Heppner Gazette-Times, Heppner Oregon Wednesday June 13, 2001 • SEVEN Local group raises funds for fibrosis Food handler's class offered A Food Handler's Class w ill be ottered by Blue Mountain C ommunity C o llege and the State Health D ivision on Wednesday, June 20, from 6:30-9:30 p.m. at the Heppner High School cafeteria. A Food Handler's card is required by the State o f O regon for all employees who handle or prepared tood in food service facilities in Oregon. This includes dishwashers, waiters, staff and business persons. Additionally, the card is also now required ot all day care workers. The cost o f the class is a $10 licensing fee, payable to the State Health Department after successful com pletion o f the written test. Registration w ill be done at class. For further information, contact Anne Morter, B M CC South Morrow County coordinator, at 422-7040. BUSINESS CARDS NAME OF FUND 200/201 TITLE I Total Instruction Total Support Services Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND 206 DRUG PREVENTION Total Instruction Total Support Services Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Properly Tax NAME OF FUND 205 CURRICULUM DEVELOPMENT Support Services Unappropriated or Ending Fund Balance Requirements Resources Except Property Tax NAME OF FUND 208 SCHOOL TO CAREERS Total Total Total Total 3-(eeC T a in ? Dr. Donald J. Carlson, Foot Specialist will be at the Pioneer Memorial Clinic on June 20th for the diagnosis of this and other foot problems. Call 676-5504 - Heppner or 567 -8 7 50 - Hermiston was $81,000. PUBLIC NOTICE NOTICE OF BUDGET HEARING A summary of the budget s presented below A copy of the budget may be nspecied cr obtained at 270 W Mam Lexington Oregon berween the hours of 8 00 a m and 4 CO P m This certifies that the budget was prepared on a basis of accounting that s consistent with the basis of accounting that was used during the preceding year Maior changes if any on the budget are explained below C*ty of Lexington Total Total Total Total FINANCIAL SUMMARY Approved Budget Next Tear - 2001-2C02 Adopted Budget This Year 2000-2001 total of all funds 11 067 803 8 348 073 661 784 21 211 200 2 907 069 727 667 44 923 596 2 056 200 10 620 342 6 385 315 647 180 204 980 2 706 073 406 527 20 970 417 955 314 21 925 731 16 825 460 5 100 271 40 129 104 6 850 692 Total R esources E stim ated Ad V a lo re m Property T a ie s 21 925 731 46 979 796 Total Properly Taxes Required to Balance Budget P'us Estimated Property Taxes Not to be Received A Loss due to Constitutional Limits 8 Discounts Allowed Cther Uncollected Amounts Total Tax Levy Tax Levies By Type Permanent Rate Limit Levy -rate limit 4 0342 Local Cotion Levy L e w for Payment of Bonded Debt ____________________ 46 979 796 5 100 271 6 850 692 55 027 328 864 5 484 162 152 000 379,520 7 382 212 Rate or Amount Rate or Amount 4 0342 4 0342 1 655 349 3 095 980 STATEMENT OF INDEBTEDNESS Cebt Outstanding Debt Authorized. No: Incurred None____________ X As Summarized Beiow__________ X None As Summarized Below Long-Term Debt Estimated Debt Outstanding at the Beginning of the Budget Year July 1 2001 -02 Approved Budget Year ________________________________________________ Bongs Total Ind e bted n e ss [ ; Estimated Debt Authonzed Not incurred at the Beginning of the Budget Year July 1 2001-02 Approved Budget Year 29 600 000 i 29 600 0 0 0 ) M ajor Changes: The Department of Education has adopted a new Program and Accounting Manual for Schoo/sand administrative rules to implement it ORS 294 456 (1) requires each school to prepare its estimates of expenditures in accordance with this manual These forms summarize the budget according to the new program structure To aid m comparison the amount shown m the adopted and actual columns have been restated to conform with the new categories Total Total Total Toial Total Toial instruction Supporting Services Enterpnse and Community Services Facilities Acquisition and Construction Other Uses (includes Debt Service & Transfers) Contingencies FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED Adopted Budget Approved Budget Actual Data This Year 00-01 Next Year 01-02 Last Year 99 00 9 108 215 5 434 956 18 960 67.701 91 952 9 350.786 5 513 823 1.977 204.980 36 000 300 000 9 757.510 5 990 385 - 211 200 34 000 285 000 16 278 095 Total All Other Expenditures and Requirements 14 721 784 15 407 566 Total Unappropnated 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 Nol 10 be Received A Loss Due to Constitutional Limit B Discounts, Other Uncollected Amounts Total Tax Levy 1 289 218 16.011.002 12 529 989 3481 013 16.011 002 581 15 989 12 428 3.560 15 989 3 560 . J • Permanent Rate Limit Levy (rate limit 4 0342) Local Option Levy Levy for Payment of Bonded Debt NAME OF FUND 300/301 Total Total Total Total Total Total Total Total Total OEBT SERVICE Instruction Supporting Services Enterprise and Community Services Facilities Acquisition and Construction Other Uses (includes Debt Service A Transfers) Contingencies All Other Expenditures and Requirements Unappropriated or Ending Fund Balance 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 Permanent Rate Limit Levy (rate limit ) Local Option Levy Levy for Payment of Bonded Debt Actual Data Last Year 99 00 Total Total Total Total Total instruction Other Uses Requirements Resources Except Property Tax Instruction Support Services Unappropriated or Ending Fund Balance Requirements Resources Except Property Tax Supporting Services Other Uses Contingencies Unappropriated or Ending Fund Balance Requirements Resources Except Property Tax 852 418 622 796 418 796 55 027 212.990 3 828 813 Rate or Amount 4 0342 - Adopted Budget This Year 00-01 675 000 16 953 095 12.975 472 3 977 623 16 953 095 3 977 623 - 152 000 156 609 4 286 232 Rate or Amount 4 0342 • Approved Budget Next Year 01-02 Total Total Total Total Total Total Total Total Total Total Instruction Supporting Services Contingencies Unappropnated or Ending Fund Balance Requirements Resources Except Property Tax NAME OF FUND 715 STUDENT BODY Total Total Total Total Instruction Unappropriated or Ending Fund Balance Requirements Resources Except Property Tax NAME OF FUND 800 HOUSING Total Supporting Services Total Contingencies Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND 815-STATE GRANT for CAP IMP 1 539 210 1 539.210 273 800 1 813 010 267 939 1 545 071 1,813.010 1.776 713 2 873 069 1 776 713 123 462 1 900.175 2 873 069 281 200 3 154 269 360 700 1 539 475 1 900 175 281 200 2.873 069 3,154 269 1 539 475 2 873 069 115 874 1 655 349 222.911 3 095 980 1 655 349 3.095 980 Total Total Total Total Total Facilities Acquisition and Construction Other Uses Unappropriated or Ending Fund Balance Requirements Resources Except Property Tax NAME OF FUND 830/VEHICLE/TECH PURCHASE Total Total Total Total Total Supporting Services Contingencies Unaopropnated or Ending Fund Balance Requirements Resources Except Property Tax Published June 13, 2001 Affid > 8 163 8 163 Adopted Budget This Year 00-01 Approved Budget Next Year 01-02 1 995 1 995 1 995 2 200 2 200 2 200 Adopted Budget This Year 00-01 Approved Budget Next Year 01-02 4 063 - 4 063 4 063 Actual Data Last Year 99-00 14 748 338 15 086 15 086 Actual Daia Last Year 99-00 4 827 852 5.679 5 679 1 566 5 237 6 853 6 353 36 760 28 36.788 36.788 Actual Data Last. Year 99-00 4 970 281.974 286 944 286 944 - 68 079 4 286 72 365 72 365 Actual Data Last Year 99-00 528 477 91 237 619 714 619 714 Total Enterprise and Community Service Total Requirements Total Resources Except Property Tax NAME OF FUND 710 CO-CURRICULAR 10 058 1 542 - 11 600 11 600 6 621 1 542 Adopted Budget This Year 00-01 - - . • Actual Data Last Year 99-00 NAME OF FUND 705 IONE POOL Approved Budget Next Year 01-02 Adopted Budget This Year 00 01 Actual Data Last Year 99-00 Actual Data Last Year 99-00 Enterpnse and Community Service Unappropnated or Ending Fund Balance Requirements Resources Except Property Tax 303 962 303 962 240 651 240 651 Approved Budget Next Year 01-02 . - - - 8.051 549 8 600 8 600 Supporting Services Facilities Acquisition and Construction Other Uses Contingencies Unappropnated or Ending Fund Balance Requirements Resources Except Property Tax 277 587 277 587 Adopted Budget This Year 00-01 Actual Data Last Year 99-00 NAME OF FUND 400 CAPITAL PROJECTS 266 360 11 227 Approved Budget Next Year 01-02 298 962 5 C00 Actual Data Last Year 99-00 - - - - Actual Data Last Year 99-00 NAME OF FUND 219 READING TRAINING Total Supporting Services Total Other Uses Total Requirements Total Resources Except Property Tax Total Total Total Total Total Total Total 609 6 604 6 604 1.623 214 1 837 1.837 NAME OF FUND 218 LOTTERY BOND GRANT Total Total Total Total Total Total 5 995 Actual Data Last Year 99-00 NAME OF FUND 500 FOOD SERVICE required by the new manual NAME OF FUND 100 GENERAL FUND instruction Unappropriated or Ending Fund Balance Requirements Resources Except Property Tax NAME OF FUND 217 CLASS REDUCTION Total instruction Toial Supporting Services Total Enterpnse and Community Services Total Facilities Acquisition and Construction Total Cther Uses (inauoes Deot Service ang Translersi Tgtal Contingencies Total All Other Enpengitures ang Requirements Total Unappropnated or Ending Fund Balance T o u t R equirem ents A n ticip a te d R esources Total Resources Except Property Taxes Total Property Taxes Required to Balance Budget Actual Data Last Year 99-00 Actual Data Last Year 99-00 NAME OF FUND 216 SCORING GRANT Chairperson of Governing Body Gary Frecericxson i5 4 l) 989-8202 A n ticip ated R equirem ents NAME OF FUND 213 FRED MEYER GRANT Total instruction Total Unappropriated or Ending Fund Balance Total Requirements Total Resources Except Property Tax NAME OF FUND 214 STAR P S I A meeting of me 9oard of Directors will be nekJ on June 25 2001 at 7 30 p m at Riverside High School m Boardman. Oregon The purpose of this meeting ;s to discuss the budget for the fiscal year beginning July 1. 2001 as approved by the Monow County School District Budget Committee Morrcw County Support Services Unappropriated or Ending Fund Balance All Other Expenditures and Requirements Resources Except Property Tax NAME OF FUND 210/211 TITLE VI Total instruction Total UnappropnateO or Ending Fund Balance Total Requirements Total Resources Except Property Tax Total Total Total Total 32 657 271 645 271 645 1 359 1 359 1 359 Heppner (iasette- Timen Area residents went to Portland to participate in the Great Strides Against Cystic Fibrosis walk-a-thon on M ay 19. Their team name was "Amber's Dream" and team members were Rhonda W ilhelm , leader. Amanda Acock, M olly Barrow, Alien Lynch, James A co ck and K a y Alldritt. The group enjoyed a barbecue lunch and live music after the 10k walk. The amount raised at this event 238 988 Actual Data Last Year 99-00 NAME OF FUND 204 I O E A Total Instruction Total Requirements Total Resources Except Property Tax Total Total Total Total f UNOS NOT REQUIRING A PROPERTY TAX TO BE LEVIED Adopted Budget Actual Data Lasr Year 99-00 This Year 00-01 Actual Data Last Year 99-00 38*744 T 90 155 Approved Budget Next Year 01-02 268 651 - 268 651 268 651 240 651 . 17 500 - 17 500 17 500 23 000 - 23 000 23.000 Adopted Budget This Year 00-01 Approved Budget Next Year 01-02 - - - - 5.679 - 5.679 5.679 Adopted Budget This Year 00-01 Approved Budget Next Year 01-02 6 729 . 6 750 6.729 6.729 5 750 5 760 Adopted Budget This Year 00-01 - - - - Adopted Budget This Year 00-01 47.224 6 782 Approved Budget Next Year 01-02 - - Approved Budget Next Year 01-02 34 254 - 34 864 34 364 54 Û06 54.C06 Adopted Budget This Year 00-01 Aporoved Budget Next v ear 01-02 180 500 589.360 i 80 017 849 877 849 877 267 740 007 C07 Actual Data Last Year 99-00 1 117 Adopted Budget This Year 00-01 464 000 464 000 Approved Budget Next Year 01-02 - • - Adopted Budget This Year 00-01 - 6 0C0 - 6 000 i ^ ö ö ö l Adopted Budget This Year 00-01 - — ..... ----- Approved Budget Next Year 01-02 1 000 000 21 000 000 - 1 100.000 23 100 000 23 100 000 Approved Budgei Next Year 01-02 641 784 623 203 1 628 203 628 203 641 784 641,784 Adopted Budget This Year 00-01 Approved Budget Next Year 01-02 17 OCO 17 000 I 17 000 ! Adopted Budget This Year 00-01 20.000 20.000 20.000 Approved Budget Next v ear 01-02 405 '4 8 125 2 ’ 5 19 170 ! 41 5 849 120 395 46 000 582 744 582.744 Approved Budget Next Year 01-02 5 11 700 I 518 600 511 700 ! 511 700 518 600 518 600 Adopted Budget This Year 00-01 3 900 I 7 340 7 64C ------------------------ ----- 1. 11 240 8 757 f 11 240 ! 8 757 Actual Data Last Year 99-00 123 500 1 71 123 | _______________ :___L 5501 94 ) 548 022 i 550 194 Î 548 022 Adopted Budget Actual Data This Year 00-01 Last Year 99-00 267 126 394 394 340 500 Adopted Budget This Year 00 01 Approved Budget Next Year 01 -02 8 400 4 200 12 600 12 600 Approved Budget Next Year 01-02 - 201 362 298 000 I 298 000 499 362 499 362 298 000 298 000 ! Actual Data LasLYear 99-00 627 693 Adopted Budget This Year 00-01 273 614 I 233 635 861 328 861 328 I 250 000 523 614 j 523 614 I Approved Budget Next Year 01-02 840 700 268 967 - 909 667 9C9 667