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EIGHT - Heppner Gazette-Times, Heppner, Oregon Wednesday, June 3, 2015 FOR SALE For Sale Rototiller that fits small tractor with PTL. Asking $850. Call 541- 379-0336 6-3-2c PUBLIC NOTICE IN THE CIRCUIT COURT OF THE STATE OF OREGON FOR THE COUNTY OF MORROW U.S. Bank, N.A. as trustee on behalf of Manufactured Housing Contract Senior/ Subordinate Pass-Through Certificate Trust 2000-4 by Green Tree Servicing LLC, Plaintiff, v. Jesse L. Garrett; State of Oregon; UNKNOWN PARTIES IN POSSESSION, OR CLAIMING A RIGHT TO POSSESSION, Defendants. Case No.: 15CV069 SUMMONS BY PUBLICATION NOTICE TO DEFENDANTS READ THESE PAPERS CAREFULLY! You must “appear” in this case or the other side will win automatically. To “appear” you must file with the court a legal paper called a “motion” or “answer.” The “motion” or “answer” must be given to the court clerk or administrator within 30 days of the date of first publication, 06/03/2015, along with the required filing fee. It must be in proper form and have proof of service on the Plaintiff’s attorney or, if the Plaintiff does not have an attorney, proof of service on the Plaintiff. The subject of this a judicial foreclosure of real property commonly known as 75155 W Idaho Ln, Irrigon, OR 97844 for non-payment of mortgage debt. If you have questions, you should see an attorney immediately. If you need help in finding an attorney, you may call the Oregon State Bar’s Lawyer Referral Service at (503) 684-3763 or toll-free in Oregon at (800) 452-7636. DATED: May 28, 2015. /s/ Katrina E. Glogowski, OSB #035386, Allegiant Law Group, 506 2nd Ave Ste 2600, Seattle, WA 98104 (206) 903-9966. Fax (206) 405-2701. Published: June 3, 10, 17 and 24, 2015 Affidavit PUBLIC NOTICE TRUSTEE'S NOTICE OF SALE The Trustee under the terms of the Trust Deed described herein, at the direction of the Beneficiary, hereby elects to sell the property described in the Trust Deed to satisfy the obligations secured thereby. Pursuant to ORS 86.771, the following information is provided: 1. PARTIES: Grantor: ANDREW W. HERMANNS AND STACEY A. HERMANNS Trustee: MID-COLUMBIA TITLE COMPANY Successor Trustee: NANCY K. CARY Beneficiary: OREGON HOUSING AND COMMUNITY SERVICES DEPARTMENT, STATE OF OREGON, ASSIGNEE OF INLAND EMPIRE BANK 2. DE S C R IP T ION OF PROPERTY: The real property is described as follows: Lot 16, SANDZ ADDITION, in the City of Irrigon, County of Morrow and State of Oregon 3. RECORDING. T h e Tr u s t D e e d w a s recorded as follows: Date Recorded: July 24, 1998 Recording No. M-54878 Official Records of Morrow County, Oregon 4. DEFAULT. The Grantor or any other person obligated on the Trust Deed and Promissory Note secured thereby is in default and the Beneficiary seeks to foreclose the Trust Deed for failure to pay: Monthly payments in the amount of $756.85 each, due the first of each month, for the months of April 2014 through February 2015; plus late charges and advances; plus any unpaid real property taxes or liens, plus interest. 5. AMOUNT DUE. The amount due on the Note which is secured by the Trust Deed referred to herein is: Principal balance in the amount of $59,582.49; plus interest at the rate of 6.125% per annum from March 1, 2014; plus late charges of $229.02; plus advances and foreclosure attorney fees and costs. 6. S A L E O F PROPERTY. The Trustee hereby states that the property will be sold to satisfy the obligations secured by the Trust Deed. A Trustee's Notice of Default and Election to PUBLIC NOTICE NOTICE OF BUDGET HEARING FORM LB-1 A public meeting of the Ione Lexington Cemetery District will be held on June 8th, 2015 at 11:00 am at Ione Market & Deli, 285 W Main, Ione, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2015 as approved by the Ione Lexington Cemetery District Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at Bank of Eastern Oregon, 280 Main St, Ione, Oregon, between the hours of 9:00 a.m. and 4:00 p.m.This budget is for an annual budget period. This budget was prepared on a basis of accounting that is the same as the preceding year. Contact: Laurie Barrow Telephone: 541-379-0608 Email: gwolfllc@gmail.com FINANCIAL SUMMARY - RESOURCES Actual Amount 2013-2014 Beginning Fund Balance/Net Working Capital 38,000 Fees, Licenses, Permits, Fines, Assessments & Other Service Charges 3,000 Federal, State and all Other Grants, Gifts, Allocations and Donations 0 Revenue from Bonds and Other Debt 0 Interfund Transfers / Internal Service Reimbursements 0 All Other Resources Except Current Year Property Taxes 4,800 , 46,759 Total Resources 92,559 TOTAL OF ALL FUNDS Adopted Budget This Year 2014-2015 44,805 3,000 0 0 0 4,900 47,488 100,193 FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION Personnel Services 28,500 Materials and Services 33,900 Capital Outlay 1,000 Debt Service 0 Interfund Transfers 6,000 Contingencies 23,159 Unappropriated Ending Balance and Reserved for Future Expenditure 0 Total Requirements 92,559 Permanent Rate Levy (rate limit .2401 per $1,000) Local Option Levy Levy For General Obligation Bonds PROPERTY TAX LEVIES Rate or Amount Imposed 2013-2014 .2401 0 0 Approved Budget Next Year 2015-2016 45,640 2,500 0 0 0 5,075 46,775 99,990 29,350 34,300 1,000 0 14,000 21,543 0 100,193 Rate or Amount Imposed This Year 2014-2015 .2401 0 0 32,700 32,800 1,000 0 9,000 24,490 0 99,990 Rate or Amount Approved Next Year 2015-2016 .2401 0 0 STATEMENT OF INDEBTEDNESS LONG TERM DEBT Estimated Debt Outstanding Estimated Debt Authorized, But on July 1. Not Incurred on July 1 General Obligation Bonds $0 $0 Other Bonds $0 $0 Other Borrowings $0 $0 Total $0 $0 * If more space is needed to complete any section of this form, insert lines (rows) on this sheet. You may delete blank lines. costs and expenses actually incurred in enforcing the obligation and Trust Deed, together with the trustee's and attorney's fees not exceeding the amount provided in ORS 86.778. _____________________ NOTICE REGARDING POTENTIAL HAZARDS (This notice is required for notices of sale sent on or after January 1, 2015.) Wi t h o u t l i m i t i n g t h e t r u s t e e ’s d i s c l a i m e r of representations or warranties, Oregon law requires the trustee to state in this notice that some residential property sold at a trustee’s sale may have been used in manufacturing methamphetamines, the chemical components of which are known to be toxic. Prospective purchasers of residential property should be aware of this potential danger before deciding to place a bid for this property at the trustee’s sale. _____________________ You may reach the Oregon State Bar’s Lawyer Referral Service at 503-684-3763 or toll-free in Oregon at 800- 452-7636 or you may visit its website at: www.osbar. org. Legal assistance may be available if you have a low income and meet federal poverty guidelines. For more information and a directory of legal aid programs, go to http:// www.oregonlawhelp.org. Any questions regarding this matter should be directed to Lisa Summers, Paralegal, (541) 686-0344 (TS #40453.5). DATED: March 5, 2015. Nancy K. Cary, Successor Trustee, Hershner Hunter, L L P, P. O . B o x 1 4 7 5 , Eugene, OR 97440. Published: May 20, 27, June 3 and 10, 2015 Affidavit PUBLIC NOTICE FORM LB-1 NOTICE OF BUDGET HEARING A public meeting of the Heppner City Council will be held on June 8, 2015 at 7:00 pm at 111 N. Main Street Heppner, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2015 as approved by the City of Heppner Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at Heppner City Hall, 111 N. Main Street between the hours of 9:00 a.m. and 5:00 p.m. This budget is for an annual budget period. This budget was prepared on a basis of accounting that is the same as the preceding year. Contact: Kim Cutsforth Telephone: 541-676-9618 TOTAL OF ALL FUNDS Email: heppner@centurytel.net FINANCIAL SUMMARY - RESOURCES Actual Amount Beginning Fund Balance/Net Working Capital Fees, Licenses, Permits, Fines, Assessments & Other Service Charges Federal, State and all Other Grants, Gifts, Allocations and Donations Revenue from Bonds and Other Debt Interfund Transfers / Internal Service Reimbursements All Other Resources Except Current Year Property Taxes Current Year Property Taxes Estimated to be Received Total Resources Adopted Budget Approved Budget 2013-2014 1,794,023 755,629 553,476 0 1,741,308 123,340 370,001 5,337,777 This Year 2014-2015 915,456 757,175 101,500 0 813,810 60,965 358,000 3,006,906 Next Year 2015-2016 908,754 764,925 103,300 0 794,138 69,073 344,000 2,984,190 426,861 630,534 1,469,675 195,031 1,732,608 41,474 0 277,521 4,773,704 457,052 717,403 515,638 182,233 813,810 31,130 0 289,640 3,006,906 486,529 688,101 539,893 185,061 794,138 71,821 0 218,647 2,984,190 Personnel Services Materials and Services Capital Outlay Debt Service Interfund Transfers Contingencies Special Payments Unappropriated Ending Balance and Reserved for Future Expenditure Total Requirements FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY ORGANIZATIONAL UNIT OR PROGRAM * General Fund 800,312 853,430 2 2 FTE Operations Fund 277,192 296,640 4 4 FTE Water Fund 476,141 440,586 FTE Sewer Fund 308,926 300,467 FTE Street Fund 1,401,011 185,638 FTE Emergency Infrastructure Fund 0 0 FTE Fire Fund 109,801 135,684 FTE Reserve Fund 1,070,605 454,664 FTE Community Development Fund 12,904 15,086 FTE Dog Control Fund 5,057 6,655 FTE St. Patrick's Fund 21,913 37,475 FTE Debt Service Fund 289,842 280,581 FTE Total Requirements Total FTE 4,773,704 3,006,906 839,390 2 312,117 4 464,947 296,418 113,914 0 136,842 485,923 13,552 6,116 31,263 283,708 2,984,190 STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING * PROPERTY TAX LEVIES Rate or Amount Imposed 2013-2014 Permanent Rate Levy (rate limit 10.6209 per $1,000) Local Option Levy Levy For General Obligation Bonds LONG TERM DEBT General Obligation Bonds Other Bonds Other Borrowings Total 10.6209 Rate or Amount Imposed This Year 2014-2015 10.6209 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding on July 1, 2015 Rate or Amount Approved Next Year 2015-2016 10.6209 Estimated Debt Authorized, But Not Incurred on July 1 $2,571,445 $2,571,445 Published: June 3, 2015 Affidavit Published: May 27 and June 3, 2015 Affidavit PUBLIC NOTICE PUBLIC NOTICE FORM LB-1 Sell Under Terms of Trust Deed has been recorded in the Official Records of Morrow County, Oregon. 7. TIME OF SALE. Date: July 30, 2015 Time: 11:00 a.m. Place: Morrow County Courthouse, 100 Court Street, Heppner, Oregon 8. RIGHT TO REINSTATE. Any person named in ORS 86.778 has the right, at any time that is not later than five days before the Trustee conducts the sale, to have this foreclosure dismissed and the Trust Deed reinstated by payment to the Beneficiary of the entire amount then due, other than such portion of the principal as would not then be due had no default occurred, by curing any other default that is capable of being cured by tendering the performance required under the obligation or Trust Deed and by paying all FORM LB-1 NOTICE OF BUDGET HEARING [ ] Republication NOTICE OF BUDGET HEARING A public meeting of the Port of Morrow will be held on June 10, 2015 at 1:30 pm at Riverfront Center, 2 Marine Drive, Boardman, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2015 as approved by the Port of Morrow Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at Riverfront Center, 2 Marine Drive, Boardman, Oregon, between the hours of 9:00 a.m. and 4:00 p.m. or online at www.portofmorrow.com. This budget is for an annual budget period. This budget was prepared on a basis of accounting that is the same as the preceding year. A meeting of the Boardman Rural Fire Protection District will be held on June11th, 2015 at 7:00 p.m. at Boardman Rural Fire Station, 300 Wilson Rd. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2015 as approved by the Boardman Rural Fire Protection District Budget Committee. A summary of the budget is presented below. A copy of the Contact: Gary Neal, General Manager TOTAL OF ALL FUNDS Telephone: 541-481-7678 FINANCIAL SUMMARY - RESOURCES Actual Amount 2013-14 budget may be inspected or obtained at Boardman Fire Station, 300 SW Wilson Rd. between the hours of 8:00 a.m. and 5:00 p.m. This budget was prepared on a basis of 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. County City Date Chairperson of Governing Body Telephone Number Morrow Boardman 05-28-2015 Don Drayton 541-481-3473 Beginning Fund Balance/Net Working Capital Fees, Licenses, Permits, Fines, Assessments & Other Service Charges Federal, State and all Other Grants, Gifts, Allocations and Donations Revenue from Bonds and Other Debt Interfund Transfers / Internal Service Reimbursements All Other Resources Except Current Year Property Taxes Current Year Property Taxes Estimated to be Received Total Resources 1,983,814 11,200,918 5,315,936 5,503,868 164,000 5,695,868 132,472 29,996,876 Email: garyn@portofmorrow.com Adopted Budget Approved Budget This Year 2014-15 4,690,000 13,771,843 22,891,500 0 244,000 4,757,400 131,927 46,486,670 Next Year 2015-16 2,910,359 18,961,940 5,088,400 13,000,000 334,000 9,880,800 131,927 50,307,426 FINANCIAL SUMMARY Adopted Budget This Year 2014-2015 TOTAL OF ALL FUNDS 1. Total Personal Services……………………………………………………………. 2. Total Materials and Supplies………………………………………………………. Approved Budget Next Year 2015-2016 605,000.00 227,700.00 637,500.00 230,700.00 3. Total Capital Outlay………………………………………………………………… 66,500 60,000.00 Anticipated 4. Total Debt Service………………………………………………………………….. 275,600.00 455,600.00 Requirements 5. Total Transfers……………………………………………………………………… 106,431.54 63,340.00 9. Total Requirements - add lines 1 through 8……………………………………. 1,281,231.54 1,447,140.00 6. Total Contingencies………………………………………………………………… FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION Personnel Services 4,027,060 Materials and Services 4,009,388 Capital Outlay 12,183,522 Debt Service 3,326,331 Interfund Transfers 164,000 Contingencies Special Payments Unappropriated Ending Balance and Reserved for Future Expenditure 6,286,575 Total Requirements 29,996,876 5,289,976 5,164,390 30,358,704 3,983,190 244,000 1,134,532 0 311,878 46,486,670 7,539,381 6,113,680 29,334,060 4,971,325 434,000 1,503,102 411,878 50,307,426 7. Total All Other Expenditures and Requirements………………………………… 8. Total Unappropriated or Ending Fund Balance………………………………….. 10. Total Resources Except Property Taxes………………………………………… 281,517.54 439,500.00 Anticipated 11. Total Property Taxes Required to Balance Budget…………………………….. 999,714.00 1,007,640.00 Resources 12. Total Resources - add lines 10 and 11…………………………………………. 1,281,231.54 1,447,140.00 13. Total Property Taxes Required to Balance Budget (line 11)………………….. 999,714.00 1,007,140.00 40,285.00 Estimated 14. Plus: Estimated Property Taxes Not to be Received…………………………... Ad Valorem A. Loss Due to Constitutional Limits…………………………………………….. 31,831.00 Property Taxes B. Discounts Allowed, Other Uncollected Amounts……………………………. 59,982.00 68,982.00 15. Total Tax Levy - add lines 13 and 14…………………………………………… 1,091,077.00 1,116,407.00 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 STATEMENT OF INDEBTEDNESS [ ] None Debt Outstanding [x] As Summarized Below Debt Authorized, Not Incurred [ ] None [ ] As Summarized Below FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY ORGANIZATIONAL UNIT OR PROGRAM * Name of Organizational Unit or Program FTE for that unit or program General Government FTE Freshwater Utility FTE Discharge Water Utility FTE East Beach Utility FTE Sites FTE Motor Pool FTE SAGE Center FTE Warehousing FTE Not Allocated to Organizational Unit or Program FTE Total Requirements Total FTE 650,590 2 1,204,061 5 4,098,513 13 1,127,812 1 15,460,184 15 671,201 3 497,940 4 1,352,177 1.5-1.7 1,896,591 7 4,585,537 12 735,159 1 35,298,806 16 2,052,000 3 566,400 4 1,663,436 2 2,951,100 7 13,555,690 12 738,659 1 26,182,291 16 1,336,000 4 656,400 4 3,123,850 23 46,486,670 45 50,207,426 69 6,286,575 29,996,876 43 PUBLISH BELOW ONLY IF COMPLETED Long-Term Debt Estimated Debt Outstanding at the Beginning of the Budget Year Estimated Debt Authorized, Not Incurred at the Beginning of the Budget Year STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING * The Port of Morrow has constructed an 137,500 sq ft freezer warehouse and began operations June 1, 2015. PROPERTY TAX LEVIES Rate or Amount Imposed Bonds……………………………. Interest Bearing Warrants…….. Other…………………………….. 1,581,737.00 Total indebtedness…………….. 1,581,737.00 Permanent Rate Levy (rate limit .0841 per $1,000) Local Option Levy Levy For General Obligation Bonds 2013-14 .0841 Rate or Amount Imposed Rate or Amount Approved This Year 2014-15 .0841 Next Year 2015-16 .0841 Short-Term Debt This budget includes the intention to borrow in anticipation of revenue ("Short-Term Borrowing") as summarized below: Fund Liable General Fund Published: June 3, 2015 Affidavit Estimated Amount to be Borrowed Estimated Interest Rate 300,000.00 5.50% LONG TERM DEBT Estimated Interest Cost 3200.00 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding on July 1. General Obligation Bonds $27,500,199 Other Bonds $12,063,147 Other Borrowings $39,563,346 Total * If more space is needed to complete any section of this form, insert lines (rows) on this sheet. You may delete blank lines. Published: June 3, 2015 Affidavit Estimated Debt Authorized, But Not Incurred on July 1 $8,000,000 $8,000,000