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Legals for August, 13 2021

| August 13, 2021 12:00 AM

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: DOUGLAS LEONARD BRUSHETT, Deceased. Case No. CV28-21-3852 NOTICE IS HEREBY GIVEN that the undersigned has been appointed Personal Representative of the above-named Decedent. All persons having claims against 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 below. DATED this 26th day of July, 2021. By:/S/ AUSTIN BRUSHETT Personal Representative c/o Virginia M. Robinson ATTORNEYS NORTHWEST, INC. 2005 N. Ironwood Pkwy, Ste 130 Coeur d'Alene, Idaho 83814 CDA LEGAL 6015 AD#478009 AUGUST 13, 20, 27, 2021

NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR CITY OF POST FALLS FOR THE FISCAL YEAR 2021 - 2022 Notice is hereby given that the City Council of Post Falls will hold a public hearing for consideration of the proposed budget for the fiscal period October 1, 2021 to September 30, 2022 pursuant to the provisions of Section 50-1002, Idaho Code, said hearing to be held at Post Falls City Hall, 408 North Spokane St, Post Falls, Idaho, at 6 p.m. on August 17th, 2021. At said hearing interested persons may appear and show cause, if any they have, why said proposed budget should or should not be adopted. A copy of the proposed budget is available for inspection at City Hall weekdays between the hours of 8 a.m. and 5 p.m. on regular business days. PROPOSED EXPENDITURES Actual Budgeted Proposed FY 19-20 FY 20-21 FY 21-22 GENERAL FUND: MAYOR/COUNCIL $ 189,375 $ 200,786 $ 201,048 IS DEPARTMENT $ 408,480 $ 419,034 $ 410,731 GENERAL SERVICES $ 255,687 $ 266,203 $ 264,505 FINANCE $ 820,092 $ 784,422 $ 782,930 CITY CLERK $ 72,530 $ 81,046 $ 79,146 LEGAL SERVICES $ 681,686 $ 695,646 $ 790,008 CABLE FRANCHISE $ 157,126 $ 135,395 $ 134,465 HUMAN RESOURCES $ 178,748 $ 235,645 $ 235,645 POLICE $ 6,415,774 $ 7,423,769 $ 7,155,981 OASIS $ 171,461 $ 123,024 $ 123,024 LIBRARY DEPARTMENT $ - $ - $ - ANIMAL CONTROL $ 152,839 $ 174,619 $ 172,119 STREET $ 2,260,140 $ 2,652,289 $ 3,260,704 PUBLIC WORKS $ 3,889 $ 9,050 $ 8,850 FACILITY MAINTENANCE $ 269,499 $ 285,190 $ 288,479 FLEET MAINTENANCE $ 664,948 $ 1,001,273 $ 1,176,272 GIS $ 209,945 $ 201,798 $ 201,548 URBAN FORESTRY $ 211,262 $ 218,152 $ 372,202 CEMETERY $ 259,015 $ 277,949 $ 282,335 PARKS $ 2,440,315 $ 2,486,242 $ 2,687,340 RECREATION $ 791,612 $ 964,251 $ 1,030,586 PLANNING & ZONING $ 331,796 $ 315,798 $ 321,008 BUILDING INSPECTOR $ 576,932 $ 613,815 $ 613,815 CITY ENGINEER $ 497,495 $ 603,366 $ 661,792 COMMUNITY DEVELOPMENT ADMIN $ 203,292 $ 196,214 $ 195,515 STREET LIGHTS $ 575,968 $ 565,484 $ 620,000 CAP IMPROVEMENT/OTHER $ 448,907 $ 1,135,034 $ 3,416,468 PERSONNEL POOL $ 2,731,599 $ 3,408,164 $ 4,126,000 TRANSFERS OUT $ - $ 375,000 $ 375,000 SUBTOTAL-GF DEPT EXPEND $ 21,980,411 $ 25,848,658 $ 29,987,518 PERSONNEL POOL $ 3,898,474 $ 3,884,309 $ 4,560,852 ANNEXATION FEE ACCOUNT $ 13,717 $ 2,539,000 $ 2,900,000 SUBTOTAL-DED GF ACCOUNTS $ 3,912,191 $ 6,423,309 $ 7,460,852 TOTAL GENERAL FUND $ 25,892,603 $ 32,271,967 $ 37,448,370 SPECIAL REVENUE FUNDS: COMP LIABILITY INSURANCE $ 262,158 $ 298,691 $ 338,249 STREET LIGHTS $ (15) $ - $ - 911 SUPPORT $ 122,799 $ 983,198 $ 527,507 DRUG SEIZURE $ 28,499 $ 60,000 $ 135,000 HUD LOANS $ - $ - $ - SPECIAL EVENTS $ 20,713 $ 46,248 $ 46,248 CEMETERY CAPITAL IMPROVEMENT $ - $ 121,500 $ 202,500 TOTAL SPECIAL REV FUND EXPEND $ 434,154 $ 1,509,637 $ 1,249,504 CAPITAL PROJECTS FUNDS: FACILITY RESERVE ACCOUNT $ 5,703 $ 1,450,000 $ 1,807,000 PUBLIC SAFETY IMPACT FEES $ 66,317 $ 1,057,000 $ 1,463,000 STREETS IMPACT FEES $ 98,807 $ 6,270,240 $ 25,195,984 PARKS IMPACT FEES $ 1,218,580 $ 3,599,134 $ 4,260,000 FALLS PARK $ - $ - $ - STREET CAPITAL IMPROVEMENTS $ 1 $ 5,000 $ - TOTAL CAPITAL PROJECTS FUND EXP $ 1,389,408 $ 12,381,374 $ 32,725,984 DEBT SERVICE FUNDS: LID 96-1 DEBT SERVICE $ - $ - $ - LID 99-1 DEBT SERVICE $ 200 $ - $ - LID 2004-1 DEBT SERVICE $ 105,375 $ 528,000 $ 528,000 LID GUARANTEE $ 150 $ 150 $ 150 LID 91-1 DEBT SERVICE $ - $ - $ - TOTAL DEBT SERVICE FUND EXP. $ 105,725 $ 528,150 $ 528,150 ENTERPRISE FUNDS: SEWER (OPERATING) $ 5,479,442 $ 10,904,816 $ 11,768,192 SEWER (COLLECTIONS) $ 559,776 $ 1,376,892 $ 1,293,678 SEWER (RECYCLED WATER) $ 7,232 $ 6,860 $ 6,860 SEWER (SURFACE WATER) $ 297,614 $ 305,460 $ 305,368 SEWER CONST - WWTP $ 243,123 $ 30,064,527 $ 23,543,389 SEWER CONST - COLLECTORS $ - $ 3,266,071 $ 1,800,000 STORM WATER $ - $ - $ - SANITATION $ 3,407,299 $ 2,938,635 $ 3,553,481 WATER (OPERATING) $ 2,623,113 $ 2,958,653 $ 3,087,686 WATER CONSTRUCTION $ - $ 2,725,000 $ 1,100,000 TOTAL ENTERPRISE FUND EXP. $ 12,617,600 $ 54,546,913 $ 46,458,655 TOTAL ALL FUND EXPENDITURES $ 40,439,489 $ 101,238,042 $ 118,410,663 PROPOSED REVENUES/FUNDING RESOURCES GENERAL FUND: PROPERTY TAX REVENUE $ 11,621,406 $ 12,384,598 $ 13,676,615 OTHER REVENUE $ 12,114,578 $ 9,944,565 $ 11,107,669 OTHER FINANCING SOURCES $ 1,910,570 $ 1,881,699 $ 2,017,993 FUND BALANCE REBUDGETED $ - $ 1,307,797 $ 3,185,241 GENERAL FUND DEDICATED ACCOUNTS: OTHER REVENUE $ 667,402 $ 429,000 $ 410,000 OTHER FINANCING SOURCES $ 2,707,262 $ 3,296,411 $ 3,350,000 FUND BALANCE REBUDGETED $ - $ 3,027,898 $ 3,700,852 TOTAL GENERAL FUND RESOURCES $ 29,021,218 $ 32,271,968 $ 37,448,370 SPECIAL REVENUE FUNDS: PROPERTY TAX REVENUE $ 170,000 $ 170,000 $ 170,000 OTHER REVENUE $ 877,227 $ 1,082,485 $ 626,794 OTHER FINANCING SOURCES $ 139,170 $ 163,152 $ 202,710 FUND BALANCE REBUDGETED $ - $ 94,000 $ 250,000 TOTAL SPEC. REV. FUND RESOURCES $ 1,186,397 $ 1,509,637 $ 1,249,504 CAPITAL PROJECTS FUNDS: OTHER REVENUE $ 3,968,130 $ 1,315,000 $ 25,754,512 OTHER FINANCING SOURCES $ 250,000 $ 625,000 $ 350,000 FUND BALANCE REBUDGETED $ - $ 10,441,374 $ 6,621,472 TOTAL CAPITAL PROJECTS \ RESOURCES $ 4,218,130 $ 12,381,374 $ 32,725,984 DEBT SERVICE FUNDS: OTHER REVENUE $ 58,370 $ 128,150 $ 128,150 OTHER FINANCING SOURCES $ - $ - $ - FUND BALANCE REBUDGETED $ - $ 400,000 $ 400,000 TOTAL DEBT SERVICE RESOURCES $ 58,370 $ 528,150 $ 528,150 ENTERPRISE FUNDS: OPERATING REVENUES $ 21,870,245 $ 18,437,680 $ 20,038,300 CONTRIBUTED CAPITAL/CAP FEES $ 9,921,448 $ 4,300,000 $ 5,560,000 OTHER FINANCING SOURCES $ 79,920 $ 79,920 $ 79,920 FUND EQUITY REBGTD./BOND $ - $ 31,729,313 $ 20,780,435 TOTAL ENTERPRISE FUND RESOURCES $ 31,871,613 $ 54,546,913 $ 46,458,655 TOTAL ALL ESTIMATED RESOURCES $ 66,355,728 $ 101,238,042 $ 118,410,663 I, Jason Faulkner, City Treasurer for the City of Post Falls, Idaho, do hereby certify that the above is a true and correct statement of the proposed expenditures and revenues for the fiscal year 2021-2022, all of which have been tentatively approved by the City Council and entered at length in the Journal of Proceedings. Publication dates for the notice of public hearing are August 17th, 2021 in the "CDA Press." Dated July 8th, 2021 City Treasurer CDA LEGAL 5846 AD#470178 JULY 30, AUGUST 13, 2021

ADVERTISEMENT FOR REQUEST FOR QUALIFICATIONS Submittals for Asbestos Consultants will be received by Division of Public Works, State of Idaho, at 502 N. 4th Street, PO Box 83720, Boise, Idaho 83720-0072, beginning immediately, until Thursday, August 26, 2021, at 5:00 pm, local time, for DPW Project Asbestos Abatement Design Services, Statewide, Idaho. A written Request for Qualifications and other information are available at the Division of Public Works, 502 N. 4th Street, PO Box 83720, Boise, ID 83720-0072; Josh Lewis, Project Manager, (208) 332-1908. The RFQ is also available for viewing and printing at the following website: dpw.idaho.gov Barry J. Miller, Deputy Administrator Division of Public Works CDA LEGAL 6013 AD#477985 AUGUST 13, 20, 2021

NOTICE OF BUDGET HEARING Due to Governor Little's late signing of HB 389 on May 12, 2021, the HAUSER LAKE FIRE PROTECTION DISTRICT (HLFPD) is changing the original public budget hearing date from August 9, 2021 to August 23, 2021. The HLFPD will conduct a public budget hearing for the purpose of utilizing its forgone amount and adopting the District Budget for fiscal year 2021-2022 at 6:30 p.m. on Monday, August 23, 2020, at the Hauser Lake Fire Station located at 10728 N Hauser Lake Road, Hauser, Kootenai County, Idaho. HAUSER LAKE FIRE PROTECTION DISTRICT PROPOSED BUDGET October 1, 2021 to September 30, 2022 Income Tax Levy $224,679 Other Taxes & Misc 5,000 EMS Subsidy 23,500 Grants 30,000 Carryover 158,815 Surplus Equipment 35,000 Total $476,994 Expenses Maintenance & Operation $245,204 Payroll expenses 78,790 Insurance 17,000 Capital Improvement (Apparatus replacement) 116,000 Contingency Fund 20,000 Total $476,994 The budget is available for public inspection by contacting Joan Rodman, Treasurer, Hauser Lake Fire Protection District. ATTEST: JOAN RODMAN, TREASURER HAUSER LAKE FIRE PROTECTION DISTRICT CDA LEGAL 6012 AD#477980 AUGUST 13,2021

NOTICE TO CREDITORS IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT OF THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI In the Matter of the Estates of: Nancy Cox, and William Cox, Deceased. Case No. CV28-21-4283 NOTICE IS HEREBY GIVEN that Daryl Starr has been appointed personal representative of the above-named decedents. All persons having claims against the decedents, or the estates 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: Daryl Starr PO BOX 10 Cataldo, ID 83810 And the same must be filed with the Clerk of the Court in the District Court for the First Judicial District, County of Kootenai, State of Idaho. Dated this 4th day of August 2021 /S/ Robert J. Green Attorney for the Personal Representative Kootenai Law Group, PLLC 2100 Northwest Blvd., Suite 110 Coeur d'Alene, iD 83814 (208) 765-6555 (888) 966-0190 (fax) CDA LEGAL 6016 AD#478017 AUGUST 13, 20, 27, 2021

SUMMONS To: DEWAYNE WEBB You have been sued by DIONYSUS FINANCE, LLC dba ADVANCE FINANCIAL, the Plaintiff, in the FIRST District Court in and for BONNER COUNTY, Idaho, Case No. CV09-21-633. The nature of the claim against you is collection of money owed by you. Any time after 21 days following the last publication of this summons, the court may enter a judgment against you without further notice, unless prior to that time you have filed a written response in the proper form, including the Case No., and paid any required filing fee to the Clerk of the Court at 215 S. 1st Ave., Sandpoint, ID 83864, telephone (208) 265-1432, and served a copy of your response on the Plaintiff's attorney MICHAEL J. ARCHIBALD, #8476 at M2 Law Group PC, P.O. Box 330, Meridian, ID 83680, telephone (208) 336-3331. A copy of the Summons and Complaint can be obtained by contacting either the Clerk of the Court or the attorney for Plaintiff. If you wish legal assistance, you should immediately retain an attorney to advise you in this matter. Dated: July 14, 2021 MICHAEL W ROSEDALE BONNER COUNTY District Court By /s/ Charity L. Hadley Deputy CDA LEGAL 5893 AD#471519 JULY 23, 30, AUGUST 6, 13, 2021

POST FALLS HIGHWAY DISTRICT PROPOSED BUDGET OCTOBER 1, 2021 TO SEPTEMBER 30, 2022 Post Falls Highway District will hold a Public Hearing on August 18, 2021 at 6:00 PM at the District Office, 5629 E Seltice Way to consider the budget for FY 2021 2022 or if you want to attend via elctronic means. The budget is available for public inspection at the District Office between 6 AM and 4:30 PM, Mon-Thur. If special accomodations are needed, contact PFHD at 208-765-3717. PFHD is Title VI compliant. ANTICIPATED RECEIPTS: Road Levy* $ 750,000 Penalties and Interest $ 10,000 REA $ 12,000 SRS Funds (Forest Funds) $ 37,500 Highway Users Revenue $2,733,662 State Sales Tax $ 145,390 Special Levy* $2,265,124 Local Sources $ 154,612 Insurance Levy $ 46,973 Carry Forward $ 585,773 Federal Capital Funds $1,201,799 TOTAL RECEIPTS $7,942,833 ANTICIPATED EXPENDITURES: Administration $ 526,265 Transfers $ 271,545 Commissioner Expense $ 28,800 Labor Expense $1,587,734 Operations Expense $1,145,419 Road Maintenance $ 903,000 Asset Expenditure $ 504,000 Road Const/Property Acqu $1,697,000 Future Needs Allocation $1,279,070 TOTAL EXPENDITURES $7,942,833 August 4, 2021 Jeffrey Tyler, Chairman David Russell, Vice-Chair Lynn Humphreys, Commissioner Submitted by Shirley Walson, District Clerk CDA LEGAL 6004 AD#477581 AUGUST 12, 13, 2021

NOTICE OF HEARING ON NAME CHANGE (Minor) IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI IN RE: Taycen Lakai Cooper CASE NO. CV28-21-4870 A Petition to change the name of Taycen L. Cooper, now residing in the City of Post Falls, State of Idaho, has been filed in the District Court in Kootenai County, Idaho. The name will change to Taycen Cooper Genatone. The reason for the change in name is: he would like to take on father's name. A hearing on the petition is scheduled for 1:30 o'clock p.m. on August 30, 2021 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: July 28, 2021 JIM BRANNON, CLERK OF THE DISTRICT COURT By: /S/:Ernest Saakov Deputy Clerk CDA LEGAL 5926 AD#474871 JULY 30,AUGUST 6, 13, 20, 2021

NOTICE OF HEARING ON NAME CHANGE (Adult) IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI IN RE: Cynthia Michelle RBeach CASE NO. CV28-21-5240 A Petition to change the name of Cynthia Michelle RBeach, now residing in the City of Rathdrum, State of Idaho, has been filed in the District Court in Kootenai County, Idaho. The name will change to Cynthia Michelle Rockwell Beach The reason for the change in name is: correct an error on the marriage license. A hearing on the petition is scheduled for 1:30 o'clock p.m. on September 20, 2021, 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: August 11, 2021 JIM BRANNON, CLERK OF THE DISTRICT COURT By: /S/:Bobee Deglman Deputy Clerk CDA LEGAL 6017 AD#477910 AUGUST 13, 20, 27, SEPTEMBER 3, 2021

NOTICE OF HEARING ON NAME CHANGE (Minor) IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI IN RE:Jadarrius Eugene Smith-Sims CASE NO. CV28-21-5241 A Petition to change the name of Jadarrius Eugene Smith-Sims, now residing in the City of Hayden, State of Idaho, has been filed in the District Court in Kootenai County, Idaho. The name will change to Langston Christopher Taylor. The reason for the change in name is: He has been called Langston since birth & recognized by his schools, doctors & peers by the name Langston Taylor. A hearing on the petition is scheduled for 1:30 o'clock p.m. on September 20, 2021, 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: August 11, 2021 JIM BRANNON, CLERK OF THE DISTRICT COURT By: /S/: Bobee Deglman Deputy Clerk CDA LEGAL 6018 AD#477941 AUGUST 13, 20, 27, SEPTEMBER 3, 2021

Shoshone County Fire Protection District #2 Proposed Budget for Fiscal Period October 1, 2021 - September 30, 2022 NOTICE OF PUBLIC HEARING SHOSHONE COUNTY FIRE PROTECTION DISTRICT #2: Notice is hereby given that the proposed budget will be considered at a public hearing at the Commissioners meeting of the Shoshone County Fire Protection District #2, located at 911 Bunker Ave, Kellogg, ID 83837 on August 18th, 2021 at 5:30 pm, all pursuant to the provisions of Sect 31-1422, Idaho Code. All interested persons are invited to appear and offer testimony concerning the proposed budget. The Budget may be examined during regular Office hours. 8am - 4pm Monday through Friday. SCFPD#2 is accessible to persons with disabilities. Anyone desiring accommodations for disabilities related to the budget documents or the hearing, please contactSCFD#2 at (208)784-1188 at least 48 hours prior to the hearing. One Prior Proposed Year Budget Year Budget Revenues Property 1,157,410 1,191,000 Intergovernmental 274,500 281,500 Interest 15,000 2,600 Bond Proceeds 135,720 0 Other 16,000 11,000 Total Revenues 1,598,630 1,486,100 Expenditures Payrol l695,000 727,300 Payroll Burden 364,400 374,700 Other Operating 216,350 238,250 Bond Expenditures 135,720 135,850 Capital Expenditures 187,160 10,000 Total Expenditures 1,598,630 1,486,100 Revenue Less Expenditures 0 0 CDA LEGAL 6011 AD#477782 AUGUST 13, 2021

NOTICE TO CREDITORS (1.C. 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 THOMAS C. CHARRON, Deceased. CASE NO. CV28-21-4074 NOTICE IS HEREBY GIVEN that the undersigned has been appointed personal representative of the above-named estate. All persons having claims against the decedent or his 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 filed with the Clerk of the Court. DATED this 10th day of August, 2021. /s/ ARTHUR O. CHARRON, Personal Representative c/o WALLACE & KUSTER, PLLC 1910 Northwest Blvd., Suite 200 Coeur d'Alene, ID 83814 (208) 667-2264 CDA LEGAL 6014 AD#477989 AUGUST 13, 20, 27, 2021

NOTICE OF BUDGET HEARING WORLEY HIGHWAY DISTRICT will hold a public hearing on August 25, 2021, 9:00 a.m.at the District Office to consider the proposed budget for the Fiscal Year 2021-2022, at which time the public may appear and be heard upon all or part of the budget. PROPOSED BUDGET October 1, 2021 - September 30, 2022 ANTICIPATED REVENUE: Maintenance & Operation Levy 1,550,106 Special Const/Bridge Levy 1,310,400 Ag. Equip. Tax Replacement 15,435 Tort Levy 34,901 Highway Users Revenue 1,220,000 Forest Reserve Fund 0 State Sales Tax 151,500 CEA Tax 26,000 Interest Income 58,000 Sale of surplus equipment 46,500 Permit Fees 15,000 Federal Share Bridge/Spec. Const. 166,000 Miscellaneous Revenue 108,000 Carry Fwd: Undedicated 638,407 Dedicated: Special Road Const 122,387 Dedicated: Tort 0 TOTAL BUDGETED REVENUE 5,462,636 ANTICIPATED EXPENDITURES: Labor Expense 1,586,970 Administration 492,189 Commissioner's Compensation 28,800 Operating Expense 645,250 Road Maintenance 963,150 Road Construction 1,010,637 Asset Acquisitions 523,200 Tort 34,901 M&O Levy Transferred back to Cities 177,539 TOTAL ANTICIPATED EXPENDITURES 5,462,636 The budget is available for public inspection at the District Office 12799 W. Ness Road, 7:30 a.m. to 4:30 p.m. Mon.-Thurs. WORLEY HIGHWAY DISTRICT BOARD OF COMMISSIONERS: George Miller, Corinne Johnson, Philip W. Cooper ATTEST: Carol Richel, Clerk/Treasurer CDA LEGAL 6002 AD#477529 AUGUST 12, 13,2021