0 0 0 6 Total Contingencies ..................... 620 3500 1225 7 Total All Other Expenditures and Rsquirsmenl, 285Ö 0 0 6 Total Unappropriated or Ending Fund Balance 9 Total Requirements ................................................ fi?n 35«n 17 76 inon 36nn 17 76 Nam e of Actual Data Adopted Budget Approved Budget Fund SPECIAL CAPITAL OUTLAv Last Yea( 1 9 9 5 - 9 6 This Y earl 9 9 6 - 9 7 Next Yearl 9 9 7 - 9 R Total Personal Ssrvices.......................................... Total Malsnals and S e r v i c e .............................. Total Capital O utlay................................................ Total Dabi Ssrvics ........................................ Total Translata ............................. 6 Total Contingencies............................. ........ 7 Total All Olhsr ExpenOituras and Rsquiremenls 8 Total Uneppropnaied or Ending Fund Balança 9 Total Requirements .......................................... J O J a l a ! fliiourcM Except Property T a x e » ............... Fund*" EQUIPMENT n n 14697 n n « v > . • n ____________Q___ .11338 ____________Q___ ____________Q___ 1 1 3 3R ___________ c__ 1 1 7 3R 117 7 a Actual Data Last Year 1 9 9 5 . 9 6 R EPLACEM ENT 7 707 Anticipated Resources 0 6 Tax Levies By Type Approved Budget Nexi Yean 997 - Q R n n n n n n n n n n __ Q O □ Non« 0 _______________________ vi Debt Outstanding □ As Summarized 0 Name of Fltnd n Actual Data Last Yearl 9 9 5 - 9 GENERAL 6 ____ ,l Adopted Budget T h i s Year 1 9 9 6 - 9 7 ¿ l , ........................................ 1 1 . 8 6 5 1 5 , 6 0 0 To ta l C a p ita l O u t l a y .............................................................. 11.0 0 0 To ta l P e rs o n a l S e r v ic e . 2 To ta l M aterials a n d S e rv ic e s 3 5 T o ta l T r a n s le r s Y e a r lJ 2 .9 7 :r _ 9 8 ¿1 / J JD J J b ................................................... 6 To ta l C o n tin g e n c ie s 7 To ta l All O th e r E x p e n d itu re , a n d R e q u ir e m e n t . 8 T o ia l U n e p p ro p n e le O or E n d in g F u n d B a la n c e 4 , 9 1 0 4 , 5 0 0 4 5 , 8 4 6 5 3 , 3 8 6 4 5 . 4 1 4 22.0 0 0 2 7 . 5 9 9 9 6 . 3 7 3 6 7 . 8 4 6 8 0 . 9 8 5 5 9 , 2 7 0 ................................................... 5 0 , 9 5 9 . 4 , 0 0 0 0 0 8,0 0 0 9 10 T o ta l R e q u ir e m e n t . T o ta l R e s o u r c e . E x c e p t P ro p e rty T a x e s 3 2 . 5 9 9 4 6 . 4 1 0 11 T o ta l P ro p T a x e s R e c e iv e d TR e q u ire d 10 B a la n c e 2 3 . 6 7 6 2 1 . 4 3 6 2 1 . 7 1 5 6 6 . 2 7 4 6 7 . 8 4 6 8 0 , 9 8 5 2 1 , 4 3 6 2 1 . 7 1 5 ........................................................... 13 P ro p e rty T a x e s R e q u ire d 10 B a la n c e (tro m Im e 11) M E s tim a te d P ro p e rly T a x e s N o t 10 be R e c e iv e d A L o s s O u e 10 C o nstitution al L i m i t ........................... B D is c o u n ts . O th e r U n c o lle c te d A m o u n ts . . . 1 - 4 . . -V ■ . T o ta l T a x L e v y (a d d linos 16 17 L e v y W ith in Ih e T a x B a s e 18 S erial a n d C o n tin u in g L e v i e s ........................................ 1 1 ........................ .................. . ,» ,5. ■ O n e -Y e a r L e v y O u ts id e Ihe T a x B a s e 2 , 7 2 0 3 , 4 1 9 800 1 , 599 2 4 - 9 5 6 2 6 , 7 3 3 2 4 . 9 5 6 2 6 , 7 3 3 •y r t B S i d ' « t )> .• '- 0 I I Republication 7 P u A .t* L /*/<C t~ A meeting of the □ am ~p 0 t » T 3 / 4 7 win be held on ------ J i U A j F ___ 2 ___________19 ? ? ioo.«mm«^rt id » tU O U >. at ¿ l # i L # p . m . at 7 ) iT o t / C ' . The purpoae of this moating is to discuss the budget tor (Location) the fiscal year beginning July 1, 19f 7 as approved by the ¿ F a f / f ' ¿ ir& 'f ’ Budget Committee. f (Mittpal Cotporaton) A summary of the budget is presented below A copy ol the budget may be Inspected or obtained at L ^ U C A T L A V H J , X c JU S . — was prepared on a basis ot accounting that is consistent Onot consistent with the basis of accounting used during the preceding year. Major changes, if any, and their effect on the bu.lgot, are explained below. Approved Budget Adopted Budget ThtoYear— 1 9 f t -1 9 * 7 Next Year— 1 9 f3 L -1 9 4 tf Anticipated Requirements X t/ C O J i * r -o ~ m a fû f o 19 T J « a CO 3 ■ j / O O -0 - 9. Total Reaulremenii 7 / — add Inaa t through 8 ................. 11 Total Proparty Taxas Raqulrad lo Balança Buògst............. 13. Total Properly Taxes Required lo Batanee Budget (Ins 11) . Anticipated Tax Levy 14 ............................ 16 L«vy wtthki tha Tax B a ta .......................................... 15. Total Tex L e w — add Inas 13 and 1 f C Û O S Z H TO 7 tU Y t -T i v r o ,. «to .rs 73 X U X l 3 SU X A 3 - -O — IL OOÛ Anticipated Resources 000 3 3 U fO - Ö yo I f y i l f i r - j ; « - toh »• 4Í7 3CC0 m n S I fU ~ ~ \ S 1 1 Tax Levies By Type 19. Lavy for Paymant of ftondad Dabi................................... A TX.None Debt OutalanrSng □ Ae Sunvnanzed Octane r » J - I . t t r Debt Authorised, Not Incurred O At Summahxed Published: May 2l, 1997 Alfid 20,4 i 6 16,477 3.939 20 ! 4 1 6 ! 3.939 1 ■wV - * - ew V ■k '* ' r ' * ' A V 1 7 * ? ■ V<r . ' 7 * , V - V ' > 1 7 *• /T '' 'V • . •->. ?' -tt'-.v w . ■ '* 's - • * 7 s -• ...r* s-'- ' 206 4.913 4.913 4,707 * ' » * ' * Approved Budget Next Year 97-98 . _ . . , 'v--* 0,338 3.522 8-522_______ *r- 0.522 8.522 8.522 ■ . •• . 7S s - V ^ * ' : 7 '-7 . . - N ; ■ * .7' * s ' 8.522 ■» 7- ' ^ s * n -.‘ — - - Business Cards M a n y s t y le s a n d c o l o r s t o c h o o s e f r o m Gazette-Times 6 7 6 -9 2 2 8 r 1 .1 1 1 ■ .i 358________ 8.080 8.880________ -r , : *\ . -, '• ' • . ' ■ t ’7 8,880 • * - , - a • _ ■ Si 1. 2. 3. 4. 5. 0. 7. 0. 9. compleiaJ portion of this pdg I Anticipated Requirements must equal Total Resources. STREETS Total Personal Services...................................... Total Materials and Services............................. Total Capital Outlay............................................ Total Debt Service.............................................. Total Transfers.................................................... Total Contingencies............................................ Total All Other Expenditures and Requirements Total Unappropriated or Ending Fund Balance . Total Requirements............................................ 10. Total Resources Except Property Taxes...... - Name of Fund WATER j 1. Total Persona) Services...................................... ¡ 2. Total Mataríais and Services............................. ¡ 3. Total Capital Outlay............................................ 4. Total Debt Service ....................... ..................... 5. Total Transiera..................................................... 0. Total Contingencies............................................ 7. Total All Other Expenditures and Requirements 0. Total Unappropriated or Ending Fund Balance . 0. Total Requirements............................................ 19 T 9 IH P « Name of Fund 1. 2. 3. 4. TV FUND Total Personal Services...................................... Total Metadata and Services.............................. Total Capital Outlay............................................ Total Debt Sendee.............................................. Actual Data Last Year 9 5 - 9 6 -------77377---------- Adopted Budget This Year 9 6 - 9 7 ---------- r 7ÏÏTÏÏ- 12 .Û Ô 'Ù " 6 ;m r — k lM T Z7UUU-------------- .. - • ■ T7UÜD- I I Republication Approved Budget NaxtYear 9 7 - 9 6 TTBTïïr 18,000 JV fZ T 2, 000’ ' 55.222 93e?4,g 71: 991' Actual Data Last Year 9 5-96 16,857 if e f ê Adopted Budget ~ 6 This Year 9 6 - - 9 7 8,000 Approved Budget ~ 7 - - 9 8 Naxt Year 9 6.500 T T 7 T ÏÏT - T T T 4 Ü ÏÏ U tM " 44,534 14 070 T T T T T "Z7UÜU" 2,000- - W I f , » . 1.501) [K i ll. 1 3 , 3 2 2 Actual Data I Year 95-96 1.700 13.819 7. J i l l . 39.92a 39. 47Q A d o p t^ B u ^ t This Year 9 6 - -LulitiL 12.300 8.865 35-354 35-354 Approved Budget NaxtYaer 9 7 - 9 8 1 L ' t * . ' i (• ‘ >.» ■*' * ,’L*!, 1 Sc< rvJjite* ■;>. 13.643 . . * 2.500 0. Total T r a n s f e r s ............................................. W e P r in t • FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-2 Name of Fund FINANCIAL SUMMARY V 2,000 neeeeeia irw» »sq Publish ONLY r / iz Il7 ÍO o C > J i V J -» V CO T> -O - /£ 000 Approved Budget Next Year Q7-QA 4.700 10.494 3,222 24,227 19,520 4,707'" 24.227 4,707 ,'?>r-‘rV /X,V ■ Z ,224 10.562 d.522 ’-.511 10. Total Resources Except Properly Taxes......... 9.051 8.522 11. Total Prop. Taxes ReceivedfRequired to Balance 10,562 8.522 d.522 13. Property Taxes Required to Balance (trom line 11] Yr'.i.F.'A .'‘> 4 0 V„‘. V í?4 ."vii 4) 1 t .il ,'L«, : '.-«AviLvt 14. Estimated Property Taxes Not lo be Received... ' A. Loss Due to Constitutional Limit................ f\- c ■ 358 B. Discounts, Other Uncollected Amount*....... 0.880 15. Total Tax Levy (add line* 13 and 14)............. 3,880 10. Levy Within the Tax Base............... ........ .r-i.--.fr,, /.I,f yw, V4 m 'W*. 17. One-Year Levy Outside the Tex Base............ 10. Serial and Continuing Levips..................... j;- ii, 880 between the hour. o f f i t t ^ a n d J & S i ? ^ is certifies that the budget TO TA L OF ALL FUÑOS * - % • « ■ ' 3. Total Capital Outlay.................................. 4. Total Debt Service................................... 5. Total Transfers........................................ 6. Total Contingencies.................................. 7. Total All Other Expenditures and Raqulremants .. 0. Total Unappropriated or Ending Fund Balance ... NOTICE OF BUDGET HEARING FORM LB-1 8 . 8 8 0 _________ * 3 ■ 793----------------- » PUBLIC NOTICE r... .. Debt Authorized. Not Incurred □ At Summarized Adopted Budget This Yeai96-9 7 Actual Data Last Year 9 5-96 WATER BOND _• * . a - -• Vv.^ * /> £ ' * . » ; i • K . . . . • . \ ~ • * « 1 — .t* 7 - • ' ’ - M 4 » >•- ' •„ ■ I • . V , V A 1 _ • V - .. . . . ’ y . t . : ; ’s « 0 0 0 0 0 tì , 6 Ô Ö 18, 150 4,700 .*r . 13. Property Taxes Required to Balance (trom line 11) 14. Estimated Property Taxes Not to be Received.... ■■‘» it ’# A. Loss Due to Constitutional Limit................ ■A'Y ‘i W '■ .*><** - B. Discounts, Other Uncollected Amounts....... i w r 15. Total Tax Levy (add lines 13 and 14)............... (i's XfreJ* ■) 10. Lavy Within the Tax Base .......................... ‘i 17. One-Year Levy Outside Ihe Tax Basa............. ,y • ■ rr -.i. •-{, t * V- **■ 10. Serial and Continuing Levies........................ • • -.1 *»:•; r Name of Fund Up .... 13 a n d 14).......... .. 15 § vC 8 .0 0 0 ................................................... 1 9 , 5 5 0 0 0 1 *e *A.‘ ♦ ’•¿••/J r • i u , i ib — 3TT7T5--------------- — 11 ;7T51 11. Total Prop. Taxes ReceivecVRequIred to Balance . T 7 r. 37T A p p ro v e d Budget \ Next • V'U-’ ir\ Z U , U94 1 1 « . Adopted Budget This Year 96-9 7 4.000 9,991 5,536 L , /UU .4) Nam e of Fund ■w - r - u - J *.• ' -, e * A - : ,« v - - * •# * •* • •« - , 17, 600 60. 531 98. 124_________ 8. 522 4.000 -------T 7 5 3 T 1 ------------ 196- 777_________ 104, 31o -------159. I V I — rr w í 12. 461 -------W b , 553------------ 196. 777 12. 461_________ 17. A02 ZÆ aW W M âm saW iïSSM 768 7A8 564 13. 793_________ 1 18. 1 5 0 4 . 9 1 3 _________ 9.270 □ None Actual Data Last Year95-96 4,618 ----- 11.033 4 , 6 57" GEiJEKAL FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED FO R M L B -3 > .;■ . FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-3 n __ Q n n 7 l9,9otr Total Personal Services.......................................... ----------5 T7 2 TT------------ Total Materiel and Services ...................................... 78, 180 Total Capital Outlay 8,5¿¿ Total Debt Service................................................ ------------ 877ÏÏ0------------ Total Transfers.................................................... 7. Total Al Other Expenditures and Requirements............ 8. Total Unappropriated or Ending Fund Balance.............. 9. Total Raaulramanta — add line* 1 ttirooah 8 .............. 10. Total Resources Except Property Taxes...................... 11 Tnlal Pmniflv T bym PanulmH to Ralancfl Rudaal 12. Total Resource« — add lines 10 end 11.................... 13. Total Property Taxes Required to Balance Budget (line 11) 14 Plus* Estimated Proparty Texas Not to be Received A 1 nit D im I a CAAtllltillAnAl 1 ImHi n D!»count* Allowod OtHer Uncollected Amount* t8 Total Tax Lew — edd lines 13 and 14....................... 16 law Within the Tax Rasa 17 One-Yeer Lew Outelde the Tax Ba*e 16 Serial and Dontlmilna Levlea 19 Lavy for Paymant of Bondad Debt Anticipated Tax Levy Adopted Budget This Y e a a a 9 f i - 9 f i . .... t. Total Personal Services ........................................ n 2 Total Material, and S .rv ic e « .................................. n 3. Total Capital Outlay .............................................. 0 4 Total Debt Service .......................................... n 5 Total Traniler. .................................... ____2 3 5 7 _______ 6 Total Contingencies .............................................. i K î F ^ . ^ r o L c a a B 9357 7. Total All Other Expenditure, and Requirementt . . 8 Total Uneppropnaied or Ending Fund Balance 0 9 Total Requirement. .......................................... 2357 10 Tola' ResoufLQS E,ceoi Property Ta»a. 7367 Anticipated Requirements [j ? im r » ___ . 2 3 0 4 6 ................. _ 1. 2. 3 4. 5. tï;. 989-8515 Sheirbon Adopted Budget This Year— 19L2_-19_L: TOTAL OF ALL FUNDS n n 23036 __ Q n 0 1 4R Q7 _ 0 1 4 6 9 7 - FINANCIAL SUM M ARY t. 2 3 4 5 t. 2 3. e S B ill 5-2 0 -9 7 Lexington Horrov Name of Fund •7 •»» a Q»»ww>m êtêr DM Clhf c * 0 + 0. 7. 0. 0. Total Contingencies............................................ Total All Other Expenditure« and Requirements . . Total Unappropriated or Ending Fund Balance Total Requirements.......................................... . IB, T?'*l nimm» tana Praam T m m ....... , • T f. - S. Y/ * s' V. . t 22,665 ♦m v s