Heppner gazette-times. (Heppner, Or.) 1925-current, June 01, 2022, Page 7, Image 7

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    Heppner Gazette-Times, Heppner, Oregon Wednesday, June 1, 2022 -- SEVEN
NOTICE TO INTEREST-
ED PERSONS
IN THE CIRCUIT
COURT OF THE STATE
OF OREGON
FOR THE COUNTY OF
MORROW
Probate Department
In the Matter of the Estate
of:
JOSEPH PATRICK KEN-
NY
NOTICE TO INTEREST-
ED PERSONS
Deceased.
No. 22PB04314
Notice is given that the
undersigned has been ap-
pointed and has qualified
as the personal representa-
tive of the estate. All per-
sons having claims against
the estate are required
FORM
LB-1
FORM ED-1
Morrow
Heppner
A public hearing on a proposed supplemental budget for ______________________________________,
_______________________,
State
(Agency name)
(County)
111 N Main St. Heppner
of Oregon, for the current fiscal year, will be held at ___________________________________________.
The hearing will take place
(Location)
✁
(Date)
persons.
June 8, 2021
A copy of the supplemental budget document may be inspected or obtained on or after ____________________________________
at
(Date)
a.m.
a.m.
9
5
111 N. Main St
p.m. and ___________________.
p.m.
_______________________________________________________,
between the hours of ____________________
(Location)
SUMMARY OF PROPOSED BUDGET CHANGES
AMOUNTS SHOWN ARE REVISED TOTALS IN THOSE FUNDS BEING MODIFIED
Community Development Fund
FUND: ____________________________________________________________________________
✁
Resource
Expenditure –indicate
Org. unit / Prog. & Activity, and Object class.
Amount
Amount
1.
Transient Room Tax
$ 7,323.00
1.
Chamber of Commerce
$ 14,171.00
2.
Transfer From General
$ 8,500.00
2.
Contingency Fund
$ 1,656.00
3.
Interest
$ 4.00
3.
$ 15,827.00
Revised Total Fund Resources
Explanation of change(s):
$ 15,827.00
Revised Total Fund Requirements
Increase in Transient Room tax reciepts which are passed through to the Chamber of Commerce are above budgeted
amount.($1,200 over budget amount)
Sewer Fund
FUND: ____________________________________________________________________________
Resource
1.
Expenditure –indicate
Org. unit / Prog. & Activity, and Object class.
Amount
Franchise Fee
$ 16,600.00
2.
1.
Amount
Franchise Fee to General
$ 16,600.00
3.
3.
Revised Total Fund Resources
Explanation of change(s):
$ 16,600.00
$ 16,600.00
Revised Total Fund Requirements
Revenue from Franchise fee exceeded budget amount and is to be transferred to General funds which also has a lower
budgeted amount. ($1,500 over budget)
to present it, with prop-
er vouchers, within four
months after the date of
first publication of this no-
tice, as stated below, to the
personal representative at
Kuhn Law Offices, 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-
formation from the records
of the court, the personal
representative or the attor-
ney for the personal repre-
sentative.
DATED and first published
May 18, 2022.
Linda K. Kenny, Personal
Representative
PO Box 685
Heppner, OR 97836
Telephone: 541-676-5303
ATTORNEY FOR PER-
SONAL REPRESENTA-
TIVE:
William J. Kuhn, OSB No.
762075
267 N Main Street
PO Box 428
Heppner, OR 97836
Telephone:541-676-9141
FAX: 541-676-5502
Email:
wjk@kuhnlawoffices.com
Published May 18 & 25
and June 1, 2022
Affidavit
NOTICE of Budget
Committee meeting: A
public meeting and Hearing
of the Budget Committee
of the Heppner Rural
Fire Protection District,
Morrow County, Oregon,
will be held on Tuesday,
June 07, 2022 at 6:00 pm
at 911 Riverside Avenue,
Heppner, Oregon (HRFPD
Fire Hall). The purpose of
this meeting is to receive the
Budget Message, discuss
the proposed budget,
deliberation of the Budget
Committee, and to hold
a Public Hearing on the
proposed Budget. Any
person may appear at the
meeting and discuss the
proposed programs with
the Budget Committee.
A copy of the proposed
budget document may be
inspected or obtained after
May 31, 2022 at 180 Rock
Street, Heppner, Oregon,
between the hours of 5:15
p.m. and 8:00 p.m. This
proposed budget is for an
annual budget period, and is
being prepared on a basis of
accounting that is consistent
as used in the preceding year.
published:May 25 & June 1,
2022. affid.
[ ] Republication
A meeting of the Boardman Fire Rescue District will be held on June 9, 2022 at 6:00 p.m. at Boardman Fire Station, 300 Wilson
Rd. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the Boardman
Fire Rescue District Budget Committee. A summary of the budget is presented below. A copy of the 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.
City
Morrow
Boardman
Contact: Dirk Dirksen, Superintendent/Budget Officer
Telephone: (541) 676-9128
Email: Dirk.Dirksen@morrow.k12.or.us
FINANCIAL SUMMARY - RESOURCES
TOTAL OF ALL FUNDS
Actual Amount
Last Year 2020-21
Beginning Fund Balance
$7,262,723
Current Year Property Taxes, other than Local Option Taxes
11,455,966
Current Year Local Option Property Taxes
0
Other Revenue from Local Sources
3,580,806
Revenue from Intermediate Sources
217,301
Revenue from State Sources
20,274,895
Revenue from Federal Sources
3,511,116
Interfund Transfers
135,298
All Other Budget Resources
0
Total Resources
$46,438,105
Adopted Budget
This Year 2021-22
$7,335,856
9,699,778
0
5,958,316
1,073,488
20,634,872
9,005,396
1,212,756
24,615,876
$79,536,338
Chairperson of Governing Body
Telephone Number
05-19-2022
Ken Browne
541-481-3473
Adopted Budget
This Year 2020-2021
Approved Budget
Next Year 2021-2022
1. Total Personal Services…………………………………………………………….
2. Total Materials and Supplies……………………………………………………….
1,407,000.00
405,300.00
1,729,500.00
483,025.00
3. Total Capital Outlay…………………………………………………………………
140,000.00
210,000.00
Anticipated
4. Total Debt Service…………………………………………………………………..
380,320.00
454,105.00
Requirements
5. Total Transfers………………………………………………………………………
6. Total Contingencies…………………………………………………………………
223,000.00
850,000.00
7. Total All Other Expenditures and Requirements…………………………………
FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY FUNCTION
1000 Instruction
$19,763,241
$26,240,754
$31,552,246
FTE
232.47
232.49
249.98
2000 Support Services
12,556,177
18,000,289
17,190,073
FTE
77.91
83.80
87.14
3000 Enterprise & Community Service
1,285,579
1,618,470
1,744,202
FTE
13.5
13.00
12.00
4000 Facility Acquisition & Construction
176,386
3,336,456
6,238,288
FTE
0
0
0
5000 Other Uses
0
0
0
5100 Debt Service*
2,907,667
2,233,979
2,181,525
5200 Interfund Transfers*
135,298
1,212,756
1,136,000
5400 PERS UAL Lump Sum Payment*
24,615,876
0
6000 Contingency
0
1,277,758
1,448,889
7000 Unappropriated Ending Fund Balance
9,613,757
1,000,000
1,000,000
Total Requirements
$46,438,105
$79,536,338
$62,491,223
Total FTE
323.88
329.29
349.12
* not included in total 5000 Other Uses. To be appropriated separately from other 5000 expenditures.
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING **
The 2022-23 budget was created utilizing state and federal funding estimates. The District's budget includes investment in a literacy program, science and
technology instruction, music and art.
Permanent Rate Levy
(Rate Limit 4.0342 per $1,000)
Local Option Levy
(Rate 1.000 per $1,000)
Levy For General Obligation Bonds
LONG TERM DEBT
General Obligation Bonds
Other Bonds
Other Borrowings
Total
PROPERTY TAX LEVIES
Rate or Amount Imposed
4.0342
$0.00 per $1,000
$2,075,000
Rate or Amount Imposed
4.0342
$0.00 per $1,000
$0
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
on July 1
$0
$22,285,000
$590,000
$22,875,000
9. Total Requirements - add lines 1 through 8…………………………………….
2,555,620.00
3,726,630.00
10. Total Resources Except Property Taxes…………………………………………
1,068,464.00
1,697,538.00
Anticipated
11. Total Property Taxes Required to Balance Budget……………………………..
1,487,156.00
2,029,092.00
Resources
12. Total Resources - add lines 10 and 11………………………………………….
2,555,620.00
3,726,630.00
13. Total Property Taxes Required to Balance Budget (line 11)…………………..
1,487,156.00
2,029,092.00
Estimated
14. Plus: Estimated Property Taxes Not to be Received…………………………...
45,000.00
Ad Valorem
A. Loss Due to Constitutional Limits……………………………………………..
45,000.00
Property Taxes
B. Discounts Allowed, Other Uncollected Amounts…………………………….
52,000.00
52,000.00
15. Total Tax Levy - add lines 13 and 14……………………………………………
1,584,156.00
1,584,156.00
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……………………………………………..
0.7464
0.7464
STATEMENT OF INDEBTEDNESS
Debt Outstanding
[x] As Summarized Below
Debt Authorized, Not Incurred
[ ] None
[ ] As Summarized Below
PUBLISH BELOW ONLY IF COMPLETED
Estimated Debt Outstanding at the
Beginning of the Budget Year
Estimated Debt Authorized, Not Incurred at the
Beginning of the Budget Year
8,055,000.00
0.00
8,055,000.00
8,055,00.00
0.00
8,055,000.00
Interest Bearing Warrants……..
Other……………………………..
Total indebtedness……………..
Short-Term Debt
This budget includes the intention to borrow in anticipation of revenue ("Short-Term Borrowing") as summarized below:
Fund Liable
Estimated Amount
to be Borrowed
Estimated
Interest Rate
Estimated
Interest Cost
General Fund
published: June 1, 2022
Prepare for
Power Outages
& Save Money
Rate or Amount Approved
4.0342
$0.00 per $1,000
$0
Estimated Debt Authorized, But
Not Incurred on July 1
$0
$0
$0
$0
published: June 1, 2022
FORM LB-1
NOTICE OF BUDGET HEARING
A public meeting of the City of Heppner OR will be held on June 13, 2022 at 7:00 pm at 111 N. Main St. Heppner, Oregon. The purpose of this meeting is to discuss
the budget for the fiscal year beginning July 1, 2022 as approved by the Heppner Budget Committee. A summary of the budget is presented below. A copy of the
budget may be inspected or obtained at 111 N Main St Heppner OR, between the hours of 9:00 a.m. and 5:00 p.m. This budget is for an annual period. This budget
was prepared on a basis of accounting that is the same as the preceding year.
Contact: Kraig Cutsforth
Telephone:541-676-9618
Email: heppner@cityofheppner.org
FINANCIAL SUMMARY - RESOURCES
TOTAL OF ALL FUNDS
Actual Amount
2020-2021
1,392,773
Beginning Fund Balance/Net Working Capital
658,650
Fees, Licenses, Permits, Fines, Assessments & Other Service
Federal, State & all Other Grants, Gifts, Allocations & Donations
619,473
47,948
Revenue from Bonds and Other Debt
1,170,460
Interfund Transfers / Internal Service Reimbursements
All Other Resources Except Current Year Property Taxes
0
Current Year Property Taxes Estimated to be Received
460,747
Total Resources
4,350,051
Adopted Budget
This Year 2021-22
1,510,733
1,284,118
3,259,600
50,204
829,251
0
432,000
7,365,906
Approved Budget
Next Year 2022-23
1,892,538
1,327,839
1,709,500
50,204
936,056
0
468,300
6,384,437
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Personnel Services
506,731
$632,876
Materials and Services
312,100
$904,786
Capital Outlay
593,860
$4,010,204
Debt Service
195,415
$195,415
Interfund Transfers
528,319
$829,251
Contingencies
910,538
$456,561
Special Payments
0
$0
Unappropriated Ending Balance and Reserved for Future Expenditure
1,303,088
$336,813
Total Requirements
4,350,051
7,365,906
$644,551
$1,074,505
$1,657,951
$213,531
$936,056
$1,857,843
$0
$0
$6,384,437
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 Funds
1,334,526
1,384,735
2,261,335
FTE
3
3
3
Water Fund
514,176
510,100
702,250
FTE (shared with Sewer and Street)
4
4
5
Sewer
410,691
533,700
712,800
FTE
Street Fund
932,668
3,734,600
1,371,300
FTE
Fire Fund
189,031
208,400
250,582
FTE
Reserve
644,911
653,632
691,968
FTE
Community Development Fund
18,701
16,560
19,935
FTE
St. Patricks Fund
11,120
30,424
36,024
FTE
294,227
293,755
338,243
Debt Service Fund
FTE
0
0
0
Abolished Funds
FTE
4,350,051
7,365,906
6,384,437
Total Requirements
7
7
8
Total FTE
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
PROPERTY TAX LEVIES
Rate or Amount Imposed
Rate or Amount Imposed Rate or Amount Approved
2020-2021
This Year 2021-2022
Next Year 2022-2023
10.6209/1000
10.6209/1000
10.6209/1000
49541
51639
STATEMENT OF INDEBTEDNESS
Estimated Debt Outstanding
on July 1.
$422,174
PUBLIC NOTICE
NOTICE TO INTEREST-
ED PERSONS
In the Circuit Court of the
State of Oregon for the
County of Morrow
Probate Department In the
Matter of the Estate of:
ALBERTO EREVIA, DE-
CEASED, NOTICE TO
INTERESTED PERSONS
CASE No. 22PB02433.
Notice is hereby given that
the undersigned individual
has been appointed per-
sonal representative of the
estate of Alberto Erevia, de-
ceased. All persons having
claims against the estate are
required to present them,
with vouchers attached, to
the undersigned personal
representative in care of
the law office of Bendixsen
$1,861,039
$2,283,213
Law, P.C., attorneys for
the personal representative
in care of the law office
of Bendixsen Law, P.C.
attorneys for the personal
representative at 245 E.
Main St. Suite E, Hermis-
ton,, OR 97838 within 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 record of the court, the
published: June 1, 2022
personal representative, or
the attorneys for the person-
al representative.
Dated and first published on
June 1, 2022.
s/ Elida Rangel, Personal
Representative
c/o Cameron Bendixsen,
Attorney for Personal Rep-
resentative
Bendixsen Law, P.C.
245 E. Main St. Suite E
Hermiston, OR 97838
Telephone: 541-567-5564
Published: June 1, 8, 15,
2022 Affidavit
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51639
Estimated Debt Authorized, But
Not Incurred on July 1
8. Total Unappropriated or Ending Fund Balance…………………………………..
Bonds…………………………….
$22,673,673
12,622,339
7,362,043
6,611,731
7,038,973
416,050
2,181,525
1,136,000
1,448,889
1,000,000
$62,491,223
STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING *
The Operations fund and the Dog fund were merged into the General Fund in last budget period.
Date
TOTAL OF ALL FUNDS
Long-Term Debt
$62,491,223
FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATION
Salaries
$15,847,747
$21,641,578
Other Associated Payroll Costs
10,511,498
11,264,158
Purchased Services
4,212,880
7,445,941
Supplies & Materials
2,614,620
4,862,156
Capital Outlay
163,120
3,630,326
Other Objects (except debt service & interfund transfers)
431,518
24,967,686
Debt Service*
2,907,667
2,233,979
Interfund Transfers*
135,298
1,212,756
Operating Contingency
0
0
Unappropriated Ending Fund Balance & Reserves
9,613,757
2,277,758
Total Requirements
$46,438,105
$79,536,338
FINANCIAL SUMMARY
[ ] None
Approved Budget
Next Year 2022-23
$12,864,622
10,152,500
0
5,932,646
1,432,420
23,109,769
7,863,266
1,136,000
2.
NOTICE OF BUDGET HEARING
County
NOTICE OF BUDGET HEARING
A public meeting of the Morrow County School District #1 will be held on June 13, 2022 at 7:00 p.m. at Morrow Education Center, 240 Columbia Lane, Irrigon,
Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2020 as approved by the Morrow County School District #1
Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained by contacting Beth O'Hanlon, Business
Manager via email at beth.ohanlon@imesd.k12.or.us. This budget is for [x] an annual __ a biennial budget period. This budget was prepared on a basis of
accounting that is [x] the same as; [ ] different than the preceding year.
a.m.
June 13, 2022
7
p.m. The purpose of the hearing is to discuss the supplemental budget with interested
on____________________
at _____________________.
✁
In the Circuit Court of
the State of Oregon for
the County of Morrow
No. 22PB04000
Estate of Beverly M.
Wright
Deceased
Notice is hereby given that
the person named below
has been appointed per-
sonal representative of the
estate. All persons having
claims against the estate
are required to present
them to the personal repre-
sentative at P.O. Box 218,
Pendleton, OR 97801
within 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 pro-
ceedings may obtain addi-
tional information from the
records of the court, the
personal representative or
the attorney.
Dated and first published
May 18, 2022
Gerald A. Hoeft
57560 Wright Drive
Heppner, Oregon 97836
Timothy P. O'Rourke
Corey Byler & Rew, LLP
222 SE Dorion Ave
P.O. Box 218
Pendleton, OR 97801
541-276-3331
Published May 18 & 25
and June 1, 2022 Affidavit
PUBLIC NOTICE
NOTICE OF SUPPLEMENTAL BUDGET HEARING
• For supplemental budgets proposing any change in a fund’s expenditures by more than 10 percent.
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