Heppner Gazette-Times, Heppner, Oregon Wednesday, May 19,2004 - FIFTEEN Nam« oi Umt/Prognsn,Department Nam # o l UnH/Program/Department Q «* «n & Court__________________________________ Private C o n t r a c t s ________________________ 1 Total Parsonal SaraoM ................................... l Total Motarats and S w v c k I. Total Capital Outlay « Total O K I Samoa 1. Total Panonal SanncM ...... ..................... ..... Adopted Budget Approvaci Budget This Year 2003-04 Next Year 2004-05 ......................... 2. Total Maianaia and Sarvtcat ..................... ......... .......... Ï. .................................... .. . 18,891 16,4981 15.562 21,127 21.350 23.660 4.173 7.350 4 SOB Total Capital Outlay ..................................... . . . 4. Total OatttSarvica ............................................ » Total Traratata ................................................. 5. Total Tranalaia .................................................. • Total Conanganon • T Total At otnai Etpandttuiaa and Mguaamania T. Total AH Othar EApandumaa and dnuiramanta • Total Unaporopdatad Ending Fund Baianca 8. Total UnappiopnatM Ending Fund Balança .................................. • Total Raquiramanta .......................................... Total Contmgancm ............. m m m ssm t 45 198 41.9011 B. Total Raqutiainenla SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND FORM LB-4 Actual Data Last Year 2002-03 ♦3Ì712I Actual Data Adopted Budget Approvaci Budget Laat Year 2002-03 Th w Year 2003-04 Neid Year 2004-05 1. Total Panonai SarvioM Publish O N L Y 2. Total Material» and Services ......................... 3. Total Capital Outlay .......................................... Name ot Unit/Program/Department Actual Data Adopted Budget Approved Budget T h « Year 2003-04 Next Year 2004 05 4. Total Debt Service ....................... 5 ............. Total Transfer» 6. Total Contingencies ..................................... 7 Total All Other Expenditure» and Requirements B Total Unappropriated Ending Fund Baianca 9 Total Requirements ........ ................................ Nam e oI Unlt/Program/Deparlment Prevention 1 Total Personal Services 2 Total Matena« and Services Actual Data Adopted Budget Approved Budget Last Year 2002-03 T h « Year 2003 04 Next Year 2004-05 3. Total Capitai Outlay Nondapartmental Actual Data Last Year 2002-03 4 Adopted Budget Approved Budget This Year 2003-04 Next Year 2004-05 4 Total Debt Service .............. S. Total Tran sfe rs............... 0 0 0 30,999 63.400 66.700 3,599 1,500 i.m Total Debt Service 8 Total Contingenoes .......................................... 7 Total All Other Espanditene» and Reouuemant» 8 Total Unapproortated Endlng Fund Baiane» 9. Total Requfrements ....... 19,750 22.750 20,750 1,000 1.000 ...................... Nam e of Unit/P-ogram/Department 8 Total Unappropriated Ending Fund Balance 12.721 550 9 Total Requirements 67.069 89.200 __________ 104.950] Actual Data Adopted Budget Approved Budget Last Year 2002-03 This Year 2003-04 Next Year 2004-05 1. Total Personal Services 2. Total Matenals and Services ........................... SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND FORM LB-4 3. Total Capital Outlay ......................................... 4. Total Debt Service 5. Total Transfers ................................................. _PuW ^sh_ONO^on^>le^d_£ortonj3M niSj)age^ 6. Total Contingencies 7. Total All Other Expenditures and Raouusmenls Nam e of Unit/Program/Department Cutsforth Park Actual Data Adopted Budget Approved Budget Last Year 2002-03 This Year 2003-04 Next Year 2004-05 Total Personal SorvicK 8 Total unappropriated Ending Fund Balance 9 Total Requirements .......................................... SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND FORM LB-4 Total Matena« and Services Total Capital Outlay Total Debt Seivce Publish O N L Y completed portion of this page Behavioral Health Wheeler Total Conangenoae ......................................... Nam e of Unit/Program/Departmont Total AH Other Expenditure« and Requirement* Mental Health Total Unapproonated Ending Fund Balance Actual Data Approved Budget Last Year 2002-03 Next Year 2004-05 Total Requirement» ...... .............. ..................... Nam e of Unit/Program/Department Anson Wright Park Total Matenals and Services 3 Total Capital Outlay .......... Actual Data Adopted Budget Approved Budget 4 Total Debt Service Last Year 2002-03 This Year 2003-04 Next Year 2004-05 5 Total Transfers 1. T otal Personal Services . ........................................ 6. Total Contingencies........................................ 2. Total Matenals and Services 7 - Total All Other Expenditures and Requirements 15.000 3. Total Capital Outlay ........... 4 2 8. Total Unappropriated Ending Fund Balance Total Debt Service .............. 9. Total Requirements 5. Total Transfers .... fl. Total Contingencies Nam e of Unit/Program/Department D evelopm ental^ Disabled Actual Data Adopted Budget Last Year 2002-03 This Year 2003-04 2. Total Materials and Services 3. Total Capita! Outlay N a m e of Unit/Program/Department A T V Park 1 Actual Data Adopted Budget Approved Budget 4 Last Year 2002-03 This Y ear 2003-04 Next Year 2004-05 5. Total Transfers ..... 27.676 10.589 Total Personal Services 28.370 — 1.97l'.512 3. Total Capital Outlay 4. Total Debt Service 5 „V 4 — - ^ - 82*39 380,966, Total Debt Service 6. Total Contingencies CMh#r Exoei 8. Total Unappropriated Ending Fund Balance .................. ............. ............... Total Transfers . ................... ...... .. 6. Total Contingencies Nam e of Unit/Program/Department 7 Total Ail Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balance 9. Total Requirements Anger Management Actual Data Adopted Budget Approved Budget Last Year 2002-03 This Year 2003-04 Next Year 2004-05 . Total Personal Services .......................................... Tota* Materials and Services N am e of Unit/Program/Department Adopted Budget Actual Data Prevention Last Year 2002-03 1. Total Personal Services ..................................................... 2 Total Materials and Serv.ce« 3 Total Capitai Outlay 4. rotai Debt Service This Year 2003-04 52.613 .............................................................. 69.594 Approved Budget Next Year 2004-05 58,616 13,830 18.115 14,881 1.946 1.535 1,535 Total Capitai Outlay Total Debt Serv.ce Total Transfers .............................. Total Contingencies Total All Other Expenditures and Requirements Total Unappropriated Ending Fund Balance ......................................................... Total Requiramenta 5. Total Transfer« Nam e of Unit/Program/Department Chemical Dependency Actual Data Approved Budget Last Y ear 2002-03 Next Year 2004-05 Actual Data Adopted Budget Approved Budget Last Year 2002-03 This Year 2003-04 Next Year 2004-05 9. 444 9. Total Requirements ................................................................ 194,000 0 0 0 173,332 0 182.776 194,000 0 ___ oj Published: May 19, 2004 Affid Department of Revenue gets refunds back needs current addresses Thousands of SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND Publish O N L Y com pte«*) pod ion of this page of Behavioral Health Morrow Fund__________________________________ Nam e of Unit/Program/Department Actual Data Mental Health___________________________________ V Total Petaonal Servern .......................... ......... 2 Total Meten«» end Services 3. Total Capital Outlay 5. Total Tranetar» Total Contlngeectas .......................... .. ........................................ 7. Total All Other Expenditures and Requirement» 8 Total Unappropriated Ending Fund Balance 9. Total requirements ........ .................... Approved Budget Nam e of Unit/Program/Depertment Developnentalfy Dieabtad ___ _____ 1. Total Penonai Services ..................................... 2. Total Materials and Sanncaa 3. Total Capital Ouday .......................... ........................................ 4. Total OaM Senate .............................................. 3. Total Transfer» ................................................. 8. Total Conbngancia» ....................................... 7. Total All Otier Exoondttixo» end R K u m m e «» 8 Approved Budget 129,289 ........................................ 4. Total Debt Service ............................ ....... ....... 6 refunds are returned each year to the Oregon Department of Revenue mm because of incorrect mailing addresses. “Most of the refunds that come back to us are for taxpayers who moved after filing their returns,” explained Joan Linn, manager of the department’s Tax Services Unit. “If they didn’t give us a new address or leave a forwarding address with the postal service, it’s likely that they did not get their refund.” The department encourages taxpayers to update their addresses with the department when they move. “Address updates are important year around, not just during tax season.” Linn said. “We send refunds, notices, tax booklets, and other information throughout the year.” If the department is Total unoppraprietad Endtng Fund ■«onc* 9. Total RKuifwnem» ........... ................................ 37.994 unable to locate a new address, the department adds the taxpayer’s name to the list of unclaimed refunds on its website (www.dor.state.or.us). To make an address change, taxpayers may use a change-of-address form, available on the department's website, or may call (503) 378-4988 (in the Salem area or outside Oregon) or 1 (800) 356- 4222 (in Oregon). Spanish speakers may call (503) 945- 8618. For TTY (hearing or speech impaired only), the toll-free number within Oregon is 1 (800) 886-7204. In Salem, the number is (503) 945-8617. The TTY number is answered by machine only; a representative will return the call. 54.319 1,979 ( iMlttmxif ec XI rn/eeet CUSTOM BANNERS Any Size Lots off Colon Logos & Graphics Makms Great Advertising! Heppner Gazette 676-9228