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About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 17, 2009)
n TEN - Heppner Gazette-Times, Heppner, Oregon Wednesday, June B , 2009 form LB-1______________________________________________________________________ _________ between the hours of 8 00 and Noon 8 Total Unappropnated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Property Taxes This budget was prepared on lo n e Fund Check this box if your budget only has one fund Telephon« Number C ra ig H o lla n d (5 4 1 )4 2 2 -7 4 1 4 TO TAL OF ALL FUNDS 27876 64836 64836 27 876 441 250 401 916 39 334 441 250 39 334 28 701 562 437 Fee, Assessment or Charge on Property 521 419 41 0 1 8 562437 41 0 1 8 . . 611 2510 41.233 Rate or Amount 4 4288 0 0 41 018 Rate or Amount 4 4288 0 0 0 0 ) 18 Levy for Bonded Debt or Obligations 5 Total Transfers 6 Total Contingencies 9 Total Requirements to Total Resources Except Property Texes To assessor of Bonds Interest Bearing Warrants Other 97848 m Stata 641-422-7414 12-Jun-09 Daytima Talaphona Data City Clerk/Recorder Gayle Eynetlch CERTIFICATION - Check one box [x~] The tax rate of levy amounts certified in Part I are within the tax rate of levy amounts approved by the budget committee I I The tax rate of levy amounts certified in Part I were changed by the governing body and republished as required in ORS 294 435 PART I: TOTAL PROPERTY TAX LEVY Rate or- Dollar Amount Local option operating tax 3 Local option capital project tax 0 $609 715 45 Subject to General Government Limits 1 Rate/Amount levied (within permanent rate limit) 2 4 f u n d s n o t r e q u ir in g a Excluded from Measure 5 Limits Levy for "Gap Bonds" Amount of Bond Levy 5 Levy for Pension and disability obligations p r o p e r t y t a x t o b e l e v ie d Publnh ONLY completed portion ol mis page Total Anticipated Requirem enwutl equal Toni Resources A pp ro ve d B udget A d o p te d Budget T h is Y e a r 2008-09 A ctu a l Data Last Y e a r 2007-08 Oregon lone City Contact Paraon July 1 2009-2010 W a te r U tility I I Check here if this is an amended form _________ County The property tax fee charge or assessment is categorized as stated by this form Mailing Address of District July 1 2009-2010 Revenue Installm ent W ater Bond $617,350 31 l b -2 County County N Estimated Debt Authorized, Not Incurred at the Beginning of the Budget Year form 2009-2010 Morrow Pos Office Box 361 Estim ated Debt Outstanding at the Beginning of the Budget Year Total Indebtedness 28701 65661 65661 has the responsibility and authority to place the following property tax fee charge or assessment on the tax roll of PUBLISH BELO W ONLY IF COMPLETED L o n g -T e rm D e bt 0 36960 t FORM LB-50 File no later than JULY 15 Be sure to read instructions in the 2005-2006 Notice of Property Tax Levy Forms and Instruction bookk City of lone Debt Outstanding Debt Authorized, Not Incurred ______________ \7] As Summarized Below_____________ D u o n e ___________________________ □ * $ Summarized Below □ None 0 0 0 0 0 Notice of Property Tax and Certification of Intent to Impose a Tax, STATEM ENT OF INDEBTEDNESS N am e o t Fund 22478 63133 63133 73 383 00 218 742 3 000 36 960 138 285 63 368 13 Total Property Taxes Estimated to be Received (line 11) 14 Plus Estimated Property Taxes Not To Be Received Estimated Ad Valorem Property Taxes B Discounts Allowed Other Uncollected Amounts 15 Total Tax Levied add Lines 13 and 14 16 Permanent Rate Limit Levy (rate limit 8 Total Unappropnated Ending Fund Balance 71 591 00 120 260 13000 36 960 56 656 114 907 11 Total Property Taxes Estimated to be Received 12 Total Resources add Lines 10 and 11 Tax Levies By Type 40655 Approved Budget Next Year 2009-2010 7 Total All Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements add Lines 1 through 8 10 Total Resources Except Property Taxes Anticipated Resources 7 Total All Other Expenditures and Requirements 3 Total Capital Outlay Adopted Budget Th.» Year 2008-2009 Requirements A p p ro ve d Budget N ext Y e a r 2009-10 0 0 0 0 0 0 36960 2. Total Materials and Services 4 Total Debt Service 3 Total Capital Outlay 4 Total Debt Service Anticipated 10258 10258 A d o pted B u d ge t T h is Y ear 200 8 -0 9 L a st Y e a r 2007-08 S p e c ia l W a te r A c c o u n t 1 Total Personal Services Cheirperson of Governing Body FIN AN C IAL SUMMARY n A ctu a l Data Nam e of Major changes if any and their effect on the budget are explained below M o rro w 0 6024 8524 B524 7 Total Alt Othar Expenditurse end Requirements A copy of the budget may be inspected or obtained at City Hall 385 W 2nd S éZ 11250 11250 6 Total Contingencies a basis of accounting that is consistent with the basis of accounting used during the preceding year County 6508 5 Total Transfers as approved by the City of lone Budget Committee A sum mary of the budget is presented below 5000 4 Total Debt Service The purpose of this m eeting will be to discuss the budget for the fiscal year beginning July 1 2009 750 3000 2500 3 Total Capital Outlay A m eeting of the City of lone (governing body) will be held on -June 23, 2009 at 6 00 pm at lone City Hall 1250 5000 2 Total Materials and Services n o tic e of b u d g e t h e a r in g 6a Levy for bonded indebtedness from bonds approved by voteprfor to October 6. 2001 6a 6b Levy for bonded indebtedness from bonds approved by voteafter October 6, 2001 6b 6c Total levy for bonded indebtedness not subject to Measure 5 of Measure 50 (total of 6a + 6b) 6c N ext Y e a r 200 9 -1 0 PART II: RATE LIMIT CERTIFICATION 23441 00 44750 00 24233 00 33144 00 40655 00 000 40656 00 56933 00 40656 00 10974 00 64664 00 153438 00 153438 00 165780 00 165780 00 109007 00 109007 00 1 Total Personal Services 20669 00 2. Total Materials and Services 27450 00 0 00 3 Total Capital Outlay 7 Permanent rate limit in dollars and cents per $1,000 8 4 Totai Debt Service 5 Total Transfers 6 Total Contingencies 7 Total Ail Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Property Taxes Fund S ta te S tre e t 1 Total Personal Services 2 Total Materials and Services 3 Total Capital Outlay PART III: SCHEDULE OF LOCAL OPTION TAXES - Enter all local option taxes on this schedule _________ __________ ________________ Purpose (operating capital project, or mixed) If there are more than three taxes attach a sheet showing the information for each_______ _________________________ Total tax amount -or- rate Date voters approved First year Final year authorized per year by voters local option ballot measure levied to be levied A p p ro ve d B udget N ext Y e a r 200 9 -1 0 A d o pted B udget This Y e a r 2008-09 A ctu a l Data Last Y ear 2007-08 N am e o f Date received voter approval for rate limit if new district 9 Estim ated permanent rate limit for newly merged/consolidated district 818 00 8842 00 0 00 7120 00 33000 00 000 4974 00 7345 00 152048 00 Pert IV. SPECIAL ASSESSMENTS, FEES AND CHARGES 4 Total Debt Service 000 1 7 Total All Other Expenditures and Requirements 23061 00 32721 00 32721 00 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Property Taxes C o u n ty R oad 1 Total Personal Services 2 Total Materials and Services 3. Total Capital Outlay 45094 00 2 159393 00 159393 00 45094 00 If fees, charges, or assessments will be imposed on specific property within your distnct, you must attach a complete listing of properties, by assessor s account number, to which fees, charges, or assessments will be imposed Show the fees, charges or assessments uniformly imposed on the properties If these amounts are not uniform, show the amount imposed on each property A p p ro ve d B udget N ext Y e a r 200 9 -1 0 A d o pted B udget This Y e a r 2008-09 A ctual Data Last Y e a r 2007-08 N am e o f Fund The authority for putting these assessments on the roll Is iso-904^)73 7 (R«v 12-04) 5270 00 1344 00 0 00 6876 95 7500 00 0 00 7073 00 5500 00 000 7369 00 13983 00 13983 00 000 14376 95 14376 95 000 12573 00 12573 00 6 Total Contingencies 7 Total All Other Expenditures and Requirements 9 Total Requirements 10 Total Resources Except Property Taxes C a p ita l O u tla y 000 000 1 Total Personal Services 2 Total Materials and Services 4 Total Debt Service 5 Total Transfers 6 Total Contingencies 7 Total All Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balance 9 Total Requirements 10 Total Resources Except Property Taxes FORM LB-3 FORM LB-1 NOTICE OF BUDGET HEARING Station, 300 Wilson Rd. The purpose o f this meeting is to discuss the budget for the fiscal year beginning July 1, 2009 as approv ed 000 0 00 000 by the Boardman Rural Fire Protection District Budget Committee. A summary of the budget is presented below. A copy o f the 000 000 000 000 000 000 000 This budget was prepared on a basis of accounting that is consistent with the basis o f accounting used during the preceding year. budget may be inspected or obtained at Boardman Fire Station, 300 SW W'ilson Rd. between the hours of 8:00 a.m. and 5:00 p.m. Major changes, if any. and their effect on the budget, are explained below. Cmam Ciiy D «e Morrow Boardman 06-01-2009 FINANC IAL 3 Total Capital Outlay Adopted Budget This Year 2008-09 Actual Data Last Y ear 2007-08 Requirements A pproved Budget Next Year 2009-10 28562 00 3391000 34732 00 23258 00 32760 00 27300 00 4 Total Debt Service 11000 00 16000 00 97629 00 0 00 48000 00 35500 00 7 Total All Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balance 106038 00 9 Total Requirements 168858 00 130670 00 195161 00 10 Total Resources Except Property Taxes 44144 00 91336 00 154143 00 11 Property Taxes Estimated to Be Received 42488 00 39334 00 41018 00 168858 00 130670 00 195161 00 42488 00 39334 00 4101800 12 Total Resources (add lines 10 and 11) 13 Property Taxes Estimated to be Received (line 11) 4 Total Debt Service Approved Budget Next Year 2009-2010 392 814 00 610,703 00 586 814 00 650 491 00 215 600 00 215 600 00 41.835 00 22 723 00 187 892 00 ....................................... ............................................................................ 5 Total Transfers 1 260 952 00 1.683 520 00 10 Total Resources Except Property Taxes 656 368 00 957 716 00 Anticipated 11 Total Property Taxes Required to Balance Budget 604 584 00 725 804 00 Resources 12 Total Resources • add lines 10 and 11 1 260 952 00 1,683,520 00| 604 584 00 725 804 00 21 742 00 9 Total Requirements - add lines 1 through 8 13 Total Property Taxes Required to Balance Budget (line 11) Estimated 14 Plus Estimated Property Taxes Not to be Received Ad Valorem A Loss Due to Constitutional Limits 18 742 00 Property Taxes B Discounts Allowed, Other Uncollected Amounts 32.647 00 36 290 00 655 703 00 783 836 00 15 Total Tax Levy-add lines 13 and 14 Tax Levies 16 Permanent Rate Limit Levy (rate limit 7464) 0 7464 0 7464 By Type 17 Local Option Levy 0 0 18 Levy for Bonded Debt or Obligations 0 0 14 Estimated Property Taxes Not to be Received STATEMENT OF INDEBTEDNESS A Los» Due to Constitutional Limit B Discounts Other Uncollected Amounts [ ) None 42488 00 15 Total Tax Levied (add lines 13 and 14) Rate or Amount 16 Permanent Rate Limit Levy (rata limit Adopted Budget This Year 2008-2009 8 Total Unappropnated or Ending Fund Balance 0 00 5 Total Transfers 541-481-3473 7 Total All Other Expenditures and Requirements 1. Total Personal Services 6 Total Contingencies Don Russell MMARY 6 Total Contingencies 2 Total Materials and Services 3 Total Capttal Outlay telephone Number 2 Total Materials and Supplies Anticipated G e n e ral SI Ch»irpe«on o f Governing Bod> TO TAL OF ALL FUNDS FUNDS REQUIRING A PROPERTY TAX TO BE LEVIED Publish ONLY completed portion of this page N am e o f Fund [ ] Republic»««, A meeting of the Boardman Rural Fire Protection District will be held on June 18th, 2009 at 7:00 p.m. at Boardman Rural Fire N e xt Y ear 200 9 -1 0 000 0 00 0 00 0 00 000 000 000 0 00 000 000 o"ool 0 00 000 000 000 0 00 5466 00 5466 00 3 Total Capital Outlay A p p ro ve d B udget A d o pted B udget T h is Y e a r 2008-09 A ctu a l Data Last Y e a r 2007-08 N am e o f (see the (>ack for worksheet for lines 6a, 6b, and 6c) Published: June 17,2009 Affidavit 5 Total Transfers 8 Total Unappropriated Ending Fund Balance OR8__________ . (Must be completed If you have an entry in Part IV.) File w ith your assessor no later than JULY 15, unless granted an extension in w riting. 4 Total Debt Service Fund Excluded from M5 limitation Subject to General Gov't Limitations Deschption 5 Total Transfers 6 Total Contingencies 39334 00 Rate or Amount 4101800 PUBLISH BELOW ONLY IF COMPLETED 4 43 4 43 Estimated Debt Authorized, Not Incurred at the Beginning of the Budget Year Estimated Debt Outstanding at the Beginning of the Budget Year Rate or Amount 4 43 ).. Debt Authorized, Not Incurred [ ] None ( l As Summarized Below Debt Outstanding [xj As Summarized Below Long-Term Debt 17 Local Option Taxes Bonds Interest Bearing Warrants 18 Levy for Bonded Debt or Obligations FORM LB-2 FUNDS NOT REQUIRING A PROPERTY TAX TO BE LEVIED S p e c ia l C a p ita l O u tla y A ctu a l Data A d o p te d Budget A p p ro ve d B udget Last Y e a r 2007-08 T h is Y e a r 2008-09 N ext Y e a r 200 9 -1 0 2 Total Materials and Services 0 0 0 3 Total Capital Outlay 0 8000 5000 4 Total Debt Service 0 0 0 5500 5500 8000 5000 5500 5500 8000 8000 10384 10384 0 Estimated Interest Rate Estimated Amount to be Borrowed 200 000 00 General Fund 0 5 Total Transfers 1 407 140 00 Fund Liable 1 Total Personal Services 6 Total Contingencies 1 407 140 00 Total indebtedness Short-Term Debt This budget includes the intention to borrow in anticipation of revenue ("Short-Term Borrowing") as summarized below Publnh ONLY completed portion of ihn page Total Antrcipeted Pequiremenauet equal Total Reiources N am e o f Fund Other Estimated Interest Cost 1400 00 5 00% 0 Published: June 3 and 27, 2009 Affidavit 7 Total All Other Expenditures and Requirements 8 Total Unappropriated Ending Fund Balence 9 Total Requirements 10 Total Resources Except Property Taxes N am e o f Fund DLCDC A ctu a l Data A d o p te d B udget Last Y e a r 2007-08 T h is Y e a r 2008-09 A p p ro ve d B udget N ext Y ear 2009-10 1 Total Personal Services 0 O' 0 2 Total Materials and Services 0 51 0 3 Totai Capital Outlay 0 0 0 4 Total Debt Service 0 0 0 2228 0 0 6 Total Contingencies 0 0 0 7 Total AH Other Expenditures end Requirements 0 0 0 8 Total Unappropnated Ending Fund Balance 0 0 0 2226 2226 0 0 0 0 5 Total Transfers 9 Total Requirements 10 T otil Resources Except Property Taxes A ctu a l Data N am * of Fund Last Y ear 2007-08 S t a t a R e v e n u e S h a r in g A d o p te d B udget T h « Y e a r 200 8 -0 9 Call the Heppner Gazette Today! We can help w ith web site set-up. design and maintenance. (541) 676-9228 david@rapidserve.net A p p ro ve d B udget N e xt Y ear 200 9 -1 0 1 T otai Personal Services ♦ f f