Heppner gazette-times. (Heppner, Or.) 1925-current, June 06, 2012, Page SEVEN, Image 7

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    Heppner Gazette-Times, Heppner, Oregon
JU L IE 'S H EA LTH IER
C H O IC E -O R G A N IC /
PESTIC ID E FREE
PRODUCE 490 E HWY
7 3 0 , 1 R R IG O N , O R.
97844. Julie 541-377-5931
Featuring local organic
asparagus at $ 1.491b Hrs-
9 .3 0 a -5 .3 0 p -M -F , Sat
9.30a-2p,Closed Sunday
6-6-lc
HELP WANTED
Seeking part-time to full­
tim e sum m er w ild lan d
firefighter, must be 18 or
over, able to be away from
home for up to 14 days,
may travel out-of-state,
transportation provided,
pay DOE, call Tonja or
Bruce, 541-676-5309.
6-6-2x
NOTICES
P
To my Avon customers, 1
am home. New customers
call Judy 541-676-9936
6-6-lp
SERVICES
V e te ra n ’s
Services
First Thursday
of each month
Gilliam Building, Heppner
Please call for Appointment
Phone 541-922-6420
Please leave a detailed message
FOR SALE
2004 Honda CRF 100 Good
Condition $1,200. 541-422-
7310
6-6-lc
CALL FOR
SEALED BIDS
Columbia Basin Electric
Co-Op has declared the
following items as “surplus
equipment” and is calling
for sealed bids on their sale.
The items will be sold “as
is”, “where is”. The Co-Op
reserves the right to reject
any and/or all bids. Closing
date for bids is Thursday,
June 7th, 2012, at 4:30 p.m.
in the Heppner Office of the
Cooperative. The units may
be viewed and inspected at
the Heppner facility.
1997 C h ev ro let
K1500 Extended-Cab 4x4
P.U. 142,034 miles, 5.7L
V-8, Auto, Air, Pwr Win &
Locks, CD, Tlr Pkg. Very
clean Unit.
2009 D ouble-R
25k-GVW, Tandem-Dually,
Tongue-Pull Trailer. Electric
Brakes. Nice Unit.
S h o p -M a d e F la t-B e d
Trailer. Dual Axle, 8k
GVW.
1990 Shop-Made Utility
Trailer w/20” sidewalls.
Tilt-Box, Pintel Hitch.
Columbia Basin Electric
C o-O p, P.O. Box 398,
Heppner, Oregon 97836.
5-30-2c
Deadline for legal
and Classified
Advertising Monday
at 5:00 pm
U
B
L I C
N
O
T I C
E
Public Hearing
Sperry Street in Lieu of
S p e rry S tre e t B rid g e
-Project
On June 26, 2012 from
6:0 0 P.M. u n til ab o u t
7:30 P.M. representatives
from ODOT and Heppner
Public Works will be at
Heppner City Hall, 111
N. Main street, to display
and discuss the proposed
design o f the new street.
This is your opportunity to
provide public input for the
design, to voice concerns
you may have or just to
satisfy your curiosity. This
proposed street will replace
the existing Sperry street
bridge, which will be tom
down.
Dave De Mayo
CM
Heppner
Published: June 6 and 13,
2012
P
U
B
L I C
N
O
T I C
E
MORROW COUNTY
LAND USE HEARING
THE MORROW
COUNTY P LANNI NG
COMMISSION will hold
the following hearing of
public interest on Tuesday,
June 26, 2012, at 7:00 p.m.
at the Heppner City Hall,
Heppner, Oregon.
Hardship Variance
HV-N-022-12: Joseph and
Angela Wells, applicant
and owner. The property is
described as Tax Lot 901 of
Assessor’s Map 5N 27 21C.
The property is located in
eastern Morrow County
south o f H ighw ay 730,
outside of Irrigon’s Urban
Growth Boundary and is
zoned Rural Residential.
Request is to approve a
hardship dwelling to allow
the property owner to care
for the infirm relative.
Criteria for approval include
Morrow County Zoning
Ordinance Article 4 Section
4.130 Hardship Dwellings.
Replat R-N-029-12 and
Land Partition LP-N-431:
Port of Morrow, applicant
and owner. The property
is described as Parcel 2 of
Partition Plat 2011-19 of
Assessor's Map 4N 26 06.
The property is located in
the Port o f Morrow East
P
U
B
L I C
N
O
T I C
Beach Industrial Park and
is zoned Port Industrial.
Request is to replat and
partition the parcel into
two parcels. Criteria for
approval include Morrow
County Subdivision
Ordinance (MCSO) Article
5 Land Partitioning.
Land Partition LP-
N-432: Port o f Morrow,
applicant and owner. The
property is described as Tax
Lot 300 o f Assessor’s Map
4N 25 12. The property is
located in the East Beach
Industrial Park on the North
side o f the Interstate 84
Highway 730 Interchange,
and is zoned Port Industrial.
R equest is to p artitio n
the p arcel to facilitate
construction of a substation.
Criteria for approval include
M CSO Art i cl e 5 Land
Partitioning.
Opportunity to
voice support or opposition
to the above proposal 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 opportunity to respond to
the issue precludes appeal
to the Land Use Board of
Appeals based on those
issues.
Copies o f the
staff report and all relevant
documents will be available
after June 15, 2012. For
more information, please
c o n t a c t t he P l a n n i n g
Department at 541-922-
4624 or 541-676-9061,
extension 5506.
DATED this 6th day o f
June, 2012
MORROW COUNTY
P L A N N I N G
DEPARTMENT
Published: June 6, 2012
Affidavit
Wednesday, June 6, 2012 - SEVEN
between 3:00 pm to 7:00
pm Monday or Wednesday.
This is a public meeting
where deliberation o f the
Budget C om m ittee will
take place. Any person
may appear at the meeting
and discuss the proposed
programs with the Budget
Committee.
Published: May 30 and June
6 , 2012
Affidavit
Budget C o mm i t t e e o f
the H eppner Rural Fire
Protection District, Morrow
County, State o f Oregon,
on the budget for the fiscal
year July 01, 2012 to June
30, 2013 will be held on
Thursday, June 18th, at 7:00
p.m., at 171 Linden Way,
Heppner, Oregon (Columbia
Basin Electric conference
room). The purpose of the
meeting is to receive the
budget message, discuss the
proposed budget, and hear
public comments on same.
P U B L I C
N O T I C E
A
copy o f the budget
Notice of Budget Comm ittee
document
may be inspected
Meeting
or
obtained
at the meeting,
A public meeting o f the
P
FO R M
L B -1
B
L I C
N
O
T I C
E
N O T IC E O F B U D G E T H E A R IN G
marnino of ma
A
U
or after June 18th at 180
Rock S treet, H eppner,
Oregon, between the hours
of 5:30 p.m. and 8:00 p.m.
The proposed budget is for
a one-year period, and will
be prepared on a basis of
accounting that is consistent
with the basis of accounting
used during the preceding
year.
This is a public meeting
where deliberation o f the
Budget Committee will take
place. Public questions and
comments are invited.
Published: June 6 and 13
2012
Affidavit
IRFPD 6-604
will be held on
at 7:30 [“lam. at
B3 p m .
June 11, 2012
tO iM M ig O x M
Th» Iona F n Had
„ Oregon. T h » ournoa» of thro rtiaabng » to di»cu»» tha budgat for m»
H o S fc -J
flaotf y«ar btofming
IRFPO
1.20_1Z_ «a «pprowxf by m*_
b u d g « >* praaaniad bekw A oopy o* t* » budg* may b » ««p »c1 * d or
_batw»»n (ha hour» of
T ill» budgal la lor « 1
Biannual: □
_ B udgd Oom m ns*. A (u rra iw y <4 t t «
MC GO
* _____
«.m.. and ^0 0 p.m. or on tha city* wabafta « .
bram ai budgal panod. Thla budgal aro» praparad on a beala of accotrtln g that w .
Httwsamaaa:
O dMtarant man the prooedmg year. If different, the motor ohangaa and ttialr «H «o i on tha budgal ■ » :
FIN A N C IA L M U I M f l Y — f t a a o u f t o s i
Adopted Budgst
This H b w 20 11 -80
Actual Amounts
A p p a rro d B u d g rt
12
N aa ro a r M J 2 . - 2 0 J Ì
T5 3 / Ö Ö S
166.000
92.000
246.000
92.000
258 . 005 ]
4,300
85 . 20 C
4.300
70.250
4.300
72.250
58 , 00 C
10.000
SQ.QQ 0
39.OOO
TO TA L O P A LL FUNDS
161 00 C
Z Feea. U oe n eta. P a n ato . Flnea. M M i e n i n a â O d e r Barvtoa Chawgaa
7TT58 0
(
232 ,ooc
To ta l R a a o u re a a — a d d i n a » 1 through 7 --------------------------- ----------------------------
-------------------------------------------------------------------- ^ C W « U M M A A V - f W W ® A F N T S I Y O M C T C L A IM R C A T tO M
17. T r ^ T ^ a i , i . . - » u r o - a d d m a « » through H .......................................
a n d p u u
.- t b *
Nem aiifOiQenfceitcnef U T O fo rP ro y a m
«
o w vai
jH j
em p lo y e tb
10,000
111.450
246.000
96,500
232.000
1 « U rtE p re p ie e a d E n d lix in a H n n a and H a a a n »il lor Future E g i a n r l U » . . .
F M A N C u u a u M M A K v -n c a u w n a w T »
10.000 r
(f rq
o n o A M Z A n c e e A i. u » » t
b y
1 4 1 .4 5 0
258.0001
o r pr o g r am
-
_______
F T E tor U rti or P ro g a m
145,800
N am » G » n » r a l F u n d
P
U
B
L I C
N
O
T I C
88.800
149.800
140.200
100.200
17,000
8,000
FTE
E
_________
Mama T r u c k R » o N o » f r M n t
Notice ofBudget Committee
FTE
N a m » C a d ito i Im p ro v e m e n t
Meeting
F U
.
A public meeting o f the “
Budge t Co mmi t t e e o f
the lone Library District,
Morrow County, Oregon,
to discuss the budget for the Mon-OepartjnantaFNory Program
FTE
fiscal year July 1, 2012 to
June 30, 2013 will be held
at the lone Public Library,
365 W 2nd Street, lone OR.
Parmanam Reta La u y........... (R aa Um « 0 0 * 6
The meeting will take place Looal Option La»y
onJune 14,2012at6:30pm. Law lor annerai Obligation Bond»
The purpose of the meeting
Long Tarn Data
is to receive the budget
m essage and to receive Panard CMIgrtion Bonde..
O har Bonde
comment from the public
on the budget. A copy of
the budget document may fiiblished: June 6, 2012
be inspected or obtained Affidavit
on or after June 4, 2012
at the lone Public Library,
365 W 2nd Street, lone OR
FORM
LB-1
.
..
1 4 OOC
.
*>rm LB-’ frinì«—
on r— I p—
2S8.0QQ
240.000
232.000
PW OPTTTY TAX
Haea or Am owl Impoaad
Ralaor Amount Impoaad
Raro or Amount Apprwad
0.7385
0 7385
0.7385
Par H O W )
« T AT—
IT OP I
EaMnaaad Dabi Ourorondkig on M
Date Atanonead, But noi
i
r
Incurred on July 1
P
U
B
L I C
N
O
T I C
E
NOTICE OF BUDGET HEARING
[ I Republication
E
A meeting of the Boardman Rural Fire Protection District will be held on Junel4th, 2012 at 7:00 p.m at Boardman Rural Fire
FO R M
L B -1
N O T IC E O F B U D G E T H E A R IN G
Station, 300 Wilson Rd. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2012as approved
A public meeting of tfie Port of M orrow will be held on Ju n e 13. 2012 at 1 30 p m at Riverfront Center, 2 Marine Drive Boardm an. Ore go n T h e purpose of this meeting is to
discuss the budget for the fiscal year beginning Ju ly 1 ,2 0 1 2 as approved by the Port of Morrow Budget Com m ittee A sum m ary of the budget is presented below A t o p y of
the budget m ay b e inspected or obtained at 2 M anne Drive Boardm an Oregon, between the hours of 9 00 a m and 4 00 p m Th is budget is for an annual budget period
This budget was prepared on a basis of accounting that is the sam e a s used the preceding year
by the Boardman Rural Fire Protection District Budget Committee. A summary of the budget is presented below. A copy o f the
budget may be inspected or obtained at Boardman Fire Station, 300 SW Wilson Rd. between the hours o f 8:00 a.m. and 5:00 p.m.
This budget was prepared on a basis o f 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.
(ount\
------------------------------------- --------------------------------H T S K H ■ T S j m m a A y
x a a u M H ------------------------------------------------------------------------------------------------------------------------------------- 1
TO TA L O F ALL FUN DS
Actual Amount
Adopted Budget
A ppro ved Budget
2010-11
Beginning Fu n d Balance/Net W orking Capital
1 769 461
; 4 50 066
Fe e s, Licenses Permits, Fines, A ssessm ents & Other Service Ch arg es
FeUetai S la w and All o th ai Grants, Grfls, A i k x a lo n , and Do n a tio n ,
Reve n ue from Bonds and Other Debt
9 4 2 8 806
Property Taxes Estimated to be Received
T o ta l R e so u rc e s
____________
Ilf e w M i i
i °
F IN A N C IA L S U M M A R Y
1 920,000
1.220.000
9,236,717
14.785.224
^,130,000
2.130,000
1.657.942
,0 6 2 5 2
106.620
7.123.090
113.320
Anticipated
Requirements
Rl Q U I R E M E N T S B Y O B J E C T C L A S S I F I C A D O N
3.925.031
2.503.847
3.652,461
_____________________ ’ « . « « ■ Q «
-------------------------------------------3A432,856
_____________________ '5 -3 3 7 600
î . 1# . ? 74
19 428 000
164,000
_______________________1 « ” .534
164,000
5.0 34.539
609.703
1.848.829
.................. ........................
572.505
761.795
1
1
2
E TE
Ì
I
1
11___ L T E ___________________________________________________ _____________________
-
.....................
-
I
I
I M
P
Z ___________________________
3 -------------------------------------------------------------------------------------------------------------------------------------------
» N
, u
l
--------- ---
—
1.4 57 714
5
5
3.444,518
4 3 9 1 691
12
12
11
429.393
413,400
522.069
1
1
19.1S2.274
19.448.792
15
747.054
i$
16
2.052.000
j2 .0 5 2 .0 0 0
1,203 264 00
1,087.550 00
495 87VOO
331.272 00
Anticipated
11 Total Proparty Taxaa Raqmrad to Balanca Budgat
707.413 00
Resources
12 Total Raaourcaa add imaa 10 and 11
Estimated
Ad Valorem
14 Plus Estimated Property Taxes Not to be Received
15 Total Tax Levy-add lines 13 and 14
Tax Levies
By Typ»
—
you ____ j * » i . o o o i
o r o , . . « , Bond.
1
0 « !..
1
------------- -----------------------------------------------F T C 5
EsmaMOat S S «.n d * .
LONG TERM DEBT
_____________________________ «L A
I [G e n e ra l Obligation Bonds
1
[[O t h e r Bonds
24,38 4 MX
long. B o .r a -.n a .
10,94 6 .4 1 ;
|[ Total
<r> 1
Long-Term Debt
T f
Published: June 6, 2012
Affidavit
)|
Rate or Amo
19.241 00
24 612 00
21.200 00
21,200 00
748.034 00
B02 090 00|
0 7464
0 7464
0
0
0
0
Debt Outstanding
[x] As Summarized Below
OF I N D E B T E D N E S S
.
Debt Authohzed Not Incurred
[ J None
I ] As Summarized Below
4
Estimated Debt Outstanding at the
Beginning of the Budget Year
Estimated Debt Authorized Not Incurred at tha
Beginning of the Budget Year
Bonds ....................................
Interest Bearing Warrants
Other
Fshmeted Debt Authorized But
Not Incurred on Ju* 1
1
756 278 00
3
------------------------------------
f
II
16 Permanent Rate Limit Levy (rate limit 7464)
17 Local Option Levy
( J None
36 809 361
JP E fV fV T A X L E V IE S _______________________________________________
r^ G a n ^ e
756 278 00
1,087.550 00|
707.413 00
18 Levy tor Bonded Debt or Obligations
------------------------------------------------------------------------------------
.* 0 ,
A Loss Due to Constitutional Limits
B Discounts Allowed, Other Uncollected Amounts
26.623.062
________________________________ 2 .
Rate or A m t * * imposed
0841
1.203.284 00
STA TEM EN T
------------------------------------------------------------
aV -------------------------------------------- “
add lines 1 through 8
1.457.714
5
2.912.602
________________________________ i
57.600
13 Total Property Taxes Required to Balance Budget (line 11)
]
583.614
1.229.707
FTE
...............-
25 000 00
215.600 00
Property Taxes
D t t c T a ^ « W a t t . LrtrUTy............... ...............................
I l I l I E _______________________________
216 000 00
215,600 00
9 Total R e q u ire m e n ts
i
FTE
F ra a A w M w L W J X ,
3 Total Capital Outlay
4 Total Debt Service
5 Total Transfers.................................................................................................
10 Total Resources Except Property Taxes
164 000
M E N T S B Y O R G A N IZ A TIO N A L U N IT O R P R O G R A M *
G eneral Governm ent
624,500 00
164 850 00
8 Total Unappropnated or Ending Fund Balance
---------------------------------- s r s s r a r
-------------------------------------------------u _ l
r e q u ir e
814.334 00
157.350 00
7 Total All Other Expenditures and Requirements
1 SQfi 040
. _
_
f in a n c ia l s u m m a r y
N a m e of Organizational Unit or Program
F T E for that unit or prooram
Approved Budget
Next Year 2012-2013
6 Total Contingencies
1
3.612,943
liln te rfu n d Transfers
541-481-3473
Adopted Budget
This Year 2011-2012
1 Total Personal Services
2. Total Matenals and Sgpplies
----------------------------------------
1 [C ontingencies
Don Russell
T O T A L O F ALL FU N D S
1.200.000
9 1 0 358
1.387.701
2,92 9 .1 77
05-31-2012
FINANCIAL SUMMARY
8 ,8 0 4 4 5 7
12,770,000
25.054,644
--------------
Boardman
Next Year 2012-13
4 000 000
Interfund Transfers / Internal Service Reimbursements
Ail Other R esources Except Property Taxes
l|
| [P ersonnel Services
T h « Y e a r 2 0 11-12
< hjurpcraon of Governing Bod'
Morrow
..................................
Total indebtedness
1,120 946 00
Î.120 946 00
Short-Term Debt
TNs budget include* the mienton to borrow m anbopetoo of revenue ("Short-Term Borrowing') a* summarized below
Fund Liable
General Fund
Estimated Amount
to be Borrowed
E*
300 000 00
hiblished: June 6, 2012
Affidavit
1