Heppner gazette-times. (Heppner, Or.) 1925-current, June 22, 2022, Page 5, Image 5

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    Heppner Gazette-Times, Heppner, Oregon Wednesday, June 22, 2022 -- FIVE
PUBLIC NOTICE
NOTICE OF SUPPLEMENTAL BUDGET HEARING
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
1. Beginning Fund Balance/Net Working Capital ........................................
The hearing will take place on January 29, 2022 at 9:00 AM.
The purpose of the hearing is to discuss the supplemental budget with interested persons.
A copy of the supplemental budget document may be inspected or obtained on or after June 23, 2022 at
the Morrow County Finance Department loacted at: 110 N. Court St. Heppner, OR.,
between the hours of 8:00 AM and 5:00 PM.
deppenba@msn.com
FINANCIAL SUMMARY—RESOURCES
Actual Amounts
20
21
20____–20____
TOTAL OF ALL FUNDS
A public hearing on a proposed supplemental budget for Morrow County, Oregon for the fiscal year July 1, 2021 to
June 30, 2022, will be held at the Morrow County Bartholomew Building 110 N. Court Street Heppner, OR.
SUMMARY OF SUPPLEMENTAL BUDGET
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
Current
Appropriations
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 ............................
Increase
(Decrease)
Amended
Budget
GENERAL FUND
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 ............................................................................................
Transfer Station-North
Transfer Station-South
Contingency
Total Increase/(Decrease) General Fund
$
$
$
$
44,425
60,706
438,324
543,455
$
$
$
$
5,000
10,000
(15,000)
0
$
$
$
$
49,425
70,706
423,324
543,455
Total Fund Resources & Requirements
$
22,895,785
$
0
$
Reason: Condition not known at the time that budget was prepared requires a change in financial planning.
22,895,785
13. Interfund Transfers ...................................................................................
14. Contingencies ..........................................................................................
15. Special Payments ....................................................................................
16. Unappropriated Ending Balance and Reserved for Future Expenditure ....
227,598
20,273
17. Total Requirements—add lines 9 through 16 ........................................
280,611
Published June 15 & 22, 2022 Affidavit
NOTICE OF BUDGET HEARING
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
TOTAL OF ALL FUNDS
Telephone number
E-mail
541-441-3365
kstreet@otld.org
FINANCIAL SUMMARY—RESOURCES
Actual Amounts
20
21
20____–20____
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 ..........................
9. Personnel Services ..................................................................................
10. Materials and Services ............................................................................
11. Capital Outlay ..........................................................................................
12. Debt Service ............................................................................................
13. Interfund Transfers ...................................................................................
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
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*
Name of Organizational Unit or Program
FTE for Unit or Program
Name OTLD
FTE
7.3
7.3
PROPERTY TAX LEVIES
Rate or Amount Imposed
6.14
Rate or Amount Imposed
Rate or Amount Approved
.2536
.2536
.2536
.2536
Permanent Rate Levy ............ (Rate Limit___________Per
$1000)
Local Option Levy .......................................................................................
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
T O T AL O F A L L F U N D S
Telephone: 541-377-4945
F IN AN C I AL S U M MA R Y - R ES OU R CE S
Actual Amount
2020-21
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
To t a l R e s o u r c es
$136,664
0
0
0
20,000
299
105,841
$ 2 6 2 , 80 4
Email: twolff4945@gmail.com
Adopted Budget
This Year 2021-22
$157,579
78,318
0
0
98,318
300
108,878
$ 44 3 ,3 93
F I N AN C I AL S U MM AR Y - R E Q U IR EM EN T S B Y O B J EC T C L A S S IF I CA TI ON
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
$ 1 0 3 , 71 6
T o t a l R eq u i r e m e n t s
Approved Budget
Next Year 2022-23
$370,163
118,996
0
0
316,770
340
119,325
$ 9 25 , 5 9 4
$1,000
54,608
165,611
111,180
98,318
$1,500
64,040
482,600
32,856
316,770
0
12,676
$ 44 3 ,3 93
0
27,828
$ 9 25 , 5 9 4
F I N AN C IA L S UM M A R Y - R E QU IR E ME N T S B Y O R G AN IZ A TI ON AL U NI T OR P R OG R A M *
N a m e of Organizational Unit or Program.
FT 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
To t a l R e q u i r em e n t s
T o t a l F T E
$ 9 2 5 , 5 9 4
No 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 E N T OF CH AN G ES I N A C TI V I T IE S a n d S O U R C E S O F F I N AN C I NG *
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
To t a l
P RO P ER T Y T AX L EV I ES
Rate or Amount Imposed
.7906/$1,000
N/A
$34,000
S T AT EM E N T OF I N DE B TE DN 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
$
$
$
$
$
9,070,575
-
1,055,000
316,495
10,442,070
Total Fund Resources & Requirements
$
11,442,070
$
0
$
Reason: Condition not known at the time that budget was prepared requires a change in financial planning.
11,442,070
AIRPORT FUND
Materials & Services
Capital Outlay
Total Increase/(Decrease) Airport Fund
968,980
211,716
$
40,000
$
251,716
$
201,350
$
$
40,000
40,000
$
241,350
$
40,000
$
241,350
$
136,885
(136,885)
0
$
$
$
136,885
-
136,885
Total Fund Resources & Requirements
$
136,885
$
0
$
Reason: Condition not known at the time that budget was prepared requires a change in financial planning.
136,885
Total Fund Resources & Requirements
$
201,350
Reason: Unexpected funds were made available by another unit of government.
WILLOW CREEK WIND FEES FUND
Special Payments
Transfers to Other Funds
Total Increase/(Decrease) Willow Creek Wind Fees
david@sykesrealestate.net
$
$
$
0
136,885
136,885
Total APPROPRIATIONS, All Funds $
71,338,354
Total Unappropriated and Reserve Amounts, All Funds $
6,979,694
TOTAL ADOPTED BUDGET $
78,318,048
Published June 15, 2022 Affidavit
Personal Representative
NOTICE OF SHERIFF’S NOTICE TO
SALE
INTERESTED PERSONS SUBMITTED BY:
On 21st day of July, 2022
at the hour of 11 am at
the Lobby Doors inside
the Morrow County Court
House, 100 N Court St,
Heppner, OR 97836, the
defendant’s interest will
be sold, subject to redemp-
tion, in the real proper-
ty commonly known as:
74905
WASHINGTON
LANE (FKA WASH-
INGTON AVENUE W),
IRRIGON, OR 97844.
The court case number
is 20CV04602, WELLS
FARGO BANK, N.A.,
Plaintiff and UNKNOWN
HEIRS, DEVISEES AND/
OR SUCCESSORS IN
INTEREST OF JUDY
FRANKE AKA JUDITH
A. FRANKE; MIRAN-
DA STUDER; WILLIAM
PROSSER; DISCOVER
BANK; UNIFUND CCR,
LLC; PARTIES IN POS-
SESSION,
Defendants.
The sale is a public auction
to the highest bidder for
cash or cashier’s check, in
hand, made out to Morrow
County Sheriff’s Office.
For more information on
this sale go to: http://ore-
gonsheriffssales.org/
Published June 22 & 29,
and July 6 & 13, 2022
Affidavit
ALL NEWS AND
ADVERTISEMENT
DEADLINE:
MONDAYS AT 5:00 P.M.
This is a good time to sell!
541-980-6674
10,000
(10,000)
0
$
I have buyers looking for homes,
land and building lots in the
Heppner, Lexington and Ione area.
188 W. Willow
P.O. Box 337
Heppner, OR 97836
$
$
$
(1,291,495)
(80,000)
1,055,000
316,495
0
Total Fund Resources & Requirements
$
968,980
$
0
$
Reason: Condition not known at the time that budget was prepared requires a change in financial planning.
Now is the time!
Owner/Broker David Sykes
67,840
901,140
968,980
$
$
$
$
$
77,840
891,140
968,980
COUNTY SCHOOL FUND
Intergovernmental & Grant Revenues
$
$
$
10,362,070
80,000
0
0
10,442,070
$
$
$
Do you have property to sell?
Call, text or email me.
$
$
$
$
$
Special Payments
Total Increase/(Decrease) County School Fund
Adopted Budget
Approved Budget
22 Next Year: 20____–20____
22
23
21
This Year: 20____–20____
8. Total Resources—add lines 1 through 7 ................................................
FINANCIAL SUMMARY—REQUIREMENTS BY OBJECT CLASSIFICATION
ROAD FUND
Road Dept. (org unit)
Capital Outlay
Transfers to Other Funds
Contingency
Total Increase/(Decrease) Road Fund
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IN THE CIRCUIT COURT
OF THE STATE OF ORE-
GON
FOR THE COUNTY OF
MORROW
In the Matter of the Estate
of WRAY A. HAWKINS,
JR
Deceased.
NOTICE TO INTEREST-
ED PERSONS
NO. 22PB03822
NOTICE IS HEREBY
GIVEN that the under-
signed has been appointed
personal
representative.
All persons having claims
against the estate are re-
quired to present them,
with vouchers attached, to
the undersigned personal
representative at the office
of Monahan, Grove
& Tucker, 105 N. Main,
Milton-Freewater,
OR
97862 (attorneys for the
personal representative),
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 attorneys for the per-
sonal representative.
Dated and first published
June 8, 2022.
KAREN S. HAWKINS
Samuel E, Tucker, OSB
#763644
MONAHAN, GROVE &
TUCKER
Attorneys at Law
105 N, Main St
Milton-Freewater,
OR
97862
phone 541-938-3377
fax 541-938-6112
sam@mgtlegal.com
Published June 8, 15 and
22, 2022 Affidavit
NOTICE TO
INTERESTED PERSONS
Clay Grace has been ap-
pointed Personal Repre-
sentative (hereafter PR)
of the Estate of Raymond
Wilson Grace, Deceased,
Probate No.22PB01632,
Morrow County Circuit
Court, State of Oregon.
All persons whose rights
may be affected by the
proceeding may obtain ad-
ditional information from
the court records, the PR,
or the attorney for the PR.
All persons having claims
against the estate must
present them to the PR at:
Richard A. Weill, P.C., At-
torney, 102 W Hist Col Rvr
Hwy, Troutdale OR 97060
within four months after
the first publication date of
this notice or they may be
barred.
Published June 8, 15 and
22, 2022 Affidavit