SIX - Heppner Gazette-Tim es, Heppner, Oregon Wednesday, M ay 15,2002 PUBLIC NOTICE Boardman Park & Recreation District FORM LB-3 PUBLIC NOTICE 1 ____ !_________________ 1_________________ FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED ___ . P u b t is h O N L Y c o m p le te d p o rtio n o f this p a g e . T o ta l A n tic ip a te d R e q u ir e m e n ts m u s t e q u a l T o ta l R e s o u r c e s Name of Actual Data Fund GENERAL FUND Laat Year 2000-01 145,211 L J Total Personal Services 89.286 □ t Total Materials and Services T Total Capital Outlay 138,845 L I Total Debt Service 5 Total Transfers 6,000 xxxxxxxxxxxxxxxx ¡ 6 Total Contingencies 7 Total All Other Expenditures & Requirements 8 ¡Total Unappropriated Ending Fund Balance 115,842 9 Total Requirem ents 495,184 10 Total Resources Except Property Taxes 394,271 11 Property T axes Estimated to be Received 100,913 12 Total Resources (add lines 10 and 11) 495,184 13 Property Taxes Estim ated to be Received (linel 1) xxxxxxxxxxxxxxxx 14 Estimated Property Taxes Not to be Received xxxxxxxxxxxxxxxx A. Loss Due to Constitutional Limit xxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxx B Discounts, Other Uncollected Amounts xxxxxxxxxxxxxxxx 15 Total Tax Levied (add lines 13 and 14) xxxxxxxxxxxxxxxx ) xxxxxxxxxxxxxxxx 16 Perm anent Rate Limit Levy (rate limit ~vT Local Option Taxes xxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxx 18J L e w for Bonded Debt or Obligations .. Adopted Budget Approved Budget I tila Y t a r 2001-02 tifix L Y e a r 2002-03 159,500 154,000 154,440 131,550 159,172 159,950 8,000 8,000 481,112 453,500 357,700 352,450 123,412 101,050 481,112 453,500 123.412 1014150 xxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxx 9,289 7,840 132,701 108,890 Rate or Amount Rate or Amount 0.2989 0.2989 Adopted Budget Approved Budget Actual Data Last Year 2000-01 This Year 2001-02 Hext Year 2002-03 Name of Fund DEBT SERVICE FUND 1 Total Personal Services 2,755 400 2 Total Materials and Services 3 Total Capital Outlay 10,295 11,453 10,880 4 Total Debt Service Total Transfers XXXXXXXXXXXXXXXX 6 to ta l Contingencies 7 Total All Other Expenditures & Requirements 10,495 0 13,946 8 Total Unappropriated Ending Fund Balance 13,050 21,775 25,399 9 Total Requirements 13,050 12,678 14,9631 10 Total Resources Except Property Taxes 0 9,097 11 Property Taxes Estim ated to be Received 10,436 13,050 25,399 21,775 12 Total Resources (add lines 10 and 11) 9.Q97 13 Property Taxes Estim ated to be Received (linel 1) xxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxx 14 Estim ated Property Taxes Not to be Received xxxxxxxxxxxxxxxx A. L o ss Due to Constitutional Limit xxxxxxxxxxxxxxxx B Discounts, Other Uncollected Amounts 705 0 xxxxxxxxxxxxxxxx 9,802 15 Total Tax Levied (add lines 13 and 14) Rate or Amount xxxxxxxxxxxxxxxx Rate or Amount 16 Perm anent Rate Limit L e w (rate limit xxxxxxxxxxxxxxxx ) 17 Local Option Taxes xxxxxxxxxxxxxxxx 0 xxxxxxxxxxxxxxxx 9,802 i—l®. L e w for Bonded Debt or Obligations Boardman Park & Recreation District FORM LB-2 Publish O N LY completed portion of this paqe Actual Data Adopted Budget Approved Budget Last Year 2000-01 This Year 2001-02 Next Year 2002-03 Nama of Eund Sawar Reserve Fund Total Personal Services Total M aterials and Services Total Capital Outlay Total Debt Service Total Transfers Total Contingencies Total All Other Expenditures & Requirem ents Total Unappropriated Ending Fund Balance Total Requirem ents Total R e so u rces Except Property T a xes Actual Data Adopted Budget Approved Budget Last Year 2000-01 T his Year 29W-62 Next Year 2002-03 Nama of Fund Electric & Liahtino Reserve Fund 1 Total Personal Services 2 Total M aterials and Services 3 Total Capital Outlay 4 Total Debt Service 5 Total Transfers 6 Total Contingencies 7 Total All Other Expenditures & Requirem ents 8 Total Unappropriated Ending Fund B alance 9 Total Requirem ents 10 Total R e so u rces Except Property T a xes Actual Data Adopted Budget Approved Budget Last Year 2000-01 This Year 2001-02 Next Year 2002-03 I Name of Fund Boat Dock Reserve Fund 1 Total Personal Services 2 Total M aterials and S ervices 3 Total Capital Outlay 4 Total Debt S ervice 5 Total Transfers 6 Total Contingencies 7 Total All O ther Expenditures & Requirem ents 8 Total Unappropriated Ending Fund B alance 9 Total Requirem ents 10 Total R e so u rces Except Property Taxes Name of Fund Park Expansion Fund 1 Total Personal Services 2 Total M aterials and Services 3 Total Capital Outlay 4 Total Debt Service 5 Total Transfers 6 Total Contingencies 7 Total All O ther Expenditures & Requirem ents 8 Total Unappropriated Ending Fund B alance 9 Total Requirem ents 10 Total R e so u rce s E xcept Property Taxes P io n e e r year beginning >Ay 1,2 0 0 2, 6,975 n8 p r o p o s e d b y t h ï M orrow C o u n t y H e a T t T T 'D ï e e r i c t S6 * _E . P io n e e r D r ^ H e p p n e r , OR. 6,975 6,975 6,975 6,975 9,327 9,327 9,327 9,327 9,327 9,327 xxxxxxxxxxxxxxxx 8,000 8,000 xxxxxxxxxxxxxxxx 8,000 8,000 8,000 8,000 8,000 8,000 8,000 Adopted Budget Approved Budget Actual Data Last Year 2000-01 This Year 2001-02 Next Year 2002-03 12,450 15,450 xxxxxxxxxxxxxxxx 8,450 8,450 8,450 12,450 12,450 15,450 15,450 ~ 1 Actual Data ¡Adopted Budget Approved Budget Last Year 2000-01 This Year 2001 -02 Next Year 2002-03 9,000 xxxxxxxxxxxxxxxx 10,934 19,934 19,934 10,100 5.000 6,300 9,000 9,000 19,100 19,100 20,300 20.300 Adopted Budget Approved Budget Actual Data Last Year 2000-01 This Year 2001-02 Next Year 2002-03 ..... ............ 166,066 10,250 15,250 XXXXXXXXXXXXXXXX 6,250 172,316 172,316 10.250 10,250 Jere LeDoux and new shelving was installed by Bob Allen. This was accomplished with a grant of $5,500 from the Meyer Memorial Trust and with additional funds i between me hours O f * ’ 0 0 * * and 5 8 00 « O f f i ce This budget we, prepared on a basts of accounting that Is ^consistent Onot consistent with the basis of accounting used during the preceding year Maior changes, if any, end then effect on the budget, ere «»punned befow. This budget is for: gjAnnuel Period 0 2 - Year Period U o v e m tn ç B ody a»«* ‘ |Z5 Morrow | Heppner Larry Kills (541) 676-5546 FINANCIAL SUMMARY r« Check thw box M vouf a bUdB* « W Adopted Budget This Year — 2001-2002 TOTAL OF A l l FUNDS 1. Total Personal S snto et............................ . ................ 2. Total Matoriat* and Suppléa......................... .......... 3. Total Capital Outlay _____ ___________ ___ _______ 4. Total Data Servtos............... .... . . . Anticipated S Total Transféra ...................... .............................. Requirements 6. Total ContmgonckM ....................... ... ....... 7. Total Ail OSwr Bxpendltuna» end Requlrementa .... B. Total Unaooraoriatad Endmg Fund Balança . 9 Total Requlnement»— add inaa 1 thrguoh s ................... 10 Total Rsaourcee Excapt Propeny Taxas ...................... .. Anticipated 11. Total Pmparty Taxas Eslimstadta bo RaoalveS_______ Resources 12 Total nsaouraea — «dd Unes 10«nd n .. ........ ............... 13 Total Proporty Taxa* Estknsladto be ftacaived(Sna i l ) _ Estimated 14. Plus Esdmstsd Proporty Taxas Not to be Reoalved____ Ad Valorem A. Loas Oua to Constitutions! UmSa..................... ........... Property Taxes B. PMOounts AUowod, Otier UnooSeoted Amouma___ 13. Total Tax Levtad — add knaa 13 and 14 Tax Levies By Type 3,008.765 1,472,329 1,167,930 1 03. 813 0 550.842 723,909 50,000 7.077.588 6,489,374 588,214 7.077.588 ' '-i 2.180 37.546 627,940 Rate or Amount 16. Permanent Rata LimH Law frato UmS - 6 0 5 0 j 17 Laos! Option Taxes....................................................... 1«. L m lor Bgndod Dot* or Obffttttiona____ ___ _______ P r o p o s e d Budget Next Year — 2002-2003 3,118,635 1.609,419 5,000 111, 796 0 865,019 5 81, 187 50,000 6,341,056 5,711,491 629,565 6,341.056 ----------- 6 2 9 ; i ï ï 3 ---------- r .j ' 3 t 277 36,908 669,750 Rata o< Amount .6050 . 6050 rrATEMgWT OF INDEBTEDNESS Debt Outstanding LJ None Debt Authorized, Not loomed 18 As Summarized fleiem______________ KJ None_______________ Q As Summarized Below PUBUSH BfcLOW ONLY IF COMPLETED Lonq-Tetm Debt Bonds ................. ............. Intere« Beenng Warranta_ Other_____ ....... ....... . Total indabwdnaa«............. Short Term Debt Estimated Debt Outstanding at the Beginning of the Budget Year Estimated Debt Authorized. Not Incurred at the Beginning of the Budget Year July 1 . 2002-2003 Approved Budoot Year 1,092,766 July 1 . 2002-2003 Approved Budget Year ---------- ---------------^ ------------------------- —-— --------------------------- S --------------------------------- 0 1.206,400 2.299.166 --------------------------------- (5------------------------------- o -------- Th o budget metudee the Intention lo borrow In anticipation ot revenue (-Short-Term Borrow nq-) an üem m arized betew. FUND LIABLE Estimated Amount to be Borrowed Estimated Interest Flats 0 0 Estimated Interest Cost 0 Published: M ay 15, 2002 Affid 6,975 XXXXXXXXXXXXXXXX 9,327 9,327 9,327 MQa B o a rd ? — A summary of tie Cudgel is presented below. A copy of tie budget may be inapected or otta ned at MCHD A d m i n i s t r a t i o n Kael Shilling Osmin-a 6,975 6,975 6,975 28, The purpose of mie meeting Is to dtacuss the budget for -Heppner, OR. il May . will be hald o n . v M a n o r i a l Home H e a l t h , Births Published: May 15, 2002 Affid_______________________ Sprucing up at Willows Grange Willows Grange #672, lone, recently had a new furnace installed by Heppner Heating. The furnace room was remodeled by «I □ am . 7 :0 0 fln.m at mat. 12-01) Total Anticipated Requirem ents must equal Total R esources. Name of Fund Eauioment Reserve Fund 1 Total Personal Services 2 Total M aterials and S ervices 3 Total Capital Outlay 4 Total Debt Service 5 Total Transfers 6 Total Contingencies 7 Total All Other Expenditures & Requirem ents 8 Total Unappropriated Ending Fund B alance 9 Total Requirem ents _ | 0 i Total R e so u rces Except Property Taxes A masting of the M orrow C o u n t y H e a l t h D i s t r i c t ____________ H ° s e __________________• --- 1--------- I FUNDS NOT REQUIRING A PRO PERTY TAX TO B E LEVIED Name of Fund Pumo & Irrigation Reserve Fund 1 Total Personal Services 2 Total M aterials and Services 3 Total Capital Outlay 4 Total Debt Service 5 Total Transfers 6 Total Contingencies 7 Total All Other Expenditures & Requirem ents 8 ¡Total Unappropriated Ending Fund B alance 9 Total Requirem ents 10 Total R e so u rces E xcept Property Taxes 1 2 3 4 5 6 7 8 9 10 NOTICE O F BUDGET HEARING 15,250 15,250 raised from donations from the community and a fund raiser. Other improvements are planned for the kitchen area in the near future. Anne Morter helped guide the grange through the grant process. son, Kael Shilling, was bom to Staci and Jess Osmin o f Heppner on April 22, 2002 at St. Anthony Hospital in Pendleton. The baby weighed 6 lbs. 15 oz., and was 21" in length. Kael joins big sisters, Emma, seven, and Shayna, two, at home. Grandparents are A1 and Donna Osmin o f Heppner and Burke and Ginger O ’Brien o f Heppner. Great-grandparents are Thelma Felt o f Heppner, Gene M ajeske o f L exington, and Roseanna King o f Pendleton. Karly Mae Kenny-a daughter, Karly Mae, was bom to Tom and Nicole Kenny o f Walla Walla, Washington on April 23, 2002 at St. Mary’s Medical Cen­ ter o f Walla Walla. The baby weighed 6 lbs. 14 oz. and was 21" in length. Her grandparents are William and Maijorie Kenny o f Heppner and Robert and SueZanne Duncan of Leavenworth, Washington. Kylee Rhae McClure- a daughter, Kylee Rhae, was bom to M indy Murrill and Tracy McClure o f Boardman on May 2, 2002, at Mid Columbia Medical Center in The Dalles. The baby weighed 7 lbs. and was 19" in length. She joins sister Rileigh, three, at home. Maternal grand­ parents are Lynn Murrill o f Ar­ lington and Lennie Murrill o f Sa­ lem. Paternal grandparents are Arnie and Shiela M cClure, Boardman. Maternal great-grand­ parents are Bryan and Margaret Higgason o f Union and Leonard and Orva Lu Murrill o f Union. Paternal great-grandparent is Jerry Fletcher o f Ridgefield, Washington. Candles to fund Water Park In an effort to add to the “matching challenge” set forth by the Bank o f Eastern Oregon. Sarah C oller, independent displayer for Home Interiors and Gifts, will be selling jar candles as a fundraiser for the Willow Creek Water Park. ATV safety committee to meet The A ll-Terrain Vehicle (ATV) Safety Committee will meet in Heppner, Saturday. May 18, at 7:30 p.m. at the Morrow County F airgrounds. The committee will review the first draft of a state ATV safety plan. The m eeting site is accessible to people with d isab ilities. Special accom m odations may be arranged by calling (503) 378- 4168, ext. 480. HEALTH BENEFITS the ENTIRE FAMILY m **0037 Only $70 per month! • Flat Rate • Guaranteed A cceptance • Self-em ployed or n ot - no increase! • Deep m edical d isco u n ts on doctor, dental, chiropractic, em ergency room, hospital, confinem ent, vision , RX fit more. Call 86 6-750-0299 Toll Free (No Deductible!) RESPONSE AT THE SPEED O F LIFE AIR LIFE O f OREGON A ustin Howard Burnside-a son, Austin Howard, was bom to Ethan and Charissa Burnside o f Corvallis on April 27, 2002. The baby weighed 8 lbs. and was 201/2” in length. His grandparents are Ruth and Alun Jones, Victoria. B.C., Laura Bumside-McElligott, Heppner. Howard Burnside, de­ ceased, and step-grandfather Tom McElligott. Great-grandpar­ ents are A. Marie and Robert Ackerman, Snoqualm ie, WA, Dorothy and Howard Burnside, North Bend, WA, and step-great- grandparents Loa and C.R. McElligott, lone. Justice Court Virgil Arnold McClain, 75, Hermiston-Exceeding the Bag Limit, Trout, $79 fine. The candles come in a variety o f scents and are available in two sizes. The smaller Candle in a Jar sells for $8.00. and $2.00 from each candle will be given to the Water Park. The larger Contempo jar candle sells for $ 18.00, and the park will receive $3.00 from each sold. Many scents are available including. Banana Nut Bread. Lemon Chiffon. Baked Apple Pie and Honeydew Melon. Please call Sarah Coller at 676-8033 to order. Orders will be taken until June 15 and will be delivered by June 28. “This is a great way to start your holiday gift shopping while helping to fund our Water Park,” says Coller. Annual Membership Ask about ground membership, too1, |OIN TODAY! Protects your entire family from out-of-pocket High costs for o n e year! -353-0497 wwwrfiiriife.org