Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 6, 2007)
Heppner Gazette-Times, Heppner, Oregon Wednesday, June 6,2007 - NINE PUBLIC NOTICE FORM I B I FORM LB-3 FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED Publish ONLY completed portion ot this page N O TIC E O F B U D G ET HEARING [ ] RcpubUcabo.. Nam * of Fund G e n e ra l A meeting o f the Boardinan Rural Fire Protection District will be held on June 14, ’ 007 at 7:00 p m at Boardmun Rural Fire Station, 300 Wilson Rd The purpose o! this meeting is to discuss the budget for the fiscal veur beginning July 1, 2007 as approved by the tioardman Rural fire Protection District Budget Committee A summitry of the budget is presented below A copy of the budget may be inspected or obtained at Boardinan fire Station. 300 SW Wilson Rd between the hours o f 8:00 a m and 3:00 p.nt. This budget was prepared on a basis of accounting that is consistent with the basis of accounting used during the preceding year Major changes, if any, and their effect on the budget, are explained below . Morrow Boardman 06-01-2007 Don Russell 341-481-3473 FIN AN CIAL STMVI ARY _ 1.076 000 00 3 Total Capital Outlay 4 Total Debt Service Requirements 5 Total Transfers 7 Total All Other Expenditures and Requirements 14,000 00 69 894 00 1.526 500 00 774 694 00 000 0 1.526.500 00 774 694 00 989 110 00 198 100 00 Total Unappropriated or Ending Fund Balance 9 Total Requirem ents add lines 1 through 8 10 Total Resources Except Property Taxes Anticipated 11 Total Property Taxes Required to Balance Budget Resources 12 Total R esources - add lines 10 and 11 537 400 00I 576 594 00 1 526,500 00 774 694 00] 537 400 00 576 594 00 18 000 00 13 Total Properly Taxes Required to Balance Budget (line 11) Estimated 14 Plus Estimated Property Taxes Not to be Receive« Ad Valorem A Loss Due to Constitutional Limits if. 17 500 00] Properly Taxes B Discounts Allowed. Other Uncollected Amounts 23 000 00' 24 000 00 577 900 00 618 494 00 0 7464 0.7464 15 Total Tax Le vy 14 r 6 0 0 1 6 ..2 9 0 14.670 .Z ì i » 8 2 0 1.000 1 , 0 0 0 __________ -0 - -0 - 1,000 1,000 11,249 2,71 8 14.610 14 r 2 2 4 -0 - -0 - 1 . 0( 1 2 3. 4 5. 6 7 8 9 10 11 12 13 14 Total Personal Services Total Matenals and S ervices............................. Total Capital Outlay Total Debt Service Total Transfers Total Contingencies Total Reserves and Special Payments Total Unappropriated Ending Fund Balance Total Requirements ................................. Total Resources Except Property Taxes Property Taxes Estimated to be Received ...... Total Resources (add lines 10 and 11).................. Property Taxes Estimated to be Received (line 11) Estimated Property Taxes Not to be Received A Loss Due to Constitutional Limit B Discounts Other Uncollected Amounts 15 Total Tax Levied (add lines 13 and 14) A TA Approved Budget Next Year 2 0 0 7 -0 8 Adopted Budget Th is Year 2 0 0 6 -0 7 -0 - 471 7 fi A 1 ... - 0 - ______ _n_ ________«11=------------- — . 4 4 , 3 4 9 -----------------------1 g « « __________ ___ 3 3 6.677 _ _ 6.05Û .............. 1 7 , -5 5 4 26.799 213 000.00 6 Total Contingencies 8 301 800 00 190 000 00 294 500 00 170,000 00 1 Total Personal Services 2 Total Materials and Supplies Anticipated Approved Budget Next Year 2007-2008 Adopted Budget Tills Year 2006-2007 TO TA L O F ALL FU N D S Actual Data Last Year 2 0 0 5 -0 6 Fund a <* m add lines 13 and 14 16. Permanent Rate Umit Levy ( r a w nmnp 2 4 0 1 i 17 Local Option Taxes................................................ J8 . Levy lor Bonded Debt or Obligations Published: June 6, 2007 Affidavit PUBLIC NOTICE FORW LB-1 A Tax Levies 16 Permanent Rate Limit Levy (rate limit 7464). By Type 17. Local Option Levy 0 0 18 0 0 Levy for Bonded Debt or Obligations [ ] None Debt Authorized, Not Incurred [x] A s Summarized Below I ] None A copy of the budget m ay be inspected or obtained at the Boardman Library, 200 South Main St., Boardm an. O R 97818 between the hours of noon and 5pm Th is budget w as prepared on a basis of accounting that is consistent with the basis of accounting used during the preceding year Estimated Debt Authorized, Not Incurred at the Beginning of the Budget Year L o n g -T e r m D eb t for the fiscal year beginning Ju ly 1, 2007, as approved by the Oregon Trail Library District Budget Committee [ ] As Summarized Below P U B L IS H B E L O W O N L Y IF C O M P L E T E D Estimated Debt Outstanding at the meeting of the O regon Trad Library District will be held on W ed n esda y June 13 2007 at 6 30 pm at the Boardm an Library, 200 South Main St Boardman. O R . Th e purpose of this meeting will be to discuss the budget A summary of the budget is presented below S T A T E M E N T O F IN D E B T E D N E S S Debt Outstanding NOTICE OF BUDGET HEARING Ma>or changes, if any, and their effect on the budget are explained below County Beginning of the Budget Year Cfty M o rro w Annual Period 2 -Year Period Telephone Number A n n e tta S p ic e r 541 4 8 1 -2 6 6 5 B o a rd m a n Bonds Th is budget is for _ X Chairperson of Governing Body FINANCIAL SUMMARY Interest Bearing Warrants Other 1 680 000 00 Total indebtedness . 1 680.000 00 O Check th s box if your budget anly has one fund Short-Term Debt This budget includes the intention to borrow in anticipation of revenue ("Short Term Borrowing') as summarizes below Estimated Amount to be Borrowed F u n d Liable Estimated Interest Rate General Fund 200 000 00 Anticipated Estimated Interest Cost 5 2 5% Adopted Budget This Year 2006-2007 TO TA L O F ALL FU N D S 1 Total Personal Services 152,341 159.315 2 Total Materials and Supplies 216.948 224.276 3 Total Capital Outlay 36.000 40.000 4 Total Debt Service 18,718 18,128 52,355 31,200 3,365 3,365 Requirements 5. Total Transfers 6 Total Contingencies 1400 00 Published: June 6, 2007 Affidavit 7 Total Reserves and Special Payments 0 0 8 Total Unappropriated Ending Fund Balance 20.000 20,000 9 Total R »q ulr»m »nt* - add Linas 1 through 8 499727 496284 225894 276,014 tO Total Resources Except Property Taxes PUBLIC NOTICE FORM LB-1 Anticipated Resources 11 Total Property Taxes Estimated to be Received 205361 12 Total Resources - add Lines 10 and 11 431255 220.270 496284 13 Total Property Taxes Estimated to be Received (line 11) 205361 220270 Estimated Ad Valorem 14 Plus Estimated Property Taxes Not To Be Received A Loss Due to Constitutional Limits Property Taxes B Discounts Allowed, Other Uncollected Amounts 17373 16326 222734 236596 Rate or Amount Rate or A m ount 0 2536 0 2536 15 Total Tax Levied - add Lines 13 m d 14 NOTICE OF BUDGET HEARING A meeting oi the T o n e / L ex i n q to ri j-, A M C p m p tp rv will be held on .T n n p n l f t f .r_ U 1 7, C it y H a ll lo n e 16 Permanent Rate Limit Levy (rate limit ) 17 Local Option Taxes I D a l»] (Governing Body) at 7 : 0 0 DC p m at I o n e / L e x i n g t o n Tax Levies B yType 200 7 Approved Budget Next Year 2 007-2008 0 18 Levy for Bonded Debt or Obligations O n , The purpose ol this meeting is to discuss the budget for 0 0 S T A T E M E N T O F IN D E B T E D N E S S {l oca bon) the fiscal year beginning July 1. 2007 as approved by the l o n e / L & x iT ig T L o r L -C e n iftt.P. r y Debt Outstanding Debt Authorized, Not Incurred 1-1***^______________________________ H As Summamcd Bdow______________ G D n o o c _____ □ As Summanzed Below n i s t r .LcBudget Committee A summary ot the budget Is presented below A copy ot the budget may be inspected or obtained at B-a n k P U B L IS H B E L O W O N L Y IF C O M P L E T E D E a s t e r n . O r e g o n .. Long-Term Debt r , 1 - p e n M Mein st Ton e O r. between the hours ot i i C Q - ^ t n and A .- 13 0 pm Estimated Debt Outslanding at the Estimated Debt Authorized, Not Incurred at the Beginning of the Budget Year Beginning of the Budget Year July 1 2007 July i 2007 This budget was ptepared on (Street Address) a basis ot accounting that is 0 consistent: □ not consistent with the basis ot accounting used during the preceding year Major changes, it any, and their etfect on the budget, are explained below This budget is tor U Annual Period: U 2-Year Period___________ Chairperson ot Governing Body iCrty County M o rro w E d w a rd ; Tone 1 fc41 . Interest Bearing Warrants Other j Telephone Number Bak e r Bonds ) 4 5 4 - 21 05_ ............................... Special District’s Flex Lease Total Indebtedness $150,000 F IN A N C IA L S U M M A R Y □ Check Ibis box It your Approved Budget Next Year: 2007-2008 Adopted Budget This Year 2006-2007 TO TA L O F ALL FUNDS FORM LB-2 1 A , son _____1 f i , 2 a 0 ----------------------------- 1 4 . 8 2 0 _____________ 1 4'. 6 7 0 __________ 1,000 1,000 -0- 1,000 2.718 -0- -0- 3 3 . 9 8 8 ------------------ 6.050 7 7 , qiR 3 1 . 9 8 8 ------------------ Anticipated Requirements 9 Total R equirem ents -add lines 1 through 8 Anticipated Resources 11 T o ta l Property Taxes Estimated to be Received = S L = _____________ _ ______ 1 , 0 0 0 ____________________ 1 1 . 2 4 9 _______ ___ -0- - 0 - _______________ _ 44.349 I 1 7 . 5 5 0 _____ 2 6 , 7 9 9 ----------------------------- 3 4 9 ---------------------------- 1 44 FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED Publish ONLY completed portion of this page Total Anticipate Requirements m u it «qua! Total Resources Name of Fund 3 Total Capital Outlay 0 4 Total Debt Service 0 0 5 Total Transfers 0 0 2.000 34.800 0 0 0 6 0 0 0 0 36.800 36,800 1 Total Personal Services 0 0 10.720 30.303 0 ' 2 Total Materials and Services . 6 Total Contingencies 7. Total Reserves and Special Payments 0 0 9 Total Requirements 10,720 10 Total Resources Except Property Taxes 10,720 30.303 30,303 8 Total Unappropriated Ending Fund Balance Estimated Ad Valorem Property Taxes 1 . 4 1 0 ---------------------------- . 7ft r 2 0 9 ---------------------------- 1 1,471 7 9 . 4 1 1 9 ------------------ B Discounts Allowed, Other Uncollected Amounts Rate or Amount Rate or Amount 0.2401 0.7401 Tax Levies By Type ih ................................ ......... ................. i iwv lor Bonded Debt ur Obliaations _■ -- Debt Outstanding □ As Summarized Below FORM LB-2 — □ None — Deot Authorized Not Incurred P ) As Summarized Below C a re 0 0 100,000 3 Total Capital Outlay 0 471,038 4 Total Debt Service 0 0 5 Total Transfers 0 0 7 Total Reserves and Special Payments 0 8 Total Unappropriated Ending Fund Balance 0 Name of Fund 19404 19.404 District Vehicle Reserve Fund Actual Data Last Year 2005-06 F u n c ? 0* 1 2 3 4 5 6 7 8 9 10 E q u ip m e n t Reserve Total Personal Services Total Materials and Services Total Capflal Outlay ........................... Total Debt Service Total Transfers Total Contingencies Total Heserves and Special Payments Total Unappropnatad Ending Fund Balance Total Requirements Total Resources Except Property Taxes 3 Total Capital Outlay............................................ 24.300 21,500 5 Total Transfers TT"^ 6 Total Contingencies 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 74 r 3 0 0 24.300 2 i, son 2 3(5 0 0 7 7 , f l 1 V _______ Approved Budget Next Year 2 0 0 7 -0 8 Adopted Budget This Year 2 0 0 6 -0 7 Actual Data Last Year 2 0 0 5 -0 6 Adopted Budget This year 2006-07 10 Total Resources Excspt Property Taxes FORM LB-3 134843 134,843 Approved Budget Next Year 2007-08 0 0 10,000 0 0 0 0 0 10,000 10,000 . 1 — r— H— r 0 0 10,000 10,000 7 Total Reserves and Special Payments 11 R 1 \ 0 0 571,038 571,038 0 0 10.000 0 0 1 Total Personal Services 4 Total Debt Service 22 , B I J 0 109 843 25,000 0 0 0 0 0 0 6 Total Contingencies 2 Total Matenals and Services 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 Reserves and Special Payments 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Property Taxes T h is year 2006-07 19.404 10 Total Resources Except Property Taxes Approved Budget Next Year 2 0 0 7 -0 8 Adopted Budget This Year 200 6- 07 Actual Dala Last Year 200 5-06 Approved Budget Next Year 2007-08 Adopted Budget Actual Data Last Year 2005-06 9 Total Requirements FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED P e rp e tu a l Irrigon Library Building Reserve Fund 2 Total Matenals and Services Publish ONLY completed portion ot this page Total Anticipated Requirements must equal Total Resources N a m « of Fund Name of Fund 1 Total Personal Services 17. Local Option Taxes Approved Budget Next Year 2007-08 Adopted Budget This year 2006-07 Actual Data Last Year 2005-06 Grant Fund 0 0 15.000 0 0 0 0 0 15000 15.000 FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED Publish ONLY completed portion of this page 1 f 1 A 1 i s f a o o __________ 21,300 Name of Fund Actual Data Last Year 2005-08 General Fund Adopted Budget This year 2006-07 Approved Budget Next Year 2007-06 151,34' 1 Total Personal Services 2 Total Materials and Services 3 Total Capital Outlay lf> f 1 A \ 2 1 , 3 0 0 ________ . -------- ------------------------------------ ______ 2 1 1 3 B Q .1 5 , a n o ___ _ 4 Total Debt Service 5 Total Transfers - 8 Total Contingencies Continued next column 7 Total Reserves and Special Payments 6 Total Unappropriated Ending Fund Balance 337084 314706 9 Total Requirements 10 Total Resources Except Property Taxes 11 Property Texas Estimated to Be Received HEPPNER G A ZETTE TIMES iss West Willow Heppner 6 ^ 6-9228 We Print- t s Cards & F ° t r n * \nvitat'°nS » and more'- 205,361 312067 12 Total Resources (add lines 10 and 11) 13 Property Taxes Estimated to be Received (Sre 11) 14 Estimated Property Taxes Mot to be Receded — i----------------------------- . I t T ' —— ------- 1 B Discounts. Other Uncollected Amounts — -------------------------------- 15 Total Tax Levied (add Imee 13 and 14} Rate or Amount 18 Permanent Rate Limit Levy (rata limit Rate or Amount 1 17 Local Option Taxes 18 Levy for Bonded Debt or Obligations _____________ .6?6-92ii (fax). > 21 ' M • ...... — - ' - A. ” - ....................... — — --------------------- A Loss Due to Constitutional L mil 33/084 314706 Continued next /tage ) i