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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 1, 2005)
Heppner Gazette-Times, Heppner, Oregon Wednesday, June 1, 2005 - SEVEN C o n tin u e d fro m p n rw o u s c o lu m n PUBLIC NOTICE FORM M a s ^ a ■no ■* » R iq u ------------ n n M —*— Wn 7 T s » A » ornar tip s d BHUTMS NOTICE OF BUDGET HEARING LB-1________________________________ __ __________________ _ a T e » unsaampda» Fndaig Fund ■ sienne 20000 20000 312675 312061 116,264 106621 106340 206 « a s 206064 -M S ? “ 2 « 6062 • T s » ttsaunm anN............................................ 10 T s » Kaasuress Knetet Prsptrty T e a s ...... ' A rneeWx ol • » Boaro of Dirwetnr» (governing body) «4» ba bata on Jure 14 1006 al 5 00 pm at heppner City H * The purpoaa of tilt» mooting a lt ba to c accia ma budget 327079 12 T s » R n a r e a (add P a s 10 and 11).. 1er ma «acal year b a g n a «« July 1 2006. as approvati by *ie Vteliow Croak Park Oteirict Budget CcmmiSee 13 Property T e a s F samsNd is » A summary of Ute budget ta praaantad balovr Aoopv of tía budget may ba impacted or obtamatiai Hepprer Ciïy Hsk t « E denoted Property Tam s Not t a la Recamad dseewsd (an 312B/6 312067 ~ 206064 208827 A L o » Dus to CcnadtuKonat unta... - 1B8W. W HowSt. Heppner beSneen the hour* of » 0 0 em and 5 00 pm Thie budget was prepared on a beate of aocounBng that a constatent »nth the basis of accouneng usad during tha preceding yaar B Oacaums ornar Uneo»ctae Amounts Ua|or changas. 15 T e W T » Levied (ads Un» 13 and 14). 11532 16229 217666 225056 Hele or Amount — B T ------------r Heppner 1 M o rro w ta. Por monona Roto L O » Lsvy (IMO IH » = ------------------- < 5 4 1 )6 7 6 -9 6 2 5 R . H M a tth e w s 17 Local Opean Tama FINANCIAL SUMMARY f~] ChtiCt Vtii tMK t your budget only t » » o n . t o d TO TA L OF A U FU N D S Adopted Budget Th is Year 2004-2009 Approved Budget Next Ï 9 * 2005-2006 47500 47500 59750 5000 69200 y To M Cedte O uliey............... ........................... A Tom Debt Service.................................. S. T o » Lnappreciated Enteng Sure Balance ®. Total Requirements - add Lr,es 1 totitoflh 6 ................... ID Tjia i Resources xxoept Properly T e a » 11. Total Pnoparty Texes Estimated to De Reoervec 12. Total Resources add Lines 10 anti 11 142830 101920 304550 1«. T o » Property Tsxes Eebmated to be Received (tea 11) 161920 15. T«tto Tex Levied • sdd Lews 13 end 14 .......................... '8 Tex Levies By Type Permanent Rale Limit Levy {rale ïtm t C 3813)....... .......... 4 Tow M M Same* Beginning of the Budget Year , 1016« 0 0 11 Property T o n e Edkidted to Be Reoeiyed 20037 10006 10618 12 Taw Rssourew (add Sim 10 and 11 ) ....... 13 Property T u r n t «m ated Is ba Reserved (tna u ) 20037 10608 19616 I960« I 10816 10 T o w Roe sure» ..... Except Preparty T n a 14 temeteti Property T n » Not to Be Received A L o » Due to caneMunanel L i » ...................... B Olocauste. Odiar UnoaSectsd Amourte.......... ts Permanent Rote L i » Levy (rete S » 10810 l Rate or Amount 0 2536 Ô 2538 .. .. .............................. 0 0 1« Levy lot Banded Debt or ntitBMIn»................. 0 0 Published: June l, 2005 Affidavit Juh 1. 2005-20C6 Approved Budget Yssr 0 Esc mated Am ount to be Borrow ed 19606 ■ Rate or Ameuol 17 L ogoi Opeon Tamo 8960 681950 F u n d L ia b le 10608 0 a. T o » Reouosmonta................................................ 675000 0 Total IndstMednss*.................... 20037 160770 IS. I o » I » Levied ( o d d » » 13 end 1 4)............ JU y 1. 2005-3006 Approved Budget Veer Bondi interest Beertog w»-r»r.ts ........ Otter .................................... 19166 7 Tarai Al Odiar Erpandiur» and Raqmramerts Estim ated Debt Author zed. No t Incurred at the B egm n irg of the Budget Veer Eserrated D abi O meten ding at bis 10600 b T e » Unappfaprtetid Ending Fund Bdarwe Debt Authorized, Not Incurred O 4e Siemrertaed Mow [3 hone A p p ro ve d Ltudgat Next Y a a r 21.06-08 20037 343820 0 86674 95906 A doptad Budget Th l* year 20 04 05 a To» ( 160770 PUBLISH B E L O W O N L Y IF C O M P L E TE D L o n g -T e r m D e b t 0 5 T o » Tit S T A T E M E N T O F IN D E B TE D N E S S 1_J Rone 0 5 3 T o » Capasi Outlay 5COO 73000 343820 183050 0 17 Local Option T a M M ...............................................*........... 18. Lsvy tor tosntiad Debt or Obipetkons..... ----------- ---------------- Debt Outetanding 0 As SunvTwosd Mow 0 2636 1 T o » Parsons, Ssrvtcm - ï 'ttí/üfS; r iiH æ f e r a u .« i.«£ i£ fft*tifi i . rî*à*a£-te 2- ifc :i î Ü R 2000 2000 14154 8827 172547 176924 Rata or A m ount Rate or Am ount 0.3813 0 3813 Eat meted 14. Plue Eetknsted Property Taxes Not To Be Received........ Ad Valoren A Loss Des lo Constitutional U n tie ................................. Property Taxai B Dttcount* Allowed. Other UncotiscM Amounts Amours 2 Tow II 0 0 0 20000 73000 304550 7 Total A l Other Expenditure» ar<J Requiems*» Actual Data LaM Y ea r 2003-04 up 0 ............... „ ................. Name of Fund - Debt Service 94000 65120 89300 10000 fUqutoffwnt» AnroOMtBC R « sources R a ti» 0259« 16 Levy ta Bondad D o » or Os ta s s e » 2. T o w VeierteU «r d Suppka« A ro c c to d I PUBLIC NOTICE N O T IC E O F B U D G E T H E A R IN G Estimated Interest Cost Estimated Interest Rate A meeting of the Board of Directors will be held on June 13, 2005. al 7 00 p m. at Windy River Elementary School in Boardman. Oregon The purpose ol meeting is to discuss the budget for the fiscal yaar beginning July 1.2005, as approved by the Morrow County School District Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 270 W . Mam. Lexngton. Oregon, between the hours of 8 00 e.m and 4:00 p.m. This certifies mat the budget was prepared on a basis of accounting that is consistent with the basis of accounting that waa used during the preceding year. Major changes, if any, on the budget are explained below Published: June 1, 2005 Affidavit Morrow County, F IN A N C IA L S U M M A R Y NOTICE OF BUDGET HEARING FORM LB-1 meeting of tha Oregon Trail Library District (governing body) w ll ba held on Wednesday June IS. 2006 SC 7 pm at the Boentmar Library, goo South Maui St . Boardman, Oregon. Tha purpose of this meeting vail Beto discuss the budget ‘ for the fiscal yaar beginning July 1.2005. aa approved by the Oregon Trail Library District Budgte Commutes i 1 A summary of the budget is praaantad balear. A copy of the budget may ba inspected or obtained et the Boardman Library 200 South Mam Street, Boardman. O R bataraan tha hours af Noon and $ pm s basis of accounting that It consistent arlth tha basts of accounting used during tie preceding year Major changes. Total Properly Taxes Required to Balance Budget Plus: Estimated Properly Taxes Not to be Received A. Loss due to Constitutional Limits B Discounts Allowed. Other Uncollected Amounts Total Tax L e w Tax Levies B y Type Permanent Rate Limit Levy (rate limit 4.0342 ) Local Option Levy Levy for Payment of Bonded Debt -----= ------------------------- Ô â C Ô S S riT K S S m fB i -------------- TskseAons Nume* (541)«81-2«H5 Armatta Spicer Boardman 3 * 1 Morrow FfHAMffVM- 1IIMMAWT I I 1 □ Check Me tate 4 y e » budget arte h » one fund T O T A L O F ALL FU N D S 1 Teto) Aereen* tiandaaa ...............................................e , . .. f iu i;... 3 A reteIpaAati 4. Requwemenla S « 7 Tato! Captito outitiy ...... ...... .............. TetolMlSentiee ................ ............... Tetoi Trita to » .............................. ................. reato OtotontMtoe............ ................................. .............. Tasto A i Otilar r^intitoaea anti R a gu m -titi 10. 11. 12 13 Rasa, resa ratinatoti Ati Vtttiram 8lepartyr«ta TaiLevtoe 11532 217608 RdM or Amount 0 2538 0 1522« 225056 Rete or Amount 0 2536 0 Debt Outstanding X As Summanzed Below None 27.760.303 28,532,185 6,200.256 6.724.166 115.650 381,186 6.897,092 142,000 442.712 7,308,878 Rate or Amount Rate or Amount 4.0342 - 3,504,530 3.041,178 S T A TE M E N T OF IN D E B TED N ES S Debt Authorized. Not Incurred X None As Summarized Below 4.0342 Estimated Debt Outstanding al the Estimated Debt Authorized, Not Incurred Beginning of the Budget Year at the Beginning of the Budget Year July 1. 2005-06 Approved Budoet Year July 1, 2005-06 Approved Bud pet Year * 27.973.078 27.973.070 Long-Term Debt Bonds Total Indebtedness Major C h a n g » : The Department of Education has adopted a new Program and Accounting Manual lor Schools and administrative rules to implement it. O R S 294.456 (1) requires each school to prepare its estimates of expenditures in accordance with this manual. T h e » forms summarize tha budget according to the new progrem structure. To aid in comparison, the amount shown In the adopted and actual columns have been restated to conlonm with the new categories required by the new manual. ........... if this NAM E O F FUND: 100 G EN E R A L FU N D Total Total Total Total Total Total 0 S T A T E M E N T O F IN D E B TE D N E S S I Outstanding debt Authorized Not Incurred □ None M SunaaM ndl PU B LIS H B E L O W O N L Y □ □ So Sum m e rn» M o w IF C O M P L E TE D FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-2 21,808,019 6,724,166 F U N D S R E Q U IR IN G A P R O P E R T Y T A X T O B E L E V IE D 117. timte O t e » 'Y— b ................................................. 16 Levy Ihr berated Dtek or O te k te »»................................. * r 'm 208054 108.783 208054 404807 A. L e » Ouo to Canetotudond L e n » ............................... B Otoetemte Monea. Obier Unedtoote* Amour» 15 T a » T » Lwted • edd L n » 13 and 14.......................... ) 187.476 140.043 37100 19,16« 44.024 3,366 o 20.000 432075 220,04« 206,627 432076 200027 T a v Reeaure» Exeept fhepany TbHM............................ Te»FiepertyT— e gatew— die » R a e » » . - ........... M m » a m » e » U n » 10 end 11 Tteafbeptelr T— e K iN n te H te b a R a ra N H (l» 11) 16 R a w » » « Atea Ulte Lea» ( » N » t e Approved Budget N od Year 2006-2006 Adopted Budget Thle Y » r 2804-2006 187,111 110.307 36.404 10,606 40,012 3,365 0 20,000 404807 instruction Supporting Services Enterprise and Community Services Facilities Acouisibon and Construction Other Uses (includes Debt Service & Transfers) Contingencies I ! Actual Data Last Year 03-04 8,461,590 5,017,066 F u n d • G ra n i F u n d AduM DM a A d o p ta d B u d g e t L 0 M Y b b f 2 0 0 3 -0 4 T h N ya a r 2 0 0 4 -0 3 N e x t Y e w 2 0 0 6 -0 6 0 25284 0 600 0 S. Total Trenotora................................................ 0 0 0 ti Tato C iaM ptotitoi........ .............. 7 T a » A l O b » 0 » a n M M » end » R b — k 0 « T t e b L ir m | iW il6 n t e k 0 F t e ib 0 i«iiii.... • T te f iiiii— b . ..................... oj »670 0] 0 23120 0 0 29884 »6 70 23120 25844 o’ 8670 1 ............................... 3 Tato Capito CMtoy 4 Tato Otiti* Servtoe ... . .. ......................... N m m a l - h t lp B n L i b r a r y B u i ld i n g F u rad P r o p r i R e d e n te F u n d 0 0 0 0 N e x t Y a a r 2 0 0 5 -0 8 0 17404 0 14000 ) rato Capto Outiay 4 rato Oakl ftartoa»................. 0 25404 0 0 0 « T a »7 > t e t e » i ....................................... • Tetto CenSnpenctoe 0 0 0 0 0 0 0 8575« 1 T a » Po— » »a n te » ..................... 2 ‘ <- *| -] ![■ « ■ ■ 7 T a » 44 0— r » a n » e t e » 4 R ie u n i i » 0 0h 17404 17404 i . T a » L » a » i m » » Endmg Piate » t e n » . ti TsM H squfrw f to 16 TtedRaaaivaaa t ia » 1 P t a » r k r T— e F u n d - O H M IC I V e t t e » » W b b b rv b F u n d Ô 30404 2000C - 1,300,000 900,000 Total All Other Expenditures and Requirements 13,887,321 16,754,353 18,835,310 Total Unappropriated 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 Not to be Received A. Loss Due to Constitutional Limit B. Discounts, Other Uncollected Amounts Total Tax Levy 5,409,653 19.296.974 1,000,000 17,754,353 14,354,353 3,400,000 17,754,353 3.400,000 1,000,000 19,835.310 115,650 140,264 3,655,914 Rate or Amount 4.0342 142,000 162,348 3,804,348 Rate or Amount 4.0342 - 15,685,576 3,411,398 19,296,974 SSáfcÓrViTtr * ' ' 4 Te H O a tb d d o e « Ta W Trw a N n Late Y b b f 2 0 0 3 -0 4 T h i « y a a r 2 0 0 4 -0 5 N e x t Y a a r 2 0 0 5 06 0 0 0 0 10000 10000 0 .............. 0 0 6 Tasto C iato a i imi a 0 • T a » un............ » < fatene fin ti latenai • tato Rotouaaaaee 0 0 ib T t e b jt — 0 0 0 3 »» «» ^ F t e b n ,r »» (FORM LB-3 FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED Nam e of ( F u n d - S a n e ra i F u n d « Teal Aeveonto tiervteee 2 TflM titoatitoi anti tovywes. ( 3 T e » c a n » o v a » ................................................ A T e » Osle Otete» S Tato rapatoti ...... 0 10000 foooo 10000 to c c o ......................................... • W b D B W ^ l M l , , . . ........... .............. - ...... .. A ttu ti D i t i Ldal Y a o r 20 03-04 A doptad Budget T h « y a » 20 04-0 5 101501 167475 70737 74003 0.060 20.037 0 1500 10600 1916« 10.404 2*404 26706 1386 1385 ( - Actual Data Last Year 03-04 Instruction Supporting Services Enterprise and Community Services Facilities Acquisition and Construction Other Uses (includes Debt Service & Transfers) Contingencies All Other Expenditures and Requirements Unappropriated or Ending Fund Balance Requirements Adopted Budget This Year 04-05 - Approved Budget Next Year 05-06 3.145,691 3,200,817 3,224.167 3,145,691 1,434,228 4,579,919 3,200,817 589,734 3,790,551 3,224,167 534,884 3,759,051 1.214,578 3,365,341 4,579,919 990,295 2,800,256 3,790,551 534.885 3,224,166 3,759.051 2.800,256 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 ----------------- V 3,224,166 -V ijr 240,922 3,041,178 280,364 3,504,530 3,041,178 3,504,530 F U N D S N O T R E Q U IR IN G A NAME O F FU N D . 201 Total Total Total Total Total Total TITL E 1 Instruction Support Services Enterpnse and Community Service Unappropriated or Endmo Fund Balance Requirements Resources Except Property Tax NAMF O F FU N D 206 D R U G P REVENTIO N Total Total Total Total Total Actual Data Last Year 03-04 459,326 56,380 515,706 515,706 Actual Data Last Year 03-04 Instruction Support Services Unappropriated or End no Fund Balance Requirements Resources Except Properly Tax Adopted Budget This Year 04-05 477,234 47.816 - 525,050 525,050 Adopted Budget This Year 04-06 Approved Budget Next Year 05-06 726,140 71,900 6,100 - 804,140 804,140 Approved Budget Next Year 05-06 3,732 - - - 23.000 32,256 2,460 6,192 6.192 23,000 - 32.266 _____________ -2 * 2 2 2 . --------------------------- 32,256. Con Urn it'd next page A p p ro ve d Budget Next Y e a r 2OO6-0B 137.064 •2.077 p H M t it o M t o t o to - 16.335.310 3,500,000 19,835,310 3,500,000 P R O P E R T Y T A X T O B E L E V IE D Aotutol P i t i A p p ro v e d B ud ge t . . . Total Total Total Total Total Total Total Total Total D E B T SER V IC E 50000 A d o p ta d B u d g e t 1. T u » F a n » » « a n t e » ............................ 2 t m m u n ii* » g la v a t a 1. T t e C e H O d « .......... 0 40758 25000 - - 388,000 650,000 Total Resources Except Properly Tax Property Taxes Received/Required to Balance Total Resources A p p ro v e d B ud ge t A d o p ta d B u d g e t T h lb y a » 2 0 0 4 -0 5 A c tu e l D M » L u t Y a a r 2 0 0 3 04 10,759,283 5,876,027 408,665 NAM E O F FUND: 300/301 5650 17670 1 T e » Rateanti 5 an4o» 2 TaM Mtitoitola siti tiaitoeae Approved Budget Next Year 05-06 9,828,425 5,887,928 - - ' A p p r o v e d B ud ge t Adopted Budget This Year 04-05 - Permanent Rate Limit Levy (rate limit 4.0342) Local Option Levy Levy lor Payment ol Bonded Debt N w n e of 12.655,600 6,868,316 723,140 850.000 4,889,785 1.010.460 26,997,301 1,534,884 28,532,185 21,560,047 6.200.256 Total Resources Estimated Ad Valorem Property Taxes This budget area prepared on Approved Budget Next Year 2005-2006 Adopted Budget This Year - 2004-2005 11,389,048 7,362.808 677,278 1.820.000 3.964.435 957,000 26,170,569 1.589.734 27.760.303 TO TA L o f a l l f u n d s Anticiptittid Requirements Total Instruction Total Supporting Services Total Enterprise and Community Services Total Facilities Acauisibon and Construction Total Other Uses (includes Debt Service and Transfers) Total Contingencies Total All Other Expenditures and Requirements Total Unappropriated or Ending Fund Balance Total Requirements Anticipated Resources Total Resources Except Property Taxes Total Property Taxes Required to Balance Budget PUBLIC NOTICE - A City of Lexington. Chairperson of Governing Body, John Renlro (541)989-8202 k t