Heppner gazette-times. (Heppner, Or.) 1925-current, June 22, 2011, Page NINE, Image 9

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    Heppner Gazette-Times, Heppner, Oregon
PUBLIC NOTICE
PUBLIC NOTICE
FORM
LB-1
NOTICE OF BUDGET HEARING
FO R M
ED-1
A meeting of the lone School OiUhct will be hetd on June 28. 20’ 1 at 4 QQ B in, « t lone School Pittrici Ceffone. The purpoee
A aummary of the budget it presented below
NOTICE OF BUDGET HEARING
A moating of tha____
□ a .M.
at 7 00 B p . m . at
of (hit meeting ie to dlscuas the budget for the fi »cel year beginning July 1.2011 ■> approved by the lone School Piallici Budget
Committee
Boardman Cemetery Diatnct
S t y ------------------------------------------------------------- --------------------------------------
between the hours of
I Annual period: I ] 2-Year
2-Yet Period
------------
541-422-7131 I
Adoptad Budget
Thi* Y e a r -2 01 0-20 1 ’
1.822,980
Í
$
2 Total Support Services
..........................................
3 Total Enterprise and Community Service»
.......................
4. Total Facilities Acquisition and Construction
Total other Uses (includes Debt Service and Transfers)
Total Contingencies
Total Reserves and Special Payments
Total Unappropriated or Ending Fund Balance
.................
Total Requirements -------
add lines 1 through 8
10. Total Resources Except Property Taxes
11 Total Property Taxes to be Received
Anticipated
Resources
*
12. Total Resources —
1
J
$
$
$
add lines 10 and 11.
13 Total Property Taxes to be received (ime H )
14 Ptua Estimated Properly Taxes Not to be Received
A Loss Due to Constitutional Urn*»
B Discounts Allowed Other uncollected Amounts
19. Total Tax Levy------
add knea 13 and 14
Estimated
Ad Valorem
Property Taxes
3.383,249
751,576
t
4,114.825
»
$
1
3,177.888
890.715
3.888.603 1
751.576
I
880.718
9.685
41,423
802.684
$
$
$
16 Permanent Rale Urmt (rate k/mt 4,0342000!
10.520
32.547
733.782
1
$
$
-L
I
Rete or Amount
4 0342000
20 Local Option Levy
21 Levy lor Peyment of Bonded Debt
270,497
4 0342000
LI
_]
None
PUBLISH BELOW ONL> IF COM PLETED
Estimated Debt outstanding at the
Beginning of the Budget Year
Long-Term Debt
$
FUNDS N O T REQUIRING A
PROPERTY TAX TO BE LEVIED
Publish ONLY competed portion of iha p ig « Total Anticipated Requirements Requirements muet equal Total Resources
Name o 1
Fund
Special Revenue Funds
Actual Data
Last Year 2009-10
1. Total Instruction.......................................................
$
283.930
28,599
103.114
2. Total Support Services ................... .........................
3. Total Enterprise and Community Services
.........
4
5
6
7.
Total Facilities Acquisition end Construction ..........
Total Other Uses
Total Contingencies .... ........................... ............ .
Total Reserves and Special Payments..................
6
Total unappropriated or Ending Fund Baianoo .
9 Total Requirements
....................
10 Total Resources Except Property Taxes ...................
.
Adopted Budget
This Year 2010-11
$
107,167
522,810
522.810
$
*
$
$
Actual Data
Last Year 2009-10
..
388,909
81,574
105,378
Approved Budget
Next Year 2011-12
$
10,000
Name of
Fund
Capital Projects Fund
Total Instruction
$
585,859
585,859
62,230
$
$
Adopted Budget
This Year 2010-11
*
392.019
46,574
117,154
617.977
617,977
Approved Budget
Next Year 2011-12
I
$
2 Total Support Services .............................................
3 Total Enterpnse and Community Services ..............
4
Total Facilities Acquisition and Conatruction
2,435.351
.......
668,000
224,400
5. Total Other Uses.......................................................
6
7
Total Contingencies
Total Reserves and Special Payments .......... .
8
Total Unappropriated or Ending Fund Balance.........
9 Total Requirements
520,294
2,955,645
2,955.645
$
$
10 Total Resources Except Property Taxes
Name of
Fund
Actual Data
Last Year 2009-10
Housing Fund
1
2
Total instruction
Total Support Services
3
4.
5.
6
Total Enterpnse and Community Services
Total Facilities Acquisition end Construction.....
Total Other Uses
Total Contingencies
7
Total Reserves and Special Payments ................
8
Total Unappropnated or Ending Fund Balance.........
668,000
668,000
$
$
$
i
Adopted Budget
This Year 2010-11
224.400
224.400
Approved Budget
Next Year 2011-12
10 Total Resources Except Property Taxes
1.171
5,600
5,600
3,924
5,095
5,095
6,600
5,600
5,600
5,600
FUNDS REQUIRING A
PROPERTY TAX TO BE LEVIED
Publish ONLY completed portion of this page
Name of
Fund
Approved Budget
Next Yeer 2011-12
GENERA L
1. Total Instruction.........................................................
2. Total Support Services...............................................
3. Total Enterprise and Community Services................
4 Total Facilities Acquisition and Construction............
5 Total Other Uses ......................................................
6. Total Contingencies......................... ..........................
7. Total Reserves and Specisl Payments.....................
8 Total Unappropriated Ending Fund Balance.............
9 Total Requirements....................................................
10. Total Resources Except Property Taxes...................
11. Property Taxes to be Received
.............................
12. Total Resources (add lines 10 and 11)....................
13. Property Taxes to be Received (from line 11)
14. Estimated Property Taxes Not to be Received.........
A.
Loss Due to Constitutional Limit........................
B. Discounts, Other Uncollected Amounts
........
15. Total Tax Levy (add lines 13 and 1 4).......................
16. Permanent Rate Limit Levy (rate limit 4.03420001
17 Local Option Levy............................. ..
^ L B ^ ^ v ^ o r^ P a ^ m e n to TB ^ d ^ ^ e W ^ ^ ^ ^ ^ ^
Name of
Fund
D E B T SERVICE FUND
Actual Data
Last Year 2009-10
Adopted Budget
This Year 2010-11
Approved Budget
Next Year 2011-12
1. Total Instruction...............................................................
2. Total Support Services....................................................
3. Total Enterprise and Community Services.....................
4 Total Facilities Acquisition and Construction..... ...........
243,326
5. Total Other Uses
251,576
256.975
6 Total Contingencies
7 Total Reserves end Special Payments ...................
8 Total Unappropriated Endmg Fund Balance
. ......
9 Total Requirements
10 Total Resources Except Property Taxes
....................
11 Property Taxes to tie Received
...............
12 Total Resources (add lines 10 and 11).........................
$
45,129
288,455
$
251,578
$ ^ ^ ^
288,455
288455
$
251,576
251,578 1
251,576
13 Property Taxes to tie Received (from line 11)
»
255,975
86.260
170,715
255,975 1
170.716
14 Estimated Property Tsxes Not to be Received
A
Lose Due to Constitutional Limit
B
Discounts Other Uncollected Amounts ..........
...................
15 Total Tax Levy (edd lines 13 end 1 4)....................
1
2
3
4
5
6
7
8
9
10
11
12
13
14
Total Personal Services
Total Materials and Services
.........................................
Total Capital Outlay............................................ ...............
Total Debt Service ..................................................... .
Total Transfers .......................................................... .
Total Contingencies ........................................................
Total Special Payments
.........................................
Total unappropnated and Reserved for Future Expendrture
Total Requirements add linos 1 through 8
Total Resources Except Property Taxes
Total Property Taxes Estimated to be Received
............
Total Resources - add lines 10 and 11
Total Property Taxes Estimated »o be Received (line 11).
Plus Estimated Property Taxes Not to be Received
A Loss Due to Constitutional Limits ..................................
B Discounts Allowed. Other Uncollected Amounts ........
15 Total Tax Levied-edd lines 13 and 14
18,921
270,497
Rete or Amount
$
To be published for three
consecutive weeks.
P E R S O N A L
REPRESENTATIVE:
Annette Backous
1818 W 16th Ave.
Kennewick WA 99337
509-438-3130
A T T O R N E Y
F OR
PERSONAL
REPRESENTATIVE:
W illiam J. Kuhn, OSB
#762075
Kuhn & Spicer
P O Box 428
Heppner, OR 97836
Telephone: 541-676-9141
Email: wjk@kuhnandspicer.
com
Published: June 8, 15, and
22 , 2011
Affidavit
8,044
178,759
Rete or Amount
NOTICE TO
INTERESTED PERSONS
In the Circuit Court of
the State of Oregon for
the County of Morrow
No. 11 PRO 11
Estate of: Rick S. Smith,
Deceased
Notice is hereby given that
the person named below has
been appointed personal
representative of the estate.
All persons having claims
a g a in st th e e sta te are
required to present them to
the personal representative
at: P.O. Box 218, Pendleton,
OR 97801 w ithin four
months after the date of first
publication of this notice, or
the claims may be barred.
All persons whose rights
may be affected by the
proceedings may obtain
additional information from
the records of the court, the
personal representative or
the attorney.
Dated and first published:
June 15, 2011 Robert H.
Smith Co-Pers. Rep.
67057 Lexington Grange
Rd.
Lexington, Oregon 97839
Linda C. Schultz
Co-Pers. Rep.
1080 N. Ott Rd.
Hermiston, Oregon 97838
Karin E. Dallas
Corey, Byler, Rew, Lorenzen
& Hojem, L.L.P.
222 SE Dorion Ave.
Pendleton, OR 97801
541-276-3331
Published: June 15, 22 and
29, 2011
Affidavit
17 Local Option Lsvy.................... ..... ........
270,497
178,759
PUBLIC NOTICE
Published: June 22 and 29, 2011
Affidavit
IN THE CIRCUIT
COURT OF THE STATE
OF OREGON FOR THE
COUNTY OF MORROW
Probate Department
In the Matter of the Estate
of:
DOROTHY JANE
JACKSON, Deceased.
No. 11 PROM
NOTICETO INTERESTED
PERSONS
N otice is given
that the undersigned has
been appointed and has
541 ) 481-7678
Approved Budget
Next Year 2 0 1 1 -2 0 1 3
38,326
15.000
40,690
10.339J
3.438
63.665
35.110
28,555
63.665
64 62fll
38.960
25,668
q-t.üjd
28,555
Rate or Amount
16 Permanent Rate Limit Levy (rate limit
17 Local Option Taxes
18 Levy for Bonded Debt or Obligations
18 Permsnent Rate Limit Levy (rate limit_________)..... .
PUBLIC NOTICE
(
Adopted Budget
This Year: 2 0 0 9 -2 0 1 1
TOTA L OF ALL FUNDS
PUBLIC NOTICE
I
....
9 Total Requirements.
FORM
ED-3
Telephone number
Blair Purcell
) .....
25.66(1
Rate or Amount
0284
per 1000
0284
per 1000
July 1. 2011
$ 2 ,560,000
FORM
ED-2
1
Boardm an
2 ,560,000
floods
Interest Bearing Warrants
Other
Total Indebtedness
This budget was prepared on
Published: June 22, 2011
Affidavit
Estimated Debt Authorized, Not Incurred at the
Beginning of the Budget Year
July 1,2011
Estimated
Ad Valorem
Property Taxes
Tax Levies
By Type
Debt Authorized, Not Incurred
l J As Summarized Below
LXJ None
12PM
| Chairperson of governing body
j
178.758 I
STATEM EN T OF INDEBTEDNESS
Debt Outstanding
fx] As Summarized Below
Anticipated
Anticipated
Rate or Amount
Taxes
By Typ e
Check this box if your
' budget only has one fund.
10.000
t
and
FINANCIAL SUMMARY
117.184
224,400
S
I City
Morrow
300,975
?
s
62.230
$
370,000 $
420.000
4,114.825 1 -----------------------------3,888.603 1
*
*
...........................
Ôounty
$
%
9AM
a basis of accounting that is: 0 consistent; O not consistent with the basis of accounting used during the preceding year. Major
changes, if any, and their effect on the budget, are explained below. This budget is for: □ Annual Period; 0 2-Year Penod.
Approved Budget
Next Y e a r -2011-2012
1,686 687
$
1.046,167
1.041,393
105.376
668,000
297.076
5
2 Marine Drive
(Straat address)
TäaäCTsas
J o « M c E llig o tt
T O T A L A LL FU N O S
1 ToW instruction .................................
_____ Budget Committee.
(Municipal corporation)
FIN A N C IA L SUM M AR Y
5.
6
7
8
9.
________Cemetery Diatnct
A summary of tha budget is presented below. A copy of the budget may be inspected or obtained at
t it for: I
Siware«™ of S e v e ri* 5ody ----------
Io n «
Requirements
The purpose of this meeting is to discuss the budget for
This budget was prepared on a basis ot accounting that is
I X I Consistent; [ J not consistent with the oasis ot accounting used dunng the preceding year
Anticipated
(Data)
________ 2 Marine Drive
tha «acal year beginning July 1, 2011 as approved by tha
M o rro w
Juna 27, 2011
will be halb on
(Governing body)
A copy of the budget may be inspected ot obtained at 445 Sonna Street
lone Oregon between the hours of 9 00 a m and 3;00 p m
¿o u n ty
Wednesday, June 22,2011 NINE
qualified as the personal
representative of the estate.
All persons having claims
a g a in st the e sta te are
required to present it, with
proper vouchers, within
four months after the date
of first publication of this
notice, as stated below, to
the personal representative
at the offices of Kuhn &
Spicer, 267 N. Main Street,
P.O. Box 428, Heppner,
Oregon 97836, or they may
be barred.
All persons whose
rights may be affected by
the proceedings in this
estate may obtain additional
in fo rm a tio n from th e
records o f the court, the
personal representative or
the attorney for the personal
representative.
DATED and first
published June 8, 2011.
Annette Backous, Personal
Representative
1818 W 16th Ave.
Kennewick WA 99337
TRUSTEE'S NOTICE OF
SALE
A default has occurred
under the terms of a trust
deed made by Wayne H.
Schwabrow and Brenda
Schwabrow, tenants by the
entirety, as grantor to Kelly
D. Sutherland of Shapiro
& Kreisman, as Trustee,
in favor of Union Planter
Bank, NA, as Beneficiary,
dated December 30, 2003,
recorded January 16,2004,
in the mortgage records of
Morrow County, Oregon,
as Doc. # 2004-10032,
beneficial interest having
been assigned to EverBank,
as covering the following
described real property:
Parcel 2 of Partition Plat
1995-8, in the County
of Morrow and State of
Oregon. COMMONLY
KNOWN AS: 78539 Paul
Smith Road, Boardman, OR
97818. Both the beneficiary
and the trustee have elected
to sell the said real property
to satisfy the obligations
secured by said trust deed
and a notice of default has
been recorded pursuant to
Oregon Revised Statutes
86.735(3); the default for
which the foreclosure is
made is grantor's failure to
pay when due the following
sums: Monthly payments
in the sum of $1,129.84,
from January 1, 2011,
and m onthly paym ents
in the sum o f $976.27,
from February 1, 2011,
together with all costs,
disbursements, and/or fees
incurred or paid by the
beneficiary and/or trustee,
their employees, agents or
assigns. By reason of said
default the beneficiary has
declared all sums owing on
the obligation that the trust
deed secures immediately
due and payable, said sum
being the following, to-
wit: $115,867.09, together
with interest thereon at the
rate o f 6.5% per annum
from December 1, 2010,
together with all costs,
disbursements, and/or fees
incurred or paid by the
beneficiary and/or trustee,
their employees, agents or
assigns. WHEREFORE,
notice hereby is given that
the undersigned trustee will
on October 11, 2011, at the
hour of 11:00 AM PT, in
accord with the standard
time established by ORS
187.110, at the m ain
entrance to the Morrow
County Courthouse, located
at 100 Court Street, in the
City of Heppner, County of
Morrow, State of Oregon,
sell at public auction to the
highest bidder for cash the
interest in the said described
real property which the
grantor has or had power
to convey at the time of
the execution of said trust
deed, together with any
interest which the grantor
or his successors in interest
acquired after the execution
of said trust deed, to satisfy
the foregoing obligations
thereby secured and the
costs and expenses of sale,
including a reasonable
charge by the tru stee.
Notice is further given to
any person named in ORS
86.753 that the right exists,
at any time that is not later
than five days before the
date last set for the sale,
to have this foreclosure
proceeding dismissed and
the trust deed reinstated by
paying to the beneficiary
of the entire amount due
(other than such portion of
the principal as would not
then be due had no default
occurred) and by curing any
other default complained
of herein that is capable of
being cured by tendering
the performance required
under the obligations or
trust deed, and in addition
to paying said sums or
tendering the performance
necessary to cure the default,
by paying all costs and
expenses actually incurred
in enforcing the obligation
and trust deed, together with
trustee's fees and attorney's
fees not exceeding the
amounts provided by said
ORS 86.753. In construing
this notice, the masculine
gender includes the feminine
and the neuter, the singular
includes the plural, the
word "grantor" includes any
successor in interest to the
grantor as well as any other
person owing an obligation,
the performance of which is
secured by said trust deed,
and the words "trusteed am) ^
"beneficiary" mrlutlr their ~
respective successors in
interest, if any. Also, please
be advised that pursuant
to the terms stated on the
Deed of Trust and Note,
the beneficiary is allowed to
conduct property inspections
while property is in default.
This shall serve as notice
that the beneficiary shall
be conducting property
inspections on the said
referenced property. The
F a ir D ebt C o lle c tio n
Practice Act requires that
we state the following: This
is an attempt to collect a
debt, and any information
obtained will be used for
that purpose. If a discharge
has been obtained by any
party through bankruptcy
proceedings: This shall
not be construed to be
an attempt to collect the
outstanding indebtedness or
hold you personally liable
for the debt.
D ated: 06-08-2011 By:
_/s/:Kelly D. Sutherland
K E L L Y
D .
SUTHERLAND
Trustee
S H A P I R O
&
SUTHERLAND, LLC
5501 N.E. 109th Court,
Suite N
Vancouver, WA 98662
w w w .sh ap iro atto rn ey s.
com/wa
T elephone: (360) 260-
2253
Toll-free: 1-800-970-5647
S&S 11-106631
Published: June 15, 22, 29
and July 6, 2011
Affidavit
Deadline
for legal &
classified
advertising
Mondays at
5:00 pm