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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (May 21, 1997)
EIGHT - Heppner Gazette-Times, Heppner, Oregon Wednesday, May 21,1997 PUBLIC NOTICE NOTICE OF BUDGET HEARING A m atin g oI the Board or 0 « acton wM ba haM on Juna 9. 1997. al 7:00 p.m al Riverside High School Hi Boardman. Oragon Tha purpose oI this matting Is to discuss tha Dudgal lor lha fiscal yoar baginning July 1.1997. as approved by tha Morrow County School Disine! Budget Committee A summary ot tha budget Is presented below A copy of tha budget may ba Inspected or obtained si 270 W Main. Lexington Oregon. Between tha hours o19:00 a m and 4:00 p.m. This certifies that lha budget was prepared on s basis of accounting that Is consistent with me basis o» accounting that was used during the preceding near Major changes. If any, on the budget are explained below »Sorrow County. City of Lexington Juna 9.1997. Chairperson oI Governing Body. Scott Uauska (541 ) 999-9202 FINANCIAL SUMMARY TOTAL 6 F A l l fijN b S ------------------------------------------------------- Anticipated Requirement* Total Instruct ton Total Supporting Service» Total Community Service» Total Debt Service Tout Transfers Total Conlxmencle» Total A» Other Expenditures and Requbemenls Total Unappropriated or Ending Fund Balance Adopted Budget This Yosr • 1996-97 Anticipated Resources Total Resources Except Properly Texas Tout Property Texet Required lo Balance Budgel Total Resource* Approved Budget Next Y e a r. 1997 96 8.876,311 13,775,004 22.645 1,550.755 25,000 2,001,714 26,811,42» 1,752,861 28^664.290 9.443.686 9,816,514 48,270 1,550,045 26 839 218,000 21,105,354 1,419,323 22.524,677 23,362.768 5,301,521 28,664.280 17,689,616 4,835,061 22,524,677 5,301,521 4,835.061 4992977 434.868 10,729 366 5.590.340 267,484 10,692,885 1.543.707 7,506.577 1.636.329 7,413,955 ! i I ! Total Property Taxes Required to Balance Budget Plus Estimated Property Taxes Not to ba Received A Loss due to ConsISuttonalLlmSs 8 Discounts ANowed. Other Uncollected Amounts Total Tax Levy Tax Levle* By Type Levy Within the Tax Base Safety Net Portion One-Year Levy Outside Ihe Safely Net Ono-Year L aw Outside tha Tex Base Serial Levies Lew for Payment of Bonded Debt Total Tax Levy 1.679.082 10,729,3661 1,842.601 10,692.885 STATEMENT OF INDEBTEDNESS Debt Outstanding. As Summarized Below Estimated Debt Outstanding at the Estimated Debt Authorized. Not Incurred Beginning of the Budget Year a! Ihe Beginning of the Budget Year Long-Term Debt ,:rv Bonds Total Indebtedness i . ' ---- Kr~. — ■ w»._______ 11,675.000 11,675,000 NAME OF FUND: 100 GENERAL FUND 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 B.ilance Total Requirements Total Resources Except Property Tax Property Taxes Received/Required to Balance Total Resources Property Taxes Required to Balance________ Estimated Property Taxes Not to be Received A. Loss Due to Constitutional Limit________ B. Discounts. Other Uncollected Amounts Total Tax Levy___________________________ Levy Within the Tax Base_________________ Total Instruction Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND 400 CAPITAL PROJECTS Total Supporting Services Total Contingencies Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND 600 FOOD SERVICE DEBT SERVICE 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 Tax Property Taxes Received/Required to Balance Total Resources Property Taxes Required to Balance Estimated Property Taxes Not to be Received A. Loss Due to Constitutional Limit B. Discounts, Other Uncollected Amounts Total Tax Levy Levy Within the Tax Base Safety Net Portion Levy for Payment of Bonded Debt 10.488,625 14,261,071 14,261,071 Actual Data Last Year 95-96 457,744 Total Supporting Services Total Contingencies Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND: 610 STUDENT BODY 37,433 495,177 495,177 Actual Data Last Year 95-96 239,908 8,590 248,498 248,498 Actual Data Last Year 95-96 276,164 60,658 Total Instruction Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND 710 CO-CURRICULAR Total Instruction Total Supporting Services Total Community Services Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND: 800 HOUSING 9,244 346,066 346,066 Actual Data Last Year 95-96 5,757’ 3,840 9,597 9,597 Actual Data Last Year 95-96 Total Supporting Services Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND: 820 BUS RESERVE Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED Approved Budget Adopted Budget Actual Data This Year 96-97 Next Year 97-98 Last Year 95-96 6,870,404 7,904,338 8,367,817 4,029,387 4,785,360 4,863,846 17,645 9.919 43,270 6,000 6,000 6,000 50,000 25,000 28,839 407,025 200,000 10,965,710 13,145,368 13,509,772 2,693,184 900,000 500,000 13,658,894 14.045,368 14,009,772 10,258,914 10,288,602 10,718,756 3,756,766 3,399,980 3,291,016 13,658,894 14,045,368 14,009,772 Adopted Budget This Year 96-97 8,500 Approved Budget Next Year 97-98 3,839 8,500 8,500 Adopted Budget This Year 96-97 8,420,311 2,229.689 3,839 3,839 Approved Budget Next Year 97-98 4,350,000 10,650,000 10,650.000 Adopted Budget This Year 96-97 485,370 25.000 4,350,000 4,350,000 Approved Budget Next Year 97-98 516,745 18,000 510,370 510,370 Adopted Budget This Year 96-97 259,300 534,745 534,745 Approved Budget Next Year 97-98 377,500 259,300 259,300 Adopted Budget This Year 96-97 359,141 78,163 5,000 377,500 377,500 Approved Budget Next Year 97-98 388,941 82,323 5,000 442,304 442 304l Adopted Budget This Year 96-97 5,800 476,264 476,264 Approved Budget Next Year 97-98 3,600 5,800 5,800 Adopted Budget This Year 96-97 792.861 792,861 792,861 3,600 3,600 Approved Budget Next Year 97-98 834,323 834,323 834,323 Published: May 21, 1997 (2) Affid______________ NOTICE OF BUDGET HEARING FORM IT LB-1 H eppner C ity A meeting o l the __ □ a.m. at 7 : 0 0 f l p m. a t . June C o u n c i l ____________ _will be held on 188 W, W l] lo w 9 19 i l . . The purpose o l this meeting is to discuss the budget lor S tre e t (location} the fiscal year beginning July 1, C ic y 19_!1Z. as approved by th e . .Budget Committee. o f H oppner (M u n ic ip i C orporator) A summary o l Ihe budget is presented below. A copy o l Ihe budget m ay be Inspected or obtained a t. 188 W. W1 1 lo w Republication (D M ) |O o w iT *ig Body) S l i u i ' I _______ __ ____________ __ between the houre ot g ! ° 0 a l" and H eppner C ity H a ll ^ ! ° 0|1IMThis certifies that the budget (Sheet AddraM) was prepared on a basis ot accounting that Is ^ c o n s is te n t Q n o t consistent with Ihe basis ot accounting used during the preceding year Actual Data Last Year 95-96 Adopted Budget This Year 96-97 Approved Budget Next Year 97-98 May 2 1 , H eppner M o rro w Tetephoo* Nurvbar C hairperson o l G overning Body D ale C ity County NAME OF FUND: 300 Actual Data Last Year 95-88 4,080 1,170 5,250 5,250 Actual Data Last Year 95-96 3,772,446 NAME OF FUND 214 STAR P S I 19 97 M d y o r B ob J e p s e n ___________ [ ( 5 4 1 > 6 7 6 - 9 6 1 8 FINANCIAL SUMMARY 1,537,188 1,537,188 27,227 1,564,415 75,169 1,489,246 1,564,415 1,544,755 1,544,755 60,000 1,604,755 60,000 1,544,755 1,604,755 1,544,045 Olil! 1,544,045 85,000 1,629,045 85,000 1,544,045 1,629,045 4 1 8 .0 6 2 6 7 2 664 . 77 ................................................ 2 Total Material and Services 9. Total Reaulrements — add lines 1 through 9 A nticip a te d R esources ................... 13. Total Propeity Taxes Required lo Balance Budgot (line 11) 14. Plus: Estimated Property Taxes Not to be R ecoived ..... ............. By Type 19. 20. 1 317,530 f) 299,'537 0 0 17. One-Year Levy Outside the Tax B a s e ................................... Tax Levies 1 8 4 ,4 4 8 2 0 ,0 3 2 5 0 9 ,5 5 7 1 1 0 ,4 7 5 1 7 ,7 5 8 381 ,6 2 3 B Olecounls Allowed. Olher Uncollocled A m o u n lt............. 15. Total Tex L e w edd Knee 13 and 1 4 — 2 1 1 .9 8 1 ________ 3 8 4 .3 1 0 1 2 7 .2 8 3 0 9 4 ,4 0 0 2 .3 3 6 ,6 7 9 2 ,0 3 1 ,6 0 2 3 0 5 ,0 7 7 2 ,3 3 6 ,6 7 9 1 0 5 ,0 7 7 2 5 3 ,4 1 0 2 .3 9 8 ,9 7 3 2 5 3 ,4 1 0 f ? Total Resources — add lines 10 and 11 ............. A n ticip a te d Tax Levy 5 7 5 .1 7 6 ________ 5 0 3 .6 7 0 2 0 3 .0 5 8 4 3 0 .7 5 6 5 6 .3 6 3 0 1 1 4 .4 0 0 2 .3 9 8 .9 7 3 2 .1 4 5 .5 6 3 4. Total Debt S e rv ic e .................................................................... Anticipated Requirements Approved Budget . 97 Next Y ear— 19y_ - 1 9 _ Z ? 4 1 6 . 7 5 5 ________ 5 7 6 . 7 7 4 Adoptad Budgel This Y ear— 19 * ° - 1 9 TO TA L O F ALL F U N D S 82,066 Levy for Payment of Bonded D e b t ................... Total ol lines 16 thrauah 19 leouals U nS 151,. ~ . ------ 301,623----- 9 37Ö O O 9 7 ,0 2 7 5 0 9 ,5 5 7 P STATEMENT OF INDEBTEDNESS FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED NAME OF FUND: 200 TITLE 1 Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 270,003 270,003 240,000 Total Requirements 270,003 270,003 240,000 Total Resources Except Property Tax 270,003 270,003 240,000 NAME OF FUND: 202 DRUG PREV. C/O Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 2,611 2,500 1,500 Total Requirements 2,611 2,500 1,500 Total Resources Except Property Tax 2,611 2,500 1,500 NAME OF FUND 203 STAFF DEVELOPMENT Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 3,000 6,000 Total Requirements 3,000 6,000 Total Resources Except Property Tax 3,000 6,000 NAME OF FUND: 204 TITLE 7 CARRYOVER Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 2,150 Total Requirements 2,150 Total Resources Except Property Tax 2,150 NAME OF FUND 206 DRUG PREV NEW GRANT Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 5,847 8,500 10,100 Total Requirements 5,847 8,500 10,100 5,847 8,500 10,100 NAME OF FUND: 208 SCHOOL TO CAREERS Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 1,598 30,000 32,989 Total Unappropriated or Ending Fund Balance 11,402 Total Requirements 13,000 30,000 32,989 13,000 30,000 32,989 NAME OF FUND: 210 TITLE VI CARRY OVER Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 4,769 10.000 3 "So — TotalRequirements_________________________ 4,769 10,000 3,000 4 ^6 9 10,000 3,000 NAME OF FUNO: 211 TITLE VI NEW GRANT Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 8,001 17,000 18.000 1 . Total Unappropriated or Ending Fund Balance 46 Total Reaulrements 8,047 17,000 18,000 ■ Jo * " « » ^ » E x c e p t Property,Tex 8,047 17,000 18,000 Actual Data Adopted Budget Approved Budget Last Year 95-96 This Year 96-97 Next Year 97-98 Total Instruction 3,711 1.028 Total Unappropriated or Ending Fund Balance 1,029 Total Requirements ---------------------- 4740" 1,029 Total Resources Except Property Tax 4J40 1,029 Deb! Authorized, Not Incurred Debt Outstanding □ Nona - Ä Í i As ÈÌNone Summarized □ As Summarized PUBLISH BELOW ONLY IF COMPLETED E s tim a te d D eb t A u th o riz e d , N ot In cu rre d at th a B e g in n in g o l th e B u d g e l Y ear E s tim a te d D e b t O u ts ta n d in g at the B e g in n in g o f th e B u d g e t Y e a r L o n q -T e rm D ebt July 1 ,1 9 ^ ^ - 1 9 _ ^ Approved Budgel Year July 1. i d * # - 19 g ') ------- 0 Approved Budgel Year -------------------------------------- ------------- -----------1 , 3 5 0 , 5 2 9 . 3 3 ------------------------------ u 0 ---------------------------- 5 T 7 , 6 3 4 . 34------------------------------ -------------------------------------- 0 ---------------------------------” u 1 ,% B ,U b q .u / I o ts l In d a h le d n m ................ Short-Term Debt This budflet Includes the Intention to borrow In anticipation of revenue (“Short Term Borrowing") as summarized below C e n e ru l Estimated Interest Cost Estimated Estim ated Amount Interest Rate to be Boi rowed ------------- 1 5 0 , 0 0 0 ------------- ----------------- T Z --------------------- FU N D LIABLE Fund 4 ,5 0 0 ISO 504 001 <n«v 10 95) FU ND S N O T REQUIRING A PR O PER TY TAX TO BE LEVIED Publish O N LY completed portion ol Ihla page Name of Fund O p e r a tio n s Total Anticipated R equ ire m e n t m u a l e q u a l Total R esources Fund Actual Data Last Year 1995-96 H I .952 14.664 5.5 9 0 f. lo la l Porsonal Sor v ic o s ............................................. 2. Total Materials and S e r v ic e s .................................... 3. Total C apital O u t la y .................................................... 4. 150.643 _____ 17.900 1 .2 5 0 0 0 0 Total Debt S e r v ic e ...................................................... 5. Tolel T ra n s fe rs ............................................................. 0 6. Total C o n tin g e n c ie s .................................................... 0 2,7 53 154,959 154,959 7. Total All Other Expenditures and R e q u ire m e n t . . 8. Total Unappropriated or Ending Fund B alance . . . 9 Total R e q u ire m e n ts .................................................... Name o f Fund ,, W ater Fund 0 » .6 4 8 0 0 110.966 3. Total Capital O u t la y ........................................................ 4. Total Debt S e rv ic e ........................................................... Total T ra n s fers .................................................................. 8 Total C o n tin g e n c ie s ........................................................ 7 Total AM Other Expenditures end Requirem ents 8 Totel Unappropriated or Ending Fund Balance 9 Tolel R e q u ir e m e n t* ................................................... .. 0 0 169,793 ■ "16 9,39 3 Actual Data Last Year 1995-96 1. Total Personal S e r v ic e * ........................................... 2. Total Materials and Service» 5 Adopted Budgel This Year 1996-97 Approved Budgel Naxl Year 1997-98 14') . 721 tii.J L ' 1 600 0 0 0 ____________ 0 0 180,840 ---------- Iftd .6 4 0 -------------------- Approved Budgel Next Year 1997-98 n 59 .650 600 0 123.868 10.852 0 0 48.323 214.937 ■■■■ Adopted Budget This Year 1996-97 Q R e p u b llcatlon 51 ,910 Q Q 111,016 2 8 .7 5 8 Q ______________ Q___ _________ 194.970 1 9 4 ,9 7 0 ________ O 191.684 — . L 9 )i» * § l i ................