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Legals for August, 14 2020

| August 14, 2020 12:00 AM

ORDINANCE NO. 608 KRALY ZONE CHANGE FILE NO. ZC0004-20 AN ORDINANCE OF BONNER COUNTY, IDAHO, CITING ITS AUTHORITY, AND PROVIDING FOR THE AMENDMENT OF THE OFFICIAL ZONING MAP OF BONNER COUNTY BY THE RECLASSIFICATION OF LANDS GENERALLY LOCATED IN SECTION 4, TOWNSHIP 57 NORTH, RANGE 1 WEST FROM ARICULTURAL FORESTRY 10 & RURAL SERVICE CENTER TO COMMERICIAL DISTRICT, AND PROVIDING FOR AN EFFECTIVE DATE. WHEREAS, the Bonner County Planning and Zoning Commission did hold a public hearing on June 18, 2020 on the File ZC0004-20 request for a change in zoning designation according to the requirements for such hearings set forth at Section 67-6509, Idaho Code, and at Title 12, Bonner County Revised Code; and WHEREAS, the Bonner County Planning and Zoning Commission did find that the zone change request File ZC0004-20 is in accordance with the Bonner County Comprehensive Plan and did recommend to the Board of County Commissioners that the zone change request be approved; and WHEREAS, the Board of County Commissioners did hold a public hearing on July 22, 2020 on the File ZC0004-20 request for a change in zoning designation according to requirements of such hearings set forth at Section 67-6509, Idaho Code and at Title 12 of the Bonner County Revised Code; and WHEREAS, the Board of County Commissioners did find that the zone change request File ZC0004-20 is in accordance with the Bonner County Comprehensive Plan; NOW, THEREFORE BE IT ORDAINED, by the Board of County Commissioners that the following be and is hereby adopted as an ordinance of Bonner County, Idaho: SECTION 1: AUTHORITY This ordinance is adopted pursuant to authority granted to Bonner County at Chapter 65 of Title 67, Idaho Code. SECTION 2: AMENDING THE OFFICIAL ZONING MAP The Official Zoning Map of Bonner County, Idaho is hereby amended by the reclassification of the following described lands from Agricultural Forestry 10 & Rural Service Center to Commercial district: A PARCEL OF LAND LOCATED IN SECTION 4, TOWNSIHP 57 NORTH, RANGE 1 WEST, BOISE MERIDIAN, BONNER COUNTY, IDAHO, BEING MORE PARTICULARLY DESCRIBED AS FOLLOWS: COMMENCING AT THE NORTHWEST CORNER OF THE NORTHEAST QUARTER OF SAID SECTION 4; THENCE NORTH 89 DEGREES 58' 31" EAST ALONG THE NORTH LINE OF SECTION 4, 1324.35 FEET TO THE NORTHWEST CORNER OF GOVERNMENT LOT 1; THENCE SOUTH 00 DEGREES 01' 18" EAST ALONG THE WEST LINE OF GOVERNMENT LOT 1 A DISTANCE OF 1205.94 FEET TO A POINT, SAID POINT BEING THE TRUE POINT OF BEGINNING. THENCE CONTINUING SOUTH 00 DEGREES 01' 18" EAST, 329.63 FEET TO THE SOUTHWEST CORNER OF GOVERNMENT LOT 1; THENCE SOUTH 00 DEGREES 01' 19" EAST, 293.38 FEET TO AN INTERSECTION WITH THE NORTHERLY RIGHT OF WAY OF HWY 200; THENCE NORTH 79 DEGREES 21' 57" EAST ALONG SAID NORTHERLY RIGHT OF WAY A DISTANCE OF 725.78 FEET TO AN INTERSECTION WITH THE WESTERLY RIGHT OF WAY OF COLBURN-CULVER ROAD; THENCE NORTH 00 DEGREES 10' 16" EAST ALONG SAID WESTERLY RIGHT OF WAY A DISTANCE OF 479.09 FEET; THENCE NORTH 89 DEGREES 11' 17" WEST, 715.06 FEET TO THE TRUE POINT OF BEGINNING. Said parcel # RP57N01W040080A containing approximately 9.0 acres. SECTION 3: EFFECTIVE DATE This ordinance shall be in full force and effect upon its passage, approval and publication in one (1) issue of the Bonner County Daily Bee Newspaper, and upon the entry of the above described zoning reclassification upon the Official Zoning Map or a Supplemental Zoning Map in accordance with the provisions set forth at Chapter 4 of Title 12 of the Bonner County Revised Code. Regularly considered, passed and approved as an ordinance of Bonner County, Idaho, done this22nd day of July, 2020, upon the following roll call vote: Chairman Dan McDonald: AYE Commissioner Jeff Connolly: AYE Commissioner Steve Bradshaw: AYE BONNER COUNTY BOARD OF COMMISSIONERS /s/Dan McDonald, Chairman /s/Jeff Connolly, Commissioner /s/Steve Bradshaw, Commissioner ATTEST: /s/ Jessi Webster By Clerk Date July 22, 2020 Legal: /s/ B. Wilson SNP LEGAL 7956 AD#400699 AUGUST 14, 2020

CLARK FORK ORDINANCE NO. 281 AN ORDINANCE ENTITLED THE ANNUAL APPROPRIATION ORDINANCE FOR THE FISCAL YEAR BEGINNING OCTOBER 1, 2020, AND ENDING ON SEPTEMBER 30, 2021, APPROPRIATING THE SUM OF SEVEN HUNDRED TWENTY-FOUR THOUSAND THREE HUNDRED AND FOURTY-FIVE DOLLARS TO DEFRAY THE EXPENSES AND LIABILITIES OF THE CITY OF CLARK FORK, IDAHO FOR SAID FISCAL YEAR, AUTHORIZING A LEVY OF A SUFFICIENT TAX UPON THE TAXABLE PROPERTY AND SPECIFYING THE OBJECTS AND PURPOSES FOR WHICH SAID APPROPRIATION IS MADE. BE IT ORDAINED by the Mayor and City Council of the City of Clark Fork, Bonner County, Idaho. Section 1: That the sum of $724,345 be, and the same is appropriated to defray the necessary expenses and liabilities of the City of Clark Fork, Bonner County, Idaho for the fiscal year beginning October 1, 2020. Section 2: The objects and purposes for which such appropriation is made, and the amount of each object and purpose is as follows: ESTIMATED EXPENDITURES: GENERAL FUND: $435,107 STREET FUND: $ 99,838 WATER FUND: $189,400 TOTAL EXPENDITURES $724,345 Section 3: That a general tax levy to yield $81,004 on all taxable property within the City of Clark Fork be levied in an amount allowed by law for the general purposes for said City, for the fiscal year beginning October 1, 2020. Section 4: All ordinances and parts of ordinances in conflict with this ordinance are hereby repealed. Section 5: This ordinance shall take effect and be in full force upon its passage, approval and publication in one issue of the Bonner County Daily Bee, a newspaper of general circulation in the City of Clark Fork, and the official newspaper of said City. PASSED under suspension of the rules upon which a roll call vote was taken and duly enacted as an Ordinance of the City of Clark Fork, Bonner County, Idaho at a convened meeting of the Clark Fork City Council held on the 10th day of August 2020. Russell W. Schenck, Mayor CITY COUNCIL MEMBERS: YES NO ABSENT Shari M. Jones _v__ Jay White _v__ Sharon J. Banning _v__ Stanley A. Spanski _v__ ATTEST: Amber Burgess, City Clerk SNP LEGAL 7960 AD#400721 AUGUST 14, 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 A public hearing for consideration of the proposed Sandpoint Urban Renewal Agency (SURA) budget for the fiscal year that begins October 1, 2020, and ends September 30, 2021, will be held at 7:30 a.m. on August 25, 2020, in Council chambers at Sandpoint City Hall, 1123 W. Lake St., Sandpoint, Idaho. Written or oral comments about the proposed budget are welcome. SURA's FY2020/21 proposed budget includes financial information for two areas, the Downtown area (formed in 2005) and the Northern area (formed in 2005), along with it expenditures and revenues during the Agency's previous fiscal year are as follows: Budget Actual Budget REVENUES FY2019/20 YTD 8/1/20 FY2020/21 OPERATING REVENUES: Downtown Area Tax Increment $ 615,000 $ 446,625 $ 591,814 Northern Area Tax Increment $ 600,780 $ 396,351 $ 571,225 OTHER REVENUES: Downtown Area Interest Income $ 750 $ 2,119 $ 500 Northern Area Interest Income $ 1,500 $ 8,174 $ 1,500 OTHER INCOME: $ - $ - $ - TOTAL REVENUES $ 1,218,030 $ 853,269 $ 1,165,039 EXPENDITURES OPERATING EXPENDITURES: Professional-Audit $ 5,000 $ 4,700 $ 5,000 Legal-surveys, etc. $ 5,000 $ 40 $ 5,000 Secretarial-clerical $ 12,500 $ 1,562 $ 12,500 Supplies/website/ICRMP/RAI $ 3,900 $ 2,493 $ 3,900 CAPITAL EXPENDITURES: Downtown-Streets Phase II $ 400,000 $ - $ 400,000 Downtown-Street Engineering $ 150,000 $ - $ 150,000 Downtown-Public art $ 111,634 $ 3,045 $ 123,838 Downtown-City Parking Lot $ - $ - $ 215,000 Downtown Debt Series 2011 $ 248,298 $ 124,149 $ 124,149 Downtown Debt Series 2018 $ 166,857 $ 83,378 $ 166,857 Northern-Gem Grant match $ - $ - $ - Northern-fiber $ - $ - $ - Northern-Public art $ 106,831 $ 49,937 $ 105,937 Northern-Schweitzer Ranch $ 25,000 $ - $ 25,000 Northern-Milltown $ 33,333 $ - $ 33,333 Northern-Milltown public improvements $ 18,433 $ - $ 18,433 Northern-N.Boyer-Sewer project $ - $ - $ - Northern-Great Northern storm water study $ 100,000 $ - $ 100,000 TOTAL EXPENDITURES $ 1,386,786 $ 269,305 $ 1,488,947 Fund Balance, Beginning of Year $ 2,548,446 $ 2,209,792 $ 2,671,804 Revenues $ 1,218,030 $ 804,500 $ 1,165,039 Expenditures $ (1,386,786) $ (269,305) $ (1,488,947) Gross Loan proceeds $ - $ - Fund Balance, Ending of Year $ 2,379,690 $ 2,744,988 $ 2,347,896 *Budgeted revenues and expenditures are estimates at time of publication *Budgeted Fund Balances are estimated at time of publication. Fund balances can be applied to Commission approved initiatives, or held in reserve. *Actual August 1, 2020, reflects actual revenues received and monies spent from October 1, 2018, - July 23, 2020. *Public Art is funded at 2.5% of tax increment collected for each area. Unused funds are carried forward and are available for use in the next fiscal year. *Northern-N.Boyer-Sewer project-subject to Northern RAA Plan Amendment and Statutory Limitations. SNP LEGAL 7959 AD#400720 AUGUST 14, 21, 2020

NOTICE EAST BONNER COUNTY FREE LIBRARY DISTRICT FY 2021 BUDGET A public hearing on the proposed FY 2021 budget for the East Bonner County Free Library District will be held Wednesday, August 26, 2020, at 4:30 pm in Community Room B of the Sandpoint Branch Library, 1407 Cedar St., Sandpoint Idaho. Public Comments will be accepted concerning the budget. FY 2020 Budget FY 2021 Budget FY 2020 BUDGET FY 2021 BUDGET Income 410000 - Carryover Income-(Cash Assets) 87,326 43,343 481000 - Fines 5,000 5,000 430000 - Grant Income-Miscellaneous 58,950 106,600 440000 - Interest Income 55,725 55,650 450000 - Levy Income 3,498,333 3,497,738 455016 - Tort Fund 41,523 45,743 471000 - Building Fund 5,000 5,000 71250 - Misc-E Rate 68,046 39,428 471350 - Misc-General Donation 0 0 474750 - Misc-Other Income 500 100 475750 - Misc-Staff Purchases Income 500 500 460000 - Taxable Sales 11,850 12,250 497020 - Dividend Income 500 500 Total Income 3,833,253 3,811,852 Expense 101 - Advertising 500 500 104 - Bank Charges 300 300 106 - Capital Improvements 200,000 200,500 111 - Depreciation Expense 600,000 600,000 113 - Endowment Expenditures 12,000 7,800 114 - Equipment & Furnishings 18,850 22,350 118 - Extended Services 18,500 18,500 300 - Grant Expense-Miscellaneous 89,969 107,729 120 - Insurance - Other 41,523 45,743 125 - Lease - Copier 12,188 12,188 400 - Library Materials 325,600 397,512 500 - Maintenance & Repairs 117,450 138,950 130 - Marketing (Pub Relations) 5,200 5,200 131 - Memberships 4,387 5,292 132 - Miscellaneous Expense 570 570 134 - PayPal Expenses 25 150 630 - Payroll Benefits-Employer 437,688 376,693 640 - Payroll Expenses-Employer 129,225 120,092 651 - Personnel Expense 2,400 2,340 135 - Postage & Meter 16,100 16,050 715 - Professional Services 47,100 127,850 800 - Programs & Program Supplies 25,517 16,616 140 - Rental Costs 1,000 1,000 151 - Staff Purchases 800 800 155 - Square Fees 500 510 152 - Staff Training 6,700 5,560 900 - Supplies Expense 63,725 60,475 735 - Technology 191,132 193,844 733 - Telephone 13,980 13,980 734 - Travel, Meetings & Meals 15,550 8,600 750 - Utilities Expense 92,565 92,990 610 - Wages and Salaries 1,342,229 1,211,168 Total Expense 3,833,252 3,811,852 * In accordance with Idaho Code section 33-2724(4), it is the intent of the Board of Trustees to maintain a capital assets replacement and repair fund that may be used for one or more purposes including the replacement of library district computer equipment, delivery vans, a bookmobile, carpeting, lamps for lighting fixtures, repainting the branch library buildings, etc. It is estimated that the fund total will be $2,140,083 on 9-30-2020 and $2,240,083 on 10-1-2020. SNP LEGAL 7957 AD#400706 AUGUST 14, 2020

NOTICE OF HEARING ON NAME CHANGE (Adult or Emancipated Minor) IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY OF BONNER IN RE: Emily Ann Kettner CASE NO. CV09-20-1030 A Petition to change the name of Emily Ann Kettner, now residing in the City of Sandpoint, State of Idaho, has been filed in the District Court in Bonner County, Idaho. The name will change to Emily Ann Kelly. The reason for the change in name is: I would like to have my dad's name.. A hearing on the petition is scheduled for 11:00 o'clock a.m. on September 16, 2020, at the Bonner County Courthouse. Objections may be filed by any person who can show the court a good reason against the name change. Date: August 7, 2020 By /s/ Charity Hadley Deputy Clerk SNP LEGAL 7962 AD#400761 AUGUST 14, 21, 28, SEPTEMBER 4, 2020

NOTICE OF APPLICATION Pursuant to Section 58-104(9) and 58-1301, et seq., Idaho Code (The Lake Protection Act) and rules of the State Board of Land Commissioners, notice is hereby given that Idaho Department of Fish and Game has made application to install a temperature monitoring string and anchor buoys in Lake Pend Oreille. Location: Lake Pend Oreille, Sandpoint, Idaho, in Section 17 Township 57 North, Range 1 East; B.M., in Bonner County. Written objections to or requests for hearing in this matter must be on file with the Idaho Department of Lands, 2550 Highway 2 West, Sandpoint, Idaho 83864 within thirty (30) days after the first appearance of this notice. Specific information regarding this application may be obtained from Justin Eshelman, Resource Specialist, Sr. on behalf of Public Trust Program - at the above address or by calling (208) 263-5104. /s/ TOM FLEER, Area Manager Idaho Department of Lands SNP LEGAL 7963 AD#400779 AUGUST 14, 21, 2020

NOTICE OF HEARING ON NAME CHANGE (Adult or Emancipated Minor) IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY OF BONNER IN RE: Kevin Christopher Reiman CASE NO. CV09-20-1040 A Petition to change the name of Kevin Christopher Reiman now residing in the City of Sandpoint, State of Idaho, has been filed in the District Court in Bonner County, Idaho. The name will change to Kevin Christopher Reimann.The reason for the change in name is: Restore historical accuracy of orginal spelling that ends with (2) n's. A hearing on the petition is scheduled for 11:00 o'clock a.m. on September 23, 2020, at the Bonner County Courthouse. Objections may be filed by any person who can show the court a good reason against the name change. Date: August 10, 2020 By /s/ Shawndee Dix Deputy Clerk SNP LEGAL 7961 AD#400727 AUGUST 14, 21, 28, SEPTEMBER 4, 2020

NOTICE OF PUBLIC HEARING Kootenai-Ponderay Sewer District The Kootenai-Ponderay Sewer District's governing board will conduct a public hearing on Monday, August 24th, 2020 in the meeting room at 511 Whiskey Jack Road at 6:00 p.m. in conjunction with the annual Budget Hearing for the purpose of hearing public comments regarding proposed increases for monthly sewer charges and other fees. The reasons for these actions are that increased operating revenue is needed to meet operating and maintenance costs of the system, to fund the ongoing depreciation of the system and to bring other fees more reasonably in-line with current costs. The current monthly user rates and proposed rates per equivalent residential unit (ER) are: Current Mo. Rate Proposed Mo. Rate Single Family Residence- $49.31 $51.78 Residential-Com-per ER- $49.31 $51.78 Admin/Non-Conn Fees-Per ER - $ 9.41 $ 9.88 Commercial User per ER- $66.17 $69.48 Industrial User per ER- $84.30 $88.52 Govt/Non-Profit User per ER - $24.69 $25.92 Current Rate Proposed Rate IWA Fee $ 25.00 each $ 80.00 each with administrative time charged at $40.00 per hour for all personnel time over 2 hours as well as billed other costs incurred by the District. Filing Appeal Fee $ 50.00 each $ 80.00 each with administrative time charged at $40.00 per hour for all personnel time over 2 man hours as well as billed other costs incurred by the District. Accidental Discharge Fee $ 25.00 $ 80.00 with administrative time charged at $40.00 per hour for all personnel time over 2 man hours as well as billed other costs incurred by the District. Analysis Fee $ 25.00 $ 80.00 with administrative time charged at $40.00 per hour for all personnel time over 2 man hours as well as billed other costs incurred by the District. Disclosure Fee $ 25.00 $ 80.00 with administrative time charged at $40.00 per hour for all personnel time over 2 man hours as well as billed other costs incurred by the District. Pretreatment monitoring, inspection and investigative fees $ 25.00 $ 80.00 with administrative time charged at $40.00 per hour for all personnel time over 2 man hours as well as billed other costs incurred by the District. All interested parties are invited to attend. Written comments must be submitted to the Kootenai-Ponderay Sewer District prior to the scheduled hearing by either mailing to P.O. Box 562, Kootenai, ID 83840, or delivering to the District office at 511 Whiskey Jack Road. Additional information is available at the District office, or by calling (208)263-0229. SNP LEGAL 7964 AD#400795 AUGUST 14, 21, 2020

NOTICE OF PUBLIC HEARING Kootenai-Ponderay Sewer District The public hearing for consideration of the proposed revised budget for the fiscal year ending September 30th, 2020 will be held at the District office at 511 Whiskey Jack Road on Monday, August 24th, 2020 at 6:00 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 for examination at the District office by calling 208-263-0229. Proposed Budget - FYE September 30th, 2020 Anticipated Revenue Receipts-User Fees 1,040,972.60 Receipts-Miscellaneous, Penalties and Interest 51,200.00 Receipts-New User Facility Fees 158,000.00 Receipts-LID Payments 28,152.00 Interest Earnings 16,050.00 Receipts-Levy 4,118.49 Transfer from Reserve Funds 322,769.98 Total Anticipated Revenue and Income 1,621,263.07 Anticipated Expenditures Capital Expenditures Land and Building Improvements 140,000.00 Computers and Related, Office Equipment and Furniture 9,500.00 District Fleet Vehicles 30,000.00 O&M Equipment and Tools - Large and small 50,000.00 Lift Station Upgrades 20,000.00 LAS Upgrades 35,000.00 Plant and SCADA Upgrades 40,000.00 Total Anticipated Capital Expenditures 324,500.00 Wages and Payroll Burden Wages -Employees and Boardmembers 354,050.00 Payroll Burden-Mandatory 75,308.07 Payroll Burden-Medical 48,509.00 Operations and Maintenance Expenses Utilities-water, garbage, power 65,350.00 Telephones-Cell Phones 6,950.00 One Call Services, Internet Services 3,500.00 Training, Meals, Mileage, Travel, Uniforms 12,700.00 Dues, Fees, Licensing, Subscriptions, Public Relations 14,900.00 Insurance-Liability-Workers Compensation 14,248.00 Shop Tools, Supplies and Safety supplies 18,498.00 Office Supplies, Postage, cleaning, Equip. Computer and related 53,000.00 Disinfection, Odor Control, Lab Testing, Sampling 40,000.00 Audit, Publishing, Financial Related 9,000.00 Legal and General Engineering 265,000.00 Lift Stations, Plant and SCADA Maintenance 70,000.00 Vehicle-Fleet Expenses, Equipment Mtnce 41,000.00 Buildings and Grounds Mtnce 15,000.00 Land Application Expenses 15,500.00 Manholes, Lines, Inspection Camera Mtnce 102,500.00 Bank Service charges and Misc exp 1,750.00 Depreciation, Operating replacement 70,000.00 Total Anticipated Expenditures 1,621,263.07 Net Anticipated Income 0.00 SNP LEGAL 7965 AD#400799 AUGUST 14, 2020

NOTICE OF PUBLIC HEARING The Kootenai-Ponderay Sewer District invites the public to comment on the draft Wastewater Facilities Planning Document between August 14th, 2020 and August 29th, 2020. The District will hold a Public Open House on Monday, August 24th, 2020 from 4:00 p.m. to 6:00 p.m. to provide information to the public regarding the draft planning document and the proposed options being reviewed by the District to meet the requirements of the current discharge permit. The public will be able to review the proposed planning options, provide comments, and ask questions. The Open House will be held at the District office located at 511 Whiskey Jack Road. For additional information, please call the District office at 208-263-0229. SNP LEGAL 7966 AD#400801 AUGUST 14, 21, 2020

NOTICE OF PUBLIC HEARING Kootenai-Ponderay Sewer District The public hearing for consideration of the proposed budget for the fiscal year ending September 30th, 2021 will be held at the District office at 511 Whiskey Jack Road on Monday, August 24th, 2020 at 6:00 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 forexamination at the District office by calling 208-263-0229. Proposed Budget - FYE September 30th, 2021 Anticipated Revenue Receipts-User Fees 1,142,984.14 Receipts-Miscellaneous, Penalties and Interest 14,000.00 Receipts-New User Facility Fees 174,000.00 Receipts-LID Payments 19,815.00 Interest Earnings 27,750.00 Receipts-Levy 4,242.04 Transfer from Reserve Funds 229,842.82 Total Anticipated Revenue and Income 1,612,634.00 Anticipated Expenditures Capital Expenditures Land and Building Improvements 150,000.00 Computers and Related, Office Equipment and Furniture 9,500.00 O&M Equipment and Tools - Large and small 40,000.00 Lift Station Upgrades 20,000.00 LAS Upgrade 45,000.00 Plant and SCADA Upgrades 20,000.00 Total Anticipated Capital Expenditures 284,500.00 Wages and Payroll Burden Wages -Employees and Board members 387,050.00 Payroll Burden-Mandatory 78,500.00 Payroll Burden-Medical 53,625.00 Operations and Maintenance Expenses Utilities-water, garbage, power 65,150.00 Telephones-Cell Phones 7,850.00 One Call Services, Internet Services 4,050.00 Training, Meals, Mileage, Travel, Uniforms 12,700.00 Dues, Fees, Licensing, Subscriptions, Public Relations 15,750.00 Insurance-Liability-Workers Compensation 17,709.00 Shop Tools, Supplies and Safety supplies 16,500.00 Office Supplies, Postage, cleaning, Equip. Computer and related 51,000.00 Disinfection, Odor Control, Lab Testing, Sampling 41,000.00 Audit, Publishing, Financial Related 9,000.00 Legal and General Engineering 240,000.00 Lift Stations, Plant and SCADA Maintenance 75,000.00 Vehicle-Fleet Expenses, Equipment Mtnce 29,000.00 Buildings and Grounds Mtnce 15,000.00 Land Application Expenses 15,000.00 Manholes, Lines, Inspection Camera Mtnce 102,500.00 Bank Service charges and Misc exp 1,750.00 Depreciation, Operating replacement 90,000.00 Total Anticipated Expenditures 1,612,634.00 Net Anticipated Income 0.00 SNP LEGAL 7968 AD#400934 AUGUST 14, 2020

Sam Owen Fire District Budget Residents are invited to attend the FY2019 Budget Hearing at SOFD Station 1located at 17 Old Sam Owen Drive, Hope. Hearing starts at 6:00 pm on Wednesday, August 26, 2020 Agenda: Meet the Commissioners and Fire Chiefs See the engines and equipment Review activities during 2019 Approve Budget for FY2020 Resolution to recover Forgone Assessments of $384.00 Fiscal Year 2020 Total INCOME Projected Tax Revenue $ 293,611 Interest Income 132 Grants 24,000 Fire Protection Contracts 2,500 Emergency Service Income 240 Fund Raisers & Donations 6,200 Miscellaneous Income 1,812 Total Revenue $ 328,495 EXPENSES Station Expense $ 45,765 Utilities Expense 7,340 Vehicle & Equipment Allowance 125,280 Vehicle & Equipment Maintenance Expense 35,400 Communications Expense 2,700 Personnel Expense 57,920 Training Expense 3,500 Administrative Expense 9,800 Grant Expenditure 27,600 Misc Expense 5,490 M&O Expenses 320,795 Insurance Expense 5,900 Legal Expense 1,800 Tort Expenses 7,700 Total Expenses $ 328,495 Copies of the proposed budget are available at Station 1. SNP LEGAL 7967 AD#400807 AUGUST 14, 2020

PUBLIC NOTICE City of East Hope and their consultant, Welch Comer Engineers, are very interested in hearing your comments on the proposed Transportation Plan. Please join us on Monday, August 24, 2020 for a short presentation and open house meeting to give us your thoughts. Your input is important. When: Tuesday, August 24, 2020 Where: Online Meeting Via GoTo Meeting Time: 5:30 p.m. - 7:30 p.m. Please email Mindy Patterson as mpatterson@welchcomer.com and/or Jack Griffing at jgriffing@welchcomer.com to be added to the GoTo Meeting Calendar Notice. You can also call the office at (208) 664-9382. We look forward to receiving your input! SNP LEGAL 7958 AD#400716 AUGUST 14, 19, 2020