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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (May 10, 2006)
TWELVE- Heppner Gazette-Times, Heppner, Oregon Wednesday, May 10,2006 unis. These requirements for reinstatement should he con firmed by contacting the under signed Trustee. By reason o f said default, the beneficiary has declared all sums owing on the obligation secured by said trust deed immediately due and pay able, said sums being the fo l lowing: Unpaid Principal Bal ance o f $ 123,065.49, Plus in terest thereon at 7.75 % per annum from 01/15/05 to 4/15/ 2006, 7.75% per annum from 4/15/2006, until paid, together with escrow adv ances, foreclo sure costs, trustee fees, attor ney fees, sums required for the protection o f the property and additional sums secured by the Deed o f Trust. W herefore, no tice hereby is given that the undersigned trustee, w ill on August 29, 2006, at the hour o f 11:00 A M , in accord with the standard o f time established by ORS 187.110, at the Front Entrant o f the M orrow County Courthouse, 1(H) Court Street. Heppner , County o f Morrow, State o f Oregon, sell at public auction to the highest bidder for cash, the interest in the said described property which the grantor had, or had the power to convey, at the time o f the execution by him o f the said trust deed, together with any interest which the grantor or his successors in interest acquired after the execution o f said trust deed, to satisfy the foregoing obligations thereby secured and the costs and expenses o f sale, including a reasonable charge by the trustee. Notice is further given that any person named in O RS 86.753 has the right, at any time prior to five days be fore the date last set for the sale, to have this foreclosure pro ceeding dismissed and the trust deed reinstated by payment to the beneficiary o f 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 cur ing any other default co m plained o f herein that is capa ble o f being cured by tender ing the performance required under the obligation or trust deed, and in addition to paying said sums or tendering the per formance necessary to cure the default, by paying all costs and expenses actually incurred in enforcing the obligation and trust deed, together with trust ee’s and attorney’s fees not ex ceeding the amounts provided by said O RS 86.753. In con struing this notice, the mascu line gender includes the fem i nine and the neuter, the singu lar includes the plural, the word “ grantor" includes any succes sor in interest to the grantor as w ell as any other person o w ing an obligation, the perfor mance o f which is secured by said trust deed, and the words “ trustee” and “ beneficiary” in clude their respective succes sors in interest, i f any. Anyone having any objection to the sale on any grounds whatsoever will be afforded an opportunity to be heard as to those objections i f they bring a lawsuit to re strain the same. Dated: 5/2/ 2006 Regional Trustee Servic es C orp ora tion Trustee By Nanci Lam bert, A u thorized Agent 616 1st Avenue, Suite 500, Seattle, W A 98104 Phone: (206) 340-2550 Sale Informa tion: http://www.rtrustee.com A S A P # 768996 05/10/2006, 05/17/2006. 05/24/2006, 05/ 31/2006 A ffidavit P U B L IC N O T IC E m 7 30 a m at Boardman Park office. #1 W e s t Mwine Onm. Boardman. the purpose ot th o meeting « too k u u Ha budget for the fwcal yvur begmnng July 1. 2006 as approved by me Board mar Park A Recreation Dwtnct Budget Commatee A summary of me budget s presontud butow A oopy of ma budget may be inspected or obtamecl at 41 West Manne Drive. Board man between the hours of 9 00 a m and 5:00 p m This budget was piupwed on a basis of accounting mat e consistent With thn base of aceowiOng used durng the preceding year Mafor changes if any, and their ertaci on the budget are exptawsxJ buiow This budget is tor Annual Penod M w iijw County City of Boardman Karen Pettigrew Preeident ot the Board 541A481 7217 FMANCIAL SUMMARY ClVCA *•* (M B 4 your T O T AI O f ALL FUNDS Adopted Budget Approved Budget This Tear 2006-04 Nest Year 200887 Puoaçl onfr iM s o n -H y d _ 1 Total Personal S w v c m 179.824 176.420' 2. Total Materials and Services 147.700 150.700' 3 Total Capital Outlay 410.013 Ì 198,036 U tO M U 4 Total Debt Service 16.800 j 18.500 R»qu ram ert5 S Total Transfers 54,570 38,000' 6 Total Continguncius 7 Total All Other Expenditures & Requirements 8 Total Unappropriated Ending Fund Balance 9 lota Requirements 7*7,533 598,830 Art! O P » » a 10 Total Resources i.xcept Property Taxes 697.88« 501.40» araocrrea 11 Property Taxes Estimated to be Received 100044 95.221 12. Total Resources (add lines 10 and 11) 7*7433 696,130 13 Property Taxes F st,mated to be Received (Uriel 1) 130,044 95421 xhjoooooocxxxxxxx xxxxxxxxxxxxxxxx 5 5 (mated 14 Pkis. Esttmakxl Property Taxes Nut to be Recwved Ad Valorem A. Lues Due to Constitutional Limit f*x»ty T m 8,078 0 Discounts. Othei Uncollected Amounts 6.386 15 Total Tax Luvmo (add lines 13 and 14) 10129S 106,430 Rate or Amount Rate or Amount Tan levi«» 16 Pei in »rent Rate Limit Levy (rate limit _) 0 2989 0 2989 B y lyoe 17 l ocal Option Taxes 18 Lew tor Bonded Petit or Obligations _____ STA TE M E N T OF MOe B T g DM— Debt Outstanding Debt Authorized Not Incurred X None As Summarized Below Hoard man Park 6 Recreation District !____ FORM LB-3 . P U B L IC N O T IC E N O TIC E OF B U D G E T HEARING A meeting of the Morrow County Hoaitn District Board of Directors will he held on May 22, 2006, 7.00 pm at the Pioneer Memorial Hospital, Heppner Oregon The purpose of this meeting is to dinousa the budget for the fiscal year beginning July 1, 2006, as proposed by tha Morrow County Health District Board A summary ot the budget is presented below A copy ol t l « budget may be inspected or obtained at M CHD Admin Btrabon Office. 564 E. Pioneer Dr. Heppner, Oregon, between the hours of 8 00 am and 5:00 pm or by calling 641-676- 2825 This budget was prepared on a basis ot accounting that is consistent with the preceding year This budget rs for an annual period and has only one f-und. Pub*. Ji ONI Y completed portion ol tha poor N a m e of Fund General Fund 1 Total Personal ¡services ? 'Total Materais and Services 3 Total Capital Outlay 4 Total Debt Service ~5~ Total Transfers 6 Total Contingencies 7 Total All Other Expenditures 5 Requirements 8 1 oral Unappropriated Endtog Fund Oatmce 9 Total Requirements _____ 10 Total Resources Except Property I axes 11 Properly Taxes Estimated to be Received _ 12 13 Propony Isxes Cswrouod lo bo Recowod (too 11) 14 Estimated Property Taxes Not to be Received A Loss Due to Constitutional Limit B. Discounts, Other Uncollected Amounts Total Tax l evied (add lines 13 and 14) ; 16 Permanent Rate Limit Levy (rate limit 17 Local Option Taxes 18 Levy tor Bonded Debt or Obhqabons, Financial Summary Proposed Budget Next Year 2008 2007 Anticipated Requirements Adopted Budget This Ysar 2006-2006 1. 2. 3 4 5. 6 7. Total Personal Service* Total Materials and Supplies Total Capital Outlay Total Debt Service Total Transfers Total Contingencies Total All Other Expenditures and Requirements 9 8. Total Requirements - add Hnes 1 - 7 9 5,870,325 9. Total Resources Except Property Taxes 10. Total Property Taxes Estimated To Be Received 11. Pi ior year Cash Reserves $ 4.996.524 9 874,801 4,895.447 875,35/ 145,876 12. Total Resource« add lines 9 -11 * 5470.32» I 9 5416,680 2.837.129 $ 1,395 971 475,500 283,464 - 176,327 701,914 3.267,856 1,603,733 219 500 246.189 - - 579,403 9 5418,880 Estimated Ad Valorem Property Taxes 15 Total Tax Levied -a d d linas 13. M A S 14B Tax Levies By Type 16 Permanent Kate Limit Levy (9/1,000) 17. Local Option Taxes (9/1.000) 18 Levy for Bonded Debt or Obligations 9 874,801 9 875.367 116,711 43,486 » 1,034496 I 9 115,761 38,137 1429456 Rata or Amount 6050 .3900 0 I boardman Park & Recreation District FORM LB 2 P u c n s n O N L Y comoKWert d o mon of Bus oaaa 1 Total Personal Services 2 Total Materials and Services 3 Total Capital Outlay 4 Total Debt Scnnce 5 Total Transféra 6 Total CrxibnQenc.es 7 Total All Other Expenditures & Requirements 8' Total Unappropriated hndmq Tund Balance 9 Total Requirements 10 Total Hesou-oes Except Property Taxes . 2 3 » 6,975 8.975 6,975 6,975 6,975 6,975 XXXXXXXXXXXXXXXX 6,975 6,975 6,975 ' Adopted Budget Approved Budget Actual Data Last Year 2QP4-PS This Year 2005-06 Next Year 2006-07 O N L Y o o r n M « ] portion of (fits page www.airlife.org Resource? Adopted Budget Approved Budget ’This Year 2005-06 lest Year 2000-07 Actual Data Name of Fund Egutomcnt Reserve Fund 1 Total Personal Services 2 Total Materials and Services 3 Total Capital Outlay 4 jTotal Debt Service 5 Tota Transfers 8 lotai Contingencies 7 Total AI Other Expenditures 8 Requirements « ’ Total Unappropriated Endlnq Fund Balance 9 Total Requirements 10 Total Resources Fxcept Property T axes Boardman Park A Recreation District FORM LB 2 or -UNDS N O T REQUIRING A _______ PROPERTY TAX TO BE LEVIED_____ Adopted Budget Approved Budget Actual Data Last Year 2004-05 This Year 2005-06 Next Year 2006-07 D ependability. Skill. Trust. 800-353-0497 -------------------------------- ---------------------------------- Name of =und Electric & Lighting Reserve Fund 1 Total Personal Services 2 Total Materials and Services ~ 3 l Total Caoital Outlay 4 Total Debt Service 5 Total Transfers r, Total Contingencies 7 Total All Other Expenditures & Requirements 8 Total Unappropriated Endlnq Fund Balance 9 1 otal Requirements 10 loud Resources Except Property Taxes A ffid avit Protect yourself and your family with a membership for only $50 annually. Air Life of Oregon members (includes your entire household) pay nothing out-of- pocket after insurance, if transported for emergency care. • ■ L _______________________ J Adopted Budget Approved Budget Actual Data Last Year 200+45 This Year 2095-06 tcxUTMrJJOßfcfiZ Published: M a y 10, 2006 AIR LIFE (X X X X X X X X X X X X X X X Marne of Fund Sewer Kesenre Fund 1 Total Personal Services 2 Total Materials and Services 3 Total Capital Outlay “ "4 Total Debt Service , 5 Total Transfers 6 Total Contingencies 7 Total All Other Expenditures Ä Requirements 8 Total Unappropriated Ending Fund Balance - r Total Requirements 10 Total R«srxirr.es Fxcept Property Tuxes .6050 3900 0 That’s what you want, expect, and receive from Air Life of Oregon; someone you can trust to be there in your time of need. You will be cared for by highly trained professionals with state-of-the-art medical equipment. Actual Date AOnpfcecJ BiiOOec _ Approved Budget « r Y » » r 2no4-QS T h « Year 2006-06 Next Y ©dr 2006 07 179.824 176,420 168,094 147,700 118,934 ... 146.700 150.717 342.124 168,241 16.500 16,600 17,195 i o ’ o o o 1 19,000 9,000 [xxxxxxxxxxxxxxxx 701,044 504^741^ 479,464 58,340 504,74? 537,804 701,044 409,520 601,000 446,290 100,044 95,221 91,514 504.741 537,804 /01.044 (X X X X X X X X X X X X X X X 100.044 95.221 xxxxxxxxxxxxxxxx XXXXXXXXX X X X X X X X «X X X X X X X X X X X X X X X xxxxxxxxx XXXXXXX 6,078 6,386 106,430 XXXXXXXXX X X X X X X X 101,299 Rate o r A m o u n t R it a o r A m o u n t oooooooooocxxxxx ooonrxxxxxxxxxxx 0 2989 _________ 0.2989 Total A K k a o M K l R s a u n n w l s must oauai Total N a m « of 1 und Pump 5 Irrigation Reserve I und Anticipated Resources 13 Total Property Taxes Estimated T o Be Received 14 Plus: Estimated Property Taxes Not to be Received A Loss Due to Constitutional Limits U Discounts Allowed Othei Uncollected Amounts r ------------------------------------------- 1 ---------------------------------------------- i FUNDS REQUIRING A PROPERTY TA X Tl0 BE LEVIED 4 5 6 Total Anticipated Name of Fund Boal Dock Reserve Fund Total Personal Services otal Materials and Services 1 otal Capital Outtey Total Debt Service Total Transfers Total Contnqenoes Total A l Other I (Piotai UnappropnatedJ 4,210 4,219 4,219 4,219 4,219 4,219 KXKXXXXXXXXXXXXX 9,109 9,109 9,109 8.000 8,000 8,000 8 000 8.00Ó' — xxxxxxxxxxxxxxxx 8,000 STOOO1 8,000H e.ooT 14,000 19.000 XXXXXXXXX X X X X X X X 7,00(7 ~Tooo 7.000 14 000 14,000 19,000 19,000 FUNDS N OT REQUIRING A PROPERTY TAX T O BE LEVIED Heqwie menti must equal Total fta m urco e Adoptad Budget Approved Budget Actual Data a«t Year 2004-05 UMS Year 2005-06 Next Yqar 2006 07 90 10,000 17.125 19 000 “ . 19,C00 * 28.125 3,000 14.099 9 Total ReguMamonte ______ TIT Total Resources Except Property Taxes 33,189 33,189 [Total All Other bxpendaums & Rogugprafflg to ta l Unappropriated Jn d m g Fund Balance Total R«qinr*ments_ l 2»0 Total Rasouroes Except Property Ta x a », 12,570 J2..570 j t “ 3 V 175 .31128 m .i m 12.570 17.570 T3\3T o T Published: M a y 10, 2006 A ffid a v it 1