Legals for August, 5 2020
PUBLIC NOTICE A Better Storage Solution 995 N. Boulder Court Post Falls ID 83854 Notice is hereby given that 12:00 PM August 18th 2020, a public auction will be held for the purpose of satisfying a landlord's lien on the contents of one storage unit. The unit can be viewed a full week prior to the auction held at www.bid13.com #406-Marla Martenka - 5745 W Little Bighorn, Rathdrum, ID 83858 Description of Contents- 2 Couches, 10+ Tablets, Misc. Furniture, 2 Headboards, Artwork/Frames, Grinder #225-Erick Rishel - 820 N Siony Ln Apt C, Post Falls, ID 83854 Description of Contents- 2 Twin Mattresses, Artwork\/Frames, Artificial Christmas Tree #653-April Edison - 20117 E Mission Ave, Liberty Lake, WA 99016 Description of Contents- Kid's Snowboard, End Table, Walker, Luggage CDA LEGAL 3935 AD#399334 AUGUST 5, 12, 2020
NOTICE TO CREDITORS 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: JENNIFER WARK GONSER Date of Death: 5/14/20 CASE NO. CV28-20-4187 NOTICE IS HEREBY GIVEN that the undersigned has been appointed Personal Representative of the estate 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: July 30, 2020 /s/ JEAN ANN WALKER, Personal Representative c/o Pamela Massey Callahan & Associates, Chtd. PO Box 2226 Coeur d'Alene, ID 83816 CDA LEGAL 3931 AD#399247 AUGUST 5, 12, 19, 2020
NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2020-21 (FY 2021) CITY OF HAUSER, 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, 2020 to September 30, 2021. The hearing will be held at Hauser City Hall, 11837 N. Hauser Lake Rd., Hauser, Idaho at 6:00 P.M. on August 20, 2020. All interested persons are invited to appear and show cause, if any, why such budget should or should not be adopted. Written comments are welcomed. Copies of the proposed City budget in detail are available at the City Hall during regular office hours (10:30 A.M. to 2:30 P.M., Tuesday & Thursday). City Hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities related to the budget documents or to the hearing, please contact Hauser City Hall, 777-9315 at least 48 hours prior to the public hearing. The proposed FY 2021 budget is shown below as FY2021 proposed expenditures and revenues. PROPOSED EXPENDITURES FY19 FY20 FY21 ACTUAL BUDGET PROPOSED EXPENDITURES EXPENDITURES EXPENDITURES GENERAL FUND 106,225 211,958 222,508 STREET FUND 51,679 311,375 251,808 Total Expenses 157,904 523,333 474,316 PROPOSED REVENUES FY19 FY20 FY21 ACTUAL BUDGET PROPOSED REVENUES REVENUES REVENUES GENERAL FUND 135,723 211,958 222,508 STREET FUND 33,587 311,375 251,808 Total Revenues 169,310 523,333 474,316 The proposed expenditures and revenues for fiscal year 2020-21 have been tentatively approved by the City Council. Publication dates for the notice of the public hearing are July 29 and August 5. More detailed information is available at Hauser City Hall. Dated this 26st day of July 2020. Melissa Taylor Treasurer CDA LEGAL 3904 AD#398191 JULY 30, AUGUST 5, 2020
Notice of Public Hearing Coeur d'Alene's Urban Renewal Agency Proposed Budget for Fiscal Year 2021 A public hearing for consideration of the proposed ignite cda ("Agency") budget for the fiscal year (FY) that begins October 1, 2020, and ends September 30, 2021, will be held in the City of Coeur d'Alene Public Library's Community Room, 702 E. Front Ave, Coeur d'Alene, Idaho, on August 19, 2020 at 4:00 p.m. Written or oral comments about the proposed budget are welcome. This budget notice provides information about revenue sources and allocated costs for Agency services and facilities incurred for FY2019 (audited per GASB required standards), Plan FY2020 and Proposed FY2021. The Agency's FY2021 proposed budget includes financial information for four Districts, the Lake District (original District formed in 1997), the River District (District formed in 2003), the Atlas District (District formed in 2018) and the Health Corridor District (District formed in 2019). The FY2019 and FY2020 data reflects financial information for the Lake, River and Atlas Districts. The Agency budget funds the programs, services, and projects that the Agency Board has determined to be important to meet the Agency's strategic goals. Additional information regarding the Agency can be found on the Agency website (www.ignitecda.org). Budget related comments or questions can be submitted to: Ignite CDA, Executive Director, 105 N. 1st, Suite 100, Coeur d'Alene, Idaho, 83814. This public hearing on the proposed budget is required for formal adoption of the FY2021 budget. The Library is accessible to persons with disabilities. Any persons with disabilities desiring accommodations for the public hearing, please contact the Library office at 769-2471. FY2019 FY2019 FY2020 FY2020 FY2021 FY2021 Actual Actual Plan Plan Proposed Proposed Expenditures Revenues Expenditures Revenues Expenditures Revenues (Audited) (Audited) Administration $ 192,647 $ 204,059 $ 213,033 Expenses/Debt Service $ 6,218,128 $12,058,783 $12,483,413 Capital/Debt Service $ 4,363,344 $ 6,040,601 $ 4,583,696 Totals $10,774,119 $18,303,443 $17,280,142 Tax Increment Revenue (1) $ 6,082,640 $7,185,200 $7,488,149 Rental Receipts $ 21,099 $ 2,100 $ 2,100 Int. & Misc. Funds $ 63,390 $ 24,730 $ 530,200 Property Divestitures $ 1,650,267 $ 405,000 $9,024,914 Capital Financing $ 2,263,500 $7,483,500 $1,123,750 Totals $10,080,896 $15,100,530 $18,169,113 FY2019 FY2020 FY2021 (Audited) Plan Proposed Fund Balance (2), Beginning of Year $ 9,027,401 $ 7,363,460 $ 4,477,444 Revenues $10,080,896 $15,100,530 $18,169,113 Expenditures ($10,774,119) ($18,303,443) ($17,280,142) Fund Balance (2), Ending of Year $ 8,334,178 $ 4,160,547 $ 5,366,416 (1) FY2020 & FY2021 tax increment revenue generated from Kootenai County data - estimated at time of publication. (2) FY2020 (Plan) & FY2021 (Proposed) fund balances are estimated values at time of publication. Fund Balances can be applied to debt service, applied to Board approved initiatives, or held in reserve. Tony Berns Submission Date: July 31, 2020 Executive Director, Ignite CDA CDA LEGAL 3929 AD#399213 AUGUST 5, 12, 2020
NOTICE OF HEARING IN THE SUPERIOR COURT OF THE STATE OF WASHINGTON IN AND FOR THE COUNTY OF KING, JUVENILE DEPARTMENT IN RE THE DEPENDENCY OF: NEHEMIAH ANTHONY ALVAREZ DOB: 10/24/2018 NO: 20-7-00113-7 SEA TO: Marrisa Grace Iniguez Alvarez a/k/a Marrisa Grace Alvarez-Iniguez, Mother; Jonathan William Curey a/k/a Jonathan William Tylor Curey, Father, and/or anyone claiming parental/paternal rights or interest in the child and to All Whom It May Concern: On January 17, 2020, a petition for Termination was filed in the above entitled Court, and it was amended January 27, 2020, pursuant to RCW 13.34.080 and/or RCW 26.33.310 regarding the above named child. (FOR FURTHER INFORMATION, CALL 206-477-2310, 8:00 a.m. - 4:30 p.m.) Said Petition will be heard on September 2, 2020, at the hour of 8:30 a.m., at the Judge Patricia H. Clark Children & Family Justice Center, 1211 E. Alder St., Rm 4-B, Seattle, WA 98122. Appearance at this hearing is required and may be in person or by telephone. Parties may appear by telephone by calling 206-263-8114 and using the following PIN number to join the call: for Seattle cases - 5167911#, before a judge of the above entitled court, at which time you are directed to appear and answer the said petition or the petition will be granted and action will be taken by the court such as shall appear to be for the welfare of the said child. Dated July 24, 2020. BARBARA MINER KING COUNTY SUPERIOR COURT CLERK BY: AMD, Deputy Clerk CDA LEGAL 3898 AD#397883 JULY 29, AUGUST 5, 12, 2020
NOTICE TO CREDITORS (as per ID ยง 15-3-801) 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 Earl H. Smith, Deceased, Case No. CV28-18-9043, NOTICE IS HEREBY GIVEN that Michael D. Welch has been appointed Personal Representative of the above named Estate. 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 to Creditors, or said claims will be forever barred. Claims must be presented to the undersigned at the address indicated and also filed with the Clerk of the Court. Dated this 5th day of Aug, 2020 /S/ Michael D. Welch, 1420 W Christopher Dr., Meridian, Idaho 83642, LEGAL #3934 AD#399290 AUGUST 5, 12, 19, 2020
NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2020-21 (FY 2021) CITY OF RATHDRUM, 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, 2020 to September 30, 2021. The hearing will be held at Rathdrum City Hall, 8047 W. Main Street, Rathdrum, Idaho at 6:00 P.M. on August 19, 2020. All interested persons are invited to appear and show cause, if any, why such budget should or should not be adopted. Written comments are welcomed. Copies of the proposed City budget in detail are available at the City Hall during regular office hours (8:00 A.M. to 5:00 P.M., weekdays). City Hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities related to the budget documents or to the hearing, please contact Rathdrum City Hall, 687-0261 at least 48 hours prior to the public hearing. The proposed FY 2021 budget is shown below as FY2021 proposed expenditures and revenues. PROPOSED EXPENDITURES FY19 FY20 FY21 ACTUAL BUDGET PROPOSED EXPENDITURES EXPENDITURES EXPENDITURES GENERAL FUND 5,804,852 6,758,385 6,950,895 SPECIAL REVENUE FUNDS 59,088 1,786,044 2,234,304 ENTERPRISE FUNDS 3,504,474 13,064,199 15,144,891 Total Expenses 9,368,414 21,608,628 24,330,090 PROPOSED REVENUES FY19 FY20 FY21 ACTUAL BUDGET PROPOSED REVENUES REVENUES REVENUES GENERAL FUND 6,315,745 6,758,385 6,950,895 SPECIAL REVENUE FUNDS 374,142 1,786,044 2,234,304 ENTERPRISE FUNDS 4,950,784 13,064,199 15,144,891 Total Revenues 11,640,671 21,608,628 24,330,090 The proposed expenditures and revenues for fiscal year 2020-21 have been tentatively approved by the City Council. Publication dates for the notice of the public hearing are August 5 and August 12. More detailed information is available on the City of Rathdrum website, https://www.rathdrum.org/finance. Dated this 30th day of July 2020. Melissa Taylor Finance Director CDA LEGAL 3928 AD#399200 AUGUST 5, 12, 2020
BUDGETS OF THE ST. MARIES FIRE PROTECTION DISTRICT 308 W. Jefferson Avenue, St. Maries, ID 83861 for Fiscal Years 2018-2019 and FY 2019-2020 and Proposed FY 2020-2021 10/1 - 9/30/FY Notice is hereby given that the St. Maries Fire Protection District will conduct a Budget Hearing Meeting on Tuesday, August 25, 2020 at 5:30 pm at the St. Maries Fire Protection District, 308 W. Jefferson Avenue, St. Maries, Idaho 83861. The following is a full and complete copy of the Proposed Budget for fiscal Year 2020-2021. 10/1/2018 to 9/30/2019 10/1/2018 to 9/30/2019 10/1/2019 to 9/30/2020 10/1/2019 to 6/30/2020 *10/1/2020 to 9/30/2021 Adopted Budget Actual Budget Adopted Budget Actual Budget PROPOSED BUDGET INCOME FY 18-19 FY 18-19 FY 19-20 To-Date 6/30/20 FY 20-21 Benewah + Kootenai County Levy $ 404,598 $ 416,768 $ 419,756 $ 288,030 $ 440,727 Avista Special Fees $ 7,300 $ 6,888 $ 7,000 $ 3,446 $ 6,500 Sales Taxes $ 16,000 $ 20,189 $ 16,000 $ 16,131 $ 15,000 Fees/Claims/Inspections $ 5,000 $ 22,589 $ 4,500 $ 1,120 $ 9,000 Property Tax Replacement $ 7,452 $ 7,420 $ 7,026 $ 7,026 $ 7,026 Grants $ 1,500 $ 3,282 *$656,113 $ - Sale of Assets $ 500 $ 1,985 $ - Recover Forgone Amount FY-19-20 * $ 603 Insurance Payments to District $ 10,117 $ - Other $ 2,900 $ 7,514 $ 3,000 $ 3,979 $ 4,500 Cash Forward $ 113,307 _________ $ 71,240 $ 33,285 $ 82,670 $ 558,557 $ 484,650 $ 528,522 $1,021,232 $ 566,026 Adopted Budget Actual Budget Adopted Budget Actual Budget Proposed Budget EXPENSES FY 18-19 FY 18-19 FY 19-20 To-Date 6/30/20 FY 20-21 Administrative $ 52,210 $ 66,861 $ 60,143 $ 33,402 $ 63,350 Bond Repayment $ 35,707 $ 34,409 $ 34,500 $ 4,640 $ 34,000 Capital $ 139,000 $ 87,500 *$713,595 $ 98,250 FF Personnel Exp $ 8,000 $ 4,019 $ 8,000 $ 1,453 $ 7,000 Property Tax Replacement +/- $ 7,452 $ 7,420 $ 7,452 $ 7,026 $ 7,026 Payroll $ 164,400 $ 150,416 $ 173,000 $ 113,330 $ 190,340 Payroll Taxes/Benefits $ 32,700 $ 30,186 $ 35,277 $ 24,037 $ 47,560 Operations & Maintenance $ 45,018 $ 30,216 $ 45,650 $ 22,722 $ 43,500 Utilities $ 25,070 $ 24,728 $ 28,000 $ 19,447 $ 28,000 Vehicle Expenses $ 49,000 $ 42,384 $ 49,000 $ 25,911 $ 47,000 $ 558,557 $ 390,639 $ 528,522 $965,563 $ 566,026 Reserve Fund for Bond $ 100,000 $ 100,000 $ 100,000 $ 100,000 $ 100,000 *Forgone Amount FY 19-20 Recover $ 603 The St. Maries Fire Protection District Budget may be inspected at the Benewah County Auditor's Office, Benewah County Courthouse, between the hours of 9:00 a.m. and 5:00 p.m., at the O'Gara Fire Station, 12629 O'Gara Rd., Harrison, ID, and the Harrison Fire Station, 105 Coeur d'Alene Avenue, Harrison, Idaho. Dated this July 30, 2020 Caridad Rubiera , Treasurer/Secretary/Office Mgr. CDA LEGAL 3927 AD#399114 AUGUST 5, 2020