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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (May 7, 2008)
EIGHT - Heppner Gazette-Times, Heppner, Oregon Wednesday, May 7,2008 PUBLIC NOTICE PUBLIC NOTICE NOTICE OF BUDGET HEARING FORM LB-1 governici g body) will oe held on A maatirg of the __IR FP D 6 604 ài — 7 30 _pm at ___ lone Fift hail fui me fiscal yea* beginning July 1. 2006. as approved by The to discuss 1 R F P D _____ — the oudflet Budget Committee A summary of the budget is presented be'ow A copy of the budget may be inspected or obtained at MCGG tone _Me»n Sueet. lone between the hours of _8 00 am__and _5 00 pm__ a basis of accounting tnat *> This budget was prepared on [M o rro w UoU, 5 4 1 -4 2 2 -7 2 9 6 I FIN A N C IA L S U M M A R Y □ Cbecx tfis box / your Cruduat only rws ona fund T O TA L O F ALL FU N D S Adopted Budget This Vear 2007 2008 Approved Budget Next Year 2008 2009 430 0 40620 466 20 17583 17580 4500 8500 1 1 ot*i Personal S ta c e y Total Maiuna'i and Supplies 2 4300 Anticioeted 8 Toiai Ui'ippropriaiart t^Oirg Fund Balance $ Total Requirement* - add Lmea 1 through 8 10 Total RescKirces Except Ptoperty Total Poperiy Tax** F«timat«d to ee Received 11 Aiit>s:>y»ied Resources 12 Total Resoorces add Line# 10 end 11 valorem Property Taxé« 30000 105000 340CO 60000 71000 103000 105000 A 1.069 D u e lo CortalilullUfiai Limit It 8 Discount« Allowed Other Uncohccted Amotml« 15 Total Tax Levied - odd Lnes 13 end 14 1 Total Personal Servie«« 2. Total Materials and Services 3 Total Capital Outlay 4 Total Debt Service Amrapstsa 5. Total Transfers 6 Total Contingencies 7 Total All Other Expenditures & Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements______________________ Ant,upeied 10 Total Resources Except Property Taxes Resources 11 Property Taxes Estimated to be Received ___________ 12 Total Resources ladd lines 10 and 11) 13 Property Taxes Estimated to be Received (linelt) Estimated 14 Plus Estimated Property Taxes Not to be Received Ad Valorem A Loss Due to Constitutional Limit Ptopiy Texes B Discounts, Other Uncollected Amounts ___________ 15 Total Tax Levied (add lines 13 and 14)____________ Tax levies By Type 71000 690 00 ■ ¡: oM - 92 Toial P-operty Tax#» fcatimatec to be Received ( me 11) 14 Plus Ts'lmefed Property T bxl .‘ s M u : T o 0t* Hueuivoo 13 a d 30000 10300C 34000 î';t- 16. Permanent Rate Limit Levy (rate limit_. 17 Local Option Taxes 18 Levy for Bonded Debt or ( “ m a m 127 « r flirti Tt l r ; M H f 209,769 155,750 163.550 207.518 200,303 15,800 15,600 72.570 78.570 2.000 2.000 663,792 546.883 555.625 105.783 108,167 652,686 663,792 106.167 105.7831 xxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxx 6,904 6,752 115,071 112,535 Rate of Amount Rate or Amount 0 2989 02989 _) amsiniMim Debt Outstanding H " Debt Authorized, Not Incurred X None Ae Summarized Below X None Ae Summarized Below ------------------------------------------------- PUBLISH BfclUW UNLT IF LUBPCfc TEC-------------------------------------------------- 3793 74920 3385 72477 Ttlil Till _____________ Budget only h— png fund X uoribistent_____ not consistent with the basis of accounting used during the preceding year CS»------------------------------------------------ Chddtmt SO. 0» G uArcti-t^ Billy R te lm a n r lo n e J30vn|y " T o r m T e TT Tm a e!7>T offi7B oaram arH larrrft^rIat!of^iT «trict will bn held on May 27. 2008 at 7 30 p m at Boardman Park offica, at West Manna Onva. Boardman Tha purpose of this meeting ie to discuss the budget tor the fiscal year baginning July 1. 2008 as approvad by tha Boardman Park & Recreation District Budget Committee A summary of the budget ie presented below A copy of the budget mey be inspected or obtained at #1 West Manna Dnve. Boardman. between the boors of 9 00 a m and 5 00 p.m This budget was prepared on a basis of accounting that it consistent with the basis of accounting used during tha preceding year Major changes, if any. end their affect on the budget, are explained below This budget it for Annual Penod Morrow County City of Boardman Karen Pettigrew, President o( the Board 541/481-7217 ___________________________________________FINANCIAL SUMMARY_________________________ ____________________________ Check true box if your TOTAL OF ALL FUNDS Adopted Budget Approved Budget .2000 Mav I2th_ he purpose of this mooting will do _ - H a t* pr Amount 6 Penranent R ite ^¡mlt Levy irata ¡imit ) 0.7385 0 738b Boardman Park FORM LB-2 17 Local Option Taxes 18 Levy for Bonded CwW rr Otoiigations By Type & Recreation District FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED ST A TE M E N T O F IN D E B TE D N E S S D ebí Outstanding H As Summarized Below P I None FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-2 P ub h tn ü N f, y Tata A r t i c i p m S c u w n m n fin m m i m u k l Total f u w o i eorrpiniw ü portion of ih.» p ig s Last Year TRUCK REPLACEMENT 2000 - 0 ? .ir n Approved Budget Next Year 2008-09 1 Total Personal Services 2 Total Malaria»* ano Services 1 . 24900 Total C apital Outlay Publish ONLY completed portion of this page Total Anticipated Requirements must equal Total Resources Name of Fund Pump & Irriaatlon Reserve Fund Total Personal Services 2 Total Materials and Services 3 T otal Capital Outlay 4Total Debt Service 5Total Transfers 6 T otal Contingencies 7Total All Other Expenditures & Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Property Taxes _tà780 38880 4 Tout Dob» Servie« 3 Total Tran» lar» 6 Total Contingencias. Name of Fund Sewer Reserve Fund 7 Total Keterve» and Special Payment« 8 Total Ürappropriaied Ending Fund B»i»nca 24000 24SOO 9 fötal Reouifcmonu IQ i oe.it Resovi cat Except Property Taxes Approved Budget Adopted Budget This yoar 2 0 0 6 -0 / 1 Tots' Personal Services 2 Total Maicnate and Services 3 Totol Cop'toi Outlay 4 58780 55780 38880 38880 Actual Data Last Year 2005-06 N am e of fu n d C A P IT O L IM PR O VEM EN T Next Year 2007-08 8000 '3000 8000 13000 Total De©t Sarvlca 6 Total Transfers 6 Total C o ntingency 7 Total Rcsorvcs and Special Payments e I ulai uneosNOpnaicd Ending Fund Solance 8000 8800 y Total Requirement ........ 10 Total Resourcas txcvol Progurlv T«wi 6 P u i.»n O N LY c'j'l.t'W le o ponion o> this 13000 w Name o f Fund GENERAL FUND A c tu a l D a ta A d o p te d B u d g e t A p p ro v e d B u d g e t L a * t Y s a r 2 0 0 6 -0 7 T h is y e a r 2 0 0 0 - 0 9 N e x t Y e a r 2 0 0 7 -0 8 3396 4300 4300 44305 40020 46620 Ö 800 17380 17580 4500 0 G 00 1 Total Personal Services. .. ................................ 2 8000 FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-3 Tulai Matcne* and Services 3 Total Capital Owtiay a T otal Debt Service 5 Total rransieni S t otal Contingenc»*» 7. Total Reserves and Special Payments Approvad Budgat Next Yaar 2008-09 Adoptad Budget This Year 2007-08 Total Personal Services 2Total Materials and Services otal Capital Outlay 3 T 4 Total Debt Service 5 Total Transfers 6 T otal Contingencies 7Total All Other Expenditures & Requirements 8Total Unappropriated Ending Fund Balance 9Total Requirements 10Total Resources Except Property Taxes 6,975 6,975 6,975 6,975 6.975 6.975 XXXXXXXXXXXXXXXX 6.975 6.975 6.975 Actual Data Last Ytar 2006-07 Adoptad Budget This Yaar 2007-08 Approved Budget Next Year 2008-09 1 Name of Fund Electric & Liflhtlna Reserve Fund 1Total Personal Services 2Total Materials and Services otal Capital Outlay 3 T 4Total Debt Service 5 Total Transfers 6 Total Contingencies 7 Total All Other Expenditures & Requirements 8Total Unappropriated Ending Fund Balance 9Total Requirements 10Total Resources Except Property Taxes Boardman Park FORM LB-2 4,219 4,218 4,219 4,219 4,218 4,218 XXXXXXXXXXXXXXXX 4,218 4,218 4,218 Actual Data Lett Y#ar 2006-07 Adoptad Budget This Yaar 2007-08 Approved Budget Next Year 2008-09 8,000 8,000 XXXXXXXXXXXXXXXX 8,000 8,000 8,000 . 8,000 8,000 8,000 8,000 & Recreation Dletrlct FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED Publish ONLY completed portion of this page Total Anticipated Requirements must equal Total Resources 8 Total Unaoproprlatcd Ending Fund Balance 30000 30000 30000 0. Total Requirements Ö781X) 103000 105000 34000 32000 34000 '5 5 8 OC 890C 0 71000 878UC 103000 105000 1C Total Resources Except Property Tnxea 11 Property T a w Eitimattd lo Be Received 12 Total Resources (ud<J line* 10 and tl) 13 Property Taxes Estimated to be Recervrd 0 ne 11) 7 in o o 09000 :’ f ’ ■ ’ ■ ' v'ilfj'i'Jv ii'5 l?*y *''• M Litimslad PiupO ly TasdS Net li be R w r t d ' ' ' * v' . 94 0 92 A. Loss Due to Constitutional Limit 8 Actual Data Last Year 2006-07 1 Adoptee Budget This year 2007 08 Actual Data Name o f Fund Debt Authoriied. Net Incuireo I H A! Summamea Below Hanne i. t r ' j Discounts. Other Uncollected Amounts :iv:K: ¡ti t;'i 1 if 10 Total Tax Levied (add lines 13 and 14) V- ; ■ + * 1. uVsivret iseMsstni «: -VW44 ut-.*- M-Ù 16 Permanent Rote L»mH Levy (rats Hms_________ ) 4J09 3793 72477 74920 Rate or A m oun t Rate <pr Am oun t 0 .7 3 8 5 0 7 385 17 Local Option Taxes Name of Fund Equipment Reeervy Fun<| 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 & Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Property Taxes Actual Data L M « y « r 2008-07 Adopted Budgat Approved Budget This Y?ar 2Q07-08 Next Year 2008-09 xxxxxxxxxxxxxxxx 19,000 19.OC0 19,000 29,000 10,000 29,000 29,000 10,000 10,000 16 Levy for Bonded Debt or Oniijation?,_____________ Published: April 30 and May 7, 2008 Affidavit Name of Fund Boat Dock Reserve Fund M.C.6.6. Morrow County [Grain Growers m<. LEXINGTON, OREGON 1 800 452-7396 989-8221 WASCO, OREGON - - • 1 - 800 - 824-7185 www.mcgg.net SUPPORTING YOUR COMMUNITY AND PROVIDING: Advertise with the Heppner Gazette-Times * PROPANE SALES AND SERVICE * FARM EQUIPMENT SALES, PARTS AND SERVICE * ATV SALES, PARTS AND SERVICE * FERTILIZER AND FARM CHEMICAL SERVICE * FARM SUPPLIES AND LIVESTOCK EQUIPMENT Call 676-922Ô * DIESEL AND GAS SALES <S) 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 & Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Property Taxes Name of Fund Park Expansion 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 AH Other Expenditures & Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Properly Taxes Adopted Budget Approved Budget This Year 2007-08 Next Year 2008-09 Actual Data Last Ysar 2006-07 3,033 5,550 16,000 5,000 5,550 16,000 5,000 26.550 26.550 26,550 26,550 XXXXXXXXXXXXXXXX 17,303 17.303 17.303 Actual Data Last Yaar 2006-07 Adopted Budget Approved Budget This Year 2007-08 Next Year 2008-09 27,570 37,570 27,570 27,570 37,570 37,570 XXXXXXXXXXXXXXXX 22,570 22,570 22,570 Continued on the next page I cfTiVTTFïTKTB L et the g o o d tim e s coll Murray's Drug is pleased to announce our new BEO FINANCIAL SERVICES A u to m a tic R efills O ption fo r P re s c rip tio n s - Sign up today and forget about having to reorder your maintenance prescriptions each month! 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