Image provided by: Morrow County Museum; Heppner, OR
About Heppner gazette-times. (Heppner, Or.) 1925-current | View Entire Issue (June 12, 2013)
Heppner Gazette-Times, Heppner, Oregon Wednesday, June 12, 2013 PUBLIC NOTICE TRUSTEE'S NOTICE OF SALE Reference is made to that certain trust deed made by John Gochnauer, as grantor, to Morrow County Abstract & Title Co., Inc., as trustee, in favor of Bank of Eastern Oregon, as beneficiary, dated February 28,2001, recorded on March 1, 2001, in the Records of Morrow County, Oregon as Microfilm No. 2001-446, covering the following described real property situated in the above-mentioned county and state, to-wit: The South Half of Lot 9, Block 4, of Original Town (now City ) of Heppner, in the City o f Heppner, County o f Morrow and State of Oregon. ALSO, undivided one-half interest in and to the South concrete wall situ ated upon the South Line of the South Half of the North Half of Lot 9, Block 4 of the Original Town (now City) o f Heppner, in the City of Heppner, County o f Morrow and State of Oregon; said wall being at a point on the said South Line 70 feet East from the East line of Main Street in said City, and extending East 60 feet. E X C E P T I N G THEREFROM the East 2 feet 9 inches of the South Half of Lot 9, Block 4 of the Original Town (now City) o f Heppner, in the City of Heppner, County of Morrow and State of Oregon. By instrum ent recorded April 12,2006, as Microfilm No. 2006-16423, Morrow County Microfilm Records, Amerititle , was appointed successor trustee under said Deed of Trust: Said T ru st D eed was m odified by Document recorded April 12, 2006, as Microfilm No. 2006-16424, Morrow County Microfilm Records. Both the beneficiary and the trustee have elected to sell the real property to satisfy the obligations secured by the 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 in grantor's failure to pay when due the following sums: Monthly payments in the amount of $514.05 due on November 2, 2012, December 2,2012, January 2, 2013 and February 2, 2013 and all Real Estate Taxes for Tax Year 2009- 2010 ; 2010 - 2011 ; 2011 - 2012; and 2012-2013. By reason of the default just described, the beneficiary has declared all sums owing on the obligation secured by the trust deed immediately due and payable , those sums being the following, to-wit: Principal and interest in the amount of $50,736.02 plus interest thereon at a per diem o f $10.90244 from February 7, 2013, until paid; together with all attorney fees, costs late charges and trustee's fees and expenses incurred in this foreclosure. W H ER EFO R E, n o tice is hereby given that the undersigned trustee will on July 19, 2013, at the hour of 11:00 o'clock A.M., in accord with the standard o f tim e estab lish ed by ORS 187.110 , at the Front entrance o f the Morrow County Courthouse, 100 Court Street, in the City o f H eppner, County o f Morrow, State of Oregon, sell at public auction to the highest bidder for cash the interest in the real property described above which the grantor had or had power to convey at the time of the execution by grantor of the trust deed, together with any interest which the grantor or grantor's successors in interest acquired after the execution of the trust deed, to satisfy the foregoing obligations thereby secured and the costs and expenses o f the sale, including a reasonable charge by the trustee. Notice is further given th at any person named in ORS 86.753 has the right, at any time prior to five days before the date last set for the sale, to have this foreclosure proceeding dism issed and the trust deed reinstated by payment to the beneficiary o f the entire am ount then 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 obligation or trust deed, and in addition to paying those 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 and attorney fees not exceeding the amounts provided by ORS 86.753. In construing this notice, 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 o f which is secured by the trust deed, and the words "trustee" and "beneficiary" include their respective successors in interest, if any. Dated May 15,2013 David M. Blanc, Trustee P.O. Box 218 222 S.E. Dorion Avenue Pendleton, OR 97801 (541) 276-3331; (800) 994- 3331 STATE OF OREGON ) County of Umatilla ) ss. I, the undersigned , certify that I am the attorney or one o f the attorneys for the above named trustee, and that the foregoing is a complete and exact copy of the original trustee's notice of sale. David M. Blanc Attorney for Trustee Published: May 22, 29, June 5 and 12, 2013 Affidavit PUBLIC NOTICE Notice of Budget Committee Meeting A public meeting o f the B udget C o m m ittee o f the H eppner C em etery M ain ten an ce D is tric t, Morrow County, State of Oregon, on the budget for the fiscal year July 01, 2013 to June 30, 2014 will be held on Thursday, June 27th, at 7:00 p.m., at 171 Linden Way, H eppner, Oregon (Columbia Basin Electric Co-Op conference room). The purpose of the meeting is to receive the budget message, discuss the proposed budget, and hear public comments on same. A copy o f the budget document may be inspected or obtained at the meeting, or after June 27th 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. -N IN E This is a public meeting where deliberation o f the Budget Committee will take place. Public questions and comments are invited. Published: June 5 and 12, 2013 Affidavit Deadline for news and advertising - Mondays at 5:00 pm PUBLIC NOTICE F O R M ED-1 NOTICE OF BUD GET HEARING A public meeting of the lone School District will be held on June 25, 2013 at 4 30 pm at lone Elementary School, lone Oregon The purpose of this meeting is ti discuss the budget for the fiscal year beginning July 1 2013 as approved by the lone School Distnct Budget Committee A summery of the budget is presented below A copy of the budget may be inspected or obtained at 445 Spring Street, lone, Oregon between the hours of 9 00 a.m and 3 00 p m This Budget « k r [X] an annual _ a biennial budget period This budget was prepared on a basis of accounting that i<X]the same as _ different then the basis of accounting used dunng the preceding year If different, the major changes and their effect on the budget are NONE Contact Both O'Hanlon, Chiel Financial Office! Telaphone 541-966-3103 Email Both ohankxi«imead M2 or ua l___ FINANCIAL SUMMARY RESOURCES Actual Amount Adopted Budget Approved Budget Last Yeer 2011-12 T h « Yeer 2012-13 Next Year 2013-14 Beginning Fund Balance SI 028 064 $756,870 $794 431 Current Year Property Taxes, other than Local Option Taxes 707 962 730,800 865 600 Current Year Local Option Property Taxes 0 0 0 Other Revenue from Local Sources 524 159 535,061 583 590 Revenue from Intermediate Sources 0 7 322 11,800 Revenue from State Sources 1.607 962 1.811 972 1 666.232 Revenue from Federal Sources 120 724 ----------------------------------------* 1 3 6 « 94,522 Interfund Transfers 45 000 57,000 57 000 All Other Budget Resources 0 0 0 Total Resources k o 3 3 . n i i------------------------------------r JU j A ü é ---------------------------k o u . S o T TO TA L OF ALL FUNDS ll FINANCIAL SUMMARY REQUIREMENTS BY O B JE C T CLASSIFICATION I Salaries -----------------------------------$1.175,148 ----------------------------------- l i M T ' M ---------------------------t ü O T Other Associated Payroll Costs 549 423 643639 ------------------------------- N T U S Purchased Services 645 701 713.203 748,148 Supplies & Materials 203 367 419 346 425.730 Capital Outlay 256428 -------------------------------------------963951 96,095 Other Objects (except debt service & interfund transfers) 36,377 39 225 44,140 Debt Service* 255975 261 800 265,800 Interfund Transfers* 45 000 57,000 57,000 Operating Contingency ö l ----------------------------------------------- ‘- o ' 0 Unappropnated Ending Fund Balance 4 Reserves 866 452* -----------------------------------------s n s r -------------------------------- H 7 O T Total Requirements S4.033.ni i------------------------------------ n f t i í A ü J r 1000 instruction — í n a n ¿ I a l s u m m a r y r e 6 u i r ¿M 7 n M 6 y I u n ¿ T i ¿ n -------------------------------------------------------------------------------------1 $1,518938 81.735.903 $1 932.028 FTE 1800 1800 ---------------------------------------¡90C 2000 Support Services 956 609 1,153,060 1 209 199 FTE ............................ 5 50 550 55C 3000 E nterpnse 4 Community Service 116 691 141 785 139 933 FTE ........................... 1 35 1 35 135 4000 F acility Acquisition 4 Construction 274 226 120 295 136 991 FTE ........... 000 000 OOC 5000 Other Uses 0 0 0 5100 Debt Service* 255,975 261 800 205 600 5200 Interfund Transfers* 45000 57,000 57 OOC 6000 Contingency Ö 0 0 7000 Unappropriated Ending Fund Balance 866 452 327 346 ---------------------------------- n t j z Total Requirements $4.633.891 Total FTE 2485 ---------------------------^ 2 4 l S --------------------------------- 1 Í H | not included in total 5000 Other Uses To be appropriated separately from other 5000 expenditures STATEM EN T OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING - j (Additional State Funding has allowed the District to honor existing employee agreements, increase a 50 FTE. increase Eastern Promise student tuition 1 (reimbursement, continue 3 year technology plan and budget for the increased PERS costs 1 f II Permanent Rate Levy (Rate Limit 4 0342 per $1 000) || Local Option Levy II Levy For General Obligation Bonds I r PROPERTY TAX LEVIES Rate or Amount Imposed 4 0342 Rate or Amount Imposed 4 0342 $178,759 S245.886 |¡General Obligation Bonds Mother Bonds Mother Borrowings Total il Published: June Affidavit S U iM 1 ! 1 S TA TEM EN T OF INDEBTEDNESS Estimated Debt Outstanding July 1 $2 260 000 $0 LONG TERM DEBT 1 Rate or Amount Approved I 4 0342 1 --------------------- ------------------. Estimated Debt Authorized, But Not Incurred on July 1 so S2.360.000 N B N t---------------------------------------------- 12, 2 0 1 3 PUBLIC NOTICE FORM LB-1 NOTICE OF BUDGET HEARING A public meeting of the B oa rdm a nCe m e te ry Dist wjl, be held on J u n e 17. 2013 (Governing body) 2 Marine Drive Boardman 13 7:00 □ a m al p.m. Oregon. The purpose of this meeting is to discuss the budget for the (Location) fiscal year beginning July 1 ,20 at (Date) C e m ete ry as approved by the_ ___ Budget Committee. A summary of (Municipal corporation) 2 Marine Drive, Boardman the budget is presented below. A copy of the budget may be inspected or obtained at (Street address) between the hours of 9 :00 a.m., and 4:00 p.m., or online at This budget is for an CD annual: £3 biennial budget period. This budget was prepared on a basis of accounting that is: D3 the same as; D PUBLIC NOTICE FORM LB-1 different than the preceding year. If different, the major changes and their effect on the budget are: NOTICE OF BUDGET HEARING A public meeting of tbe H eppner City Council __will be held on Jun e 21. 2013 111. N. Main Street, Heppner 13 [ I am a at p.m. Oregon. The purpose of this meeting is to discuss the budget for the (Location) fiscal year beginning July 1,20 at 12.0 0 (Dale) (GovBrn.no body) City of Heppner___________ Budget Committee. A summary of as approved by the Contact Telephone number Lisa Mittelsdorf ( 541 (Municipal corporation) the budget is presented below. A copy of the budget may be inspected or obtained at 111 N . Main Street, Heppner, O R „between the hours of 9:00 a.m., and 5:00 TO TA L O F A LL FU N D S 1. Beginning Fund Balance/Net Working Capital.......................................... n/a p.m., or online at _ lisam@portofmorrow. com FINAN CIAL S U M M A R Y -R E S O U R C E S Actual Amounts 20 9 -2 0 1 1 (Street address) 97836 E-mail >48 1-7 67 8 This budget is for an K annual; □ biennial budget period. This budget was prepared on a basis of accounting that is: IS the same as; □ 2. Fees, Licenses, Permits, Fines, Assessments 4 Other Service Charges . 35.383 12.673 3 Federal, State & all Other Grants, Gifts, Allocations & Donations.......... 17.139 Approved Budget Next Year 20 1 3 -2 0 1 5 20.000 18.960 26.000 18.960 4 Revenue from Bonds 4 Other Debt 5 Interfund Transfers/lnternal Service Reimbursements ......................... 7 Current Year Property Taxes Estimated to be Received ......................... 65.1 95 22.179 38 960 25 668 44.960 33.306 8 Total Resources - add lines 1 through 7 87.374 64.628 78.266 40.690 2 0.5 00 43.690 27.000 3.438 7.57 6 6 All Other Resources Except Current Year Property Taxes different than the preceding year. If different, the major changes and their effect on the budget are: Adopted Budget This Year 20 11 -2 0 1 3 FINAN CIAL S U M M A R Y -R E Q U IR E M E N T S BY O B J E C T C LASSIFIC ATIO N 9 Personnel Services 10 Materials and Services 11 Capital Outlay 29.191 28 222 ........................................................ 12 Debt Service Contact Jelepnone number Kim Cutsforth ( 541 E-mail L S U M M A R Y -R E S O U R C E S Actual Amounts 201 1 -20_12_ TO TA L OF ALL FUNDS 1. Beginning Fund Balance/Net Working Capital......................................... 13 Interfund Transfers................. heppner @ centurytel net ) 676-9618 14 Contingenciee............ 15 Special Payments Approved Budget Adopted Budget This Year 20 12 -20 13 Next Year 20 1 3 -20 14 17 Total Requirem ent«-a d d linea 9 through 18 8 7 9 .4 5 3 2 Fees. Licenses, Permits, Fines, Assessments & Other Service Charges.. 1 .0 0 8 .2 3 5 6 8 5 .6 1 5 6 8 1 .6 9 2 7 1 0 ,8 0 5 3. Federal. State & ail Other Grants, Gifts, Allocations & Donations.......... 5 9 3 ,2 6 2 3 .0 9 4 .2 8 4 4 Revenue from Bonds 4 Other Debt............................................................ 0 2 ,0 3 5 ,4 5 0 0 5 Interfund Transfers/lnternal Service Reimbursements............................ 7 3 4 .3 5 3 0 7 8 5 .2 8 9 8. All Other Resources Except Current Year Property Taxes....................... 7 3 .4 6 2 3 4 7 .8 4 7 7. Current Year Property Taxes Estimated to be Received........................... 1 .7 9 0 ,3 5 4 _____________ 87,374 64.628 _______________ 78,266 FINA N C IAL S U M M A R Y -R E Q U IR E M E N T S A NO F U L L -TIM E EQUIVAI.E N T EM P LO YEES (F TE ) BY O R G A N IZ A TIO N A L U N IT OR PROGRAM* Nam « of Organizational Unit or Program FTE for Unit or Program 1 .7 9 5 ,1 0 8 1 7 ,5 5 3 6 8,25 1 3 5 2 .0 0 0 3 4 2 .2 0 0 8 Total Resou rce s-a d d lines 1 through 7................................................ 3 .4 4 2 .7 7 4 5 .8 0 0 .4 7 1 FINANCIAL SUMMARY — REOUIREbIE N TS BY O B J E C T C LASSIFICATION P R O P ER TY TAX LEVIES 6 .7 51 ,96 81 Permanent Rate Levy 9. Personnel Services....................................................................................... 4 1 1 .9 4 3 5 7 4 .4 4 7 6 5 3 .6 6 5 7 0 9 .9 5 5 11 Capital Outlay ---------— ...................................................................- ........ .. 5 5 2 .1 6 6 3 .4 2 2 .6 3 0 3 .2 8 1 .8 2 6 12 Debt Service................. — ............................................................................ 1 7 9 .1 5 7 7 3 4 .3 5 2 1 7 8 .7 9 8 7 8 5 .2 8 9 2 0 1 .5 3 3 1 .7 9 5 .1 0 8 7 1 .2 8 3 5 2 .5 7 6 4 1 .4 7 4 0 0 919.426 265.164 15. Special Payments.......................................................................................... 16. Unappropriated Ending Balance and Reserved for Future Expenditure.... 23.399 16. Unappropnated Ending Balance and Reserved for Future Expenditure 4 4 2 ,3 4 9 4 4 4 ,5 5 1 ____Q_ 277,521 (Rate Limit. 0284 _ Per $1000) Rate or Amount Imposed Rate or Amount Imposed Rate or Amount Approved 0284/$ 1000 0284/$1000 .0284/$ 1000 .ocal Option Levy .evy for General Obligation Bonds S TA TE M E N T O F IN D EB TED N ES S Long Term Debt Estimated Debt Authorized, but not Incurred on July 1 Estimated Debt Outstanding on July 1 jenerai Obligation Bonds Dther Bonds Dther Borrowings 6 /5 1 .9 6 8 ] __________3.442.774 ___________ a m A z i Jublished: June 12, 2013 Affidavit______________ Name of Organizational Unit or Program FTE for Unit or Program Nam® General Fund FTE Nam« Operations FTE 739.305 788.442 837,204 2 277 48§ 4) 2 280.862 4 2 286 847 4 PUBLIC NOTICE Name NOTICE OF BUDGET COMMITTEE MEETING FTE Name FTE in ■ i i i , , Morrow A public meeting o» the Budget Committee of the 1 t*ppn«r W «taf CuhttUl D M . . Stale of Oregon, to S T A T E M E N T O F C H A N G E S IN A C TIV ITIE S A N D S O U R C E S O F F IN A N C IN G * HB2001 projects. Total $2,892,742. Lottery Fund Grant, Total $1,200,000. diecuee the budget tor the flecal yeer JiJy 1, » PR O P ER TY TAX LEVIES Rata or Amount Imposed Permanent Rate Levy .. (Rate Limit 10.6209 Par »10001 106209 430 W Lindan Way, Happnar Rata or Amount Imposed 10.6209 10 6209 S TA TE M E N T OF IN D EB TED N ES S Estimated Debt Outstanding on July 1 Tiruraday, Juna 13 „ 7:00 The pupoee of the meeting a to recehe the budget m eeiegi a id to receive comment horn the puMc on the budgta. Estimated Debt Authorized, but not Incurred on July 1 A o o p y o f » a budget docum ent m ay be ineoerteri or ob tained o n o r a i Ganar» ObUgTOnr Bond« ....... ............ ........................................ _- _ ----- A ta » 14 , 2013 aaat 2,875.827 2,8f5,827| 2 ,855,827 2 .8 5 5 .8 Ì7 between the hour» of eoo Published: June 12, 2013 Affidavit Published: June 12, 2013 Affidavit t Th» metainn «atta» otan» on Tbte » « publtc mu ting »h e r» dettborattonor the Budget CommHteewataKe piece Any peraonmey tato— et toe meetatg end ( the prapoeed programe with the Budget Committee Levy for Penerai Obligation Bond« „ o tm Borrowing«...... - ------- ---------------------------------------------------------- Total the Ag Santo» Cantar to June » . 20 ..14 , wM be held et Rata or Amount / Local Option Levy .. Long Term Debt 13 <f X » m n-«. _ am n ■ p 430 WUnden Way