Tickets available for 2000
OTPR buckle raffle
W.C.C.C. Golf
Ladies’ Play
Tuesday, May 16
W CCC
S erving A ll
Or U matilla
& M orrow
C ounties
FAX PAPER
Casette-lim e« 674-9M
_____________________
A meeting of the __
c m D *j n -
6:00 g p .m . »1 .
1
A l p in e
C o n s t r u c t io n
“P e te * 4 0 H
ze
( 541 )
676-8024
CCB* 110121
NOTICE OF BUDGET HEARING_____________________ □ RepuWcat.cn
.vrifl be held on.
lone City Hall
^ J l.2 0 0 0
City of lone
. Budget Committee
.and
. between the hotrs of
H mty, and »a ir affect on the budget are explained below,
__________________________________ ___________________________
r n a m u ra rm M
-------- V i S .
T 14
a i *0*01*
M W M 'll SsRTC
T r i a ét
l
-------------------
------------------------------- S T ---------------------- ---------------------------------------------------- O W fw eon « Oevwrwie Body
Bob Ball
(5 4 1 ) 4 2 2 -7 4 1 4
lone
Morrow
F IN A N C IA L S U M M A R Y
Adopted Budget
This Year — 1999-2000
58,422.00
110.407.00
43.728.44
TO TA L OF ALL FUNDS
Outifri*
Approved Budget
Next Year — 2000-2001
61.671.00
134.715.00
1.267.875.76
0
57.000.00
3.67000
0
29.49300
1.554 424 76 I
1.526.578.76
27.846.00
1.554.424.761
27.846.00
0
6.840.00
7.500.00
0
28.096.00
254993.44
237.041.44
17.952.00
254.993.44
17.952.00
Anbdpaled
Requirements
7 Total AS Other Expenditures and Requirements...............
Anticipated
Resources
13. Total Property Taxas Estimated to be Received (tine 11)..
Estimated
14. Plus: Estimated Property Taxes Not to be Received.........
Ad Valorem
Property Tames
B OUcount* Ajtowad Other UncoAactad Amounts...........
V m I-4.P H !>»»»« > »■» «. M4IH4MHWM
«4-V>• -vta-*r*
— W- U-
WWW — •••1 »
95.12
5.859.42
23 906.54
Rats or Amount
4.4288
Tax Levies
By Type
18. Lew tor Banded Debt or ObWaatons..............................
STATEMENT OF INDEBTEDNESS
Debt Outttandktg
None —
□ As Summarized Below
—
179.79
3.041.80
31 0fi7 69 I
Rate or Amount
4.4288
Debt Authorized. Not Incurred
□ r - T As
Summarized Below
n
-
J --------------------
I
, 11 , .
Q
PUBLISH BELOW ONLY IP COMPLETED
Loop-Term Debt
Actual Dais
Last Year 1996-99
1. Total Personal Services............
2. Total Materials and Services............
3. Total Capri at Outtsy ..
4. Total Dab! Service
5 Total Transfers
*• Total Contingencies..........
fe js *
7 Total A1 Other Expendtures and Rsquriements ..
8 Total Unappropriated Ending Ftmd Balance........
9. Total Raqiiremerts.................... .. .
1
2.
3.
4.
5.
6.
7.
8
9.
Name of state Revenue Sharing Fund
Fund
1.
2
1
4
S.
8.
7.
8.
9.
_1IL
Approved Budget
Next Year 2000-01
C
0
13,229 00
0"
0
0
13.229 00
0
13 229 00
13 229 00
Adopted Budget
Thla Year 1999-00
0
870.00
0
<r
0
Approved Budget
Next Year 2000-01
210.00
1.000.00
0
0
0
0
1.210 00
0
1.210.00
1.21000
1.130.00
0
1.130.00
1.130.00
Actual Data
Last Year 1998-88
0
1.015.00
0
0
0
c
1 015.00
0
1,01500
1.015.00
Adopted Budget
Thla Year 1999-00
0
Total Personal Services........................................
Total Materials and Services,................................
Total Capital Outlay..............................................
Total Debt Service................................................
Total Transfers......................................................
Total Contingencies..............................................
Total Ail Other Expentfturea and Requirement» ..
Total Unappropriated Ending Fund Balance........
Toial Requirements.............................................
Total Resources Except Pmoerfv Taxes
lRta*4>*caaryi
0
0
9.400 00
— T
6
0
9,400.00
0
9.400 00
9.400.00
Actual Dais
Last Year 1998-89
Total Personal Services..................
Total Materiale snd Services..............
Total Capital Outlay
Total Debt Service ..
Total Transfers . ,
Total Contingencies ......................
. .
Total All Other Expenditures and Requirement» .
Totsl Unappropriated Ending Fund Balance . . .
Total Requirement».............................................
I
Adopted Budget
This Year 1999-00
0
0
0
0
0
............' " m i l
0
51
0
10.B29.06
Approved Budget
Next Year 2000-01
0
37500
900.00
0
0
0
1.275.00
0
1.276.00
1.275.00
o
0
0
0
0
0
0
1.448 00
Estimated Debt Authorized, Not Incurred at the
________ Beginning of the Budget Year________
July 1,2000-2001 Approved Budget Year
Estimated Debt Outstanding et Vie
Beqinrtihq of the Budget Year
July 1, 2000-2001 Approved Budget Year
Name of special Water Fund
Fund
Actual Data
Last Year 1098-99
0
600 00
2.02500
0
0
0
2.525 00
0
2.525 00
2.525.00
Total Transfers......................................................
Total Contingencies.............................................. t v >#■ <•-! irr.v.
Total AA Other Expenditures and Requirement» . .
Total Unappropriated Ending Fund Balance........
Total Requirements.............................................
_____________=
! 90-53*402 (R* 13-90)
5.
8.
7.
8.
9
FORM
Adopted Budget
Thla Year 1999-00
0
0
0
<r
0
.This budget was prepared on
e basis of accounting that Is BloonsWenC Dnot consistent with the basis of accounting used during the preceding year Major changes,
a Total
Fund*0* Sp* ° al Capital Outlay
1. Total Personal Services......................................
2. Total Materials and Services................................
3. Total Capital Outlay..............................................
lone City Hall
A summery of the budget Is presented below. A copy of the budget may be Inspected or obtained at.
lone. O R 97843
r^e**hONLY OCX I‘trialed portion ot IMs page. Total Anticipated Requirement» must aquel Total Reaotxces.
. Th# purpoce Of INS meeting Is to dtaeuss the budget for
the fiscal year beginning July 1. 2000 as approved by the---------------------------
365 West 2nd Street
FUNDS NOT REQUIRING A
PROPERTY TAX TO BE LEVIED
N im # Of D LCD C Fund
Fund
C oncrete
lone City Council
FORM
LB*2
l
u.
Farm
Residential
Commercial
Flatwork
Foundations
businesses during the summer
Tickets are available at MCGG,
Green Feed and Seed and Van
Marter and Kahl Insurance for $2
each or 11 for $10.
“Take a minute to swing into
Green Feed and look at the
buckle,” said an OTPR spokes
person. “Don’t miss out on the
chance to be the owner of this
unique, one-of-a-kind buckle,”
said the spokesperson.
i
Raffle tickets for a special
drawing on August 20 for a cus
tom-made 2000 Oregon Trail Pro
Rodeo buckle are now on sale. It
will be presented to the winner
during the rodeo for a celebration
of the year 2000 rodeo.
The buckle has a good Oregon
Trail wagon trimmed with gold
rope and is enhanced with green
emeralds. The buckle is presently
on display at Green Feed and Seed
and will be on display at different
a
Low gross o f the field: Pat
Edmundson.
Low net o f the field: Della
Heideman.
Least putts of the field: Joyce
Dinkins.
Flight A: low gross Jan
Paustian; low net Carol Norris;
least putts Deborah Kendrick;
long drive Deborah Kendrick.
Flight B: low gross Lois Hunt;
low net Sheri Stahl; least putts
Bernice Lott; long drive Shari
Stahl.
Flight C: low gross Lorrene
M ontgomery; low net Jackie
Allstott; least putts Lucile Peck;
long drive Della Heideman.
Chip in: # 18 Deborah Kendrick,
#17 Jackie Allstott, #16 Lois Hunt.
Birdie: #13 Deborah Kendnck
and Pat Edmundson.
Long putt-all flights: Maude
Hughes.
FORM
Heppner Gazette-Times, Heppner, Oregon Wednesday, May 24, 2000 - SEVEN
Approved Budget
Next Year 2000-01
0
0
0
0
5"
0
0
0
6
0
0
0
0
____0
0
0
1.228,257 00
0
0
0
1.228,257 00
193 00
1.228 450 00
1 228 450.00
FUNDS REQUIRING A
PROPERTY TAX TO BE LEVIED
L B -3
□ jRepuoíesi»
G en eral Fund
Name of
Fund
1.
2.
3.
4.
5.
6.
7.
8.
9
10.
11.
12.
13.
14.
Total Personal Services
Total Materials and Services
Total Capital Outlay
Total Debt Senrioe
Total Transfers
Total Contingencies
Total At Other Expendtures and Requirements
Total Unappropriated Ending Fund Balance
Total Requirements
Total Resources Except Properly Taxes
Property Texes Estimated to be Received
Total Resources (add lines 10 and 1 1 )..............
Property Taxes Estimated to be Received (One 11
Estimated Property Taxes Not to be Received. ..
A. Loss D ub to Constitutional Unit
B. Discounts, Other Uncollected Amounts
15. Total Tax Levied (add lines 13 and 14)
16. Permanent Rate Urn# Levy (rate 8nvt 4 4288 ) .,
17 Local Option Taxes
18. Lew tor Bonded Debt or Ottitaatiora.
Published: May 24,2000
Interest Bearing Wannte
O íter...............................
FO RM
Short-Term Debt
_
_
_
tkiw KawiQAf jndudM ih« intantion to barrow in antldp«9on of revenue (“Short-Temi B ottovm rtQ") «9 lummirizBd beiow
Estimated
Estimated Amount
FUND LIABLE
Interest Rata
lobe Borrowed
1,185.450.00
Water Utilltv Fund
L —
i «340*401 (A n . RMS)
FORM
LB-2
5.9%
30.000.00
= = = = = —
FUNDS NOT REQUIRING A
PROPERTY TAX TO BE LEVIED
1.
2
X
4.
3.
ft.
7.
8.
9.
Total Personal Services......................
Total Material and Services..........................
Total Capital Outlay...............................................
Total Debt Service...............................................
Total Tranefan.....................................................
* o w vwOnanQenaeo ............................................
Total A l Other ExpwndHum and Raquiramanta .
Total Unappropriated Ending Find Balance___
Total Requirements............................................
Name of Slate Street Fund
Fund
Actuel Oste
Lest Year 1998-99
564 F. P io n e e r D r i v e , H ep pner, OR.______ between the hours of 8360am and 5 :00pm This budget was prepared on
37.195,00"
33,299 00
70.494.00
------------------------- 1773200
Actual Dale
Last Year 1998-89
3.
4.
5.
8
7.
•
8.
Total Capital Outtey........ ......................................
Total Oabt Service...............................................
Total Transfers.......................................................
Total C«ndngonctao...............................................
Total A l Other Expenditures and Requirements ..
Total Unappropriated Ending Fund Ootanoe........
Total Requirements..............................................
Name of County Road Fund
Fund
1.
2
1
4.
1
^
T.
2
2
7,786.00
46.143 00
53,929.00
53 92^ 0Û
Actual Data
Lest Year 1996-99
0
Capital Outlay Fund
Actual Dale
Last Year 1996-99
1
7. Totel All ***** Expandituraa and Raqulrtmant» . .
a Total • h—p p - T '1'«- * Ending r '~ f Balance
2 Total neqttir quanta..............................................
•
0
0
51
0
10 000 00
22.500.00
0
0
43.000.00
3.670.00
79,170 00
0
79.170.00
79.170 00
8.704.00
55.000 00
9.000.00
0
0
0
72.704 00
3.096 00
75.800.00
75 Ann nn
TOTAL OF ALL FUN0S
A n t ic ip a t e d
R e q u ire m e n ts
ÏÏ
0
17.428 44
0
17.428 44
17.428 44
Anticipated
R e s o u rc e s
Total ProowriyTax««Estimated tobsRacslvsd (tins 11)..
14 Pius Extimated Aropony Taxa* Not to ba RacaNod
A LOSS O u e to Constitutional U*"*»*.......
....... .........
13
E s tim a te d
A d V a lo re m
P ro p e rty T a x e s
T a x L e v ie s
Adopted Budget
This Year — 1998-2000
2.746.940
1. 640.762
208. 768
5 44. 338
0
80.000
740. 400
348. 451
6.309.659
5.751.659
5 5 8 .0 0 0
6.309.659
5 58. 000
3 . 50 0
36. 526
598. 026
Rat# or Amount
, 6050
Approved Budget
Next Y e a r — 2000-2001
3. 017. 92 1___________
1. 652. 66 0
142. 170
519. 619
0
46. 018
1. 223. 49 0
0___________
6.601.878
6.045.389
556. 489
6. 601.878
1
556. 489
»
i
3. 0 4 9
35. 520
595. 058
1
Raw or Amount
. 6050
J
By Type
2.52500
7.000 00
0
0
0
0
9.525.00
0
9.525.00
9.52500
Approved Budget
Next Year 2000-01
0
0
17.428 44
0
(541 ) 676-5546
FIN A N C IA L SUM M A R Y
6 Total Unappropriated Endng Fund Batanea
8.500 00
55,000 00
9,000 00
0
0
0
72.500 00
24.300.00
90.800 00
Approved Budget
Next Year 2000-01
1,200.00
2.682.ÖÖ
0
0
0
0
4.136.00
0
4.138.00
4.138.00
L a rry H i l l «
Heppner
M o rro w
Approved Budget
Next Year 2000-01
Adopted Budget
This Year 1999-00
0
6
0
~ 0
0
1 TftM Pwional S w y K m ........................................
1 Total Material* and Services................................
fMtey ............................................
18.640.00
21.000.0b
7,000 00 r
0
0
3,500.00
48,140 00
0
48.140.00 h
------
Adopted Budget
This Yeer 1999-00
1.145.00
Total Personal Saivioaa........................................
1.896.00
Total Matartats and Services.................................
0
Total Capital Outlay........ ......................................
Total OsM Service................................................
0
Total Transfers....................................................
Total CflriPnQinctes ............................................
3,041.00
Total A t Ottor Expenditures and Requirements .
Total Unappropriated Ending Fund Balance........ _______________ 5.164 00
Total Requirements..............................................
6 205.00
4.666 00
a basis ot accounting that is £J consistent: Onot consistent with the basis of accounting used during the preceding year Major changes
it any snd their effect on the budget, are explained below
Approved Budget
Next Year 2000-01
Adopted Budget
This Year 1999-00
2.330.00
5786.00
0
0
0
1. Total Personal Services........................................
« Twtal “ ‘
- —-A as--- j -----
^««•4 VAIru
Adopted Budget
Thie Year 1999-00
8 963.00
17.*32 00
10,500 00
0
0
. 2C00
.Will be hew on May 30 th.
Morrow County H e a lth D i s t r i c t
lCj»«a*% B-Oy)
□ a m
st 6 - 3 0 jc pm. at P i n n e r r M e n .n r l. n l H n m . t i .e l r h o f f i c e .
The purpose ol tbs meeting is to discuss the budget lor
,u***"' H ep p ne r, OR.
the fiscal year beginning July i . 2000 as approved by the M orrow C o u n ty H e a lth D i s t r i c t ------------------- Budget Committee
A meeting of the
A summary of the budget is presented below. A copy ol the budget may be inspected or obtained at MCHP A d a lq Ls.cxE t l on Of f ice
PtAilwti ONLY oompAxed portion of thla page. Total Anticipated Requirements mutt equal Total Resources
JfJjJjf of Water Utility Fund
0 Repudies»«
N O T IC E O F B U D G E T H E A R IN G
LB-1
Estimated
Interest Cost
0
0
15 364 76
0
0
0
15 364 76
0
15 364 76
15.364 76
O abt
□ Non«
STATEMENT OF INDESTSDNEM
Outotandtoq
I
X A* SufTVTutrtttd 8#tçr*
|
Q Non«
Dab» Amhoruad. Not Incurred
U) Aa SurvnaHxad Baton
PUBLISH BELOW ONLY IP CO M PLET»
Estimated Debt Outstanding at the
Beginning ol the Budget Year
Jury 1. 2000-2001 Approved Budget rear
Long-Term Debt
Estimated Detit Authorized. Not Incurred at the
Beginning ol the Budget Year
Jury 1.2000-2001 Approvati Budget rear
303. 457
74. 156
Othar
..............
Total indebtedness............. _____________ ZAa-1.5.6__________________________ ______________ 303. 457_______________________
Short-Term Debt
Th u Budget include« the Inisniton to ho,row ln anticipation el revenue ('Snort-Term Bomwnng-j — tatataertara two—
FUND LIABLE
C e n a rA l
Estimated Amount
to be Borrowed
3 5 0 .0 0 0
Estimated
interest Rate
&X
Estimated
Interest Cost
2 1 .0 0 0
> »»
Published: May 24,2000
Affid
V