Legals August 7, 2017
CITY OF ATHOL, IDAHO NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2017-2018 A PUBLIC HEARING, PURSUANT TO Idaho Code 50-1002, will be held for consideration of the proposed budget for the fiscal year from October 1, 2017-September 30, 2018. The hearing will be held at 30355 Third St. City Hall (Conference Room) Athol, Idaho at 7:00 pm on August 15, 2017. All interested persons are invited to appear and show cause, if any they have, why such budget would or should not be adopted. Copies of the proposed FY 2017-2018 Athol City budget (in detail) are available at the City Hall during current office hours; Monday thru Thursday 9:30am-4:30pm, and Fridays 8:30am - 12:30pm, or call and leave a message. City Hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities related to the budget documents or hearing, please contact the city, 208-683-2101 at least 48 hours prior to public hearing. The proposed FY 2017-2018 budget is shown below as FY 2017-2018 expenditures and revenues. PROPOSED EXPENDITURES FY 2015-2016 FY 2016-2017 FY 2017-2018 Actual Expenditures Budget Expenditures Proposed Expenditures GENERAL FUND 101,680.00 131,390.00 135,409.00 STREET FUND 84,351.00 130,544.00 111,179.00 WATER FUND 115,213.00 165,000.00 672,200.00 Total Proposed Exp. 301,244.00 426,934.00 918,788.00 FY 2015-2016 FY 2016-2017 FY 2017-2018 Actual Revenue Budget Revenue Proposed Revenue GENERAL FUND 143,431.00 131,390.00 135,409.00 STREET FUND 102,030.00 130,544.00 121,179.00 WATER FUND 106,875.00 165,000.00 672,200.00 Total Proposed Revenue 352,336.00 436,934.00 928,788.00 Revenue Sources GENERAL FUND- 41,517.00 40,475.00 35,734.00 Property Tax Levy City Revenues 39,118.00 15,850.00 32,675.00 State/Misc. Revenues 62,796.00 75,065.00 67,000.00 STREET FUND- 63,074.00 75,169.00 83,379.00 Property Tax Levy County Hwy to Cities 5,451.00 35,000.00 5,400.00 Hwy User Fund 32,970.00 30,300.00 31,300.00 Misc. Revenues 535.00 75.00 1,100.00 WATER FUND- 82,372.00 73,250.00 112,500.00 Meter/Coins/Hauled Franchise/Lease/Misc. 23,432.00 25,500.00 22,100.00 Misc.-Fees/ Capital Improve 1,071.00 70,250.00 537,600.00 Total Revenues 352,336.00 436,934.00 928,788.00 The proposed expenditures and revenues for fiscal year 2017-2018 have been tentatively approved by the City Council and entered in the Journal Proceedings. Dated this 18th day of July 2017. ________________________________ Lori Yarbrough, City Clerk/Treasurer LEGAL 8000 JULY 31, AUGUST 7, 2017
Notice of Public Hearing Notice of Public Hearing Notice is hereby given, in accordance with Idaho Code Section 63-1311A, by the City of Athol, Idaho, that the City Council will meet at 7:00 pm on August 15, 2017, at the Athol City Hall, 30355 Third Street, Athol, Idaho, to consider public comment regarding the institution of new or increased Municipal fees and the reduction and discontinuation of other fees; specifically, regarding Water Fees, and Community Development Fees. Information about the proposed rates and changes may be obtained from City Clerk at Athol City Hall during regular office hours (9:00 am-4:30 pm Monday-Thursday and Fridays 8:30am- 12:30pm) and on the City's website at http://www.cityofathol. us/government/ Lori Yarbrough City Clerk/Treasurer LEGAL 8001 JULY 31, AUGUST 7, 2017
NOTICE TO CREDITORS CASE NO. CV-17-4423 IN THE DISTRICT COURT OF THE FIRST JUDICIAL DISTRICT OF THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI IN THE MATTER OF THE ESTATE OF: LISA KAREL SHELLMAN Date of Death: 4/18/17 NOTICE IS HEREBY GIVEN that the undersigned has been appointed Personal Representative of the above-named decedent. All persons having claims against the decedent or the estate are required to present their claims within four months after the date of the first publication of this Notice or said claims will be forever barred. Claims must be presented to the undersigned at the address indicated, and filed with the Clerk of the Court. DATED this 26 day of July, 2017. KIERSTIE SHELLMAN, Personal Representative c/o Pamela Massey Callahan & Associates, Chtd. PO Box 2226 Coeur d'Alene, ID 83816 LEGAL 8007 July 31, 2017 August 7, 14, 2017
NOTICE TO CREDITORS CASE NO. CV-17-3985 IN THE DISTRICT COURT OF THE FIRST JUDICIAL DISTRICT OF THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI IN THE MATTER OF THE ESTATE OF: MARLENE E. STANNEK, Date of Death: 4/9/17 NOTICE IS HEREBY GIVEN that the undersigned has been appointed Personal Representative of the above-named decedent. All persons having claims against the decedent or the estate are required to present their claims within four months after the date of the first publication of this Notice or said claims will be forever barred. Claims must be presented to the undersigned at the address indicated, and filed with the Clerk of the Court. DATED this 23rd day of August, 2017. /s/: JEFFREY MANCINO, Personal Representative c/o Pamela Massey Callahan & Associates, Chtd. PO Box 2226 Coeur d'Alene, ID 83816 LEGAL 8050 AUGUST 7, 14, 21, 2017
NOTICE OF PUBLIC HEARING ON BUDGET FOR 2017-2018 FOR THE CITY OF COEUR D'ALENE, IDAHO A public hearing pursuant to Idaho Code 50-1002 will be held for consideration of the proposed budget for the fiscal year from October 1, 2017 to September 30, 2018. The hearing will be held at the Library Community Room, Coeur d'Alene, Idaho at 6:00 p.m. on September 5, 2017. 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 City budget in detail are available at City Hall during regular office hours (8:00 a.m. to 5:00 p.m. Monday through Friday). City Hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities must contact the City Clerk at least 48 hours prior to the public hearing. The following is an Estimate of Expenditures and Anticipated Revenue of the City of Coeur d'Alene for the fiscal year beginning October 1, 2017 including the two previous fiscal years: FY 2014-15 FY 2015-16 FY 2016-17 FY 2017-18 ACTUAL ACTUAL BUDGET PROPOSED GENERAL FUND EXPENDITURES: Mayor and Council $ 233,787 234,867 $ 242,705 $ 244,736 Administration 282,453 285,922 379,120 380,413 Finance Department 730,651 778,137 1,165,286 1,205,225 Municipal Services 1,532,812 1,594,369 1,660,299 1,788,550 Human Resources 234,104 232,632 326,657 311,711 Legal Department 1,403,645 1,223,419 1,207,341 1,197,425 Planning Department 501,520 509,286 584,648 717,644 Building Maintenance 461,699 436,999 521,186 515,303 Police Department 11,297,102 12,831,492 13,060,470 13,584,524 Drug Task Force 52,324 10,008 30,710 30,710 ADA Sidewalks 249,852 Byrne Grant - Police Dept 17,486 131,143 COPS Grant - Police Dept 138,019 190,189 121,939 Fire Department 7,796,424 11,801,552 9,677,937 9,709,001 General Government 1,125,020 233,888 94,725 105,900 Engineering Services 1,529,433 1,421,091 1,292,561 341,086 Streets/Garage 2,880,709 3,004,280 3,024,113 4,440,952 Parks Department 1,906,337 1,939,542 2,003,987 2,102,365 Recreation Department 774,441 686,950 713,239 756,075 Building Inspection 838,993 934,178 907,093 876,593 TOTAL GENERAL FUND EXPENDITURES: $ 33,848,792 $ 38,427,774 $ 37,082,266 $ 38,430,152 FY 2014-15 FY 2015-16 FY 2016-17 FY 2017-18 ACTUAL ACTUAL BUDGET PROPOSED SPECIAL REVENUE FUND EXPENDITURES: Library Fund $ 1,368,538 $ 1,479,052 $ 1,568,148 $ 1,618,412 Community Development Block Grant 243,103 527,129 606,873 384,049 Impact Fee Fund 177,385 1,964,605 760,039 745,000 Parks Capital Improvements 426,524 409,928 146,500 146,500 Annexation Fee Fund 117,000 193,000 398,240 Insurance / Risk Management 351,581 362,398 Cemetery Fund 300,001 313,712 316,735 294,307 Cemetery Perpetual Care Fund 96,935 133,747 157,500 157,000 Jewett House 66,270 24,213 25,855 25,855 Reforestation/Street Trees/ Community Canopy 58,790 101,461 103,500 107,000 Arts Commission 6,312 144 Public Art Funds 117,130 49,987 231,300 443,500 TOTAL SPECIAL FUNDS: $ 3,329,569 $ 5,366,376 $ 4,109,450 $ 4,319,863 ENTERPRISE FUND EXPENDITURES: Street Lighting Fund 626,324 633,075 $ 622,000 $ 639,720 Water Fund 8,014,606 7,639,090 9,553,005 10,027,434 Wastewater Fund 13,910,302 14,828,570 24,489,066 22,784,368 Water Cap Fee Fund 483,467 190,240 1,950,000 866,000 WWTP Cap Fees Fund 1,807,972 1,068,326 2,500,000 2,200,000 Sanitation Fund 3,724,820 3,663,811 3,359,286 3,500,806 City Parking Fund 738,997 547,023 374,546 354,846 Drainage 663,314 1,144,826 1,147,511 1,267,818 TOTAL ENTERPRISE EXPENDITURES: $ 29,969,802 $ 29,714,961 $ 43,995,414 $ 41,640,992 FIDUCIARY FUNDS: 2,623,969 2,753,195 $ 2,888,400 $ 2,957,754 STREET CAPITAL PROJECTS FUNDS: 2,725,428 1,166,152 6,204,039 1,237,000 DEBT SERVICE FUNDS: 2,972,996 882,882 937,407 882,181 GRAND TOTAL OF ALL EXPENDITURES: $ 75,470,556 $ 78,311,340 $ 95,216,976 $ 89,467,942 ESTIMATED REVENUES: FY 2014-15 FY 2015-16 FY 2016-17 FY 2017-18 ACTUAL ACTUAL BUDGET PROPOSED Property Taxes: General Levy $ 17,197,814 $ 17,677,328 $ 19,193,490 $ 19,520,180 Library Levy 1,318,394 1,460,931 1,533,398 1,582,257 Policeman's Retirement Fund Levy 157,569 150,972 Comprehensive Liability Plan Levy 345,152 335,320 Fireman's Retirement Fund Levy 250,000 250,000 250,000 250,000 2006 and 2008 G.O. Bond Levy 1,185,928 869,321 875,900 879,681 TOTAL REVENUE FROM PROPERTY TAXES: $ 20,454,857 $ 20,743,872 $ 21,852,788 $ 22,232,118 FY 2014-15 FY 2015-16 FY 2016-17 FY 2017-18 ACTUAL ACTUAL BUDGET PROPOSED ESTIMATED OTHER REVENUES: Interfund Transfers $ 2,681,674 $ 4,305,648 $ 7,680,945 $ 6,593,989 Beginning Balance 38,624,211 40,843,399 21,496,918 18,366,763 Other Revenue: General Fund 21,704,762 16,433,686 15,347,597 16,167,273 Library Fund 42,003 34,013 34,750 36,155 Community Development Block Grant 243,103 527,129 606,873 384,049 Parks Capital Improvement Fund 176,234 175,222 138,500 134,500 Insurance/Risk Management 14 86 Cemetery 153,158 187,318 181,735 178,127 Annexation Fee Fund 31,014 216,107 Impact Fee Fund 685,775 797,530 756,000 785,000 Cemetery Perpetual Care Fund 42,742 32,747 50,000 30,000 Jewett House 9,033 16,972 21,000 11,000 Reforestation 8,892 11,223 5,000 3,000 Street Trees 83,958 68,255 84,250 84,250 Community Canopy 1,723 903 1,500 2,000 Arts Commission 7,096 7 Public Art Funds 131,597 134,510 100,000 100,000 Street Lighting Fund 514,970 523,817 520,075 529,000 Water Fund 6,681,219 7,538,786 4,814,000 6,582,120 Wastewater Fund 8,314,105 9,543,575 18,540,500 18,204,730 Water Capitalization Fees 869,845 972,136 1,005,000 866,000 WWTP Capitalization Fees 1,809,901 1,902,578 1,508,000 1,010,000 Sanitation Fund 3,858,014 3,820,140 3,812,228 4,545,200 City Parking Fund 289,250 197,868 390,000 355,546 Drainage 1,022,407 1,025,501 1,024,644 1,029,482 Fiduciary Funds 2,485,566 2,643,966 2,640,350 2,740,550 Capital Projects Fund 2,388,530 203,064 5,234,000 260,000 Debt Service Fund 1,786,079 69,007 12,300 TOTAL REVENUE OTHER THAN PROPERTY TAXES: $ 94,646,875 $ 92,225,193 $ 86,006,165 $ 78,998,734 SUMMARY: FY 2014-15 FY 2015-16 FY 2016-17 FY 2017-18 ACTUAL ACTUAL BUDGET PROPOSED PROPERTY TAXES $ 20,454,857 $ 20,743,872 $ 21,852,788 $ 22,232,118 OTHER THAN PROPERTY TAXES 94,646,875 92,225,193 86,006,165 78,998,734 TOTAL ESTIMATED REVENUES $ 115,101,732 $ 112,969,065 $ 107,858,953 $ 101,230,852 The proposed expenditures and revenues for fiscal year 2017-2018 have been tentatively approved by the City Council and entered in detail in the Journal of Proceedings. DATED this 25th day of July, 2017 LEGAL 8036 AUGUST 7, 14, 2017
SUMMARY OF POST FALLS ORDINANCE NO. 1318 The City of Post Falls, Kootenai County, Idaho hereby gives notice of the adoption of Post Falls Ordinance No. 1318, annexing property consisting of approximately 5.04 acres, located at the South half of the East 330 feet of the Southeast Quarter of the Northeast Quarter of 28, Township 51 North, Range 5 West, B.M., Kootenai County, Idaho and zoning said annexed property as Single Family Residential (R-1) as more fully described in the full text of the ordinance; providing repeal of conflicting ordinances and providing severability. The ordinance is effective upon publication of this summary. The full text of Ordinance No. 1318 is available at Post Falls City Hall, 408 Spokane Street, Post Falls, ID 83854 in the office of the city clerk. Shannon Howard, City Clerk LEGAL 8042 AUGUST 7, 2017
Notice of Public Hearing Proposed Budget for Spirit Lake, Idaho For the Fiscal Year 2017-18 Notice is hereby given that the City Council of Spirit Lake, Kootenai County, Idaho, will hold a public hearing for the consideration of the proposed budget for the fiscal period October 1, 2017 to September 30, 2018, pursuant to the provisions of Section 50-1002, Idaho Code. The hearing will be held at City Hall at 6042 W. Maine Street, Spirit Lake, at 6:30 p.m. on August 8, 2017. All interested residents are invited to appear and show cause, if any, why such budget should or should not be adopted. Copies of the proposed City budget are available at City Hall during regular office hours (8:00 a.m. to 5:00 p.m. weekdays, closed noon to 1 p.m.). City Hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities related to the budget documents or the hearing, please contact the City Clerk at (208) 623-2131 at least 48 hours prior to the hearing. REVENUES Actual 2015-16 Budgeted 2016-17 Proposed 2017-18 General Fund Property Tax $446,805.78 $482,000.00 $512,812.00 Other Revenue $574,831.80 $496,421.00 $567,770.00 Carry Over $65,600.00 $10,600.00 $12,497.00 Grants $35,454.10 $340,479.00 $270,000.00 Impact Fees $103,625.29 $58,000.00 $96,000.00 Parks Capital Improvements $41,962.75 $50,000.00 $100,000.00 Pathways Capital Improvements $0.00 $30,000.00 $26,500.00 Total General Fund $1,268,279.72 $1,467,500.00 $1,585,579.00 Enterprise Fund Water $380,801.92 $307,000.00 $370,000.00 Water Impact Fees $48,975.36 $26,200.00 $43,000.00 Water Well Grant $0.00 $0.00 $500,000.00 Sewer $651,104.04 $475,300.00 $634,000.00 Sewer Impact Fees $85,251.04 $45,600.00 $76,117.00 Enterprise Reserve Funds $189,192.71 $1,680,046.00 $1,577,133.00 Total Enterprise Fund $1,355,325.07 $2,534,146.00 $3,200,250.00 Total All Revenue $2,623,604.79 $4,001,646.00 $4,785,829.00 EXPENDITURES Actual 2015-16 Budgeted 2016-17 Proposed 2017-18 General Fund Administration $91,580.66 $123,250.00 $130,050.00 Professional Services $119,771.36 $65,000.00 $87,085.00 Public Safety $441,208.35 $440,757.00 $502,395.00 Public Works $115,100.67 $128,000.00 $129,925.00 Streets $171,379.49 $232,014.00 $243,624.00 Impact Fees $103,625.29 $58,000.00 $96,000.00 Misc/Grants $0.00 $340,479.00 $270,000.00 Parks Capital $41,962.75 $50,000.00 $100,000.00 Improvements Pathways Capital $0.00 $30,000.00 $26,500.00 Improvements Total General Funds $1,084,628.57 $1,467,500.00 $1,585,579.00 Enterprise Fund Water $210,327.91 $307,000.00 $370,000.00 Well Grant $0.00 $0.00 $500,000.00 Sewer $328,298.48 $475,300.00 $634,000.00 Impact Fees $134,226.40 $71,800.00 $119,117.00 Enterprise Reserve Funds $189,192.71 $1,680,046.00 $1,577,133.00 Total Enterprise Fund $862,045.50 $2,534,146.00 $3,200,250.00 Total All Fund Expenditures $1,946,674.07 $4,001,646.00 $4,785,829.00 The proposed expenditures and revenues for the fiscal year 2017-2018 have been tentatively approved by the City Council. Publication dates for the notice of the public hearing are July 31, and August 7, 2017 in the legal section of the Coeur d'Alene Press. Ann Clapper, Clerk/Treasurer LEGAL 8006 JULY 31, AUGUST 7, 2017
NOTICE TO CREDITORS CASE NO. CV17-5519 IN THE DISTRICT COURT OF THE FIRST JUDICIAL DISTRICT OF THE STATE OF IDAHO, IN AND FOR KOOTENAI COUNTY IN THE MATTER OF THE ESTATE OF: DOROTHY EILENE TUCKER Deceased. YOU ARE HEREBY NOTIFIED that the undersigned has been appointed Co-Personal Representatives of the estate of DOROTHY EILENE TUCKER. All persons having claims against the decedent or the estate are required to present their claims within four (4) months after the date of the first publication of this Notice or said claims will be forever barred. Claims must be presented to the undersigned at the address indicated, and filed with the Clerk of the Court. DATED this 31st day of July, 2017. /S/ RICHARD ANDREW TUCKER Co-Personal Representative of the Estate of DOROTHY EILENE TUCKER 1313 W. Lacey Avenue, Hayden, Idaho, 83835 (208) 772-4836 /S/ DIANE EILENE REEVES Co-Personal Representative of the Estate of DOROTHY EILENE TUCKER 1530 E. Tranquil Lane, Coeur d'Alene, ID 83815 (208) 699-2828 LEGAL 8052 AUGUST 7, 14, 21, 2017
CITY OF HAYDEN, IDAHO NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2017-2018 Notice is hereby given that the City Council of the City of Hayden, Kootenai County, Idaho, will hold a public hearing for consideration of the proposed budget for the fiscal period October 1, 2017 to September 30, 2018, pursuant to the provisions of Section 50-1002, Idaho Code. The hearing will be held at City Hall, 8930 N. Government Way, Hayden, Idaho, at 5:00 p.m. on Tuesday, August 22, 2017. All interested persons are invited to appear and show cause, if any they have, why such proposed budget should or should not be adopted. Copies of the proposed budget in detail are available at City Hall during regular office hours (8:00 a.m. to 5:00 p.m. Monday - Friday). Assistance for persons with disabilities will be provided upon 24-hour notice prior to the public hearing. EXPENDITURES Fund Name FY2016 Actual FY2017 Budgeted FY2018 Proposed Expenditures Expenditures Expenditures General $4,605,295 $4,806,963 $5,206,221 General Reserves $0 $2,695,239 $0 Boat Launch $47,691 $167,133 $186,069 Veteran's Memorial $2,643 $17,939 $19,996 Council Chambers Media Center $30 $20,772 $20,957 Circulation Impact Fees $655,100 $1,605,131 $2,644,364 Parks Impact Fees $200,160 $648,673 $799,104 Law Enforcement Impact Fees $15,416 $63,343 $67,892 Government Way LID $66,868 $174,346 $213,807 Capital Projects $0 $0 $572,000 Payment-in-lieu of Future $14,243 $291,848 $305,238 Infrastructure City Museum $4 $1,016 $1,023 Sewer Connection Assistance $70 $16,135 $16,263 Sewer Operation & Maintenance $2,817,037 $5,144,457 $4,790,134 Sewer System Expansion $1,772,090 $5,181,346 $6,049,755 Wastewater Revenue Bond $0 $526,244 $574,085 Sewer Asset Replacement $0 $0 $140,000 Combined LIDs $97,579 $134,295 $52,438 Grand Total All Funds - $10,294,224 $21,494,880 $21,659,347 Expenditures REVENUES Fund Name FY2016 Actual FY2017 Budgeted FY2018 Proposed Revenues Revenues Revenues Property Tax Levy General Fund $1,246,338 $1,313,300 $1,391,661 Other General Fund $3,358,956 $3,493,663 $3,814,561 General Reserves $0 $2,695,239 $0 Boat Launch $47,691 $167,133 $186,069 Veteran's Memorial $2,643 $17,939 $19,996 Council Chambers Media Center $30 $20,772 $20,957 Circulation Impact Fees $655,100 $1,605,131 $2,644,364 Parks Impact Fees $200,160 $648,673 $799,104 Law Enforcement Impact Fees $15,416 $63,343 $67,892 Government Way LID $66,868 $174,346 $213,807 Capital Projects $0 $0 $572,000 Payment-in-lieu of Future $14,243 $291,848 $305,238 Infrastructure City Museum $4 $1,016 $1,023 Sewer Connection Assistance $70 $16,135 $16,263 Sewer Operation & Maintenance $2,817,037 $5,144,457 $4,790,134 Sewer System Expansion $1,772,090 $5,181,346 $6,049,755 Wastewater Revenue Bond $0 $526,244 $574,085 Sewer Asset Replacement $0 $0 $140,000 Combined LIDs $97,579 $134,295 $52,438 Grand Total All Funds - $10,294,224 $21,494,880 $21,659,347 Revenues The proposed expenditures and revenues for fiscal year 2017-2018 have been tentatively approved by the City Council. Abbi Landis City Clerk LEGAL 8003 JULY 31, AUGUST 7, 2017
NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2017-2018 CITY OF HUETTER, IDAHO Notice is hereby given that the City Council of Huetter, Kootenai County, Idaho will hold a public hearing for the consideration of the proposed budget for the fiscal period October 1, 2016 to September 30, 2017, pursuant to the provisions of Section 50-1002, Idaho Code. The hearing will be held a SAGE TECHNICAL SCHOOL: 3448 N. Huetter Rd. Huetter, Idaho 83814. 6:00p.m. on August 9th, 2017. All interested residents are invited to appear and show cause, if any, why such budget should or should not be adopted. Copies of the proposed City budget are available by calling City of Huetter. Anyone desiring accommodations for disabilities related to the budget documents or the hearing, please contact the City Clerk at (208) 667-8693 at least 48 hours prior to the hearing. Actual Approved Proposed Budget Budget Budget FY2016 FY2017 Fy2018 EXPENDITURES General Fund $75,915.00 $ 79,937.00 $ 79,937.00 Water Fund $ 20,00.00 $ 20,000.00 $ 20,000.00 Street Fund $ 2,500.00 $ 2,500.00 $ 2,500.00 Total Expenditures $102,437.00 $104,340.00 $ 103,406.00 REVENUES Property Tax Levy $ 62,511.00 $ 64.414.00 $ 63,480.00 Water Income $ 24,175.00 $ 24,175.00 $ 24,175.00 State Revenue Sharing $ 6,452.00 $ 6,452.00 $ 6,452.00 Hwy User Revenue $ 4,282.00 $ 4,282.00 $ 4,282.00 Franchise $ 100.00 $ 100.00 $ 100.00 License/Permits $ 3,050.00 $ 3,050.00 $ 3,500.00 Court Fines $ 500.00 $ 500.00 $ 500.00 Interest $ 135.00 $ 135.00 $ 135.00 Misc Income $ 3,541.00 $ 782.00 $ 782.00 Total Expenditures $102,437.00 $104,340.00 $ 103,406.00 The proposed expenditures and revenues for the fiscal year 2017-2018 have been tentatively approved by the City Council. Publication dates for the notice of the public hearing are August 4th, 2017 and August 7th, 2017 in the legal section of the Coeur d'Alene Press. A copy of the proposed budget will also be placed on the public notice board located on the corner of Reeves Street and Ferrel Road, Hutter Idaho 83814. City Clerk, Treasurer Lang C. Sumner LEGAL 8034 AUGUST 4, 7, 2017
Notice of Trustee's Sale Idaho Code 45-1506 Today's date: July 18, 2017 File No.: 7023.118602 Sale date and time (local time): November 28, 2017 at 10:00 AM Sale location: in the Veteran's Plaza outside the north entrance of the administrative building, 451 Government Way, Coeur d'Alene, ID 83814 Property address: 14830 North Donart Court Hayden Lake, ID 83835 Successor Trustee: Northwest Trustee Services, Inc., an Idaho Corporation P.O. Box 997 Bellevue, WA 98009 (425) 586-1900 Deed of Trust information Original grantor: Shirley A. Madsen, a single person Original trustee: Pioneer Title Company Original beneficiary: Wells Fargo Bank, N.A. Recording date: June 28, 2010 Recorder's instrument number: 2271104000 County: Kootenai Sum owing on the obligation: as of July 18, 2017: $495,185.18 Because of interest, late charges, and other charges that may vary from day to day, the amount due on the day you pay may be greater. Hence, if you pay the amount shown above, an adjustment may be necessary after we receive your check. For further information write or call the Successor Trustee at the address or telephone number provided above. Basis of default: Taxes or Insurance Current Beneficiary has declared that the Grantor is in breach of the terms and conditions of the obligation secured by the deed of trust. The nature of the breach is Grantor's failure to pay, when due, non-payment of taxes and/or insurances under the terms of the Deed of Trust together with all subsequent payments, costs, advances, attorneys' and trustee's fees and costs accruing until the date of sale, full satisfaction, or reinstatement of the obligation. Please take notice that the Successor Trustee will sell at public auction to the highest bidder for certified funds or equivalent the property described above. The property address is identified to comply with IC 60-113 but is not warranted to be correct. The property's legal description is: Lots 30 and 31, lying East of the road and Lot 29, Hayden Lake Park, according to the plat recorded in Book C of Plats at Page 95, records of Kootenai County, Idaho. The sale is subject to conditions, rules and procedures as described at the sale and which can be reviewed at www.northwesttrustee.com or USA-Foreclosure.com. The sale is made without representation, warranty or covenant of any kind. Madsen, Shirley A. (TS# 7023.118602) 1002.292149-File No. LEGAL 8035 AUGUST 7, 14, 21, 28, 2017
NOTICE OF HEARING ON NAME CHANGE (Adult or Emancipated Minor) Case No. CV17-5905 IN THE DISTRICT COURT FOR THE 1ST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY KOOTENAI IN RE: HOWARD LEE MOREE A Petition to change the name of HOWARD LEE MOREE now residing in the City of Hayden, State of Idhao, has been filed in the District Court in Kootenai County, Idaho. The name will change to CODY LEE MOREE. The reason for the change in name is: My parents always used the name of (Cody) and live 56 years along with driver's license & S.S. name of Cody. A hearing on the petition is scheduled for 1:30 o'clock p.m. on 9-18-2017 at the Kootenai County Courthouse. Objections may be filed by any person who can show the court a good reason against the name change. Date: 8-1-2017 JIM BRANNON CLERK OF THE DISTRICT COURT By: /s/ LISA DIXON Deputy Clerk LEGAL 8048 AUGUST 7, 14, 21, 28, 2017
NOTICE OF TRUSTEE'S SALE TS No: ID-16-751777-SH NOTICE IS HEREBY GIVEN that on 12/1/2017 , at the hour of 10:00 AM of said day, Front entrance of the Kootenai County Courthouse, 324 W Garden Ave, Coeur DAlene, ID 83816 , said Trustee will sell at public auction to the highest bidder, for cash in lawful money of the United States of America, all payable at the time of sale, the following described real property situated in the County of KOOTENAI , State of Idaho, and described as follows, to-wit: LOT 4 AND 5 OF WASHINGTON PLACE SUBDIVISION, ACCORDING TO THE PLAT THEREOF, RECORDED IN BOOK F OF PLATS, PAGE 4, RECORDS OF KOOTENAI COUNTY, IDAHO. The Trustee has no knowledge of a more particular description of the above-described real property, but for purposes of compliance with Idaho Code Section 60-113, the Trustee has been informed that the street address of 10001 W COEUR DALENE LAKE, COEUR D ALENE, ID 83814 may sometimes be associated with said real property. Said sale will be made, without covenant or warranty regarding title, possession or encumbrances, to satisfy the obligation secured by and pursuant to the power of sale conferred in the Deed of Trust made and entered into on 8/28/2006 , by and among RONALD F. PIRELLO , as Grantor, and STEWART TITLE OF COEUR D' ALENE , as Trustee, a nd MORTGAGE ELECTRONIC REGISTRATION SYSTEMS, INC., AS NOMINEE FOR STERLING NATIONAL MORTGAGE CO., INC., A SUBSDIARY OF A FEDERALLY CHARTERED BANK , as Beneficiary; said Deed of Trust having been filed of record on 9/12/2006 , as Instrument No. 2054917000 and modified as per Modification Agreement recorded 11/1/2010 as Instrument No. 2288458000 Official Records of KOOTENAI County, Idaho. The naming of the above Grantor(s) is done to comply with Idaho Code Sections 45-1506(4)(a); no representation is made as to the responsibility of Grantor(s) for this obligation. The default for which this sale is to be made is: The monthly installment of $2,107.20, which may include principal, interest and escrow, due on 4/1/2015, and all subsequent installments of principal and interest through the date of this Notice, plus amounts that are due for late charges, delinquent property taxes, insurance premiums, advances made on senior liens, taxes and/or insurance, trustee's fees, and any attorney fees and court costs arising from or associated with the beneficiaries efforts to protect and preserve its security, all of which must be paid as a condition of reinstatement, including all sums that shall accrue through reinstatement or pay-off. Nothing in this notice shall be construed as a waiver of any fees owing to the Beneficiary under the Deed of Trust pursuant to the terms of the loan documents. The balance due and owing as of the date hereof on the obligation secured by said Deed of Trust is the amount of $1,264,319.80 in principal; plus accrued interest at the rate of 2.0000 percent per annum from 4/1/2015 adjusting, if at all, pursuant to the terms of the note; plus service charges, late charges, and any other costs or expenses associated with this foreclosure as provided by the Deed of Trust or Deed of Trust Note, or by Idaho law. LANCE OLSEN, ESQ. MAY BE CONSIDERED A DEBT COLLECTOR ATTEMPTING TO COLLECT A DEBT AND ANY INFORMATION OBTAINED WILL BE USED FOR THAT PURPOSE. Dated this 17th day of July, 2017. Lance Olsen, Esq., Trustee By: IDSPub #0129528 LEGAL 7969 JULY 24, 31, AUGUST 7, 14, 2017
Public Notice of Budget Hearing Notice is hereby given that the Spirit Lake Fire Protection District will hold a Public Budget Hearing for the FY 2017/2018 Budget. The meeting will be held at Station 1, 32182 N. 6th Ave., Spirit Lake, Idaho, at 9:00 AM, Tuesday, August 15, 2017. A finalized budget will not be adopted until immediately following the hearing. The proposed budget is available for examination at the same address, Monday through Friday, 8:00 AM to 4:00 PM. The following is the proposed budget for Spirit Lake Fire Protection District, fiscal year beginning October 1, 2016 and ending September 30, 2017. ANTICIPATED REVENUE Anticipated Property Tax Revenue $673,972 Anticipated Kootenai County EMS $197,000 Anticipated Sales Tax Revenue $12,000 Anticipated Miscellaneous Revenue $12,500 Anticipated Federal Grant Revenue $137,143 Anticipated Transfer from Reserve $6,857 TOTAL ANTICIPATED REVENUE $1,039,472 EXPENDITURES Anticipated Wages/Personnel Expenses $736,765 Anticipated Administrative/Office Expenses $32,405 Anticipated Liability Insurance Expenses $25,000 Anticipated Professional Fees Expenses $7,000 Anticipated Station Expenses $23,640 Anticipated Communications Expenses $8,100 Anticipated EMS Expenses $1,800 Anticipated Fire Operations Expenses $17,600 Anticipated Inspection/Prevention Expenses $6,145 Anticipated Training Expenses $2,500 Anticipated Vehicle Maintenance & Repair Expenses $18,700 Anticipated Vehicle Fuel Expenses $10,000 Anticipated Grant Funded Expenses $144,000 Anticipated Lease Expenses $5,817 TOTAL ANTICIPATED EXPENDITURES $1,039,472 Tammy May SLFPD Secretary/Treasurer Dated this 3rd day of August 2017 LEGAL 8051 AUGUST 7, 2017
Notice of Public Hearing Proposed Budget for Fiscal Year 2018 City of Worley, Idaho Notice is hereby given that the City Council of Worley, Idaho will hold a public hearing for consideration of a proposed budget for the fiscal year beginning October 1, 2017 through September 30, 2018. The hearing will be held at Worley City Hall, 9936 W. E Street, Worley, Idaho, at 6 p.m. on August 9, 2017. At the hearing, members of the public are invited to testify concerning the proposed budget. 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 open Monday through Thursday from 7 a.m. to 4:30 p.m. and on Friday for 8 a.m. to noon. REVENUES Actual FY16 Budgeted FY17 Proposed FY18 GENERAL FUND & STREETS General Revenues Intergovernmental Revenue $147,001 $124,334 $127,667 Miscellaneous General Revenue $ 18,230 $ 20,820 $ 18,860 Street Revenues $ 13,879 $ 13,307 $ 13,137 Total General & Streets Revenues $179,110 $158,461 $159,664 PROPRIETARY FUNDS Proprietary Revenues Miscellaneous Proprietary $ 40 $ 1,920 $ 1,200 Revenue Water Revenues $ 69,414 $ 69,798 $ 69,100 Sewer Revenues $199,126 $1,537,545 $1,288,545 Garbage Revenues $ 27,541 $ 28,225 $ 27,580 Total Proprietary Revenues $296,121 $1,637,488 $1,386,425 TOTAL REVENUES -ALL FUNDS $475,231 $1,795,949 $1,546,089 EXPENDITURES GENERAL & STREETS FUND Total General & Streets $153,038 $158,461 $136,791 Expenditures PROPRIETARY FUNDS Miscellaneous Proprietary $ 0 $ 1,920 $ 1,200 Expenses Water Expenditures $ 67,769 $ 69,798 $ 69,100 Sewer Expenditures $112,971 $1,537,545 $1,288,545 Garbage Expenditures $ 21,554 $ 26,268 $ 27,850 Total Proprietary Expenditures $357,612 $ 482,958 $1,386,425 TOTAL EXPENDITURES - $361,022 $1,795,949 $1,546.089 ALL FUNDS The proposed expenditures and revenues for the fiscal year 2017-2018 have been tentatively approved by the Worley City Council. Publication dates for the Notice of Public Hearing are July 31, 2017 and August 7, 2017 in the legal section of the Coeur d' Alene Press. Brenda Morris City Clerk/Treasurer Dated August 1, 2017 LEGAL8004 July 31, 2017 August 7, 2017