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Legals for October, 26 2021

| October 26, 2021 12:00 AM

NOTICE OF LIEN SALE NOTICE IS HEREBY GIVEN THAT ON THE 29TH DAY OF OCTOBER 2021 AT 12:00 (NOON), A LIEN SALE WILL BE HELD FOR THE PURPOSE OF SATISFYING A LANDLORD'S LIEN ON THE CONTENTS OF ONE (1) SELF-STORAGE UNIT(s), AT ADVANCED STORAGE SYSTEMS, 1100 MAIN STREET, SMELTERVILLE, ID. THE GOODS TO BE SOLD ARE GENERALLY DESCRIBED AS GENERAL HOUSEHOLD GOODS AND MISCELLANEOUS ITEMS. UNIT #90 BETTY & JESSICA MAXWELL 106 MULLAN AVE. KELLOGG, ID 83837 LEGAL 3989/ AD 492099 OCT 22, 26, 2021

PUBLIC NOTICE The Basin Environmental Improvement Project Commission (BEIPC) Quarterly Meeting November 10, 2021 The Basin Environmental Improvement Project Commission (BEIPC) will conduct a regular quarterly meeting 9:00 AM to 1:30 PM on November 10, 2021 at the Coeur d'Alene IDEQ Regional Office, Osprey Conference Room, 2110 Ironwood Parkway, Coeur d'Alene, Idaho. Contingent upon current health & safety protocols, the public may attend in person or remotely via the internet and/or telephone. Remote attendance is encouraged. To request remote access to this meeting, or to request accommodations for language or disability via the internet and/or telephone, contact Terry Harwood, Executive Director by Close of Business November 5th at terry.harwood@deq.idaho.gov or 208-783-2528. The meeting will include discussions and approval of changes to the BEIPC Policy and Procedures document, the CDA Basin 2022 Annual and 2022-2026 Five Year work plans, an update on CDA Lake Management activities, an update on community outreach activities concerning human health and environmental restoration in the Basin, approval of the March 2021 Meeting Minutes, an update on Restoration Partnership activities and an opportunity for public comment and input. The meeting draft agenda is posted at the BEIPC office, 1005 W. McKinley, Kellogg, ID and the meeting packet posted on the BEIPC Website @ www.basincommission.com. LEGAL 3996/ AD 492570 OCT 26, 2021

EAST SHOSHONE COUNTY WATER DISTRICT Public Hearing on Proposed 2021-2022 Budget A public hearing, pursuant to Idaho Code 50-1002, For consideration of the proposed budget for the Fiscal year that begins December 1, 2021 and ends November 30, 2022. The hearing will be held at the Water District Office, at 606 Cedar Street, Wallace Idaho on November 10, 2021 at 4:30 p.m. all interested Persons are invited to appear and show cause if any, Why said budget should or should not be adopted. Copies of the proposed budget are available at the District office during regular business hours. Anyone desiring accommodation for disabilities related to the budget documents or to the hearing, please contact the District Office at 752-1174 within 48 hours prior to the public hearing. The District's 2021-2022 proposed fiscal year budget is briefly Summarized as follows: EXPENSES PROPOSED LABOR $352,358 OPERATING $218,812 ADMIN & GENERAL $ 64,380 FINANCIAL $216,780 $852,330 REVENUES PROPOSED WATER $810.000 OTHER INCOME $ 3.600 TRANSFER OPERATING FUND $ 38,730 $852,330 SHO Legal 3988 Ad#492042 October 26, 2021 November 2, 2021

NOTICE OF PETITION AND HEARING IN THE DISTRICT COURT OF THE FIRST JUDICIAL DISTRICT OF THE STATE OF IDAHO, IN AND FOR THE COUNTY OF SHOSHONE IN THE MATTER OF THE ESTATE OF JOEY ARTHUR PETERSON, Deceased Case No. CV40-21-0556 PLEASE TAKE NOTICE that the State of Idaho, Department of Health and Welfare, will call up its Petition for Formal Probate and Formal Appointment in Intestacy for hearing and argument before the Honorable Barbara Duggan at the courtroom thereof in the City of Wallace, State of Idaho, on the 29th day of November, 2021 at the hour of 10:15 a.m. (Pacific), or soon thereafter as counsel may be heard. PLEASE NOTE pursuant to Idaho Supreme Court orders regarding COVID-19, this hearing will be conducted remotely via Zoom, hosted by the Court. Meeting ID: 951 9910 3702 Passcode: 255323 DATED this 20th day of October 2021. /s/ JEREMY C. YOUNGGREN Deputy Attorney General LEGAL 3997/ AD 492613 OCT 26, NOV 2, 9, 2021

REVENUES AND EXPENDITURES SUMMARY STATEMENT - ALL FUNDS 2020-2021 SCHOOL NAME / NUMBER: MULLAN #392 BUDGET ACTUAL REVENUES Local Revenue $ 710,234.00 $ 793,380.88 State Revenue 1,590,121.00 1,530,257.38 Federal Revenue 288,671.00 408,682.26 Other Revenue - - TOTAL REVENUES $ 2,589,026.00 $ 2,732,320.52 Transfers IN 259,865.00 195,924.66 TOTAL REVENUE & TRANSFERS $ 2,848,891.00 $ 2,928,245.18 EXPENDITURES Salaries $ 1,415,402.00 $ 1,476,180.67 Benefits 633,029.00 592,280.01 Purchased Services 420,438.00 229,902.55 Supplies & Materials 207,020.00 298,395.67 Capital Objects 29,502.00 37,979.00 Debt Retirement - - Insurance & Judgments 23,100.00 18,697.00 TOTAL EXPENDITURES $ 2,728,491.00 $ 2,653,434.90 Transfers OUT 259,865.00 195,924.66 TOTAL EXPENDITURES & TRANSFERS $ 2,988,356.00 $ 2,849,359.56 BEGINNING FUND BALANCE at July 1, 2020 $ 806,632.00 $ 1,170,465.14 Adjustments - - ADJUSTED BEGINNING FUND BALANCE at July 1, 2020 $ 806,632.00 $ 1,170,465.14 ENDING FUND BALANCE at June 30, 2021 $ 667,167.00 $ 1,249,350.76 The undersigned certify that this is a true and correct report of the financial condition of the Mullan School District. Mike Summerkamp Chairperson of the Board Cathy Anderson Clerk/Treasurer of the Board LEGAL 3993/AD 492235 OCT 26, 2021

REVENUES AND EXPENDITURES SUMMARY STATEMENT - ALL FUNDS 2020-2021 SCHOOL NAME / NUMBER: WALLACE SCHOOL DISTRICT NO. 393 BUDGET ACTUAL REVENUES Local Revenue $ 2,102,000.00 $ 2,249,170.00 State Revenue 3,624,707.00 3,624,148.00 Federal Revenue 775,187.00 1,416,405.00 Other Revenue - 508.00 TOTAL REVENUES $ 6,501,894.00 $ 7,290,231.00 Transfers IN 90,737.00 28,045.00 TOTAL REVENUES & TRANSFERS $ 6,592,631.00 $ 7,318,276.00 EXPENDITURES Total Instruction $ 3,864,639.00 $ 4,060,882.00 *Salary & Benefits 3,507,890.00 3,412,317.00 Total Support Services 2,697,969.00 2,179,730.00 *Salary & Benefits 1,728,596.00 1,691,672.00 Total Non-Instructional Services 230,000.00 343,031.00 *Salary & Benefits 109,676.00 97,512.00 Total Facility Acquisition - - Total Debt Services 259,794.00 262,283.00 TOTAL EXPENDITURES $ 7,052,402.00 $ 6,845,926.00 Transfers OUT 90,737.00 28,045.00 TOTAL EXPENDITURES & TRANSFERS $ 7,143,139.00 $ 6,873,971.00 BEGINNING FUND BALANCE at July 1, 2020 $ 3,816,353.00 $ 4,199,797.00 Adjustments - 264,406.00 ADJUSTED BEGINNING FUND BALANCE at July 1, 2020 $ 3,816,353.00 $ 4,464,203.00 ENDING FUND BALANCE at June 30, 2021 $ 3,265,845.00 $ 4,908,508.00 *This dollar amount is included in the total on the line above. The undersigned certify that this is a true and correct report of the financial condition of the Wallace School District No. 393. /s/Dave Rounds Chairperson of the Board /s/Beatrice Conley Clerk of the Board /s/Beatrice Conley Treasurer of the Board LEGAL 3994/ AD 492353 OCT 26, 2021

NOTICE OF HEARING NOTICE IS HEARBY GIVEN that a hearing will be held before the Wardner Planning and Zoning Commission on November 10th, 2021 at 6:00PM at City Hall, 649 Main Street, Wardner, Idaho, at which time interested persons shall have an opportunity to be heard regarding the application of LaLoni Estep for a Conditional Use Permit to allow property located at 839 S. Division Street, Wardner, Idaho to be operated as a Tourist Home. LEGAL 3995/AD 492446 OCT 26, 2021