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Legals for July, 28 2020

| July 28, 2020 12:00 AM

CITY OF MULLAN SUMMARY OF ORDINANCE NO. 388 A summary of the principal provisions of Ordinance No. 388, of the City of Mullan, Shoshone County, Idaho, adopted on the 15th day of July, 2020, by the City Council, is as follows: AN ORDINANCE OF THE CITY OF MULLAN, SHOSHONE COUNTY, STATE OF IDAHO, ESTABLISHING A NEW MUNICIPAL CODE REGULATING ANIMALS; REQUIRING THE LICENSING OF DOGS; REQUIRING PERMITS TO KEEP DOMESTIC FOWL OR RABBITS; REGULATING THE POSSESSION, CARE, AND QUARTERING OF ANIMALS INCLUDING LIMITS ON THE NUMBER OF ANIMALS KEPT; CLASSIFYING AGGRESSIVE & DANGEROUS DOGS AND PLACING REGULATIONS ON OWNERS OR KEEPERS OF THOSE DOGS; ALLOWING FOR ENFORCEMENT OF ANIMAL REGULATIONS AND AUTHORITY TO IMPOUND OR DESTROY; PROVIDING FOR PENALTIES FOR LACK OF COMPLIANCE, INCLUDING BOTH INFRACTION AND MISDEMEANOR PENALTIES AND DETAILING A PROCESS OF APPEAL FROM DECISIONS MADE; REPEALING CURRENT MULLAN MUNICIPAL CODE TITLE 6 AND ALL RELATED PORTIONS OF CONFLICTING ORDINANCES; AND PROVIDING AN EFFECTIVE DATE. NOW, THEREFORE, BE IT ORDAINED BY THE MAYOR AND CITY COUNCIL OF THE CITY OF MULLAN, that Ordinance No.388 is hereby effective upon the passage and publication as provided by law. The full text of Ordinance No. 388, is available at City Hall and will be provided to any citizen upon personal request during normal office hours. DATED this 17th day of July, 2020. ATTEST: Trisha Crandall, City Clerk, City of Mullan Shoshone County, Idaho Don Kotchevar, Mayor, City of Mullan Shoshone County, Idaho SHO LEGAL 3548 AD#397237 JULY 28, 2020

NOTICE OF PUBLIC HEARING CITY OF OSBURN, IDAHO PROPOSED BUDGET FOR FISCAL YEAR 2020-2021 Notice is hereby given that the City Council of the City of Osburn, Shoshone County, Idaho will hold a public hearing for consideration of the proposed budget for the fiscal period October 1, 2020 - September 30, 2021, all pursuant to the provisions of Section 50-1002, Idaho Code. The hearing will be held at the City Hall at 921 E. Mullan Ave., Osburn at 5:30 p.m. on August 11th, 2020. All interested residents are invited to appear and offer testimony concerning the proposed budget. Copies of the proposed City budget are available at City Hall during regular office hours, 9:30 a.m. - 5:00 p.m., Monday through Thursday. 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) 752-0001 at least 48 hours prior to the hearing. ACTUAL BUDGET PROPOSED 2018-2019 2019-2020 2020-2021 EXPENDITURES: General & Admin. Fund 183,069 267,724 363,280 Law Enforcement Fund 259,357 246,329 324,613 Library Fund 58,743 62,933 72,489 Street & Highway Fund 170,542 312,810 351,068 Sewer Fund 30,832 53,926 57,163 Cemetery Fund 2,792 19,383 5,410 TOTALS 705,335 963,105 1,174,023 REVENUES: Property Tax Levy 360,666 390,392 400,950 Sales Tax 66,975 53,886 49,036 Liquor Apportionment 60,515 58,000 52,780 Highway Users Revenue 78,931 54,500 49,595 State Revenue Sharing 59,230 50,824 47,173 Licenses & Permits 29,663 10,550 8,850 Sweeping Agreement 0 3,456 3,456 Franchise Fee 16,737 21,000 21,000 Court Fines 5,667 3,500 3,500 Municipal Fines 175 100 100 Civil Processing 2,664 3,600 3,000 Animal Control 3,420 2,000 2,000 Library Cards, Fines 197 200 200 Interest Income, Penalty, Misc 31,229 13,900 222,750 Sewer Revenue 57,496 47,175 57,163 Cemetery Revenue 1,083 2,350 5,410 Cash Carryover 0 244,522 247,060 TOTALS 774,648 963,105 1,174,023 I, Lisa D. Millard, City Clerk/Treasurer of the City of Osburn, Idaho do hereby certify that the above is a true and correct statement of the proposed expenditures and revenue for the fiscal year 2020-2020 all of which have been tentatively approved by the City Council Dated this 24th day of July, 2020 Lisa D. Millard, City Clerk/Treasurer SHO LEGAL 3551 AD#397363 JULY 28, AUGUST 4, 2020

NOTICE OF PUBLIC HEARING PINEHURST CITY COUNCIL VARIANCE REQUEST AUGUST 12, 2020 6:00 p.m. The Pinehurst City Council will hold a public hearing and take public testimony at the Pinehurst City Hall - 106 North Division Street on Wednesday August 12, 2020 at 6:00 p.m. to consider a request from Brandon Boller for a variance to the required yard setbacks. The property is located at 304 Wyoming Avenue. It is more specifically described as Lot 7 Block 7 Pinehurst First Addition. He is requesting a variance to the front and rear yard setbacks. He is requesting a 24 foot rear yard setback instead of the required 25 foot setback for the residence and a 30 foot front yard setback instead of the required 35 feet for the accessory garage building. All interested persons are invited to appear and show cause, if any, why such item should or should not be approved. Copies of the application are available at City Hall during regular office hours. City Hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities related to these documents or to the hearing can contact City Hall, 682-3721 at least 48 hours prior to the public hearing. SHO LEGAL 3547 AD#397147 JULY 28, 2020

NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2020-21 CITY OF SMELTERVILLE Notice is hereby given that the Smelterville City Council will hold a public hearing for consideration of the proposed fiscal year 2021 budget in accordance with Idaho Code 50-1002. The hearing will be held at Smelterville City Hall, 501Main Street, Smelterville, Idaho 83868 on August 12, 2020 at 7:00 P.M. The public is invited to provide testimony concerning the proposed budget. Copies of the proposed City budget are available at City Hall duging regular office hours (9:00 A.M. to 3:00 P.M. Monday through Thursday). 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) 786-3351 at least 48 house prior to the hearing. PROPOSED EXPENDITURES FY 18-19 FY 19-20 FY 20-21 FUND NAME. ACTUAL BUDGET PROPOSED General/Admin. 99,750 97,711 103,447 Law Enforcement 21,603 21,603 22,000 Total General Fund 121,353 119,314 125,447 Sewer Fund 192,010 195,610 226,410 Street Fund 53,000 53,000 48,100 TOTAL EXPENSES 366,363 367,924 399,957 ESTIMATED REVENUES Property Tax 77,734 74,112 76,447 State Rev. Sharing 36,981 39,768 25,000 Highway User (streets) 28,534 28,434 23,926 State Liquor 18,864 23,110 25,000 All Other Funds 5,200 5,200 16,284 Sewer Revenues 199,050 197,300 233,300 Total Revenue 366,363 367,924 399,957 Proposed expenses and revenues for FY 20-21 have been tentatively approved by City Council and detailed in the minutes of August 12, 2020 Council Meeting. Heidi Klein, City Clerk/Treasurer SHO LEGAL 3549 AD#397249 JULY 28, AUGUST 4, 2020