Legals January 15, 2018

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NOTICE TO CREDITORS (I.C. SECTION 15-3-801) CASE NO. CV-17-9364 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 JULIA ANN FREE, Deceased. NOTICE IS HEREBY GIVEN that Carolyn Sue Fall 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 (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 11th day of January, 2018. /S/: JOHN F. MAGNUSON, ISB #4270 Attorney for Carolyn Sue Fall Personal Representative to the Estate of Julia Ann Free P.O. Box 2350 Coeur d'Alene, ID 83816-2350 Telephone: (208) 667-0100 Facsimile: (208) 667-0500 CDA LEGAL 8903 JANUARY 15, 22, 29, 2018

Notice of Public Hearing NOTICE IS HEREBY GIVEN that the Kootenai County Board of Commissioners will hold a public hearing per Idaho Codes 31-1604 and 31-1605 on Tuesday, January 23, 2018 at 2:00 pm, in the Boardroom, Kootenai County Administration Building, 451 Government Way, Coeur d'Alene, Idaho. The purpose of the hearing is to consider the following adjustments to the Fiscal Year 2017 budget to reflect unscheduled revenues. Any taxpayer may appear and be heard upon any part of said tentative budget, published below, at this time. WHEREAS, Idaho Code 31-1605 provides that the Board of County Commissioners may adjust the budget to reflect unscheduled revenues from Federal, State, or other sources; Kootenai County Board of Commissioners will consider that the Fiscal Year 2017 budget shall be adjusted to reflect the following unscheduled revenues: FY 2017 Kootenai County Adopted Budget $ 96,343,347 EMS and Internal Service Fund Excluded Unscheduled Revenues Capital Project Carryforward from FY16 (Resolution 2016-115) $ 1,316,824 Grant Awards and Amendments $ 9,749,539 Donations $ 85,250 Trust Appropriation $ 11,716 Fund Balance Appropriation $ 2,153,720 Total Unscheduled Revenues $ 13,317,049 FY2017 Kootenai County Amended Budget $109,660,396 EMS and Internal Service Fund Excluded Additional information is available from the Kootenai County Commissioners' and Auditor's Offices at the County Administration Building, 451 Government Way, Coeur d'Alene, Idaho. CDA LEGAL 8897 JANUARY 15, 22, 2018-*/

LAKES HIGHWAY DISTRICT ANNUAL ROAD AND STREET FINANCIAL REPORT FISCAL YEAR ENDED SEPTEMBER 30, 2017 BEGINNING BALANCE AS OF OCTOBER 1, 2016 $4,865,174 RECEIPTS LOCAL FUNDING SOURCES Property tax levy $3,655,528 Interest income $ 47,699 Proceeds from sale of bonds (include LIDs) $ 13,013 All other LOCAL receipts or transfers in $ 199,644 Total Local Funding $3,915,884 STATE FUNDING SOURCES Highway user revenue $2,835,161 Sales tax/ Revenue sharing $ 191,836 All other STATE receipts or transfers $ 11,452 Total State Funding $3,038,449 FEDERAL FUNDING SOURCES Secure Rural Schools (Forest Reserve Funds) $ 9,967 Federal Lands Access Funds and ALL other FEDERAL receipts $ 24,106 Total Federal Funding $ 34,073 TOTAL RECEIPTS $6,988,406 DISBURSEMENTS NEW CONSTRUCTION Roads $ 317,743 Total New Construction $ 317,743 RECONSTRUCTION/REPLACEMENT/ REHABILITATION Roads (rebuilt, realign,or 2" overlay upgrade) $2,123,233 Bridges, culverts and storm drainage $ 5,376 RR Crossings $ 37,325 Other $ 38,233 Total Reconstruction/ Replacement $2,204,167 ROUTINE MAINTENANCE Chip sealing or seal coating $ 747,220 Patching $ 63,194 Snow removal $ 413,794 Grading/blading $ 80,902 Other $ 734,695 Total Routine Maintenance $2,039,805 EQUIPMENT New Equipment Purchase - automotive, heavy, other $ 916,132 Equipment maintenance $ 405,932 Other $ 97,528 Total Equipment $1,419,592 ADMINISTRATION Administrative salaries and expenses $ 422,247 OTHER EXPENDITURES Right-of-way and property purchases $ 3,600 Property leases $ 23,523 Street lighting $ 10,905 Professional services - audit, clerical, and legal $ 39,272 Professional services - engineering $ 102,289 Interest - bonds (including LIDs) $ 3,000 Redemption - bonds (including LIDs) $ 15,000 All other local expenditures $ 53,300 Total Other $ 250,889 TOTAL DISBURSEMENTS $6,654,443 RECEIPTS OVER DISBURSEMENTS $ 333,963 OTHER ADJUSTMENTS $ 640,902 FUNDS OBLIGATED FOR SPECIFIC FUTURE PROJECTS $4,840,039 FUNDS RETAINED FOR GENERAL OPERATIONS $1,000,000 ENDING BALANCE $ 0 LAKES HIGHWAY DISTRICT COMMISSIONERS RODNEY A. TWETE WESTON E. MONTGOMERY DIANE J. FOUNTAIN ATTEST: KAREN M. HOWELL, DISTRICT TREASURER CDA LEGAL 8895 JANUARY 15, 2018

City of Worley, Idaho TREASURER'S QUARTERLY FINANCIAL REPORT FOR PUBLICATION First Quarter of Fiscal Year 2018 (Required by Idaho Code Section 50-1011) Appropriated Fund Expenditures Annual Total Expenitures Total Percent Expended For First Appropriation for Fiscal Year 2018 for Fiscal Year 2018 Quarter General & Streets Account $27,446 $ 184,664 $27,446 15% Proprietary Accounts: Water Account $13,532 $ 69,100 $13,532 20% Sewer Account $10,461 $1,288,545 $10,461 0.009% Garbage Account $ 5,401 $ 27,580 $ 5,401 20% Misc. Proprietary Expense $ 0 $ 1,200 $ 0 TOTAL EXPENDITURES $56,840 $1,571,089 $56,840 0.03% Citizens are invited to inspect the details and supporting records for this financial statement. Brenda Morris, City Clerk/Treasurer. 01/15/18 CDA LEGAL 8905 JANUARY 15, 2018

City of Worley, Idaho TREASURER'S QUARTERLY FINANCIAL REPORT FOR PUBLICATION Fourth Quarter of Fiscal Year 2017 (Required by Idaho Code Section 50-1011) Appropriated Fund Expenditures Annual Total Expenitures Total Percent Expended For Fourth Appropriation for Fiscal Year 2017 for Fiscal Year 2017 Quarter General & Streets Account $47,655 $ 158,461 $144,592 91% Proprietary Accounts: Water Account $ 21,762 $ 69,798 $ 66,738 96% Sewer Account $ 64,602 $1,537,545 $178,732 12% Garbage Account $ 2,699 $ 28,225 $ 21,990 78% Misc. Proprietary Expense $ 0 $ 1,920 $ 0 TOTAL EXPENDITURES $136,718 $1,795,949 $412,052 23% Citizens are invited to inspect the details and supporting records for this financial statement. Audited report. Brenda Morris, City Clerk/Treasurer. 01/15/18 CDA LEGAL 8906 JANUARY 15, 2018

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