Wednesday, June 11, 2003 - NINE
Heppner Gazette-Times, Heppner, Oregon
sale, to have this foreclosure
proceeding dismissed and the
Trust D eed reinstated by
payment to the beneficiary of
the entire amount then due
(other than such portion o f the
principal as would not then be
due had no default occurred)
and by curing any other default
complained o f herein that is
capable o f being cured by
tendering the performance
required under the obligations
or to cure to default, by paying
all costs and expenses actually
incurred in enforcing the
obligation and Trust Deed,
together with trustee’s and
attorney’s fees. In construing
this notice, the m asculine
gender includes the feminine
and the neuter, the singular
includes plural, the word”
Grantor” includes
any
successor in interest to the
grantor as well as any other
person owing an obligation, the
perform ance o f w hich is
secured by said trust dated, and
the words “Trustee” and “
B eneficiary” include their
resp ective su ccessors in
interest, if any. Dated: 4/29/
2003 Fidelity National Title
Com pany By A. Fragassi
97204 C/O Law O ffice o f ^
Steven J. Melmet, Inc. 2912
South Daimler Street, Santa
Ana, CA 92705-5811 (949)
263-1000 This is an attempt to
c o lle ct a debt and any
information obtained will be
used for that purpose.
P195017.6/4,6/11,6/18,06/25/
2003 Affid
A IR U F E o f O R E G O N
□ am.
Bp.m . at l o n e
at 7 : 0 0
the fiscal year beginning July
v
RESPONSE
■I
C i ty
A summary of the budget is presented below. A
M ORROW
__ „ ,
T O T A L O F ALL FU N D S
Ansa paled
Requirements
Anticipated
Resources
3. Total CepSsf Outiey
4 Total Debt Service .
5.
6
7.
8
. - .............
Tax Levee
By Type
ToW Transfers
____ .
..................
Total Contingencies
_
Total AI Other Expenditures and Requirements __________
Total Unappropriated Ending Fund Beteno* .
9
10
11
12
16 Permensnt Rale Limit Levy (rate km*
17 Local Opdon Taxes -
...
....
36 ,900
37.644
14 6,980
6 7 .303
17 4.175
44 607
16 202
5.2 00
38^620
17.044
o
25 .824
12.522
31 1.90 6 I
303.194
10.400
30 1.006
10.900
311.9061
10.900
313.594
10.400
600
1 1 , W0
Rate or Amount
, 7289_)
„
_ ...............
600
1 1 sool
Ret« or Amount
7289
7289
1 0 0 / 1 .0 0 0
1 .0 0 / 1 .0 0 0
STATEMENT OF INDEBTEDNESS
Oebt Outstanding
JOIN
TODAY!
e
1
11 - 8 1
¡ 2
-
-
J
Magnetic Door Signs
3 5 3
0
4
9
□ None
Debt Authorized Not toured
H As Stanmanzed Below
7
Order Yours Here
____________
8 As Summertzed
PUMUBtt BELOW ONLY W COMFUETEO
Estimated Debt Outstanding aitile
Beginning of the Budget Year
Long-Term Oebt
Estimated Debt Authorized. Not Incurred sf the
Beginning of tire Budget Year
July 1. 2003-2004 Approved Budget Year
Bond*__________________
July 1. 2003-2004 Approved Budget Veer
72,000
6 7 000
72,000
671555“
Interest 0 «artig Warrants__
Other........ _
Total IndeUednese
Heppner Gazette-Times
676-9228
June
2003
!
f
'S
!
(541)
Joe M cE lligott
422-7257
Actual Date
Last Year 20 01-02
Nam e of S T R E E T
F und
1.
2.
3.
4.
5.
6.
7.
8.
9.
10.
thalone / L e x i n g t o n C e m e t e r y Di s t .
Budget Committee
mu»*»« 599Ee
copy of the budget may be inspected or obtained at Bank E a s t e r n O r e g o n
by
Total
Total
ToW
ToW
ToW
ToW
To w
ToW
To W
ToW
Personal Services
. .................. .......
Materials and Serw ea
___ __ . .... _
Capital Outiey
Debt Samoa ...
___
.
Transfers _ ............................
ConOngendas
. . .
Ail Other Expenditure* and Requirement« _
Uneppropneted Enderg Fund Balance
Requirements
. ________
Resources Except Property T e x e t ----------------
Nam e of T V
Adopted Budget
This Y e a r— 2002-2003
7 6 r9T7
14,31.0
14.450
1 . nnn
—
o
o
o
6l750
11 ToW Property Taxes Estimated to be Received ........... ......
12 Total Resources — edd line« 10 end 11.......................... .
'
CM
10. ToW Resources Except Property Tease............ _...............
1.
2.
3.
4.
5.
8.
7.
8
9.
10.
Approved Budget
Next Year — 2003-2004
1.121
11
-0 -
-0 -
SS1
6.750
26.131
32,881
26-131
32.687
Q 1 7
-n-
1,375
27.506
-f t -
1.366
27.303
Rate or Amount
0.2401
0.2401
I
Total Personal S e rv ic e s ..........
.................
Total MaterWs and Services
Total Capital Outlay____ ____
.
_
to W Debt Service ___________________________
Total Transfers
'
1
Total Contingencies
_
----------------
Total Ati Other Expendí tures and Requiramanla
Total Unappropriated Ending Find Balance
Total Reqwementa..........
To W Resources Except Property Taxes . ............
1
1
1.
2.
3.
4
5.
6.
7.
8.
9.
10
34,176
57 817
57.817
Total Personal Services
... ..
ToW Materials and Services
... .
____
Total Capital Outlay _ __ ___ __________ __ -
Total Defat Servida
Total Translar* ______
_________ __________
Total Contingancie* ........... ................................
Total All Other Expenditures and Raqulramants _
Total Unappropriated Ending Fund Bátanos-----------
To W Requiramants
. ............
Total Resources Except Property T e x * « --------- -----
Approved Budget
Next Yeer 20 03-04
11.070
26.560
10.938
7,433
24 160
0
3.562
428
52.130
52.130
32.021
32.021
Adopted Budget
Thés Year 20 02-03
Approved Budget
Next Year 20 0 3 -0 4
2.654
11. 138
2.814
15.615
100
3 302
10,494
1.303
5.863
19.659
19.659
Actual Data
Last Year 20 01-02
Nam e of W A T E R
Fund
Adopted Budget
Th is Year 20 02-0 3
9.906
10.390
3.345
Actual Data
Last Year 2001-02
Fund
F IN A N C IA L S U M M A R Y
16 Permanent Rela Lima Levy Irate timlt 0 _ ? 4 ( V ) ) ..........
Estimated
Interest Cost
Publish ONLY completed portion of this page. Total Anticipated Requirements must equal Total Resources
23 , 2 0 0 3
_. The purpose of this meeting Is to discuss the budget for
13 ToW Property Taxes Estimated to be Received (line 11 )....
14. Plus: Estimated Property Tax#« Not to be Received...........
A Loss Due to Constitutional Limits............................ ........
B Discounts Allowed, Other UncoSected Amounts_______
15. Total Tax Levied — add lines 13 and 14
Estimated
Interest Rate
FUNDS NOT REQUIRING A
PROPERTY TAX TO BE LEVED
FORM
LB-2
io*tw
__
T O T A L O F A U FU N D S
Estimated Amount
to be Borrowed
F U N D LIABLE
150 504-C73-? (Haw 12-0B) Wtab
_ will be held on
D l s t .
lone
13.792
1 iZ 9 2 _
19,832
19.832
Adopted Budget
This Yea r 20 02-0 3
Approved Budget
Next Y e a r20 0 3 -0 4
18,822
75,880
31,785
18.450
72.080
38,140
16 508
31,273
7.923
51.404
107108
107.108
18,430
................ ........ 9,? 56 ..
147,100
147.100
135.723
135.723_
17. Local Option Taxes................................................................
Debt Outstanding
S None
____
Actual Date
Last Year 20 01-0 2
Fund
Debt Authorized. Not Incurred
S3 None
□ As Summarized Below
Publish O NLY completed portion of Ih » page. Total Anticipated Requirements must squat Total Resources
N a m e of
Fund
Actual Data
Last Year 2 0 0 1 -0 2
P e r p e t u a l Care
Adopted Budget
Th is Y ea r 2 0 0 2 -0 3
22.261
Total Contingencies
...........................................
Total All Otrsr Expenditures and Requirements__
Total Unappropriated Ending Fund Balance
Total Requirement«
Total Resources Except Property Taxes ................
23,000
22.221
Total Cantingandet
ToW Ati Other Expendí turas and Requirement*
Total llnappropnatad Ending Fund Balance
Tote! Requirement*
. . .
Total Resources Ertoapl Property Taxes
. .
•
' t
44.835
44.835
32.450
32.450
28.950
10.
11.
12
13.
14.
To W Reaourcas Except Property Tax*«
Property Taaae Eetmetiad to be Received —
To W Resources (odd tinea 10 and 11)
Property Texes Estimated to be Received (line 11)
Estimated Property Texes Not to be Received
I
28.950
Total Personal Sarvfcae--------------------------------------------
To W Matonaie and Service«
Total Captial Outay
..............
To W Dabi Servias
.... .
.
To W Trarreters _
- ...
-
To W Contingencia* . .
Total All Otter Expenditures and Requnm anB _
]
32.450
44.835
1.
2.
3.
4.
5.
6
7.
1
Approved Budget
Next Year 20 03-04
Actual Date
Last Year 20 0 1 -0 2
o f F IR E D E P T
fl
Adopted Budget
Th is Y ea r 2 0 0 2 -0 3
____________ 8.522
. .............
8.522
Publisn ONLY completed portion of tra page
!
23.000
23.000
9. Total Requiremanta
A Lots Due to Constitutional Ltirtit ......_
B. Osoounts, Other Uncollected Amounts
15. Totei Tex Levied (add llnaa 13 and 14)
Adoptad Budget
Th is Year 20 02-0 3
16 Permanent Rato Limit Levy (isle limit
17 Local Option Tern*
18. Levy for Bonded Debt or Otitiganone
Approved Budget
Next Year 20 03-04
876
8.544
7205
15.749
9600
6.149
15.749
12.785
2.000
54.437
1.432
2250
3.430
2389
20.300
14.200
6.100
20.300
6.100
4-000
63.2991
57.199
6.100
I
63 2 9 9
I
8.100
eoo
___
600
6.700
6,700
Ratear Amount
Rate or Amount
FUNDS REQUIRING / 6
PROI »ERTY TAX TO BE L EVIED
Approved Budget
Next Y e e r20 0 3 -0 4
FUNDS REQUIRING A
PROPERTY TAX TO BE LEVIED
00
72.221
22.221
32 . 761
27.761
1. To W Personal Services_______________________ _
2 Total Materials and Services
3. T o w Captial O u t ie y ...............
...........
4. ToW Debt Service
5 Total Transfers...................................... ..................
6 Total Contingencies
7 Total AN Ottter Expenditures and Requirement*
8 Total Unappropriated Ending Fund Balance_____
9 To m Requirements
10 T o w Resources Except Property Texas ....
FORM
LB-3
6.
7.
8.
9.
10.
Fund
Actual Data
Last Year 2 0 0 1 -0 2
Equipment Reserve
Approved Budget
Next Year 20 0 3 -0 4
Adopted Budget
Th is Yeer 20 02-03
Total Personal Sendees ___ ... ............. ......
Total Maten«!» end Service« __ . ..
Total Capitel Outlay _. _
_
_________
Total Debt Service
______
FORM
LB-3
Personal Services ..................................
Materials end Services
Capital Outlay
Deb! Service
Transfers .........................................................
Nam e of
1.
2.
3.
4
□ As Summarized Below
FUNDS NOT REQUIRING A
PROPERTY TAX TO BE LEVIED
FORM
LB-2
Fund
Approved Budget
Next Year — 2003-2004
2.3 89
’ 313.594
T o w Keqwements - edd Wee 1 through 6
ToW Resources Except Property Taxes________________ ____
Total Property Taxes Estimated to be Received
Total Resource« — add Bee 10 end 11---------- _
Nom e of W A T E R B O N D R E S E R V E
7.
6
9
10
<541 ) 9 8 9 -8 5 1 5
18 Levy for Banded Debt or Obtiaations------------------------------------
S TA TtM EW TO F INDEBTEDNESS
5.
6
...
13. ToW Property Twee Estimated to be Rsoervea (line 11)__
Estimated
14 Plus Estenated Property Tu e * Not to be Received ........
At) Valorem
A. Lees Due to Constitutions! Limit*
Property Texes
B Discounts Alowed, Other Uncollected Amounts_______
15 To W Tax Levied — add bnee 13 end 14
Rale or Amount
Total
Total
Total
Total
Total
. rh w budget we* prepared on
Adopted Budget
This Y ea r— 2002-2003
1. Totei Pervonal Services
—
Tntol
<-■----- s rr-----;-----
. ^
, 15.160
I ’. riR ■ 1. To w Personal Sendee*
2 Total Materials and Services
........................ ...... ............
13-676
3 Total Capital Outlay..............................................................L
1 .non
-------------------------------------------------------
4 Total Oebt Service...................................................................
Anticipated
5. Total Trarreters ........... .................................................. ..........
2.000
Requirements
6. Total Contingencies........... .................................. .................
901
7 Total AJ Other Expenditures and Requirements __________
-0 -
8 ToW Unapproprtated Ending Fund Balance................- .......
-n -
9 Total Renuiremente — add Snet 1 throuoh 8 .....................
1
2
3
4.
4 30 P M
1 R O N M c O O W E L L / M A Y O R
9
bssG
Tax Levies
By Type
L E X IN G T O N
i—,Check ties box it yoix
budge) only has one fund
C*1
Estimated
Ad Valorem
Property Taxes
ana
L E X IN G T O N T O W N H A L L
F M A N C IA L S U M M A R Y
a basis of accounting that is inconsistent. Q not consistent with the basis of accounting used during the preceding year Major changes,
if any. and their effect on the budget, are explained below This budget Is tor.
□ Annual Period
G 2-Year Period
Anticipated
Resources
T O W N O F L E X IN G T O N
150 W . M A IN S T R E E T ___________ between tre hours of .* 0 0 A M
(SlmtAddrwi)
r-tChockthi* box if vour
^budget only has one fund.
_______ ■ The purpoae of tse meeting ■ to discuss tra budget tar
A summary of the budget lepreeenled below. A copy of tre budget may be inspected or obtained at
G r e e n & M a in xS f c . . _______________ between the hours of 9 i 00 am and 4 : 0 0 pm 7 ^« budget was prepared on
ttflEESM-
2003
a beau of accounting th e ta BoonetotanL O n o t constatant mlh lha basa of accounting u m d during the preceding year Major d ra rg m .
if any, a rd their effect on tre budget, ere « » p la n ed below. This i budget a tar: ■ArrnuatPi
BArvtuai Period
□ 2-Year Period
1
tofc
fcseesean ror i . r « « i a
H a ll
1. 2003 as approved
L E X IN G T O N T O W N H A L L
I p m at
J U N E 17
. wat beheld o n _
the fiscal year bagmntng July 1, 2003 as approved by tra
A T THE SPEED OF LIFE
Cemet e r y
I ngtion
L E X IN G T O N T O W N C O U N C IL
_ „„ Ge m.
NOTICE OF BUDGET HEARING
A meeting of the T n n o / T . p
NOTICE OF BUDGET HEARING
A mealing of t r a ____
PUBLIC NOTICE
FORM
LB-1
PUBLIC NOTICE
FORM
LB-1
)
100 / 1.000
1 00/1.000
Publish ONLY completed portion of thra pegs
Nom e of
Fund
General
1 .
2.
3
4.
3.
6
7
8
9
10
11
12
13
14
Adopted Budget
This Year 20 0 2 -0 3
Actual Data
Last Year 20 01-0 2
Fund
Total Perional Services ............................................
To W Msignal* and Services
To m Capital Outiey ......................................
Total Debt Service ......................................................
Total Transfers .
...................................
Total Contingencies ...................................................
To m An Other Expendlhres and Requirements
To W Uneppnoprteted Ending Fund Balance
Total Requirements
..................... .
ToW Resources Except Property Taxes
Property Taxes Estimated to be Received
ToW Resources (add Unas 10 end 11) ................
Property Texes Estimated to be Received (tine 11)
fptimatod Property Taxes Not to be Received .
61 1
14,310
13.550
1.000
-n-
2.000
T ; 927
32.687
-0-
480
37.687
6 75n
14.162
14.081
-n-
'On
7. nnn
■* *
**
30.243
m r
7
Oi '
25.937
32.687
\1 A
' riTHw
B Discounts. Othar Uncollected Am ounts--------------
19 Total Tax Levied (add lines 13 end 1 4 )...................
!--w
______-»A —
27.303
Rat« or Amount
Published: June 11,2003
I
°* G E N E R A L
1. ToW Portone! Services
_
.
ToW Metanoli ard S e rv ic e s ...............................
J. Total CapiW Ouley
.
__ . . _ .
4. ToW 0*01 Serm e
5. Total Tranater*
— —
-------------
6 Total Contingencies
7 T o w AM Other ExpandrtureeandAaqutramante __
8. ToW Unappropriated Enrfng Fund Betones ______
9. Totei Requirement*
Z
10.
11.
12.
13.
T o w Resource* Except Property T a m a _________
Property Tam e Eetmetiad to be Received .........
To W Resources (add tinea 10 end 11) .
Property Team Estimated to be Received (tine 11)
Actual Data
L a a lY a a r 20 0 1 -0 2
3.302
5.242
4S0_
10 606
19.690
14.629
5 0B1
19 690
Adopted Budget
This Year 20 02-0 3
Approved Budgat
Next Y arn 20 0 3 -0 4
3.690
19.940
16.125
8 736
8 560
11.500
5.200
13.075
12.710
0
56.030
53.730
4 300
56,030
11JMI
s e jo l
sann
41, 50« !
4 300
4000
14. Estimated Property T t x w Noi to be Recorred —
A. Low Due to Constitutional L m l
. ____
B. Discount*, ostar UncoWcted Amounts _
15 To W Tax Levied (add tines 13 and 14)
0T7TTTI
tette or Amount
16. Permanent Rate limit Levy (retie test
7288 ) . . .
17 Local OpSon Teem
_____
18 Levy for Bonded Patiti or Otagetione -----
1Î4B1 NM
B
"r1
. V • *.
1 .3 ™
2 f • 506
Rate or Amount
Fund
!
0.2401
0 . 2 4 Q1
14,310
14,450
1.000*
-0-
2,000
T7T7T
1 2, 80 1
__________ =£=_____
32.8811
_______ 6 ..1 ÌQ ____
26,131
32,581
|
.¿ tu
------
* v .,~r,
__________ _______
1
18 Permanent Rale Limit Levy (rate limit
Approved Budget
Next Year 20 0 3 -0 4
n m
J2£B
Published
Ju n e I I , 2 0 03
A f f id
}