Heppner gazette-times. (Heppner, Or.) 1925-current, June 03, 1998, Page NINE, Image 9

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Heppner Gazette-Times, Heppner, Oregon Wednesday, June 3,1998 - N IN E
PUBLIC NOTICE
FORM
LB-1
PUBLIC NOTICE
NOTICE OP BUDGET HEARING
A meedng of the
□ •JIL
at *1 iQO B p m. at
N am e of
F***#
□ «•publlceion
_wil be held on
B oa rdm an S e n i o r C e n t a r .
tunes» I
t w fiscal year beginning July 1, in 97 M
1.
2.
3.
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308 O La o n Road The purpose of this moating * to riiacuee the budget tor
hy me P o re o f M o r r o w
^
___________________Budgat Committee.
1.
2.
3.
4.
S.
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7.
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9.
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a basis of accounting that is □consiatant: Qnot consistent with the basis of accounting used during the preceding year. Major changes,
cw %
M o rro w
CAT
—
B oardm an
1117695
1243260
128420 00
3668621
116000
175894
129800
621935
1 . Total P«non«l Sotvicos................. >.................................
a ToM MManala and Suppilee............1 ..............................
3 . Totel Capitel Outlay..........................................................
A. Total Oabt Sarvtca............................................................
8 . ToaJ Tranafer*..................................................................
®. Total Condngandaa..........................................................
7. Total All OVtai Expenditures end Requirements...............
9 . Total Unappropriated or ending Fund Balance..................
19737784
177421
ß
l B
ü
H
177421
*» -Jäkrj Ä F ':5Ö5
2209
9242
188872
Rat» or Amount
81 Ì 1 3
10. Tottl Reeouroae Exonot Property Taxee...........................
11. Totel Pro party Taxaa Raquirad to Batenca Budgat............
Anticipated
R tiou rcM
I H
13. ToW Property Taxes Raquirad to Balance Budget (lire 11 )
Eattmatad
14. Plia: Safcnatad Property Taxes Not to be Received.......... Æ
A>d Veto rem
A 1 ret H im tn fWialihihnnfll Limits• . .
Preparty Taxaa
8 . Dleccxnts Altowad. Other Uicoilectad Amount»............
1 H. Total Tax Lew — add Inee 13 end 14.............................
Tax Laviea
ByTypa
1 * Permanent PaM I Imll I avy Irate Umlt
17
l acai
.8 41
)
.........................................
Ootion Law
Añorovod Budoot
Next Year— 1 # 8 - 99
1124695
1274360
12414858
420168 2
301000
147488
3800
647916
20115799
19937575
178224
20115799
178224
Adopted Budget
Thie Year— 19 « " - 5 8
T O TA L O F ALL FUNDS
Anticipataci
Raquiramant*
[Tg » » , iaese-------------
541/ 4 8 1 - 7 6 7 8
r5- ---------------------------- _ ¿heâyerean el ûmemtng Sodv
D a n i e l C re a m e r
106/03/98
!t'■ M
Bebt Outstanding
□ As Summadzad Below
Long-Term Debt
10 0 2 0 0 0 0
Bonete..................................
Internet Bearing Warrant» ..
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.
225351 9
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3 m o o --------------------------
318900
Approved Budget
Next Year 9 « - 9 «
Adopted Budoat
Th ia Year
9 7 -5 8
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n30ooo
1626UUU
J:
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6000
3071 60
607160
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. Th e purpose of this meeting is to discuss the budget for
Cemet er y
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will be held on
Diat.
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(MurecipeJ Corporauon)
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A summary of the budge* Is presented below. A copy of the budget may be inspected or obtained at___
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______ 4 6 0
7971
186195
Rate or Amount
79136
1
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M a in
S t .________________________ between the hour* ol
8:00
5 : 00
.T h is budget was prepared on
a basis of accounting that is ^consistent; Q n o t consistent with the ba n s of accounting used during the preceding year Maior changes.
Oy
County
0«B
lone
Criaxparton of Govamng BoOy
5 -1 -9 8
edward
541-989-8347
Baker
107059
TOTAL o f a l l f u n d s
»
2. Total Material« and Supplies........................1........................
3. Total Capital Outlay ..............................................................
Adopted Budget
This Year — 19 97 - 98
14,200.00
10,335.00
38.663.25
4. Total Debt Service...................................................................
5. Total Transfer«......................................................................
Anticipated
Requirements
10. Total Resources Except Property T a x e s ..............................
Anticipated
Resources
11. Total Property Taxes Required to Balance Budget
13. Total Property Taxes Required to Balance Budget (line
11)
Estimated
u Plus: Estimated Property Tax«* Not to be Received........... •
Ad Valorem
A. Loss Due to Constitutional Lim its.....................................
Property Taxes
>«W 0 M 0 t lew laeri
B. Discounts Allowed. Other Uncollected Amounts
15. Total Tex L e w — add lines 13 and 14
. .
FUNDS REQUIRING A
PROPERTY TA X TO BE LEVIED
Tax Levies
16 Permansnt Rata Umil Law (rata limit • 2 4 0
By Typ e
17. Local Option L e v y ..................................................................
18 Law for Bonded Debt or Obliaaions
.................
I I Republication
99
--------- 1 J . b b ü . O Ü ----------------
------------ y , / u u . u u -------------------
44.570.59
7.613.00
1.000.00
700.00
S. Total Unappropriated or Ending Fund Balance
9. Total Raauirements — add lines 1 throuan 8
20 000 00 0
Approved Budget
Next Year — 19 98 -
4,305.00
1.000.00
6. Total Contingencies................................................................
7. TotaJ Ail Other Expenditures and Requirements.................
Short-Term Debt
FORM
LB-3
*
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-------------ZTO0
1
—
318900
----------318900----------------
318900
the fiscal year beginning July 1, 1 9 98 as approv#g ty thal ° n e - L e x i n g t o n
20 000 00 0
12273513-------------------------------------------------------
h
Io n e -L e x in m g to n C e m e te ry
A meeting of the
tOowmng eooyi
□ a.m.
at 7
at l o n e C i t y H a l l
Estimated Debt Authorized, Not Incurred at tha
Beginning of the Budget Year
July 1 , 1 9 - __L?Approved Budget Year
.
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PUBLISH BELOW ONLY IP COMPLETED
Estimated Debt Outstanding at tha
Beginning of tha Budget Year
July 1.19^8 - 99 Approved Budget Year
’
.
--------3 I Í I 0 0 -------------------------
NOTICE OF BUDGET HEARING
Debt Authorized. Not incurred
□ A» Summarized Below
□ None
. -;.
a
F ♦ • *• '
b
Total Personal Senecas...........................................
Total Material« and Sanrioea..................................
Total Capitai O utlay..................................................
140310 0
Total Debt Service....................................................
Total Transfer*..........................................................
s * .
Total Conttogando*.................................................. a!. . i a.
Total AX Other Expenditure* and Requirements . .
5 Ü T I5 0 ----------------
Total Unappropriated or Ending F ind Balance . . .
Total Requirement*..................................................
IQ7h7S(1
Total H*ao..n a
P7 j “| r T i l t !
Morrow
107059
□ None
V "
.
Approved a u t o «
Next Year 9 8 - 9 f
3 16 10 0
Actual Date
Last Year 9 6 -9 7
IDRB Dabc S a r v i e a
FORM
LB-1
1
Adopted Budget
Thfa Year 9 7 - 9 »
316100
i
ru n #
between the hours of * _ S H _ -e n d 5 _ J S 5 _ _ T N e budgat waa prepared on
O ne H a r i a e D r i v e B o a r d a a p . O re g o n
ISVM *AW<!
Total Personal Bervtoee...........................................
Total Materiaia end Servtoee...................................
Total CapBal O utlay..................................................
Total Debt Servtoe....................................................
Total Tranafer*..........................................................
Total Conltngendaa................................................. b
Total Ail OPiar Expenditures and Requirements . .
Total Unappropriated or Ending Fund Balance . . .
Total Roquirements..................................................
N am e of
A summary of tha budget is preeanted botow. A copy of the budget may be inspected or obtained at P o r t o f M o rro w ------------------------
Anti Ml D ala
L u t Year
9é~ 97
Id a h o P o w e r l o a d T r u e t
#*Y
3
\
.......
66.2.03.25
76.533.59
44.463.25
24.740.00
69.203.25
24.740.00
50.020.59
26.513.00
76.533.59
26,513.00
4,390.00
1 , 100.00
30,230.00
1,692.32
28,205.33
Rate or Amount
Rate or Amount
. 2403
.¿¿03
1
1
|
1 V.
S TA TE M E N T OF INDEBTEDNESS
Actual Data
Las* Year
98- 9 7
Nettie of
Fund
G e n e r a l F u nd
Adopted Budget
Th ls Y e a r9 7 -9 8
in o 8 i ( i
7 i»5 no
Afinnn
1
2
3 .
4
6 .
Total Personal Services.................................... .. . .
94871 1
Total Material* end Services..................................
8087
Total C tp te l O utlay.................................................
12 0 0 0
8(178
Total Debt Service
....................................
1000
Total Transfer»...........................................................
9Q273
Total Contingencies............................................... y s i A -'a n ' . M p y * * * *
Total AX Other Expenditures and Raquiremsnts . .
R7V129
10000
Total Unappropriated or Ending Fund Balance . . .
A548T1
527603
Total Requirement»...................... ........................
58184(1
650698
Total Resources Except Property T a x e s ...............
7(1991
76905
Property Taxee RecefvetVRequIted to Balance
Total Reeources (add lines 10 and 11) .................. _____654831_________ ___ ______ 527603___________
Property Taxes Required to Balance (from line 11) =4--.u..-w£ . dkE J ? . .Ü I’" 3
¿ T J L:
r
Estimated Property Taxes Not to bn Received------- V 3 J
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2209
A. Loea Due to Constitutional Lim it.......................
2699
jh Ù JiiT
l.-dá J
B Discounts Other Uncollected Am ounts...........
81813
jr f f i.,7
Total Tax Levy (add »nea 13 and 14)..................... r j
Rate or Amooit
r ,
J.' .N
81813
Pfunuinfinl Rut« L imH Levy (rata limit . 0841 ) . _
.? .
9
7.
8 .
8 .
10
11.
12 .
13.
14.
18.
1 fi
17 Local Ootion Levy......................................................
18. Le w for Bonded Debt or QbHqatl.on*.....................
■I
□ Non«
m oft^n
240000
30000
128000
Adopted Budget
Th is Year
0 7 -0 »
D«bl Autnonzed. Noi Incunea
□ None
□ As Summarized Below
FUNDS REQUIRING A
PROPERTY TAX TO BE LEVIED
FORM
LB-3
1000
101694
Publish O N LY completed portion of this page
mono
620524
542816
77708
620524
N a m e of
Fund
3.
4.
GENERAL FUND
Adopted Budget
This Year 9 7- 98
Approved Budget
Next Yearu 8 - 95r
13,708.70
9,288.60
14, 200. 00
10. 335. OT
13. 650. 0U
9,700.00
9.158.00
4,305.00
1, 000. 00
0
6. Total Contingencies.........................................
7. Total All Other Expenditures and Requirements
8. Total Unappropnated or Ending Fund Balance
9. Total Requirements......................................... 3 2 , 1 5 5 . 3 0 -------------------
7 . 5 3 9 . 5 b -------------------
10. Total Resources Except Properly Taxes
26,137.44
11. Property Taxes Received/Required to Balance
12. Total Resources (add lines 10 and 11) .................. 33 ! 6 7 7 . ÖÖ-------------------
13. Property Taxes Required to Balance (from line 11)
14 Estimated Property Taxes Not to be Received
1428
7 9 Í3 6
R a» or Amount
79136
Approved Budget
Next Year 0 8 - 0 0
1Z
13.
14.
18.
Total Matedals and S s rvic ts ..............................
Total Capital O utlay...................... ....................
Total Debt S ervice...............................................
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 RecelvedIRequired to Balance . . .
Total Resources (add lines 10 and 11) .................
Property Taxes Required to Balance (from line 11)
Estimated Property Taxee Not to be Received.. .
A. Loss Due to Constitutional Limit........................
B. Discounts. Other Uncollected Am ounts...........
Total Tax Levy (add lines 13 and 14)......................
3Q135.
91425
UQQ
J 6 Q 6 Q
127295
IQQQ
71601
163576
63060
32QQÛ .
127295
ar s i r is s
2 B
109116.
163576 ,
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Name of
Fund
T M
6543
107059______
AsW or Amount
■ S 5 ÎT
107059
Rate or Amount
107059
107059
1.
2.
3.
4.
5.
6 .
7.
8 .
9.
Je
FUNDS N O T REQUIRING
A PRO PERTY TA X T O BE LEVIED
F u nd
8210 96
967168
¿4 51466
2129440
14ÔÔ0Û
2. Total Materiaia and Services...................................
7. T om i AH Other Expenditure» and Requirement! . .
N am a or
Fund
ID R B C o n s t r u c t i o n
Adopted Budget
Th is Year 9 7 - 9 8
Actual Data
Last Year 9 6 - 9 7
1007865
1004760
2776000
lM $ 5 4 6
iIho o o
65621
12 0 0 0 0
1 Î I 8 À
783630
7Z83320
728332 0
7061976
7061976
Adopted Budget
T h is Year 97" 9®
Actual Data
9 6 -9 7
1 sat Veer
1. TOMI Personal Servtoee ..........................................
f . TOMI Materials end Servtoee...................................
------------------------ ÏÏ--------------------
3 . Totel Capital O utlay..................................................
1.
2.
3.
4.
$.
8 .
7.
8 .
9.
Approved Budget
Next Year 9 8 - 9 9
1014865
10Ì4Ì60
2384858
2040157
300000
45794
Î1 Ü 7 Ï
6868108
Approved Budget
Next Year 96^
1 ÜÜÜUÜU 0
•
8 . T om i Transfer*...........................................................
8 . Total Conangencfe*..................................................
7. T om i AH Other Expenditure» and Requirement» . .
8 . ToMl UnapprnpriMed or Ending Ftxid Balano» . .
f
lo o o o o b ü
TüüTOOTÖ
COPIES I Of • Double-Sided Copies I V(
“ TÜÜÜUUÜ0
Actual Data
Last Yeai9 6 - 9 7
PERPETUAL c a r e
-
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< 'r ..K
-
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4
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. 2403
V
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Rate or Amount
Total Personal Service*.........................................
Total Material* and Service*.................................
Total Capital Outlay............................................... 2 1 , 3 0 8 . 2 5
Total Debt Service.................................................
Total Transfers......................................................
Total Contingencies.......................................
Total AH Other Expenditures and Requirements .
Total Unappropriated or Ending Fund Balance . . .
Total Requirements............................................... 2 1 , 3 0 8 . 2 5
21.308.25
Actual Data
Last Year 9 6 - 9 7
EQUIPM ENT RESERVE
Total Personal Services.........................................
Total Materials and Services.................................
Total Capital Outlay........ ....................................... 1 7 . 9 9 8 . 3 4
Total Debt Service.................................................
Total Transfer*.......................................................
Total Contingencies.............................................
Total AH Other Expenditure* and Requirements ..
Total Unappropriated or Ending Fund Balance . . .
17^998. 34
Total Requirement*
Adopted Budget
This Year 9 7 - 9 8
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The Oregon Wheat Commission
w ill hold its annual budget
hearing on Monday, June 15, at
9 a.m. in the Oregon Wheat
Commission conference room
located at 1200 N.W. Naito
Parkway, Suite #520, Portland,
OR.
The commission will also hold
Adopted Budget
This Year 9 7 - 9 8
- . f l v - t r l Y » ; - —
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i
¿3,062.34
17,255.00
.7,255.00
■ 7 - 2 5 5 . UP
Many styles and colors to choose from »
"
Approved Budget
Next Year 9 8 - 9 9
--------1--------
1
its regular meeting on the same
date immediately following the
annual budget hearing in the
same location.
The Oregon Wheat Commission
complies with the Americans
with Disabilities Act (ADA).
The commission meeting is open
to the public.
Gazette-Times 676-9228
2 1 , 5 0 0 . 2 5 ------------------
21,508.25
¿1,408.25
2 1 . 4 0 8 . 2 5 -------------------- 2 1 . 5 0 8 . 2 5
Business Cards
Heppier Gazette-Times
Approved Budget
Next Year 9 8 - 9 9
21,408.25
We Print
Published: June 3, 1998
Affid
(Our New Copy Machine Makes Great Copies)
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FUNDS NOT REQUIRING A
PROPERTY TAX TO BE LEVIED
Wheat commission plans meeting
6 86 6 10 8
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E n te rp ris e
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100516
Fund
Narrte of
Fund
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1 . 69Z. 32
28, 205. 33
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Publish O N LY completed portion of this page Total Anticipated Requirements must equal Total Resources
' ‘
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X
for Bonded Debt or Obligations......................
FORM
LB-2
V
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31,ybj.uu
5, 450. 00
26, 513. 00
31, 963. 00
26, 513. 00
4,390.00
1, 100. 00
30. 230. ÛÔ
Rate or Amount
. 2403
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'•»4PMMPW. 1*4*1
FORM
LB-2
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1000
82692
175117
74601
100516
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7, 613. 00
1, 000": (TIT-
7 00. 00
J U , 2 4 U . UU
5, 800. 00
24, 740. 00
30, 540. 00
24, 740. 00
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16. Permanent Rata Limit Levy (rate limit_
17. Local Option Levy................................
18. 1 a w ter Bended Dahl or O b lig a tio n
■ 8M 7i
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Actual Data
Last Y ear 9 6 - 9 7
Total Capital Outlay.........................................
Total Debt Service...........................................
-
.■
I
1 . Total Personal Services.......................................
2.
3.
4-
5.
6 .
7.
8 .
9.
10.
11.
□ As Summanzed Below
-
______ _
Actual Data
Last Year of>^n_
° S e n e ra l O b l i g a t i o n Bond
D«6t Outstanding
Approved Budget
Next Year 9 8 - "
—
¿3, 062. 34
2 3 ! 0 6 2 . 3 4
Published: June 3, 1998
Affid
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OFFICE
SUPLIES
FAX Paper
■■■■■■■■■■•■■a
Computer Paper
Gazette-Times
676-9228
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