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Legals for August, 7 2020

| August 7, 2020 12:00 AM

NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR OCTOBER 2020 - SEPTEMBER 2021 CITY OF CLARK FORK, IDAHO A public hearing by the Clark Fork City Council, pursuant to Idaho Code 50-1002, will be held for consideration of the proposed budget for the fiscal year that begins October 1, 2020 and ends September 30, 2021 to follow. The hearing will be at the Clark Fork City Hall, 110 East Third Avenue, Clark Fork, Idaho on Monday August 10, 2020 at 6:45 p.m. All interested persons are invited to appear and show cause, if any, why such budget should or should not be adopted. Copies of the proposed budget in detail are available at the City Clerk's Office during regular office hours (8:00 a.m. to 12:00 noon weekdays). City Hall is accessible to person with disabilities. Anyone desiring accommodations for disabilities related to the budget documents or to the hearing should contact the City Clerk's Office at (208) 266-1315 at least 48 hours prior to the Public Hearing. Budget Figures Current Budget Proposed Budget Fiscal Year Fiscal Year Fiscal Year Ending: 9/30/19 Ending: 9/30/20 Ending: 9/30/21 EXPENDITURES General Fund 228,594 272,645 435,107 Street Fund 100,532 139,888 99,838 Water Fund 225,120 185,750 189,400 TOTAL EXPENDITURES 554,246 598,283 724,345 REVENUE Property Tax Levy: General Fund 33,654 39,134 40,000 Street Fund 36,732 33,413 41,004 Forgone - Bridge Lighting 5,587 Total Property Tax Levy 70,386 78,134 81,004 Revenue Sources Other Than Property Tax: General Fund 194,940 233,511 395,107 Street Fund 63,800 100,888 58,834 Water Fund 225,120 185,750 189,400 Total Other Revenue 482,860 520,149 643,341 TOTAL REVENUES 554,246 598,283 724,345 The proposed expenditures and revenues for the fiscal year 2020-21 have been tentatively approved by the City Council on 7/20/20. Publication of this Notice of Public Hearing will be made on July 31, 2020 and August 7, 2020 in the Bonner County Daily Bee. City of Clark Fork Amber Burgess, Clerk/Treasurer SNP LEGAL 7899 AD#396735 JULY 31, AUGUST 7, 2020

NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2021 CITY OF KOOTENAI, IDAHO Notice is hereby given that the City Council of Kootenai, Idaho, will hold a public hearing for consideration of a proposed budget for the fiscal year October 1, 2020 to September 30, 2021; all pursuant to the provisions of Section 50-1002, Idaho Code, said hearing to be held at the City Hall at 204 Spokane Street, Kootenai, Idaho, at 6:00 p.m. on August 19, 2020. At said hearing all interested persons may appear and show cause, if any they have, why the proposed budget should not be adopted. Please note that the figures below include proposed projects that may or may not be completed due to the availability of revenue sources, including grant funds. Copies of the proposed City Budget in detail are available at City Hall during regular office hours. City Hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities related to the budget documents or to the hearing, please contact the City Clerk, 265-2431, at least 48 hours prior to the public hearing. The proposed FY 2021 budget is shown below as FY 2021 proposed expenditures and revenues. PROPOSED EXPENDITURES FUND NAME FY2019 FY2020 FY2021 Budgeted Budgeted Proposed Expenditures Expenditures Expenditures General Fund 225,024 314,258 214,694 Street Fund 100,210 138,596 124,587 GRAND TOTAL ALL FUNDS- EXPENDITURES 325,234 453,165 339,281 PROPOSED REVENUE FUND NAME FY2019 FY2020 FY2021 Budgeted Budgeted Proposed Revenue Revenue Revenue Property Tax Levy 50,000 45,000 64,481 Carryover 140,022 37,143 Forgone 5,850 8,438 Other Revenue Source 127,020 129,546 104,632 Street Fund Carryover 61,096 47,087 Other Revenue Source 109,778 77,501 77,500 GRAND TOTAL ALL FUNDS - REVENUE 283,798 453,165 339,281 The proposed expenditures and revenue for fiscal year 2021 have been tentatively approved by the City Council and entered in detail in the Journal of Proceedings. SNP LEGAL 7947 AD#399904 AUGUST 7, 13, 2020

ADVERTISEMENT FOR BIDS Sealed bids will be received by the City Clerk, City of Sandpoint, at City Hall, 1123 Lake Street in Sandpoint, Idaho 83864, until 2:00:00 p.m. local time on Thursday, August 27, 2020 for the Cured-in-Place Pipe (CIPP) Project. The project can be summarized to rehabilitate approximately 5,000 linear feet of sanitary sewer pipe utilizing the Cured-in-Place (CIPP) method in Sandpoint, Idaho. The work generally includes sanitary sewer pipe rehabilitation using CIPP, including cleaning, CCTV inspection, cutting off protruding taps, reinstating laterals, and related items of work. A Base Bid and Bid Alternative are included in the Bidding Documents. Proposals will be opened and publicly read at the above hour and date. Plans, specifications, forms and other information are on file for examination at the following locations: 1. City of Sandpoint website: http://www.sandpointidaho.gov/doing-business/bids-and-rfps 2. Spokane Regional Plan Center, 209 N Havana St. (PO Box 2968) Spokane, WA 99202 3. Inland Northwest AGC, Abadan Online Planroom: http://www.abadanplanroom.com/ 4. Builders Exchange of Washington, Inc. On-Line Plan Center: http://bxwa.com/ A Pre-Bid Conference will not be held. A bid bond in the amount of 5% of the total bid amount is required. A Public Works Contractor License for the State of Idaho is required to bid this work. Disadvantaged Business Enterprises are encouraged to submit bids. Estimated Cost: $150,000 - $300,000. SNP LEGAL 7940 AD#399559 AUGUST 7, 14, 2020

Notice of Public Hearing Laclede Water District The public hearing for consideration of the proposed budget will be held at the Laclede Community Center at 24 Moore Loop Rd. Laclede, Idaho 83841. On Wednesday, August 12th, 2020 at 6:00 p.m. Copies of the proposed budget in detail are available for examination at the Laclede Water District office at 486 Riley Creek Rd. Laclede, Idaho Business hours are Monday and Tuesday 9:00pm to 4:00pm Proposed Budget-FYE November 30, 2021 OPERATING REVENUE: Water User Fees 170,000.00 Overage Fees 30,000.00 Late Fees 3,000.00 Interest/Installment Payments 800.00 Hook-up Fees 0.00 TOTAL OPERATING INCOME: $203,800.00 OPERATING EXPENSES: Payroll Expense 16,000.00 Rural Development 30,341.00 Insurance 2,800.00 Utilities 11,000.00 Legal 3,500.00 Repairs/Maintenance/Non-Project Engineering 30,000.00 Contract Maintenance/Contract Labor 50,000.00 Chemicals 2,500.00 Operating Supplies & Equipment 6,000.00 Lab Work 3,000.00 Office Supplies/Postage/Shipping 3,000.00 Biannual Audit 0.00 Fees/Dues/Travel/Rent/Education 3,600.00 Capital Improvement 18,000.00 Depreciation 24,059.00 TOTAL OPERATING EXPENSES: $203,800.00 NET INCOME OVER EXPENSES 0 SNP LEGAL 7937 AD#399409 AUGUST 7, 2020

LEGAL NOTICE OF BUDGET LITTLE BLACKTAIL RANCH WATER DISTRICT c/o Practical Accounting Solutions PO Box 2788 Hayden, ID 83835 Proposed Budget - The Board of Directors of Little Blacktail Ranch Water District will hold a public hearing on its proposed 2020-2021 Budget on August 17th, at 7:00PM at the Timberlake Fire Station #6, Sun Valley Rd., Careywood, ID 93809 Pursuant to Idaho Code Section 423229. A copy of the proposed budget is set forth below: Little Blacktail Water District Fiscal Year Operating Budget Revenue Budget 2019-20 Budget 2020-21 Base Allotment Rate: $100.00/month $100.00/month Annual Total User Fees $44,400 (37 users) $44,400 (37 users) Cap Fee (Water hook-up fee) $0 $ 0 Payment for LID #1 $25,133 $25,133 1% Admin. Fee, LID #1 $3,173 $3,173 Total Revenue $72,706 $72,706 Expenses Water Man. Wages $9,000 $9,000 Accounting Services $3,936 $3,936 Insurance $1,525 $1,632 Chorine & Related Supplies $1,250 $1,250 Utilities $5,760 $5,760 Office supplies, bank & publishing fees $500 $500 DEQ Required Testing & Fees $3,735 $3,735 Repairs & Maintenance & Snowplow $9,444 $9,444 Cryptosporidium Testing $6,500 $6,500 Reserve $2,750 $2,643 Payment for LID #1 $25,133 $25,133 1% Administration Fee, LID #1 $3,173 $3,173 Total Expenses: $72,706 $72,706 The USDA Loan "LID Note" is not included in the Operating Budget as noted above, this is a separate account. *If you are unable to attend the Public Hearing and have questions or comments, you may do so by mailing them to the Water District address above or email the Treasurer at chrissandahl@gmail.com *The proposed budget is available on the WD notice board after August 6th, 2020 and at the Timberlake Fire Station #6 between 7:00 p.m. and 8:00 p.m. on August 17th. The proposed budget can also be found at: www.littleblacktail.org SNP LEGAL 7936 AD#399407 AUGUST 7, 2020

Notice of Public Hearing Proposed Budget for Fiscal Year 2020-2021 Schweitzer Fire District Notice is hereby given that the Schweitzer Fire District in Bonner County Idaho, will conduct a public hearing on Thursday, 20th day of August, 2020, 5pm, at the Schweitzer Fire Station located at 7094 Schweitzer Mtn. Rd., for the purpose of explaining its proposed budget for Fiscal Year 2020/2021. All interested persons are invited to appear and show cause, if any, why such budget should or should not be adopted. The proposed budget subject of the above hearing is as follows: Anticipated Revenue: Property Tax Remittance $294,573 Cash Carry Over 190,000 EMS Revenue 50,000 Total Anticipated Revenue $534,573 Anticipated Expenditures: Maintenance/Operation $112,000 Capital Expenditures 160,000 Payroll & Exp. 160,000 Emergency/Unanticipated 102,573 Total Anticipated Expenditures $534,573 SNP LEGAL 7941 AD#399561 AUGUST 7, 2020