Heppner Gazette-Times, Heppner, Oregon Wednesday, June 15, 2022 -- FIVE PUBLIC NOTICE NOTICE OF BUDGET HEARING A public meeting of the Irrigon Cemetery District will be held on June 29, 2022 at 7:00 p.m. at 150 Columbia Lane, Irrigon, Oregon. The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 as approved by the Irrigon Cemetery District Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 1395 NE Main Ave between the hours of 8:00 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 pre- ceding year. If different, the major changes and their effect on the budget are: NONE Contact Telephone number E-mail 541-571-0375 (C) Donald V Eppenbach deppenba@msn.com FINANCIAL SUMMARY—RESOURCES Actual Amounts 20 21 20____–20____ TOTAL OF ALL FUNDS 1. Beginning Fund Balance/Net Working Capital ........................................ Adopted Budget Approved Budget 23 22 22 Next Year: 20____–20____ 21 This Year: 20____–20____ 190,827 192,400 215,254 11,027 5,000 33,596 3,132 28,386 233,372 2,860 27,338 227,598 3,220 28,541 280,611 0 10,459 9,814 0 183,500 10,000 0 200,700 10,000 34,098 68,311 227,598 280,611 2. Fees, Licenses, Permits, Fines, Assessments & Other Service Charges ... 3. Federal, State & all Other Grants, Gifts, Allocations & Donations ........... 4. Revenue from Bonds & Other Debt ......................................................... 5. Interfund Transfers/Internal Service Reimbursements ............................ 6. All Other Resources Except Current Year Property Taxes ....................... 7. Current Year Property Taxes Estimated to be Received .......................... 8. Total Resources—add lines 1 through 7 ................................................ FINANCIAL SUMMARY—REQUIREMENTS BY OBJECT CLASSIFICATION 9. Personnel Services .................................................................................. 10. Materials and Services ............................................................................ 11. Capital Outlay .......................................................................................... 12. Debt Service ............................................................................................ 13. Interfund Transfers ................................................................................... 14. Contingencies .......................................................................................... 15. Special Payments .................................................................................... 16. Unappropriated Ending Balance and Reserved for Future Expenditure .... 20,273 17. Total Requirements—add lines 9 through 16 ........................................ Published June 15 & 22, 2022 Affidavit NOTICE OF BUDGET HEARING Published June 15, 2022 Affidavit                          NOTICE OF BUDGET HEARING                FORM LB‐1  A public meeting of the Port of Morrow will be held on June 27, 2022 at 11:00 am at the Riverfront Center, 2 Marine Drive, Boardman, Oregon. Virtual meeting details can be found at www. portofmorrow. com/ budgets ‐ notices .  The purpose of this meeting is to discuss the budget for the fiscal year beginning July 1, 2022 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. Contact:  Eileen Hendricks, Budget Officer Telephone: 541‐481‐7678 Email:  eileenh@portofmorrow.com FINANCIAL SUMMARY ‐ RESOURCES Actual Amount 2020 ‐ 21 11,254,609 Beginning Fund Balance/Net Working Capital 28,797,156 Fees, Licenses, Permits, Fines, Assessments & Other Service Charges Federal, State and all Other Grants, Gifts, Allocations and Donations 9,079,321 10,914,922 Revenue from Bonds and Other Debt  1,510,926 Interfund Transfers / Internal Service Reimbursements All Other Resources Except Current Year Property Taxes 2,212,147 Current Year Property Taxes Estimated to be Received 213,903      Total Resources  63,982,984 Adopted Budget This Year 2021 ‐ 22 17,500,000 34,777,820 18,407,585 729,000 4,165,000 12,116,385 225,439 87,921,229 TOTAL OF ALL FUNDS FINANCIAL SUMMARY ‐ REQUIREMENTS BY OBJECT CLASSIFICATION Personnel Services 15,083,381 Materials and Services 7,522,008 Capital Outlay 14,219,721 Debt Service 9,904,871 Interfund Transfers 165,000 Contingencies 0 Special Payments Unappropriated Ending Balance and Reserved for Future Expenditure 17,088,003      Total Requirements 63,982,984 Approved Budget Next Year 2022 ‐ 23 16,932,400 37,531,519 54,206,527 37,000,000 16,286,000 8,685,810 285,536 170,927,792 20,602,901 9,201,175 42,554,780 8,638,291 4,165,000 2,487,204 21,478,962 13,247,075 108,026,380 9,813,868 13,700,000 4,389,629 271,878 87,921,229 271,878 170,927,792 A public meeting of the Oregon Trail Library District will be held on June 29, 2022 at 6:30 p.m. at Heppner City Hall, 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 OTLD. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 200 S Main St., Boardman, Oregon between the hours of 10:00 a.m. and 6:00 p.m., or online at https://www.otld.org. 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. If different, the major changes and their effect on the budget are: NONE Contact Kathy Street Telephone number E-mail 541-441-3365 kstreet@otld.org FINANCIAL SUMMARY—RESOURCES Actual Amounts 20 21 20____–20____ TOTAL OF ALL FUNDS 1. Beginning Fund Balance/Net Working Capital ........................................ 2. Fees, Licenses, Permits, Fines, Assessments & Other Service Charges ... 3. Federal, State & all Other Grants, Gifts, Allocations & Donations ........... 4. Revenue from Bonds & Other Debt ......................................................... 5. Interfund Transfers/Internal Service Reimbursements ............................ 6. All Other Resources Except Current Year Property Taxes ....................... 7. Current Year Property Taxes Estimated to be Received .......................... 143755 1558 84216 0 0 14806 574165 818500 114000 750 26100 0 0 7500 638080 786430 303785.00 750 41900 0 0 7500 817847 1171782 368678 213649 0 37319 14000 436485 210167 20000 37319 14000 485989 237791 20000 37319 14000 184854 818500 68460 786431 376683 1171782 8. Total Resources—add lines 1 through 7 ................................................ FINANCIAL SUMMARY—REQUIREMENTS BY OBJECT CLASSIFICATION 9. Personnel Services .................................................................................. 10. Materials and Services ............................................................................ 11. Capital Outlay .......................................................................................... 12. Debt Service ............................................................................................ 13. Interfund Transfers ................................................................................... 14. Contingencies .......................................................................................... 15. Special Payments .................................................................................... 16. Unappropriated Ending Balance and Reserved for Future Expenditure .... 17. Total Requirements—add lines 9 through 16 ........................................ FINANCIAL SUMMARY—REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY ORGANIZATIONAL UNIT OR PROGRAM* 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 3,117,384 3,164,439 4,934,086       FTE 5 8 8 Freshwater Utility 7,454,080 8,832,596 17,590,616      FTE 9 9 10 Discharge Water Utility 6,506,535 13,104,790 54,915,690      FTE 15 16 20 East Beach Utility 671,836 2,330,000 19,926,935 2 2 4      FTE 32,170,056 43,118,119 53,743,465 Sites      FTE 21 33 33 Motor Pool 1,319,398 2,086,000 2,586,000      FTE 4 4 4 SAGE Center 451,245 1,335,285 1,446,000      FTE 5 4 4 Warehousing 12,292,450 13,950,000 15,785,000 61 68 68      FTE 63,982,984 87,921,229 170,927,792      Total Requirements 122 144 151            Total FTE Name of Organizational Unit or Program FTE for Unit or Program Name OTLD FTE .2536 .2536 Permanent Rate Levy ............ (Rate Limit___________Per $1000) LONG TERM DEBT General Obligation Bonds Other Bonds Other Borrowings      Total F O R M L B - 1 STATEMENT OF INDEBTEDNESS Estimated Debt Outstanding  on July 1. $68,590,000 Rate or Amount Approved Next Year 2022 ‐ 23 .0841 Estimated Debt Authorized, But   Not Incurred on July 1 $0 $18,136,100 $86,726,100 $0 $0 Published June 15, 2022 Affidavit N O T I C E O F B U D G E T H E A R I N G A public meeting of the Heppner Cemetery Maintenance District will be held on June 20, 2022 at 5:00 pm at 61232 Hwy 207, 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 Cemetery Maintenance District Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 61232 Hwy 207 between the hours of 5:00 p.m. and 8 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. If different, the major changes and their effect on the budget are: Contact: Amy Kollman, Secretary T OT A L O F A L L F U ND S Telephone: 541-377-1055 Email: heppnercemetery@gmail.com F I NA N C I A L S U M MA R Y - RE S OU R C ES Actual Amount Adopted Budget 2020-2021 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 T o t al R es o u r c es This Year 2021-2022 108,568 6,300 3,000 0 9,525 758 59,966 1 88 ,1 17 95,687 13,785 6,000 0 10,460 1,060 59,676 1 86 ,6 6 8 F I NA NC IA L S U MM A RY - RE QU I RE M E NT S B Y OB J E CT C L A S S IF I C A T IO N Personnel Services 33,142 30,144 Materials and Services 250 Capital Outlay 0 Debt Service 10,460 Interfund Transfers 0 Contingencies 0 Special Payments 46,537 Unappropriated Ending Balance and Reserved for Future Expenditure T o t a l R eq u i r em e n t s 1 20 ,5 3 3 P R O PE R T Y T A X L E V I E S Rate or Amount Imposed Permanent Rate Levy (rate limit .5413 per $1,000) Local Option Levy Levy For General Obligation Bonds LONG TERM DEBT N/A N/A General Obligation Bonds Other Bonds Other Borrowings T o t a l * If more space is needed to complete any section of this form, insert lines (rows) on this sheet. You may delete blank lines. 150-504-073-2 (Rev. 02-14) 40,290 41,518 72,604 0 9,600 0 0 72,365 23 6 ,3 7 7 Rate or Amount Approved This Year 2021-2022 .5413/$1000 N/A N/A S T AT EM E N T O F I N D EB T E D N E S S Estimated Debt Outstanding on July 1. none none none Next Year 2022-2023 154,071 7,500 3,000 0 9,600 855 61,351 23 6 ,3 7 7 38,300 36,500 34,213 0 9,525 0 0 69,579 1 88 ,1 17 Rate or Amount Imposed 2020-2021 .5413/$1000 Approved Budget Next Year 2022-2023 .5413/$1000 N/A N/A Estimated Debt Authorized, But Not Incurred on July 1 none none none Published June 15, 2022 Affidavit Rate or Amount Imposed Rate or Amount Approved .2536 .2536 Levy for General Obligation Bonds ............................................... Published June 15 & 22, 2022 Affidavit F O R M L B - 1 N O T I C E O F B U D G E T H E A R I N G A public meeting of the Heppner Rural Fire Protection District will be held on June 23, 2022 at 5:30 pm at 180 Rock Street, 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 Rural Fire Protection District Budget Committee. A summary of the budget is presented below. A copy of the budget may be inspected or obtained at 180 Rock Street, Heppner, Oregon, between the hours of 5:30 p.m. and 8:00 p.m. This budget is for an annual budget period, and was prepared on a basis of accounting that is the same as used in the preceding year. Contact: Thomas Wolff, District Accountant Telephone: 541-377-4945 F I N AN CI A L S U M MA R Y - R E S OU R CE S Actual Amount 2020-21 Rate or Amount Imposed This Year 2021 ‐ 22 .0841 6.14 Local Option Levy ....................................................................................... T O T AL O F AL L F U N D S  Permanent Rate Levy      (rate limit  .0841 per $1,000)  Local Option Levy  Levy For General Obligation Bonds 7.3 7.3 PROPERTY TAX LEVIES Rate or Amount Imposed STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING * PROPERTY TAX LEVIES Rate or Amount Imposed 2020 ‐ 21 .0841 Adopted Budget Approved Budget 22 Next Year: 20____–20____ 22 23 21 This Year: 20____–20____ 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 Property Taxes Property Taxes Estimated to be Received - Including Debt Service T o t a l Re s o u r c es $136,664 0 0 0 20,000 299 105,841 $ 2 62 ,8 04 Email: twolff4945@gmail.com Adopted Budget Approved Budget This Year 2021-22 $157,579 78,318 0 0 98,318 300 108,878 $ 4 43 ,3 93 F I N AN CI A L S U M MA R Y - R E QU IR E M EN T S B Y O B J EC T C L AS S I F IC AT I O N Personnel Services $1,000 49,534 Materials and Services 0 Capital Outlay 33,182 Debt Service 20,000 Interfund Transfers 0 Contingencies 0 Repay S/T Loan from General Fund 0 Unappropriated Ending Balance and Reserved for Future Expenditure T o t al R e q u i r e m e n t s $ 1 03 ,7 16 Next Year 2022-23 $370,163 118,996 0 0 316,770 340 119,325 $9 2 5, 59 4 $1,000 54,608 165,611 111,180 98,318 $1,500 64,040 482,600 32,856 316,770 0 12,676 $ 4 43 ,3 93 0 27,828 $9 2 5, 59 4 F IN AN C I AL S UM MA R Y - R E QU I R EM E NT S B Y O R GA N IZ AT IO N A L UN I T O R P R O GR AM * N a m e of Organizational Unit or Program. F T E for that unit or program District Fire Fighting Measures and Prevention. $103,716 $443,393 None None FTE (# of Full-Time Equivalent Employees) $925,594 None FTE Non-Departmental / Non-Program FTE T o t a l Re q u i r e m e n t s T o t al F T E $ 9 2 5 , 5 9 4 N o n e $ 1 0 3 , 7 1 6 N o n e $ 4 4 3 , 3 9 3 N o n e S T AT EM EN T O F C H AN GE S IN A C TI VI T I E S an d SO U RC ES OF F I N AN C IN G * No Changes in Activities. A Bond was floated during 2015-2016 for the construction of a replacment Fire Hall in the amount of $390,000. During the 2021-2022 Budget Year, the first of the annual Wheatridge Wind Project SIP Funds were received by the District, in the amount of $118,996. Also during the 2021-2022 fiscal year, an unexpected grant from Amazon, via Morrow County, was received in the amount of $64,861. Permanent Rate Levy (rate limit .7906 per $1,000) Local Option Levy Levy For General Obligation Bonds LONG TERM DEBT General Obligation Bonds Other Bonds Other Borrowings T o t a l P R OP E R TY T AX L EV I E S Rate or Amount Imposed .7906/$1,000 N/A $34,000 S T AT EM EN T O F IN D EB T ED N ES S Estimated Debt Outstanding on July 1, 2021 $281,766 plus accrued interest. None None $281,766 plus accrued interest. Rate or Amount Imposed .7906/$1,000 N/A $34,000 Rate or Amount Approved .7906/$1,000 N/A $34,000 Estimated Debt Authorized, But Not Incurred on July 1, 2020 None None None None Published June 15 & 22, 2022 Affidavit WWW.HEPPNER.NET Submit News, Advertising & Announcements Letters To The Editor Send Us Photos Start A New Subscription