Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 21, 2000)
SIX - Heppner Gazette-Times, Heppner, Oregon Wednesday, June 21, 2000 Patriotic Pops to be part of lone’s July 4th Celebration PUBLIC NOTICE FORM LB-1 i m - ' ~w — ‘i The Corps of Engineers has decided to contract out checking of the flood warning system in Heppner and it has at least one Corps employee worried. "We think this is such a safety thing," said Travis Brock, president o f a union for Corps of Engineers employees. "How do you find out something until it fails. It is a safety issue. If a flash flood comes down the creek it would not only endanger you, but also would endanger our people by putting a lot of water in the dam." "In our experience, we’ve not Morrow County District Attorney David C. Allen has released the following report of business conducted: June 15: Raymond H. Phillips plead guilty to Possession of a C ontrolled S u bstan ce- M etham phetam ine and endangering the welfare o f a minor. On the first count he was sentenced to 18 months' probation and ordered to complete a drug package; on the second count, to run concurrently, he was sentenced to 24 months' probation and ordered to comply with the conditions of count 1. He was also ordered to pay $1039.80 in fines, fees and assessments. Heppner Rural Fire Protection District io»«*»sewn Petryiohn Office Building. 430 Unden W ay tne Heal year beginning July 1.2000 as approved by the. QRepubieetion June 26 . wit be neM on. . 2000 The purpose ol the meeting is to decusa the budget lor Heppner Rumi Fire Protection District A summery ol the budget • presented below A copy ol the budget may be inspected or obtained at. ILL. O . . l.. ... ... ... j Oi llO ic lu u u j Us Heppner, Oregon 5 pm . between the hours ol and 8 p m Heppner City Hall. .....................................9 a m Anm _ betwaen tha hours ol J L l . ------ and Ü J L Z L Th e budgat was praparad on Cm ** o, CAMVMBn •> Oo^FYWlt aaoy Morrow Heppner R H Matthews 1 2 3 4 5 6 ^ 515 S. Court Street. Oi u C U îirâ U L . This budget was prepared on (541 ) 676-5490 Adoptad Budgat This Year — 1999-2000 Total Paraonal Services Total Meteos« and Suppiea............................................ Total Capital OuSay Total Debt S e rv e «....................................... Total Transfers..................... Total Conbngenoee ............................................. Approved Budget Next Year — 2000-2001 56495 60900 81743 47500 _____________________54635 _____________________61465 _____________________27700 40964 •0- -0 - 7 Total A4 Other Expenditures and Requirements................ S Total Unappropriated Ending Fund Balwice...................... ________________________ ± . 241299 10. Total Raaourots Except Properly Taxes............................ ___________________ 162299 11 Total Property Texet Estimated to be Received................ 79000 12 Total Resources - add tinea lOand 11 241299 11. Total Proparty Taxaa Eatimalad to be Received (lina 11 ) . . _____________________ 79000 14 Plus. Esamatad Proparty Taita Not to be Received.......... 2212 A. Late Due to Constitutional Limila .................................. Anticipated Resources Estimated Ad Valorem Properly Taxes B Discounts Allowed, Other Uncollected Amounts............ 11 Telai Tea Levied - add line« 13 end 14 1901431 111610 78533 1901431 78533 2196 3141 M A7?I 3160 84372 Ral« or Amount Rate or Amount IS Permanent Raw Umil Levy (rata lima .3813 1 ______________________3613 17. Local Option Taxas............................................................. -0- -0- Tax Levies By Type 3813 -0- STATEMENT OF INDEBTEDNESS 0«M OuUtandinq Non« Debt Authorized. Not Incurred JjjAi^Sum nw vM BW ow =□* _QH_Sum ™ njM B«k>w PUBLISH BELOW ONLY IF COMPLETED Estimated Dabi Outstanding al the Beginning ol the Budgat Yaar Lonq-Tarm Dabt Estimated Debt Authorized. Not Incurred at lha Beginning ol the Budget Year July 1. 2000-2001 Approved Budqel Year July 1. 2000-2001 Approved Budget Yeer 830000 -0 - 15795 Bond« ................................. Intere«! Bearing Warrants O ther...................................... ------------------------------------------------------------------------ 6 4 5 . 7 9 5 FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-2 ! Publish O NLY completed portion ol this page. Total Anbcipattd Requirements m utt agual Total Resources. N am e of Fund FORM A meeting ot the __ n . m et 7 00 The purpose ol dus meeting is to discuss tho budget lor Willow Creek Park District ------------------------ --— --------------------------- --------- Budget Committee TO T A L O F ALL FUNDS DA's Report NOTICE OF BUDGET HEARING 1 . 2. 3. 4 5. 6. 7. 8. 9. Ip. C A P IT A L P R O JE C TS FUND/ Actual Data Last Y ear 1 9 9 8 -9 9 Adopted Budget Th is Year 1999-00 Total Personal Services............................................ Total Materials and Servidas................................... Total Capital Outfay.................................................. Total Debt S a rvica .................................................... Tola! Translate........................................................... Total Contingencias.................................................. Total A l Other Expenditures and Requirements .. To ut Unappropriated Ending Fund Balance......... Total Requirements.................................................. Total B m p u i c b i Exctpt Prop«fly T a m . . . . . m FORM LB-3 15984 15795 15984 t= _ Morrow Donald Bennett j F IN A N C IA L S U M M A R Y Adopted Budget This Year — 1999-2000 TO T A L O F ALL FU Ñ O S t Total Parsorwt Services Total Maienaia and SippSea 3. Total Caprtai Outlay 4 Total Dabt Sarvica S. Total Transit's 6 Total Contingencies 2 Anoopated Requirements f... . Estimated Ad Valorem Property Taxes 200.00 12.431 00 52.442.39 6.062.70 860 69 200 00 200 00 68.069.40 53.06170 15.007.70 68.069.40 15.007.70 10. Toni Resources Except Property Taxes............................ 11 Total Property Texee Estxnated to be Received 12. Totel neeeurcee-add tines 10 and 11 .......................... 13. Total Property Taxes Estimated to be Received (line 11) . 14 Plus Estimated Property Taxes Not lobe Recetved A. Loss Due to ConstXutknei Limits................................ B Discounts Allowed. Other Uncollected Amounts 15. Totel Tex Levied - e d d toes 13 and 14 .............. 200 00 10.345 00 51.061.70 200 00 0 Total Unappropriated Ending Fund Balance...................... 9. Total Requirements — add knee 1 through fi .................. Antic 4 >ated Resources Approved Budget Next Year — 2000-2001 66.154.081 54.442.39 11.71169 66.154.081 11.711.68 1,394 00 958 00 15.965.70 ... 836.53 13.942.221 Rale or Amount Tax Levies By Type 16 Permanent Rata Limit Levy (rata limit 17. Local Option Taxes 18 Levy lor Bonded Debt or Obnqatcns STATEM ENT Of INDEBTEDNESS Debt Outstanding __________ □ As Sixnmertxed Below □ None FORM LB-2 Rata or Amount .7906 ).... .7906 Debí AutiorUod. Not Incurrid 1 . 2. 3. 4. 5. 6 7. 8. 9. 10. 11. 12 . 1 3. 14. Total Personal Services.......................................... Total Materials and Services................................. Total Capital Outfay................................................ Total Oebt S ervice................................................... To u t Transfers......................................................... Total Contingencies................................................ Total A l Other Expenditures and Requirements . Total Unappropriated Ending Fund Balance . . . . Total Requirements..................................... ....... Total Resources Exctpt Property T a x e s ............. Property Taxes Estimated lo be Received........... Total Resources (add lines 10 and t i ) ................ Property Taxes Estimated to be Received (fine 11 Estimated Property Taxes Not to be Received. . . A. Loss Due lo Constitutional Limit...................... 0 Discounts. Other Uncollected Am ounts......... 15. Total Tax Levied (add fines 13 and 14).................... 1. 2. 3. a. FUNDS NOT REQUIRING A PROPERTY TAX T O BE LEVIED I Putssn ONLY completed portion ol this page Total Antedated Requirements muet eque! Total Resources iRapubtcsti 5. 6. Nam * o l Equipment Reserve Fund 1 2 3 4 6 7 8 9 10 Actual Data Last Year 1998-99 Total Personal Sendees Toal Matsnae and Service« Toal Capital Outlay Total Debt Servtoe ............ 47.406.70 Toal Contingencies . Toal AJI Othsr Ex pendìi» as and Requvemena Toal Unappropnated Ending Fund Balance Toal Requrtm ants................ Total Resource* Exeeot Property Taxes .............J Approved Budget Next Year 2000-01 Adopted Budget This Year 1999-00 52.442.39 51.061 70 2424643 14495 18900 20549 77 10625 00 110 1 8 3 4 19265 54000 25100 47500 47022 02 40984 128764 7. 8. 9 10. 11 . 12. 13. 114061 56 44501.76 72408.19 116609.95 49000 3813 Adopted Budget Th is Year 199 9-00 Approved Budget Next Y ear 200 0 -0 1 39210 99 7017450 81850 20156 88 42000 63050 7485 42000 56643 130360.87 112535 98643 130360 87 97099 89 82535 98643 38550 8957.00 106056 89 30000 112535 60093 96643 30000 60093 1605 1500 63198 Raw br Amount B Discounts Other Uncollected Am oun ts ................ 47,406.70 47.406 70 52.442.39 51,061.70 51.061.70 Rale or Amount Actual Data Last Year 1996-99 Adopted Budget T h a Year 1999-00 200 00 12.431.00 6.062.70 3.999 00 860 69 200 00 200 00 13.511691 200.00 16,807.70 2,000 00 15.007 70 17,007 70 15.007.70 3.575.32 15,671 92 4,624 70 14.419 54 19,244 24 956 00 15.965 701 Rate or Amount 7906 d e b t SERVICE f j i Approved Budget Next Year 200 0-01 2.000 00 11.71169 13.711 681 11.71169 _ 1.394 00 13.942.22 Rate or Amount 7906 2. Total Materials and S ervices ................................................... 4 5. 8. 7. Total Total Total Total Debt Service Transfers ................................................................................... ContinganciM ....................................................................... All Other Expendrtures and Requirements 88no1 1SR022 A5. Q77 88041 14*033 f tw r7 m m i RAnq i iaa fill 14*072 88041 1 4* r 03 3 Rsn77 _ i_ j m m i c i mm ; . V J? . . 1 10. Total Resources Except Property T a x e s ........... , 13 Properly Taxes Estimated to be Recetved (tine 11 14 Estimated Property Taxes Not to be Received . A. Loss Due to Constitutional Limit B Discount*. Other Uncollected Amounts IS Totel Tax Levied (add Noes 13 and 14) 16 Permanent Rate Limit Levy (rate bmtt 17. Local Option Texee.............................. Published: June 21,2000 Published: June 21,2000 Adopted Budget This Year 1999-00 Actual Data Last Year 1 9 9 8 -9 9 FUND «• 1 . . * » •* f / £166 44257 Rale or Amount 11,117 _______1 5 9 , 1 1 9 - Reto or Amount I. • . ‘ ; • ' \ ' ■' * 17 Local Option Taxes ta Lew lor Bonded Debtor QbJkuDgnfi— ................. 3112. Approved Budget Next Year 2000-01 200 00 10,345.00 200 00 11.472.92, _____________________________ oiscvcwtityw tM pmeun or inis page Fund Toal Personal Services Toal M eans« and Services Toal Capua! Outlay Toal Dabt Serves To a l Transfers Toal Contingencies To a l AM Other Expendewes and Requeemema Toal Unappropriated Ending Fund Balance Toal Requeements Toal Resources Except Properly Taxes Property Taxes Estimated to be Received 12 Toal Resources (add line* 10 and 11) ............ 13 Properly Taxes Estimated to be Recerved (Ine 11) 14 Estimated Properly Taxes Not to be Rec4tved A Lose Due 10 Consmuoonal Lima B Discounts Other Unooiected AmowiU 15 Toa l Tax Levied (add tines 13 and 14) 739 1QAÛ1 Rata or Amount 3813 Actual Data Last Y ear 1 9 9 8 -9 9 N a m a of 1 2. 3 4 5 6 7 8 9 10 11 SÌA 1372 1 q An S7337 Rale or Amount Total Paraonal Services ................................................................ Total Materials and Services................................... Total Capital Outlay ................................................ Total Dabt S a rvica ..................................................... Total Transfers............................................................ Total Continganciaa.................................................. Total AN Othar Expenditures and Requirements . . Total Unappropnated Ending Fund B alan ce......... Total Requirements................................................... Total Resources Except Property T a x e s ....................... Property Taxaa Estimated to be Recerved .................... Total Resources (add fines 10 and 11) .......................... Proparty Taxaa Estimated to be Received (fine 11) FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED Nam e of General Fund 91500 73060 18440 91500 16440 79764 49000 128764 .3813 FORM LB-3 91500 91500 114061 56 16. Permanent Rate Limit Levy (rate limit .3813 i .. 17. Local Option Taxes..................................................... N a m e of W A T E R P A R K F U N D Fund 4 Summarized Beta* jñepubl canon Approved Budget Next Year 2 0 0 0-01 Adopted Budget This Year 199 9-00 Actual Data Last Y ear 1 9 9 8 -9 9 N a m e of G E N E R A L F U N D Fund (541 ) 678-5231 15795 _______________15795 PROPERTY TAX TO BE LEVIED Publish O NLY completed portion ol this peg ORr Heppner I Republicauon Approved Budget Next Year 2000-01 \ a basis ol accounting that is ^consistent; O o t consistent wtth the basis ol accounting used dunng the preceding year Major changes. Cm ** 2000 a basis ol accounting lhal is Bconsetant. D noi consistent with the basis oI accounting usad during tha preceding yaar. Major changes. PUBLIC NOTICE L B -1 Lexington City H e«, Mein S i , Lexington. O R 188 W Willow. Heppner. O R 97836 ------------------------------------ ------------------------------------— The Inland Northwest Musicians, "Patriotic Pops” featuring numerous local musicians will be in concert at the lone Amphitheater Saturday, July 1 as part of this years lone Fourth of July celebration. The concert starts at the Amphitheater at 3:15 p.m. and organizer Shelly Rietmann invites everyone to "hear some wonderful music and bring their picnic baskets with everything from fried chicken and lemonade to caviar and Chardonnay." --------- --- . — — ---------------------------- found contractors to do quality work," said Brock. Brock said that his union also believes the action is a violation of the Water Resources Development Act o f 1990. "We think it’s enough of a safety issue that we’ve decided to go public," he said. "We probably wouldn't call your newspaper, if it was just a union issue. We have a responsibility to the people." Brock said that the union has taken the issue to the Corps of Engineers Inspector General in Washington, D.C., but as yet has received no response. Jun e 28 A summary oI ire budget is presented below. A copy ol the budge« may be inspected or obtained a t. Anticipated Requirements Corps of Engineers union concerned about flood safety □ Repueicauon . will be held o n . the fiscal yaar beginning July 1. 2000 as approved by the . É ¿&!s b i ^ Willow Creek Perk Dismet A meeting ol the □ am „ . . 6 30 ¡¡p y» ¿à IV NOTICE OF BUDGET HEARING .» ’ 5 • - 11217 V M .1 M