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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 4, 2008)
EIGHT - Heppner Gazette-Times, Heppner. Oregon Wednesday, June 4,2008 PUBLIC NOTICE PUBLIC NOTICE FORM LB 1 A NOTICE OF B U D G ET HEARING meeting of me at Pott n 1 Jl) o t r ^ r jy i _____________(g o v tm rg body) «dll M dolo on FORM NOTICK Of BOOOCT HEARING LB-1______________________ __________ ___________ ____________________________________________ ___________________________________ A meeting ot the Oregon Tra l Library District wH be hekJ on Wednesday. June 11. 2000 at 6 pm at the Boerdman Library. 200 Soirih Mam Street. Boardman. Oregon The purpose ot this meeting w«a be to discuss the budget for the fecal year oegmrmg July 1. 200«. as approv'd by tha Oregon Tran LRrary Desna Budget Committee A summary of the budget t presented below A copy of the budget may be inspected or obtained at the Boardman Library, 200 South Mam Street, Boardman. Oregon, between the hours of noon and 5 pm This budget was prepared on a base of accounting that is consistent with the basis of accounting used during me preceding year Manx chanoes. » anv. and ties effect on the budget, are explained below TNs budget • for X Annual Period 2-Year Penad Oy do of Governing Body Telephone Number 541-481-2886__________ Morrow Boerdmsn Annate S FINANCIAL SOMMAR nr " Approved Budget Adopted Budget Next Year 2008^2009 TOTA^ ÇF ACL FUNOS This Year 2007 2008 1 budget only ns* on« fund 160,546 238,132 2 Total Materials and Supples 3 Total CaprtW Outlay 41 400 Anticipated 16 128 4 Tota* D e « Service Requirement* 36.501 3,386 0 Total Conangenaes 7 Total Reserves and Spaas! Payments 0 20.000 ___________ 8 Total Unappropriated Ending Fund Balance 518,071 9 Total Requirements - add Lines 1 through a 7BT.801 10 Total Reaources Except Property Taxes Anbapeted 220.270 11 Total Property Taxes Estimated to be Received Resources 518,071 12 Total Resourcee add Lines 10 and 11 220,270 13 Total Property Taxes Estimated to be Received (lins 11) 1« Plus Estimated Property Taxes Mol To Be Received Estimated Ad Valorem A Lost Oue to Constitutional Limits 18,326^ Property Taxes . B Discounts Allowed. Other Uncollected Amounts - 238,506 k IS Total Tax Lavtad Rate or Amount Rate or Amount Tax Levies 0 2538 10 Permanent Rate Limit Levy (rate limit 0 2636 )............ . 0 2538 0 0 By Typs 17. Local OpOon Taxes 0 0 1« Levy to. BooooQ PetA 0« OtoXgaCon. _ _ STATEMENT OF INOEBTE DRESS Debt Outstanding I Debt Authorized, Not Incurred J u r » 11_____, Î008 Riverfront Cortot. Boerdman. Qfi________ Pie pt-ipou of Vue meeting will bo to dscuM ito t x o g « •ot tno t ic * yeei beginning July 1 7008, •> approved by t h e ______ __________Pott of Morrow_______Budget CorTir-vtS*« A summery of tro Dudget t ototonlod oofow A copy of mo budget ntoy bo .rnrorted tu obtained at Port of Morrow Riverfront Contot__ J i Monne Onve Boerdmen OR_ _______ be«wear trio nouri of 8.00 o M o fo of a cco u n tin g that • X arr. and _8:00 pm_ Th.« budget wo* preoared on noniistent_____ not ennsetant w ir me bens of accounting uaed during the preceding year t on 1 ns X ----------- Numbs» fchairperssr 0 » Qovs^ng Body “ Marvin Padberg Morrow 5 4 1 -4 8 1 -7 6 7 8 FINANCIAL SUMMARY G o t e c k t n is OOK if your 6«x)getc mty -*• ore r jr d TO TA L O F ALL FUN D S A d op tee Bu d ge t A p p ro v e d Bu d ge t T h u Y e a r 2 0 0 7 -2 0 0 6 Next Y e a r 2 0 0 6 -2 0 0 6 2 526 .6 0 0 1 Total Per tons i S e rvie ««............... 2 .4 8 1 .0 3 « 2 2 ,3 2 4 .4 0 0 2 ,8 83 050 6 ,3 2 6 ,3 1 0 14,888 0 0 0 Total Materiate end Supplies 3 Total Capital Outlay ...................................................................... Artftcroetfid 4 T ot»i Oect Serv e* ....................................................... Requirements S 6 Tota* Traneftee ........................................................................... 1 Mai Gontm gane*' ................................................ 3,6 18 ,00 4 6.691 3 Î 3 1 213 2 50 307.088 2 0 1 ,2 0 8 T2 .7 0 1 7 ’ oiai Rasar ves and Spadai **aymenis_____________ 9 Tote unappropriated f'Yfcng P jn ò Batanea Antic paved Resources 2 4 0 ,0 0 0 190,000 18.34 6 ,8 (7 « 24 405 .9 0 9 16,26 4 064 2 4 3 1 8 .8 4 4 ... 9 Total Raqu.ram ants a o û --n a s 1 ttwouoh 8 10. Teta Resources Except prooerty t u m 11 T orn P-operty Tesas E s m u ta d to 0 « Received "2 Tosai a s s o ureas edd Linee 10 and 11 6 4 ,4 1 0 89.14 8 18 3 4 8 .9 7 4 24 4 3 6 .r o » 4 ,4 1 0 09,14 6 13 Tota* Property Tamis Eshmeted to be Received (Ime 11) Eettmeted Ad Ve-orem 14 Plus Lsomated Properly Texes Not To Be Re ce ive d ........ A Property T exes -q F T -.-. Total ax Levied ...................... .................. 4 ,7 6 3 4,892 B 9 ,t Z 3 K ate or A m o u n t ^ 93,637 10 Permanere Rate Land Levy (rata imit 0641 IT . Local Option Taxes ) ........ . . Juty 1 2008 Bonds Interest Bearing Warrant* ........ Other S o « u » Own* FM. le u * 150,000 T*Mt IndaMadnMt _ . Short- Term Debt This budget includes the intention to borrow in enSgpatioo at revenue f Short-Term Borrow mg’ ) as summarized beiow Est* mated Estimated Amount Fund Liable I merest Rate R ete o r A m O o rt 0.0841 00841 ..................... ................................. . 14,601 243 3 « Estimated D<*x Authorized. Not Incurred at the July 1 2008 Loss Due to Constrtutonal L a nd s................................... . 0 . Discounts Afowed. Other Uncollected Amounts 4« Ta x Levies By Typ « --------------- PUBLISH BELOW ONLY W COMPLETED Estimated D e « Outstanding at the Long-Term D e « 160,984 271.531 50,000 17.439 73.942 3 365 0 ».0 0 ° 597,241 368 484 Z & J 57 597.241 0 Estimated ____________ ' W y o Cosi____________ |18 Levy for Bonded Debt or O b ig stion s............ S T A T E M E N T O P IN O S S T E D N E S S Dan Oulstandiirio D e b t A uth o rize d. N ot 0 X» Se m ifu sa Below treurrad Q 0None FORM LB-2 As Sum m ar ted Below P U B L I S H B E L O W O N L Y IF C O M P L E T E D Estim ated O e b t Authorized, N o t In c u n e a et tre B e g inn in g o f Oie B u d ge t Y e e r Estim ate d D e t t O u tsta nd in g at the L o n g -T e r m D e b t B e g in n in g of the B u d g e t Y e a r Publish ONLY completed portion of this page Total Anticipated Requirements im ut equal Total Resource» July 1 2000 Jury 1 200* Name of Fund 39.69 6 000 Bonds .... .................................... Interest Bearing Warrante Other 1 1,21 7 .4 75 T o t ti Indebtedness . ................. ------------------------- 3 0 ,9 1 2 ,4 7 5 _________________________ Estimated Amount to be Borrowed Estimated Estimated 4. Total Debt Service............................................. intateat Rate interest C o a l 5. Total Transfers.................................................. 6. Total Contingencies.......................................... 7. Total Reserves and Special Payments............ 34,800 25,000 16.682 36,800 25,000 10 Total Resources Except Property Taxes Nam« of Fund Irrigon Library Building Reserve 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 ve d B u d g e t L a s t Y e a r 2 0 0 6 -0 7 T h is y e a r 2 0 0 7 -0 8 N e x t Y e a r 2 0 0 8 -0 9 1 Total Personal Services.................................... General Fund 2. Total Matartaia and Services 4 Total Debt Service.................................... S Total Capital Oudey 6. Total Contingencies........................................... 5. To ta l Tranalbr*.............................................. - .......... 7. Total Reserves and Special Payments............. Total Contingencies.. .......................... - ....................... 112,593 157,581 25,000 50,000 137,593 207,581 8 Total Unappropriated Ending Fund Balance ... 7. Totel Reserves and Special Payments .................... 17,443 9 Total Requirements Total Unappropriated Ending Puna B e le n o e ........... 10. Total Resources Except Property Taxes....... 9. Total Requirements......................................................... 10 Total Rasourcaa Except Props-ty taxes 17,443 5. Total Transfers.................................................. ................................. ................... a. Total Debt S ervice..................................... ................... .......... 1 1 Property Taxes Esttne le d to Be Reoeived FORM LB-3 12 Total Resouroee (edd lines 10 and 11)................... 13 2,000 16.682 8. Total Unappropriated Ending Fund Balance..... 1. Total P atsorel Seryioas................................................. 8 A p p ro ve d B u d g e t N e x t Y e a r 2 0 0 8 -0 9 9. Total Requirements........................................... 2. Total Matenals and Services............................ 3 Total Capita' Outlay........................................... 8 A d o p te d B u d g e t T h is y e a r 2 0 0 7 -0 8 3. Total Capital Outlay........................................... Puo' »11 O N L T oomolatafl oo-tion of bile w p f Name of Fund A c tu a l D a ta L a s t Y e a r 2 0 0 6 -0 7 2. Total Materials and Services............................ FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED FORM LB-3 Grant Fund 1. Total Personal Services ................................. o -N e budget include» ine nienupn io Bonow n srtctpeeon of revenue fS b o n -Te n n Bo'iowing*) ee suminenseo oelow Fund L ia b le FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED Property rexes Estimated to be Received rime 11) FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED 14 Estimated Property T a n s Not to be Reoeived A Lose Oue to Constitutional Limit.......................... B D e c o u rts otnoi Unooeeoted Amounts 18. Total Tax Levied (to d Pies 13 and 14) Publish ONLY completed portion of this page ■ ----------- ---------------------r - j . -----------------------------’ - Name of 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 Last Y e a r 2 0 0 6 - 0 7 T h is y e a r 2 0 0 7 -0 8 N e x t Y e a r 2 0 0 8 -0 9 1 4 9 ,5 0 7 1 5 8 ,5 4 5 i 17. LOOSI Option Texes 2. Total Matenals and Services........ ......................... 7 6 ,8 7 1 8 9 ,5 8 8 1 « 3 Total Capital Outlay................... ............................... 788 0 4. Total Debt Service..................................................... 1 8 ,5 8 8 1 8 ,1 2 8 ^ 3 7 ,0 0 2 5 9 ,9 9 0 1 0 7 ,5 8 1 3 ,3 6 5 3 ,3 6 5 _ ). le v y ror Bonded Debt or C FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED 6. Total Contingencies............................................... Totst Antiopa teQ R eqursm «nta n»uel »q u a i Total R— ou r e t Actual Data Last Year 2006-07 Enterprise Fund 1. Total Personal Services ......................... 1,947.212 1,981.706 6,946 067 16.093 090 _____ 148.000 2. Total Materials and Services 3. 4. Total Capital Outlay .............................. Total Debt Service ................................. ......... 6. Total Tran stars ................................................... 0. Adoptad Budget Thia year 2007-06 Total Contingencies................................................ Approved Budget Next Year 2008-09 1.996.636 2.015.400 4.581.000 8.583 813 201,208 49,788 2.302.100 2.236.080 14,888,000 3 458 611 196.250 308.008 40.000 16.467.848 15.457,845 40,000 23,434,019 23,434,019 7. Total Reserve« and Special Payments .......... 6 797,884 26,914,648 25,914,848 Total Unappropriated Ending Fund Baianea ............................. Except Property Taxes. . 9. Total Requirements 10. Total Resources Name of Fund Actual Data Lest Year 2006-07 Eeet Beech Utility Fund Adoptad Budget This year 2007-08 58,400 110,000 50 000 97,500 1. Total Perianal Services ............................ 2 Total Materials and Services ...................... 3 Total Capital Outlay ................................. 4. Total Debt Service ................................... Tr»n«ter» ..................................... .............................. Total Reserves and Special Payments .......... 5. Total 20,326 0. Total Contingencies 7. 10.000 346.228 B Total Unappropriated E n O n g Fund Balance... . 0 9 Total Requirements ............................................ _______________ au a * J 2 J Í Ü ! " « « o -(° e a Except P f o g y ? T a x e a ______ ~ 0 1 7 .4 3 9 7. Total Reserves and Special Payments ....................... Total Unappropnated Ending Fund Balance .......... 2 0 ,0 0 0 2 0 ,0 0 0 2 0 ,0 0 0 9. Total Requirements ............................................................ 3 0 2 ,7 5 6 3 4 9 ,6 1 6 3 9 8 ,2 9 9 8 Neme of Fund '■‘ U H L . ' 8 8 ,9 5 0 Approved Budget Next Year 2008-09 54,100 110.000 50,000 159,393 15,000 16.157 10,000 414,850 414,850 10 Total Resources Except Property Taxes...... ......... 1 0 9 .3 4 5 1 3 3 ,3 0 0 1 6 9 ,5 4 2 11 Property Taxes Estimated to Be Received ............. 2 0 5 ,3 6 1 2 2 0 ,2 7 0 2 2 8 ,7 5 7 12. Total Resources (add lines 10 and 1 1 )................... 3 1 4 ,7 0 6 3 5 3 ,5 7 0 3 9 8 ,2 9 9 2 2 8 ,7 5 7 2 2 0 ,2 7 0 13. Property Taxes Estimated to be Reoeived (line 11) 14 Estimated Property Taxes Not to be Received M W = Z -----------T T - » A. Loss Due to Constitutional Limit ........................... B Discounts, Other Uncollected Amounts............ 15. Total Tax Levied..................................................... é t ì 1 6 ,3 2 6 14,601 2 3 6 ,5 9 6 243,358 Rate or Amount Rate or Amount 16 Permanent Rate Limit Levy (rate limit 0.2538). ■ E 17. Local Option Taxes.................................................. 18. Levy for Bonded Debt or Obligations...................... Name of Fund Debt Service M M 0 .2 5 3 6 0 .2 5 3 6 íT & s i Publish O N L Y completed portion of thi» papa 5. Total Transfers......................................................... fÜ Ü 0841 FORM LB-2 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 s t Y e a r 2 0 0 6 -0 7 T h is y e a r 2 0 0 7 -0 8 N e x t Y e a r 2 0 0 8 -0 9 1. Total Personal Services ............................................. 2. Total Materials and Services...................................... 3. Total Capital Outlay..................................................... 1 8 .5 8 8 1 8 ,1 2 8 1 7 ,4 3 9 1 8 ,5 8 8 1 8 ,1 2 8 1 7 ,4 3 9 11, Property Taxes Estimated to Be Received 1 6 ,5 8 8 1 8 ,1 2 8 1 7 ,4 3 9 12. Total Resources (add lines 10 and 11)................ 1 8 ,5 8 8 1 8 ,1 2 8 1 7 ,4 3 9 4. Total Debt Service....................................................... 5. Total Transfers......................................................... 6. Total Contingencies.................................................. Published: June 4, 2008 A ffidavit 7. Total Reserves and Special Payments.................... 8 Total Unappropriated Ending Fund Balance.......... 9. Total Requirements.................................................... i 1 6 0 ,9 6 4 1. Total Personal Services............................................ 18. Permanent Kate U rn « Levy (rate Unit PUBLIC NOTICE PUBLIC NOTICE COUNCIL MEETING A public m eeting o f the Common Council o f the City o f Heppner, Morrow County, Oregon, to adopt an ordinance will be held June 9, 2008 at 7:00 pm , at H eppner C ity Hall, 111 N. Main, Heppner, Oregon. On Monday, June 9,2008, at 7:00 pm, at Heppner City Hall, the Heppner Common Council will hold a public hearing on the adoption o f O rdinance Number 564-08, an ordinance eliminating the St. Patrick’s Hotel Construction Fund and declaring an emergency. Cop ies of the ordinance are avail able at City Hall for public examination. This is a public m eeting were deliberation o f the Com mon Council will take place. Any person m ay appear at the meeting and discuss the proposed ordinance with the Council. /s/ Steve Bogart, City Recorder Published: May 28 and June 4, 2008 Affidavit MORROW COUNTY LAND USE HEARING THE MORROW COUNTY COURT will hold the follow ing hearing o f public interest on W ednesday, June 18th, at 10:00 a.m. at the Port o f Morrow Riverfront Center in Boardman, Oregon. C om prehensive Plan a nd Z o n in g M ap A m e n d m ents A C (M )-0 0 5 -0 8 and AZ(M)-007-08: City of Board- man, applicant and Mike and Carol Allison, owners. Prop erty is described as tax lot 605 of Assessor’s Map 4N 25 16, is zoned Suburban Resi dential (SR-1), and is within the Boardman Urban Growth Boundary. This is a county action being done concurrently with actions by the City o f Boardman. Request is to ap ply county zoning to .77-acre that is proposed to be removed from the Boardman City Lim its. Two Planning Commission hearings have been held with a recommendation to the County Court to adopt as presented. Criteria for approval include MCZO Article 8 Amendments S ection 8.050 B urden and Criteria. Opportunity to voice sup i port or opposition to the above proposals or to ask questions will be provided. Failure to raise an issue in person or by letter or failure to provide sufficient specificity to afford the decision maker an oppor tunity to respond to the issue precludes appeal to the Land Use Board o f Appeals based on those issues. Copies of the staff report and all relevant documents will be available after June 6, 2008. F o r mo r e i n f o r ma t i o n , please contact the Planning Department at 541-922-4624 or 541-676-9061 extension 5503. DATED this 30th day o f May 2008 MORROW COUNTY PLANNING DEPARTMENT Published: June 4, 2008 Affidavit PUBLIC NOTICE Notice o f Proposed Revenue Sharing The Town Council o f the Town O f Lexington, Morrow County State o f Oregon, w ill hold a public hearing regarding the State Revenue Sharing, for the fiscal year July 1 st 2008 to June 30th, 2009 at Lexington Town hall, 150 W. Main Street. 10. Total Resources Exoapt Property Taxes............. 13. Property Taxes Estimated to be Received (line 11) 14. Estimated Property Taxes Not to be Reoeived A Loss Due to Constitutional Limit....................... B Discounts, Other Uncollected Amounts 15. Total Tax Levied..................................................... 16 Permanent Rate Limit Levy (rate limit 0 2536) 17 Local Option Taxes.......................................... 18 Levy for Bonded Debt or Obligations............. HÜHH ■ ‘i 1 8 ,1 2 8 mmrnMmm wm m m œm 'wMÉkLr.: Íl 11. [ | i ^ P H ¡ p ¿ .. ÿ à 1 7 ,4 3 9 mMMMMm. 1 7 ,4 3 9 1 8 ,1 2 8 Rata or Amount Rate or Amount 0 .2 5 3 6 0 .2 5 3 6 mmmm- Published: June 4, 2008 A ffidavit The meeting will take place on the 10th o f June, 2008 at 7:00 pm. The purpose of the hearing is to receive testimony regarding the use of State Rev enue Sharing. This is a public meeting where deliberations of the Town Council will take place. Any person may appear at the meeting to discuss the proposed program with the Town Council. Published: May 28 and June 4. 2008 Affidavit PUBLIC NOTICE Morrow County Citizens A public m eeting o f the Morrow County Special Trans portation Board will be held on June 10,2008 at 5:00 pm at the Morrow County Court House Annex, 150 Rock Street, Hep pner, Oregon. Gayle L. Gutierrez Morrow County Treasurer Published: June 4, 2008 Gazette-Times E-mail Addresses: To submit news and advertising by e-mail: All news items: editor@rapidserve.net or david@rapidserve.net AH advertising & legale: steph@ rapidserve.net or devid@ repidserve.net Publisher: W e P rin t Business Forms david@repidserve.net Heppner G -T 188 West W illow - 676-9228 Please only use these addresses from now on ì