Heppner Gazette-Times, Heppner, Oregon Wednesday, May 24,2006 -FIFTEEN Continued from previous column Continued from previous page Name of Fund 2 Total Materials and Services 3. Total Capital Outlay 4 A dopted Budget This Year 2005-06 Actual Data Last Year 2004-05 0e^avK)ra| Health Morrow 647,336 729,456 728,661 290,101 290.319 328,665 10,219 14,150 13.500 Total Debt Service 65,000 7 8 FORM LB-4 Approved Budget Next Year 2006-07 53,000 53.000 50,000 50,000 Total All Other Expenditures and Requirements Total Unappropriated Ending Fund Balance 10 Totai Resources Except Property Taxes 387,967 1.551,779 1,524,892 1.628.030 1.551.779 1.524,892 1,628,030 Total Mater ais ate Services 3 Total Capital Outlay 4 Total Oebt Service Approved Budget Next Year 2006-07 Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 1. Tota* Personal Services 2 1.007 1,177 702 675 725 0 200 200 ........................................... Total All Other Expenditures and Requirements m Total Unappropriated Ending Fund Balance 1.709. Total Requirements A pproved Budget Next Year 2006-07 A dopted Budget This Y ear 2005-06 1,233 Total Transfers Total Contingencies Actual Data Last Year 2004-05 Behavioral H ealth W heeler G#n#ral Name of Unit/Program/Department Board of Property Tax Appeals FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-2 FuncT ° * 539,123 454,204 Nam# of Fund SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND Name of Unit/Program/Department Tax Administrator Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 2,1581 Approved Budget Next Year 2006-07 1 Total Personal Services 0 0 0 1 Total 71,983 2 Total Materials and Services 0 0 0 2 Totai Total Materials and Services 27,500 3 Total Capital Outlay 0 0 0 3 Total Capital Outlay 4 Total Debt Service 4 Total Oebt Service ..................................... ............ ............. .......... Total Transfers Total Contingencies 7 Total All Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balance 9 0 5 Total Tr»nstars 0 0 6 Total Contingencies 0 0 0 8 Total Unappropriated Ending Fund Balance 0 0 0 9 Total Requirements 0 0 0 7. Total All Other Expenditures and Requirements Total Requirements 10 Total Resources Except Property Taxes Fund* ° * 0 0 5 6 .................................... Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 R esional M aritim e Security Fund Approved Budget Next Y ear 2006-07 99,483! Name of Unit/Program/Department Justice Court Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 Approved Budget Next Year 2006-07 1,173 7.500 0 1. Total 119,207 126,655 130,573 291,885 193,600 0 2 Total 23,155 30,321 31,925 Total Capital Outlay 3 Total 4 Total Debt Service 4. Total 5 Total Transfers 5 Total 6 Total Contingencies 6 Total 7 Total All Other Expenditures and Requirements 7. Total 142,362. 156,976! 162,4981 1 Total Personal Services 2 Total Materials and Services 3 8 Total Unappropnated Ending Fund Balance 9 Total Requirements 610 10. Total Resources Except Property Taxes Fund* ° f 1 Total Personal Services Total Materials and Services 3 Total Capital Outlay 4 Total Debt Service 5 Total Transfers 201,100 0 293,668 201,100 0 A pproved Budget Next Year 2006-07 A dopted Budget This Year 2005-06 Actual Data Last Y ear 2004-05 W a te r Planning Fund 2. 293,668 8 Total 9 Total SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND FORM LB-4 6,350 Publish ONLY completed portion of this page Nam« of Fund General Name of Unlt/Program/Department District Attorney_________________ 6. Total Contingencies ....................................................... Total Personal Services Total Materials and Services 8. Total Unappropnated Ending Fund Balance Total Capital Outlay 6,350 Approved Budget Next Year 2006-07 91.087 93,846 20,450 20,450 Total Oebt Service 6,350 Total Transfers ................................................... Total Contingencies SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND FORM LB-4 Adopted Budget This Year 2005-06 95,730 .................... 7. Total All Other Expenditures and Requirements 10 Total Resources Except Property Taxes Actual Data Last Year 2004-05 ... .................... Total Ail Other Expenditures and Requirements Total Unappropnated Ending Fund Balance Total Requirements 111,537 111,579 .................................... Publish ONLY completed portion of this page. Name of Fund General Name of Unit/Program/Department 2. Total Materials and Services 3 Total Capital Outlay 4 Total Debt Service 5 Total Transfers 6 Total Contingencies 224,894 230,907 247,719 50,330 53.930 0 0 0 189,198 1. Total Personal Services Name o f Unit/Program/Department Juvenile Approved Budget Next Year 2006-07 Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 County Court .................... 7 . Total All O tter Expenditures a te Requirements Total Unappropr ateo Ending Fund Balance 9 Total Requirements Actual Data Last Year 2004-05 1. Total Personal Services Total Materials ate Services 171,409 3,193 5,600 5,600 301 300 300 182,320, 187,483 34.156 22,730 22,730 210,9661 205,050! 210,213! 3. Total 4. Total 5 ToiaJ 6 Total 8 Total 9 Total Requirements 2 Total Materials ate Services ............... ........................................... Name of Unit/Program/Department Assessor/Tax Collector 1. Total Personal Services 2. Total Materials and Services Actual Data Last Year 2004-05 Total Unappropriated Ending Fund Balance Total Requirements Approved Budget Next Year 2006-07 Adopted Budget This Year 2005-06 401,345 422,449 435,445 35,950 48,250 79,250 22.982 600 600 Nam* of Fund Total 7 Total All Other Expenditures and Requirements 3 Total 8 Total Unappropnated Ending Fund Balance 4 Total 9 Total Requirements 515J 471,; SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND FORM LB-4 2. Total Matenais and Services 2,101.1631 2.218,686 General Totai 6 Total Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 412,785 8 Total 9 Total Approved Budget Next Year 2006-07 480.402 495.556 157,530 152,967 637,Ï 629,740 Name of Unit/Program/Department Planning Approved Budget Next Year 2006-07 Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 5 1. Total Personal Services 72,980 76,653 78.971 4,529 4,975 5,300 3 Total Capital Outlay 0 0 0 4 Total Debt Service ........ .................... .......... ________ 648,523¡ Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 ................................................... 2. Total Matenais ate Services Total Debt Service Approved Budget Next Year 2006-07 137,009 150.278 156.443 22,788 10,925 18,763 6,652 500 ___________________ o Total Transfers Total Transfers Total Contingencies .......................................... Total All Other Expenditures and Requirements Total All Other Expenditures a te Requirements Total Unappropriated Ending Fund Balance Total Unappropriated Ending Fund Balance Total Requirements 81,6281 Total Requirements 2 Total Materials and Services 3 Total Capital Outlay Approved Budget Next Year 2006-07 Adopted Budget Actual Data Last Year 2004-05 This Year 20054)6 Emergency Management 175,206 ] Actual Data Last Year 2004-05 Adopted Budget Thia Year 2005-06 Approved Budget Next Year 2006-07 1 Total Personal Services 8,797 9.360 17,621 167,215 174,501 2 Total M .ten.l. n t Service. 7 ,9 4 8 15,900 23.450 27,493 43,700 47,425 3 Total Captai Outlay 0 2.500 0 2,424 6,500 6,500 4 T o ta l 27.760! 41,071 Deb) Service .................... ............. Total Transfers Total Transfers ................................................... Total Contingencies Total Contingencies Total AH Other Expenditures and Requirement Total All Other Expenditures and Requirements Tote* Unappropnated Ending Fund Balance Total Unappropriated Ending Fund Balance .......................... 16,7451 Total Requirements 217,4 169,; 228 À SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND FORM Name of Unit/Program/Department Veterans 161,' 139,630 Total Debt Service Total Requirements 166.4491 .......................................... 84,2711 Name of Unit/Program/Department Ñame of Unit/Program/Department County ClerX Approved Budget Next Year 2006-07 Adopted Budget This Year 2005-06 Actual Data Last Year 2004-05 10,185 11,843 12.025 737 1.960 10.596 0 100 1,400 LB-4 General Name of Unit/Program/Department Surveyor_______________________ Actual Data ist Year 2004-05 Adopted Budget This Year 2005-06 Approved Budget Next Year 2006 07 1. Total Personal Services Total Transfers 2 Total Contingencies 5,840 3.713 Total Matertals and Services 2 100 3. Total Capital Outlay Total All Other Expenditures and Requirements 4 Total Unappropriated Ending Fund Balance Total Requirements 1,845,0011 7. Total General Name of Unit/Program/Department Treasurer Total Dabi Service 112,550 SUMMARY OF ORGANIZATION UNIT/PROGRAM BY FUND Name of Unit/Program/Department Health 1. Total 4 121.100 Publish ONLY completed portion of this page 2 460,2 .......................................... FORM LB-4 Total Contingencies Total capital Outlay 445,419 107,558 ........................................... 9 6 3 1.660.717 425.069 .................................................. 8 5. Total Transfers 4 1,554.994 424,870 177,- 174,£ 135/ Total Debt Service Total Contingencies 1,312,573 ................................... 7. Total All Other Expenditures ate Requirements Total Unappropriated Ending Fund Balance 4 , Approved Budget Next Year 2006-07 Adopted Budget This Year 2005-06 4. Total Debt Service 8. Total Contingencies Total All Other Expenditures and Requirements Name of Fund Actual Data Last Year 2004-05 3. Total Caprtal Outlay 5. Total Transfers ......................... Total Contingencies 4 176,810 1. Total Personal Services ................................................ 168,961 Total Debt Service Total Requirements 1. Total 2. Total Name of Unit/Program/Department Sheriff Approved Budget Next Year 2006-07 Adopted Budget This Year 2005-06 131,983 3. Total Capital Outlay ........................................................... Total Transfers Approved Budget Next Year 2006-07 436.S Name of Unit/Program/Department Accounting 4 Adopted Budget This Year 2005-06 7. Total 8 2 Actual Data Last Year 2004-05 m jim , _2i! Continued next column Total 9 Total 6 Total Contingencies 7 Total A l Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Totai Requirements 3 713 5,840^ Continued next page 1 V >