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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 18, 2003)
Heppner Gazette-Times, Heppner, Oregon Wednesday, June 18, 2003 - NINE NOTICE OF OUOOCT HE ARMO LB-1 * " ■ '* 1 « N _________________, m nn D a n 0 * "» * ________________________ «M e e h a » « 6oe>d of O r a i * » aaMann»Om- l o « * w OA. 2009 es «preved by *e . „Ja n a » R» M i » M C ium « m m (toma * « * » ■*>■ «« »w bw auf a g re artel batas A tn p y M tre e m g s ta ia * bexixpscsxdc» ca I n a i « 7 Total All Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10. Total Resources Except Property Taxes U «» , . l.,e»e»..|w ar a eame „ w ,— . „ 1. ,., , — , 1— jna .attire s m ^ '. . ... r s S s s Kg-----------■*— naocsr > 481 2M» tka»tf»uai | 4000 4500 4 Total Debt Service 5 Total Transfers 6. Total Conlmgenaes ttw 8w*ge< «ex »see «bssixaf s o a ie n a n g n e le Q rxnxalxnl Q naft »iran iani a » i We baa»* <4 acxoxawig used aeieq » a ptaceWig »— ! ■ % M a a i a O K K a i M i u i g M M M M M I M M T i « i v b uapxca ^ a a i l w w O Q D m i v a m l l i N IN m i m « 8 j »e »ear a r Pen Penso 5 2 Total Materials and Services 3 Total Capital Outlay itN a n f tM Approved Budget Next Year 2003-04 Adopted Budget This Year 2002-03 Actual Data Last Year 2001-02 Name of Construction & M aintenance Reserve Fund Im g a C w M M W w n N i w n i ____ * « _ _____and ,12 PM k fc a r o w MO) A m n » a < p « w J » a « u a>| a h « « i m a « M i i a > Boarwae CeextMy Mammae TS f FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-2 form 33631 37631 a z fia L ___________ =— Approved Budget Next Year 2003-04 Adopted Budget This Year 2002-03 Actual Data Last Year 2001-02 Name of General Fund . 37572 42072 42072 34072 34072 34072 1. Total Personal Services .................... 3. Total Capital Outlay 4020 4070 2500 6520 652Q_ 4030 8100 ..................... ............... 6. Total Continganaes 8. Total Unappropnated Ending Fund Balance .......... 9. Total Requirements............... 10. Total Resources Except Property Taxes ................. . . jb u h l FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-3 Name o f _ Fund General Approved Budget Next Year 2003-04 Adopted Budget This Year 2002-03 Actual Data Last Year 2001-02 3493.44 2. Total Materials and Services 6 . Total Contingencies ...... 7. Total All Other Expenditures and Requirements .... Published: June 18,2003 Affid 9. Total Requirements 10345.72 13839 16 7766.49 6072.67 13839 16 ............... ................ 11. Property Taxes Estimated to be Received .......... NOTICE OF SUPPLEMENTAL BU DGET HEARING ____________________________________ I Z I 13. Properly Taxes Estimated to be Received (line 11) 14. Estimated Property Taxes Not to b e Received ...... B. Discounts. Other Uncollected Amounts.......... •Use tor supplements! budget proposing an Increase in a fund of $5,000 or 10 percent or more. Rate or Amount Rate or Amount Morrow County A public hearing on a proposed supplemental budget tor _ 18. Levy for Bonded Debt or Obligations ......... State of Oregon, tor the fiscal year July 1.200Zto June 30,2003will be held at The hearing will taka place on the 23th Morrow Count Courthouse, Heppner. O R , June day of. 10:00 03 -.2 0 . Published: June 18,2003 a.m. p.m. g FORM LB-1 The purpose of the hearing Is to discuss the supplemental budget with interested persons. A meeting of the_________H eppner Rural Fire Protection District (Qmamng Body) □ a.m. 430 Linden Wey, Heppner. Oregon 6 00 ■P-m- at. June 18, 2003 IIHH A copy of the supplemental budget document may be inspected or obtained on or after. NOTICE OF BUDGET HEARING the fiscal year beginning July 1,2003 as approved by the Morrow County Annex, 150 Rock St. Heppner, O R ____8 : 0 0 _ f l * ™ and 5:00 j=fcm ... June 23 .2003 . will be held on __. The purpose of this meeting e fc discuss the budget for Heppner Rtsal Fire Prelection Dtstnct_______ Budget Committee. A summary of the budget is presented below. A copy of tie budget may be inspected or obtained at 515 S. Court Street. Heppner ___________ between the hours of 5:30 pm and 8 00 pm . This budget was prepared on SUMMARY OF SUPPLEMENTAL BUDGET PUBLISH ONLY THOSE RINDS BEING MODIFIED a basis ol accounting that is gconsislent, Qnot consistent «nth the basis of accounting used during the preceding year. Mayor changes. If any, and their effect on tie budget, are explained below. This budget a for. BAnnual Penod □ 2-Year Period General Fund FUND: Court* Amount Resource 1. Election Fees Requirement ' Amount r ___________ Clerks Department _________ S 7,500 Heppner $7,500 $7,500 To ta l Requirements ( 541 ) 676-5231 Donald Bennett FINANC1A1.S U M M A R Y ________________ $7,500 .-.Cheekthis box if your ^ b u d g e t only has one fund Total Resources ClnWpMaonof O a — minQBody n*y Morrow Anticipated Requirements Comments A supplemental budget is required in order to receive and subsequently spend additional fees from elections. Adopted Budget Th is Y e e r — 200 2-2 00 3 T O T A L O F ALL FU N D S 1 iota! Personal Servtcas _ 3 Total Capftal Outlay _ . _________________ 5. Total Transfers______ ______ 6. Total Contingenci« . ._ .... ....... ....... .. Approved Budget Next Y e a r — 2003-2004 200.00 15221.47 52209.24 200.00 15321.47 53275.57 0 200.00 3738.58 200 00 7. Total AN Other Expendttures and Requirements-------------------- 8. Total Unappropriated Ending Fund Balance 9. Tolal Requirements — add I n « 1 through 8 Resource 1 . Anticipated Resources Road Fund Equipment Reserve FUNO: 12. Total Reeouroee — add N n « 10 and 11 _ . . 13. Total Property T a x « Estimated to be Received (Noe 1 1 )___ Amount Transfer from Road Fund 10 T o e l Reaouces Except Property Tax«« - 11. Total Property Taxes Estimated to be Received _________ Requirement $15.700 2 . Capital Outlay 1. Estimated A d Vaforem Properly Taxes $15,700 200.00 69730.71 54209.24 13921.47 68130,71 13921.47 200.00 72935.62 1 53275.57 17680.05 70935.62 1 17660.05 1657 31 994 38 16573.16 2029 89 608.96 20298.90 I 14 Ptus Estimated Property T a x « Not to be Received - B Discounts ABowed. Other Uncollected Amounts_______ 15. Total Tax Levied — add t in « 13 and 14 2. Rato or Amount Ta x Levies B y Ty p e Rato a Amount .7906 17 Local Option T a x « _ - .7906 -------- 18 Levy tor Bended Debt or Obtgatlqnx---------------- ------------------. . $15,700 $15,700 Total Resources Total Requirements Comments A supplemental budget is needed in order to transfer additional funds from the Road Fund to the Equipment Reserve ----------- . -■ Dstrt Authorized, Not Incurred Debt Outstanding ___________Q As Summarized Below O ] As f Summarized Below a ft Fund, in order to pay for equipment. FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-3 D M H 4 T H I N .. IM t )W » Published: June 18,2003 Affid Publish O N L Y completed portion of this page FORM LB-1 * “ "• °* Heppner Rural Fire Fund Heppner Rural Fire E q u ip . Reserve 1. Total Personal Services--------------------------------------- 2. Total Materials and Services 3. Total Capital Outay 4. Total Oabl Service 5. Total Transfers 8 Total Contingencies 7. Total AH Other Expenditures and Requirements _ 8. Total Unappropriated Ending Fund Balance --------- 9. Total Retirements 10. Total Resources Except Property Taxes 11. Property Texet Estimated to be Received----------- 12. Total Resources (add lines 10 and 11)------------------ 13. Property Taxes Esttmalad to be Recarved (kne 11) 14. Exacted Property Taxes Not to be Received__ A Loss Due k> ConaNtutionai Limit--------- ------------- B. Dtocounts. Other Uncollected Amounts 15. Total Tax levied (add Ivies 13 and U ) NOTICE OF BUDGET HEARING Heppner Water Control District A meeting of the . 24, June ,2003 . will be held on _ _(OM b ) (Go* or rant) Body) □a.m. _T___ B p m. a t. 430 Heppner/Lexington Hwy __ The p ^fp o « 0f this meeting is to discuss the budget for the fiscal year beginning July 1, 2003 as approved by the----------------------------------p T i ja^r m iF " ------------------------------------B‘J<l9*’ Comm'<,ee A summary of the budget is presented below. A copy of the budget may be inspected or obtained * _430_HeppnW/Laxingtori HwyL Heppner, O R a bams _____: _____between the hours of 8 am and _4 Pm This budget was prepared on of recounting that a «consistent, Qnot consistent with the basis of accounting used dunrg the preceding year. Ma or changes. TtBphon« NumtoBf --------------------------------------- TOTAL OF ALL FUNDS 18. Permenanl Rate Unit levy (rats Itnt 17. Local Option Taxes 18. Levy tor Bonded Debt or Obligations Approved Budget Next Year - 200 3 2004 Adopted Bud gel This Y e e r - 2 00 2-2 00 3 8070 8520 FORM LB-2 Anticipated Requirements ---------------- 40072 48592 48592 37661 45731 I 45731 12 Total R e x e u rc e x -a d d lines 10and 11— - ............. - ........ . 48592 45731 | B Total ReoulremenU - add Inas 1 through ft 13 Totst Properly Taxas belmated to be Received {leía 11) EsSmated Ad Valorem Properly Taxe s 1« Plus EsMmaWd Property texesNot to be Received ' T a x i « v im By Typ a 200 00 15321.47 200 00 15221.47 200.00 13250 00 ___ 646.46 3738.58 200.00 200.00 15921.47 ______________ 19660.051 2000.00 2000.001 13921.47 17880.05 15921.47 19660.05 I 17660.05 13921.47 2120.21 16216.67 4738.45 15498.66 20237.11 ___1657.36 984.38 ___________ 18573 16 7906 ) 2029.69 608.96 20296 90 Rato or Amount 7906 - ,79Q6 - .......... - FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED I Name of Heppner Rural Fire Protection District Equipment Reserve Fund 1. 2. 3. 4. 5. 8. Total Personal Services Total Materials and Senecas Total Capital Outlay _ . Total Debt Seneca Total Transfers Totsl Conanganoes 7. Total Ail Othar Expenditure* and Raqutramants 8. Total Unappropriated Ending Fund Balance 9. Total Reqummart* Name of Fund S TA TE M E N T O F IN DEBTED NESS O b M Outstanding ______U i Approved Budget Next Yaw 2003-04 Pubien O N L Y completed portion of this page. Total Anticipated Requraments m uet equal Total Resotxoes » An Serpai ed Resources Adopted Budget T h » Y aw 2002-03 Rsto or Amount (541 ) 676 5452 n Chaca this bo* it your i-i hudnet only net one luna Actual Data Last Y ew 2001-02 □ As SunfTjBtoBd B«tow Data AuthortTBd, Not Incurvati 0 As SummaflzmJ B lo w 1. 2. 3. 4. 5. 6 7. 8 9. 10 Actual Data Leaf Y e w 2001-02 Adopted Budget This Y e w 2002-03 Approved Budget Next Y aw 2003-04 49036 99 52209 24 53275 57 49036 99 490(6 99 52209.24 53275 57 Actual Dele Law Y e w 2001-02 Adopted Budget This Yeer 2002-03 Approved Budget Next Y ew 2003-04 ToMl Personal Services _ Total Mennetl and Sarvtcea _ _ Total C»xtal Outlay Total Debt Service Total Transfer« ................... Total Contingencies Total All Othar Exparvfturm and Raomramants Total Unappropnatad Endmg Fund Butane« _ Total Requirements Total Raeouroaa Except Property Taxes _ Continued on next page