Public notices for May 31, 2024
PUBLIC NOTICE
Download the latest water quality report for Water and Sewer District No. 2 in Bayou Vista at:
https://www.stmarynow.com/public-notices/2023-ccr-drinking-water-report-...
mmm
PUBLIC NOTICE
ORDINANCE
NO. 2368
Ordinance amending and re-enacting Ordinance No. 2351 adopting the 2024 Combined Budgets of Revenues and Expenditures for the Parish of St. Mary, State of Louisiana.
BE IT OR- DAINED, by the St. Mary Parish Council, that the following 2024 Combined Budgets of Revenues and Expenditures are hereby adopted and that all amounts appropriated for all accounts shall not exceed the amounts fixed therefor in the Budget of Expenditures; the Ad- ministration shall notify the Council within 30 days of a budget account fluctuation of five percent (5%) below revenues or five percent (5%) over in expenditures and the necessary budget amendments shall be made:
GENERAL FUND
FUND 001
Estimated be- ginning balance 1/1/24 $2,150,000
Anticipated Revenues:
3100. TAXES 3,692,000
3200. LICENSES & PERMITS 746,500
3300. INTERGOVERNMENTAL REVENUE 1,978,000
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 394,000
3600. USE OF MONEY & PROPERTY 363,000
3700. MISCELLANEOUS REVENUES 181,350
3800. OTHER FINANCING SOURCES 2,050,000
TOTAL ANTICIPATED REVENUES 9,404,850
TOTAL FUNDS AVAILABLE 11,554,850
Anticipated Ex- penditures:
4000. GENERAL GOVERNMENT 7,166,416
4100. PUBLIC SAFETY 619,118
4300. HEALTH & WELFARE 604,724
4500. CULTURE & RECREATION 799,524
4850. OTHER FINANCING USES 663,000
TOTAL ANTICIPATED EXPENDITURES 9,852,782
FUND BALANCE ENDING $1,702,068
WITNESS FEE FUND
FUND 020
Estimated be- ginning balance 1/1/24 $85,000
Anticipated Revenues:
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 50,000
TOTAL ANTICIPATED REVENUES 50,000
TOTAL FUNDS AVAILABLE 135,000
Anticipated Ex- penditures:
4000. GENERAL GOVERNMENT 54,500
TOTAL ANTICIPATED EXPENDITURES 54,500
FUND BALANCE ENDING $80,500
JUROR COMPENSATION FUND
FUND 030
Estimated be- ginning balance 1/1/24 $45,000
Anticipated Revenues:
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 50,000
TOTAL ANTICIPATED REVENUES 50,000
TOTAL FUNDS AVAILABLE 95,000
Anticipated Ex- penditures:
4000. GENERAL GOVERNMENT 40,000
TOTAL ANTICIPATED EXPENDITURES 40,000
FUND BALANCE ENDING $55,000
GAMING RECEIPT FUND
FUND 101
Estimated be- ginning balance 1/1/24 $20,000
Anticipated Revenues:
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 1,400,000
3600. USE OF MONEY & PROPERTY 300
TOTAL ANTICIPATED REVENUES 1,400,300
TOTAL FUNDS AVAILABLE 1,420,300
Anticipated Expenditures:
4000. GENERAL GOVERNMENT 1,710
4100. PUBLIC SAFETY 95,000
4850. OTHER FINANCING USES 1,295,000
TOTAL ANTICIPATED EXPENDITURES 1,391,710
FUND BALANCE ENDING $28,590
ROAD CONSTRUCTION & MAINTENANCE
FUND 102
Estimated be- ginning balance 1/1/24 $625,000
Anticipated Revenues:
3300. INTERGOVERNMENTAL REVENUE 5,612,780
3600. USE OF MONEY & PROPERTY 4,000
3700. MISCELLANEOUS REVENUE 50,000
3800. OTHER FINANCING SOURCES 450,000
TOTAL ANTICIPATED REVENUES 6,116,780
TOTAL FUNDS AVAILABLE 6,741,780
Anticipated Ex- penditures:
4200. PUBLIC WORKS 3,746,753
4850. OTHER FINANCING USES 2,670,000
TOTAL ANTICIPATED EXPENDITURES 6,416,753
FUND BALANCE ENDING $325,027
SANITATION FUND
FUND 108
Estimated be- ginning balance 1/1/24 $600,000
Anticipated Revenues:
3100. TAXES 2,850,000
3300. INTERGOVERNMENTAL REVENUE 104,680
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 2,061,000
3600. USE OF MONEY & PROPERTY 1,500
TOTAL ANTICIPATED REVENUES 5,017,180
TOTAL FUNDS AVAILABLE 5,617,180
Anticipated Ex- penditures:
4100. PUBLIC SAFETY 202,851
4200. PUBLIC WORKS 2,607,445
4300. HEALTH AND WELFARE 34,680
4850. OTHER FINANCING USES 2,296,895
TOTAL ANTICIPATED EXPENDITURES 5,141,871
FUND BALANCE ENDING $475,309
BOAT LANDING PERMIT FUND
FUND 111
Estimated be- ginning balance 1/1/24 $90,000
Anticipated Revenues:
3200. LICENSES & PERMITS 36,000
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 63,200
3600. USE OF MONEY & PROPERTY 200
TOTAL ANTICIPATED REVENUES 99,400
TOTAL FUNDS AVAILABLE 189,400
Anticipated Ex- penditures:
4500. CULTURE & RECREATION 88,500
TOTAL ANTICIPATED EXPENDITURES 88,500
FUND BALANCE ENDING $100,900
WARDS 5 & 8 SALES TAX
FUND 125
Estimated be- ginning balance 1/1/24 $870,221
Anticipated Revenues:
3100. TAXES 300,000
3600. USE OF MONEY & PROPERTY 1,700
TOTAL ANTICIPATED REVENUES 301,700
TOTAL FUNDS AVAILABLE 1,171,921
Anticipated Ex- penditures:
4000. GENERAL GOVERNMENT 4,300
4100. PUBLIC SAFETY 10,000
4200. PUBLIC WORKS 102,000
4500. CULTURE & RECREATION 286,000
4850. OTHER FINANCING USES 25,000
TOTAL ANTICIPATED EXPENDITURES 427,300
FUND BALANCE ENDING $744,621
WARDS 1,2,3,4,7, & 10 SALES TAX
FUND 129
Estimated be- ginning balance 1/1/24 $831,895
Anticipated Revenues:
3100. TAXES 440,000
3600. USE OF MONEY & PROPERTY 1,700
TOTAL ANTICIPATED REVENUES 441,700
TOTAL FUNDS AVAILABLE 1,273,595
Anticipated Ex- penditures:
4000. GENERAL GOVERNMENT 1,000
4100. PUBLIC SAFETY 50,523
4200. PUBLIC WORKS 362,000
4300. HEALTH AND WELFARE 25,500
4500. CULTURE & RECREATION 153,336
4850. OTHER FINANCING USES 25,000
TOTAL ANTICIPATED EXPENDITURES 617,359
FUND BALANCE ENDING $656,236
16TH JUDICIAL DISTRICT ST. MARY PARISH DRUG COURT
FUND 157
Estimated be- ginning balance 1/1/24 -0-
Anticipated Revenues:
3300. INTERGOVERNMENTAL REVENUE $240,000
TOTAL ANTICIPATED REVENUES 240,000
TOTAL FUNDS AVAILABLE 240,000
Anticipated Ex- penditures:
4300. HEALTH & WELFARE 240,000
TOTAL ANTICIPATED EXPENDITURES $240,000
FUND BALANCE ENDING -0-
16TH JUDICIAL DISTRICT ST. MARY PARISH DRUG COURT
FEE FUND – FUND 158
Estimated be- ginning balance 1/1/24 -0-
Anticipated Revenues:
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES $4,000
TOTAL ANTICIPATED REVENUES 4,000
TOTAL FUNDS AVAILABLE 4,000
Anticipated Ex- penditures:
4300. HEALTH & WELFARE 3,000
TOTAL ANTICIPATED EXPENDITURES 3,000
FUND BALANCE ENDING $1,000
DWI COURT – PATIENT FEE FUND
FUND 164
Estimated be- ginning balance 1/1/24 $7,445
Anticipated Revenues:
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES -0-
TOTAL ANTICIPATED REVENUES -0-
TOTAL FUNDS AVAILABLE 7,445
Anticipated Expenditures:
4300. HEALTH & WELFARE 1,500
TOTAL ANTICIPATED EXPENDITURES 1,500
FUND BALANCE ENDING $5,945
JAIL OPERATING AND MAINTENANCE
FUND 190
Estimated be- ginning balance 1/1/24 $2,000
Anticipated Revenues:
3100. TAXES 1,100,000
3300. INTERGOVERNMENTAL REVENUE 300,000
3400. FEES, CHARGES & COMMISSIONS FOR SERVICES 2,000
3600. USE OF MONEY & PROPERTY 500
3800. OTHER FINANCING SOURCES 845,000
TOTAL ANTICIPATED REVENUES: 2,247,500
TOTAL FUNDS AVAILABLE 2,249,500
Anticipated Ex- penditures:
4100. PUBLIC SAFETY 2,225,500
TOTAL ANTICIPATED EXPENDITURES 2,225,500
FUND BALANCE ENDING $24,000
SALES TAX BOND & INTEREST SINKING
FUND 224
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $328,542
Anticipated Revenues:
3100. TAXES 2,250,000
3300. INTERGOVERNMENTAL REVENUE 37,150
3600. USE OF MONEY & PROPERTY 8,000
TOTAL ANTICIPATED REVENUES: 2,295,150
TOTAL FUNDS AVAILABLE 2,623,692
Anticipated Ex- penditures
4750. DEBT SERVICE 737,711
4850. OTHER FINANCING USES 1,550,000
TOTAL ANTICIPATED EXPENDITURES 2,287,711
FUND BALANCE ENDING $335,981
SALES TAX BOND RESERVE FUND
FUND 225
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $128,604
Anticipated Revenues:
3600. USE OF MONEY & PROPERTY 100
TOTAL ANTICIPATED REVENUES: 100
TOTAL FUNDS AVAILABLE 128,704
Anticipated Ex- penditures:
TOTAL ANTICIPATED EXPENDITURES -0-
FUND BALANCE ENDING $128,704
3/4% SALES TAX BOND RESERVE
FUND 227
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $730,717
Anticipated Revenues:
3600. USE OF MONEY & PROPERTY 800
TOTAL ANTICIPATED REVENUES: 800
TOTAL FUNDS AVAILABLE 731,517
Anticipated Ex- penditures:
TOTAL ANTICIPATED EXPENDITURES -0-
FUND BALANCE ENDING $731,517
3/4% SALES TAX BOND SINKING
FUND 228
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $611,216
Anticipated Revenues:
3600. USE OF MONEY & PROPERTY 500
3800. OTHER FINANCING SOURCES 705,000
TOTAL ANTICIPATED REVENUES 705,500
TOTAL FUNDS AVAILABLE 1,316,716
Anticipated Ex- penditures:
4750. DEBT SERVICE 687,094
TOTAL ANTICIPATED EXPENDITURES 687,094
FUND BALANCE ENDING $629,622
SMP LIBRARY GENERAL OBLIGATION 1996 SINKING
FUND 229
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $120,089
Anticipated Revenues:
3100. TAXES 120,000
3600. USE OF MONEY & PROPERTY 150
TOTAL ANTICIPATED REVENUES 120,150
TOTAL FUNDS AVAILABLE 240,239
Anticipated Ex- penditures:
4750. DEBT SERVICE 189,700
TOTAL ANTICIPATED EXPENDITURES 189,700
FUND BALANCE ENDING $50,539
EXCESS REVENUE BOND SINKING FUND
FUND 234
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $159,718
Anticipated Revenues:
3600. USE OF MONEY & PROPERTY 500
3800. OTHER FINANCING SOURCES 1,502,000
TOTAL ANTICIPATED REVENUES 1,502,500
TOTAL FUNDS AVAILABLE 1,662,218
Anticipated Ex- penditures:
4750. DEBT SERVICE 1,500,316
TOTAL ANTICIPATED EXPENDITURES 1,500,316
FUND BALANCE ENDING $161,902
SOLID WASTE BOND RESERVE, 2004 FUND
FUND 236
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $1,148,225
Anticipated Revenues:
3600. USE OF MONEY & PROPERTY 500
TOTAL ANTICIPATED REVENUES 500
TOTAL FUNDS AVAILABLE 1,148,725
Anticipated Ex- penditures:
4850. OTHER FINANCING USES -0-
TOTAL ANTICIPATED EXPENDITURES -0-
FUND BALANCE ENDING $1,148,725
SOLID WASTE BOND SINKING 2004 FUND
FUND 237
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $1,757,686
Anticipated Revenues:
3600. USE OF MONEY AND PROPERTY 1,000
3800. OTHER FINANCING SOURCES 1,200,000
TOTAL ANTICIPATED REVENUES 1,201,000
TOTAL FUNDS AVAILABLE 2,958,686
Anticipated Ex- penditures:
4750. DEBT SERVICE 1,173,113
TOTAL ANTICIPATED EXPENDITURES 1,173,113
FUND BALANCE ENDING $1,785,573
SOLID WASTE DEPRECIATION & CONTINGENCY FUND
FUND 238
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $227,953
Anticipated Revenues:
3600. USE OF MONEY & PROPERTY 500
3800. OTHER FINANCING SOURCES 35,000
TOTAL ANTICIPATED REVENUES 35,500
TOTAL FUNDS AVAILABLE 263,453
Anticipated Ex- penditures:
TOTAL ANTICIPATED EXPENDITURES -0-
FUND BALANCE ENDING $263,453
SOLID WASTE POST-CLOSURE CARE FUND
FUND 239
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $5,817,297
Anticipated Revenues:
3600. USE OF MONEY & PROPERTY 5,000
3800. OTHER FINANCING SOURCES 325,000
TOTAL ANTICIPATED REVENUES 330,000
TOTAL FUNDS AVAILABLE 6,147,297
Anticipated Ex- penditures:
TOTAL ANTICIPATED EXPENDITURES -0-
FUND BALANCE ENDING $6,147,297
GOMESA DEBT SERVICE RESERVE FUND
FUND 240
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $525,000
Anticipated Revenues:
3600. USE OF MONEY AND PROPERTY 10,000
TOTAL ANTICIPATED REVENUES 10,000
TOTAL FUNDS AVAILABLE 535,000
Anticipated Ex- penditures:
4750. DEBT SERVICE -0-
TOTAL ANTICIPATED EXPENDITURES -0-
FUND BALANCE ENDING $535,000
GOMESA DEBT SERVICE FUND
FUND 241
DEBT SERVICE
Estimated be- ginning balance 1/1/24 $508,000
Anticipated Revenues:
3600. USE OF MONEY AND PROPERTY 1,100
3800. OTHER FINANCING SOURCES 804,380
TOTAL ANTICIPATED REVENUES 805,480
TOTAL FUNDS AVAILABLE 1,313,480
Anticipated Ex- penditures:
4750. DEBT SERVICE 804,380
TOTAL ANTICIPATED EXPENDITURES 804,380
FUND BALANCE ENDING $509,100
SMALL ANIMAL CONTROL
FUND 404
PROPRIETARY/ENTERPRISE
Estimated be- ginning balance 1/1/24 $15,000
Anticipated Revenues:
3200. LICENSES AND PERMITS 1,800
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 73,700
3700. MISCELLANEOUS REVENUES 10,000
3800. OTHER FINANCING SOURCES 303,000
TOTAL ANTICIPATED REVENUES 388,500
TOTAL FUNDS AVAILABLE 403,500
Anticipated Ex- penditures:
4000. GENERAL GOVERNMENT 379,672
TOTAL ANTICIPATED EXPENDITURES 379,672
FUND BALANCE ENDING $23,828
SOLID WASTE REDUCTION & RESOURCE FACILITY
FUND 406
PROPRIETARY/ENTERPRISE
Estimated be- ginning balance 1/1/24 $575,022
Anticipated Revenues:
3200. LICENSES & PERMITS 650
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 4,136,000
TOTAL ANTICIPATED REVENUES 4,136,650
TOTAL FUNDS AVAILABLE 4,711,672
Anticipated Ex- penditures:
4000. GENERAL GOVERNMENT 3,742,612
4850. OTHER FINANCING USES 660,000
TOTAL ANTICIPATED EXPENDITURES 4,402,612
FUND BALANCE ENDING $309,060
KEMPER
WILLIAMS PARK FUND
FUND 409
PROPRIETARY/ENTERPRISE
Estimated be- ginning balance 1/1/24 $1,850,000
Anticipated Revenues:
3400. FEES, CHARGES, & COMMISSIONS FOR SERVICES 233,750
3700. MISCELLANEOUS REVENUES 40,000
3800. OTHER FINANCING SOURCES 360,000
TOTAL ANTICIPATED REVENUES 633,750
TOTAL FUNDS AVAILABLE 2,483,750
Anticipated Ex- penditures:
4000. GENERAL GOVERNMENT 594,593
TOTAL ANTICIPATED EXPENDITURES 594,593
FUND BALANCE ENDING $1,889,157
This Ordinance shall become effective upon adoption.
This Ordinance having been offered and read on this the 10th day of April 2024; having been published in accordance with law; and having been heard in a public hearing held at Franklin, Louisiana on the 8th day of May 2024; was adopted by the following vote on the 8th day of May 2024.
AYES: Rodney Olander, David Hill, Patrick J. Hebert, James Davis, Jr., Mark A. Duhon, Dean
S. Adams, Dr. Kristi P. Rink, Gwendolyn L. Hi- dalgo, Rev. Craig Mathews, and J Ina.
NAYS: None.
ABSTAIN: None.
ABSENT: Leslie Rulf, Jr.
APPROVED:
s/g Gwendolyn L. Hidalgo
GWENDOLYN L. HIDALGO,
CHAIRPERSON
ST. MARY PARISH COUNCIL
ATTEST:
s/g Lisa C.
Morgan
LISA C.
MORGAN,
CLERK
ST. MARY PARISH COUNCIL
This Ordinance was submitted to the President on this the 14th day of May 2024, at the hour of 10:20 a.m.
APPROVED:
s/g Sam Jones
SAM JONES,
PRESIDENT
ST. MARY PARISH
This Ordinance was returned to the Clerk of the Council on this the 16th day of May 2024 at the hour of 2:55 p.m.
Adv. May 31, 2024
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PUBLIC NOTICE
Agenda
Children and Youth Planning Board
Conference Room, Courthouse Annex
Thursday, June 13, 2024, 12:15pm
•Roll Call
•Approval of Minutes of Last Meeting
•Old Business
•Detention Center Legislative Updates
•Vaping in Schools
•New Business
•Guest Presentation- Acadiana Area Human Service District, “Same Day Ac- cess to Mental Health Care”
•Updates from Major Systems
•Judiciary
•District Attorney’s Office/City Prosecutors
•School Systems
•Law Enforcement
•Department of Children and Family Services
•Agency Reports
•Office of Juvenile Justice
•Family Service Division
•School Programs - PEIP, TASC, FINS
•Juvenile As- sessment and Service Centers – Diversion Program, Alternatives to Detention Program, and Community FINS
•CASA
Adv. May 31, 2024
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LEGAL NOTICE
CITY OF
MORGAN CITY
DELINQUENT TAX LIST
CITY OF MORGAN CITY VS. DELINQUENT TAX DEBTORS
BY VIRTUE OF THE AUTH- ORITY VESTED IN ME BY THE CONSTITUTION AND THE LAWS OF THE STATE OF LOUISIANA, I WILL SELL, AT CIVICSOURCE.COM, WITHIN THE LEGAL HOURS FOR JUDICIAL SALES BEGINNING AT 8:00 O’CLOCK A.M. ON THE 4th DAY OF JUNE, 2024 AND CONTINUING UNTIL SAID SALES ARE COMPLETED, TAX SALE TITLE TO ALL IMMOVABLE PROPERTY ON WHICH TAXES ARE NOW DUE TO THE CITY OF MORGAN CITY, TO ENFORCE COLLECTION OF TAXES ASSESSED IN THE YEAR 2023, TOGETHER WITH INTEREST THEREON FROM FEBRUARY 1ST IN THE YEAR OF DE- LINQUENCY, AT THE RATE OF ONE PERCENT (1%) PER MONTH UNTIL PAID AND ALL COSTS. THE NAMES OF SAID DELINQUENT TAX DEBTORS, THE AMOUNT OF STATUTORY IMPOSITIONS DUE, INCLUDING ANY DUE FOR PRIOR YEARS, AND THE IMMOVABLE PROPERTY ASSESSED TO EACH TO BE OFFERED FOR SALE ARE AS FOLLOWS:
90295
ARAGORN DEVELOPMENT INC
1645 FRONT ST, MORGAN CITY, LA TOTAL DUE IS: $306.42 LOT POR BD WHITE - FRONT ST - SELF - RIVER ACQ 445 341859 LOT POR BD SELF - FRONT ST - SPANGLER - RIVER ACQ 445 341859 LOT TRACT ‘ABCDA’ PER PLAT 15Q 139519 ACQ 445 341859 IMPROVEMENTS
29795
BERRY PERCY 1/4 ET AL 3/4
313 BOWMAN ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $243.04 LOT 35 BOWMAN AND SMITH SUBD ACQ 9Z 99438
82886
BOUDREAUX GAGE
1217 S PRESCOTT DR, MORGAN CITY, LA 70380 TOTAL DUE IS: $234.96 LOT WEST 24.5 FT NO 27 CYPRESS GARDENS SUBD ACQ 371 330361
16605
BOUDREAUX GEORGIA COYLE
1108 MCDERMOTT DR, MORGAN CITY, LA TOTAL DUE IS: $507.80 LOT 12 LAKESIDE SUBD SQ 25 ACQ 150 299130
8906
BROUSSARD KENT
3201 JENNIE DR, MORGAN CITY, LA 70380 TOTAL DUE IS: $514.36 LOT 15 LAKESIDE SUBD SQ 22 ACQ 351 327243 IMPROVEMENTS
95817
CROUCH BARBARA BILLIOT GRAY
522 SIXTH ST, MORGAN CITY, LA TOTAL DUE IS: $563.15 LOT POR NO 2 COTTEN BROTHERS SUBD SITUATED IN SEC 6 T16S R12E ACQ 444 341669 IMPROVEMENTS LOT POR NO 2 COTTEN BROTHERS SUBD SITUATED IN SEC 11 T16S R12E ACQ 444 341669 IMPROVEMENTS
12020
DELAUNE LEO P
1222 FIG ST, MORGAN CITY, LA TOTAL DUE IS: $280.41 LOT 5 JOKA SUBD ADDN ACQ 102 292342
79408
DUGAS KEN P
1005 MYRTLE ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $603.74 LOT NORTH 30 FT NO 5 AUBURN SUBD BLK 8 ACQ 448 342492 LOT 6 AUBURN SUBD BLK 8 ACQ 448 342492 IMPROVEMENTS
1611
GALEY BILLY F JR
1430 VICTOR II BLVD, MORGAN CITY, LA 70380 TOTAL DUE IS: $1,726.64 LOT 24 COLONIAL ACRES SUBD SQ C ACQ 48 284190 IMPROVEMENTS LOT EAST 20 FT NO 26 COLONIAL ACRES SUBD SQ C ACQ 48 284190
6310
GALEY BILLY F JR
1124 FRONT ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $1,960.12 LOT BD CHAISSON & VIDOS - DALTON - DALTON -FRONT ST LESS R/W 25J 197383 25B 195484 ACQ 35V 240476
17165
GALEY BILLY F SR
1705 GARNER DR W, MORGAN CITY, LA 70380 TOTAL DUE IS: $521.27 LOT 72 CYPRESS GARDEN SUBD LESS SALE 22Y 184955 ACQ 28D 210176 LOT SOUTH 2 FT NO 71 CYPRESS GARDEN SUBD ACQ 28D 210176
11943
GALEY BILLY F SR
1118 FRONT ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $961.89 LOT BD ROBICHEAUX - DALTON - BROWNELL ST -FRONT STREET LESS R/W 25B 195484 ACQ 40G 257487 IMPROVEMENT ON THE LAND OF GALEY BILLY F SR ACQ 40G 257487 LOT EAST 65 FT NO 5 GATHRIGHT SUBD ACQ 40G 257487 LOT EAST 4O FT NO 3 HANSON ANNEX SQ 1 ACQ 40G 257487
10920
GALEY GLADYS W AND BILLY F SR
1023 MARSHALL ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $366.32 LOT 15 ELLIOTT SUBD SQ 27 ACQ 15K 137549
90974
GANAWAY HUEY P
313 GARBER ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $291.44 LOT 14 GARBER SUBD ACQ 414 336896 IMPROVEMENTS
27392
GORSHA JOHN R
1322 FRONT ST, MORGAN CITY, LA TOTAL DUE IS: $348.07 LOT 4 GATHRIGHT SUBD LESS R/W 25B 19548425H 196820 ACQ 35P 239720 IMPROVEMENT ON THE LAND OF GORSHA JOHN R ACQ 35P 239720
22743
HART JAIQUAN L
801 FLORENCE ST, MORGAN CITY, LA TOTAL DUE IS: $454.97 LOT SOUTH 36.5 FT NO 2 DITCH ANNEX SQ L BEING POR TRACT ‘ABGHA’ PER PLAT 36S 244333 ACQ 270 315574 LOT SOUTH 36.5 FT NO 1 DITCH ANNEX SQ L BEING POR TRACT ‘ABGHA’ PER PLAT 36S 244333 ACQ 270 315574 IMPROVEMENTS
7427
JOHNSON JESSE EST
417 GARBER ST, MORGAN CITY, LA TOTAL DUE IS: $5,240.84 LOT 13 WESTERLING TRACT ACQ 16I 144364 IMPROVEMENTS
93587
KRISTI PREJEANT LLC
1118 EIGHTH ST, MORGAN CITY, LA TOTAL DUE IS: $1,456.38 LOT 7 DITCH ANNEX SQ 126 ACQ 429 339246 LOT 6 DITCH ANNEX SQ 126 ACQ 429 339246 IMPROVEMENTS LOT 5 DITCH ANNEX SQ 126 ACQ 429 339246 LOT 4 DITCH ANNEX SQ 126 ACQ 429 339246 LOT TRACT A-B-C-D-E-F-A PER PLAT 15K 137722 BD LAKE PALOURDE RD - INGLEWOOD INVESTMENTS INC - INGLEWOOD INVESTMENTS INC - SQ 126 ACQ 429 339246
74897
MK MALL HOLDINGS LLC
1025 VICTOR II BLVD, MORGAN CITY, LA TOTAL DUE IS: $4,141.04 LOT BD C LOT HILDE ST - VICTOR II BLVD - BRASHEAR AVE -NINTH ST (LESS SALE TO GUARANTY BLDG CORP) LESS POR LEASED TO CANAL VILLERIE ACQ 326 323494 IMPROVEMENTS
89875
SAVANNAH HOMES LLC
2100 FEDERAL AVE, MORGAN CITY, LA 70380 TOTAL DUE IS: $467.32 LOT 31 WESTERLING TRACT ACQ 409 336209 IMPROVEMENTS LOT 30 WESTERLING TRACT ACQ 409 336209 IMPROVEMENTS
20851
SAVANT BRIAN KEITH
3216 SUSAN DR, MORGAN CITY, LA 70380 TOTAL DUE IS: $500.48 LOT 6 LAKESIDE SUBD SQ 18 ACQ 103 292454 IMPROVEMENTS
13906
STEPHENS JACOB ROBERT
606 AUCOIN ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $561.41 LOT WEST 76 FT NO 9 AUCOIN-WIGGINS SUBD SQ 4 ACQ 273 316034 IMPROVEMENTS
17303
TRAN JOHN
1012 BRASHEAR AVE, MORGAN CITY, LA TOTAL DUE IS: $439.38 LOT POR DITCH ANNEX SQ 48 BEING LOT 2 TRACT ‘BCPQB’ PER PLAT 145 298472 ACQ 146 298540
85582
WALKER SHERRICK D
918 FRANKLIN ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $503.94 LOT 18 ELLIOTT SUBD SQ 17 ACQ 386 332876
33835
WHITTINGTON KELLY FONTENOT
3124 LAKE PALOURDE DR, MORGAN CITY, LA TOTAL DUE IS: $555.29 LOT NORTH 5 FT NO 5 LAKESIDE SUBD SQ 13 ACQ 243 311763 LOT 6 LAKESIDE SUBD SQ 13 ACQ 243 311763
88394
WILLIAMS CHRISTINA
192 LOUISA ST, MORGAN CITY, LA 70380 TOTAL DUE IS: $488.37 LOT TRACT B-C-D-E-B PER PLAT 22F 180978 BD LOUISA ST - H HOLMAN - I BOURGEOIS - A BARRAS ACQ 403 335473
ON THE DAY OF SALE I WILL SELL A TAX SALE TITLE TO SUCH PORTIONS OF THE PROPERTY AS EACH TAX DEBTOR WILL POINT OUT AND, IN CASE THE DEBTOR WILL NOT POINT OUT SUFFICIENT PROPERTY, I WILL AT ONCE AND WITHOUT FURTHER DELAY SELL THE LEAST QUANTITY AS UNDIVIDED INTERESTS OF SAID PROPERTY OF ANY TAX DEBTOR WHICH ANY BIDDER WILL BUY FOR THE AMOUNT OF THE STATUTORY IMPOSITIONS FOR WHICH THE SALE IS MADE, TOGETHER WITH INTEREST, FEES AND COSTS DUE BY SAID TAX DEBTOR. THE SALE WILL BE WITHOUT APPRAISEMENT, FOR CASH OR OTHER PAYMENT METHODS ACCEPTABLE TO THE TAX COLLECTOR, IN LEGAL TENDER MONEY OF THE UNITED STATES, AND THE TAX SALE TITLE TO PROPERTY SOLD WILL BE REDEEMABLE AT ANY TIME DURING THE APPLICABLE REDEMPTIVE PERIOD BY PAYING THE PRICE GIVEN, INCLUDING COSTS AND FIVE PERCENT (5%) PENALTY THEREON, WITH INTEREST AT THE RATE OF ONE PERCENT (1%) PER MONTH UNTIL RE- DEEMED.
Adv. May 31, 2024
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LEGAL NOTICE
This Ordinance introduced with first reading on April 23, 2024. Published by title on May 1, 2024.
Pastor Bias offered the following Ordinance, who moved for its adoption.
ORDINANCE
NO. 24-06
AN ORDINANCE FIXING THE RATES OF TAX TO BE ASSESSED BY THE MUNICIPAL CORPORATION OF MORGAN CITY, LOUISIANA, FOR THE CALENDAR YEAR 2024.
BE IT ORDAIN-ED, by the City Council, the governing authority of the City of Morgan City, Louisiana, in regular session convened:
SECTION 1
That the tax roll of the City of Morgan City as prepared by the St. Mary Parish As- sessor, showing the assessed value of all property subject to taxation within the said City, on said roll, to amount to the sum of ONE HUNDRED THIRTY EIGHT MILLION, NINE HUNDRED EIGHTY-SIX THOUSAND, THREE HUNDRED TWENTY SIX and no/100 DOLLARS ($138,986,326.00) to be and the same is hereby ratified and approved by this body.
SECTION 2
That for the purpose of meeting the ordinary, municipal expenses of said City for the year 2024 there is hereby levied upon all property within said City, subject to taxation, an ad valorem tax of FIFTEEN AND EIGHTY-FIVE HUNDREDTHS (15.85) mills on the dollar, upon the assessed value of ONE HUNDRED THIRTY-EIGHT MILLION, NINE HUNDRED EIGHTY-SIX THOUSAND, THREE HUNDRED TWENTY-SIX and no/100 DOLLARS ($138,986,326.00).
SECTION 3
That for the purpose of paying the maintenance and other such expenses of the Municipal Auditorium for the year 2024, there is hereby levied a tax of ONE AND NINETY-SEVEN ONE HUNDREDTHS (1.97) mills on the dollar upon the assessed value of ONE HUNDRED THIRTY-EIGHT MILLION, NINE HUNDRED EIGHTY-SIX THOUSAND, THREE HUNDRED TWENTY-SIX and no/100 DOLLARS ($138,986,326.00).
SECTION 4
That the City Tax Collector of the City of Morgan City, Louisiana, be and he is hereby authorized, em- powered, and directed to make the collection of the taxes imposed for and on behalf of said City, according to law; that the taxes herein levied shall be a permanent lien and privilege on all of the property subject to taxation as herein set forth; and the collection hereof shall be enforceable in the manner provided by law.
SECTION 6
That all ordinances or parts of ordinances in conflict hereby be and the same are hereby repealed and this ordinance shall take effect upon its adoption, the public welfare so demanding.
Mrs. Leonard seconded the motion.
The vote thereon was as follows:
AYES: Bias, Leonard, Hymel, Tamporello
NAYS: None
ABSTAINED: None
ABSENT: Do- mangue
Certified ap- proved and adopted this 28th day of May, 2024.
Delivered to Mayor Dragna at 8:15 AM, this 29th day of May, 2024.
/s/ Debbie
Harrington
Debbie
Harrington,
Clerk
Approved this 29th day of May, 2029.
/s/ Lee Dragna
Lee Dragna,
Mayor
Received from Mayor Dragna at 8:30 AM on May 29, 2024.
/s/ Debbie
Harrington
Debbie
Harrington,
Clerk
Adv. May 31, 2024
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LEGAL NOTICE
This Ordinance introduced with first reading on April 23, 2024. Published by title on May 1, 2024.
Mr. Tamporello offered the following Ordinance, who moved for its adoption.
ORDINANCE
NO. 24-07
AN ORDINANCE FIXING THE RATES OF TAX TO BE AS- SESSED BY THE MUNICIPAL CORPORATION OF MORGAN CITY, LOUISIANA, FOR THE CALENDAR YEAR 2024.
BE IT ORDAIN-ED, by the City Council, the governing authority of the City of Morgan City, Louisiana, in regular session convened:
SECTION 1
That the tax roll of the City of Morgan City as prepared by the St. Mary Parish As- sessor, showing the assessed value of all property subject to taxation within the said City, on said roll, to amount to the sum of ONE HUNDRED THIRTY EIGHT MILLION, NINE HUNDRED EIGHTY-SIX THOUSAND, THREE HUNDRED TWENTY SIX and no/100 DOLLARS ($138,986,326.00) to be and the same is hereby ratified and approved by this body.
SECTION 2
That for the purpose of meeting the ordinary, municipal expenses of said City for the year 2024 there is hereby levied upon all property within said City, subject to taxation, an ad valorem tax of SIXTEEN AND SEVEN ONE HUNDREDTHS (16.07) mills on the dollar, upon the assessed value of ONE HUNDRED THIRTY-EIGHT MILLION, NINE HUNDRED EIGHTY-SIX THOUSAND, THREE HUNDRED TWENTY-SIX and no/100 DOLLARS ($138,986,326.00).
SECTION 3
That for the purpose of paying the maintenance and other such expenses of the Municipal Auditorium for the year 2024, there is hereby levied a tax of TWO (2.0) mills on the dollar upon the assessed value of ONE HUNDRED THIRTY-EIGHT MILLION, NINE HUNDRED EIGHTY-SIX THOUSAND, THREE HUNDRED TWENTY-SIX and no/100 DOLLARS ($138,986,326.00).
SECTION 4
That the City Tax Collector of the City of Morgan City, Louisiana, be and he is hereby authorized, em- powered, and directed to make the collection of the taxes imposed for and on behalf of said City, according to law; that the taxes herein levied shall be a permanent lien and privilege on all of the property subject to taxation as herein set forth; and the collection hereof shall be enforceable in the manner provided by law.
SECTION 6
That all ordinances or parts of ordinances in conflict hereby be and the same are hereby repealed and this ordinance shall take effect upon its adoption, the public welfare so demanding.
Mrs. Leonard seconded the mo- tion.
The vote thereon was as follows:
AYES: Tamporello, Leonard, Bias, Hymel
NAYS: None
ABSTAINED: None
ABSENT: Do- mangue
Certified ap- proved and adopted this 28th day of May, 2024.
Delivered to Mayor Dragna at 8:15 AM, this 29th day of May, 2024.
/s/ Debbie
Harrington
Debbie
Harrington,
Clerk
Approved this 29th day of May, 2024.
/s/ Lee Dragna
Lee Dragna,
Mayor
Received from Mayor Dragna at 8:30 AM on May 29, 2024.
/s/ Debbie
Harrington
Debbie
Harrington,
Clerk
Adv. May 31, 2024
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LEGAL NOTICE
Posted on door
CITY OF
PATTERSON
NOTICE OF PUBLIC
MEETING
JUNE 4, 2024
A Public Meeting will be held as follows:
DATE: June 4, 2024
TIME: 6:00 PM
PLACE OF MEETING: City Hall, Council Meeting Room, 1314 Main Street, Patterson, Louisiana 70392
AGENDA
************
1) MEETING CALLED TO ORDER BY THE MAYOR
2) INVOCATION
3) PLEDGE OF ALLEGIANCE
4) ROLL CALL
5) APPROVAL OF THE MAY 7, 2024 MINUTES.
6) PUBLIC COMMENT
7) GUEST
1) Recognition of Mr. Epfram Randle and E.B.P. Awards Benefit.
2) Tyler Jones – Until The End (UTE) Elite Basketball Team – can shake
8) UNFINISHED BUSINESS
9) NEW BUSINESS
1) Julie Daigle w/ LRWA: Discuss the results of the LRWA water and sewer rate study and take action on proposed rate increases.
2) Proclamation signing – Delta Sigma Theta
3) Resolution of Respect for Mrs. Cathy Grimm–Eaves
4) Resolution of Respect for Mr. Charles Sawyer
10) ANNOUNCEMENTS
11) ENGINEERS REPORT
12) LEGAL MATTERS
13) ADJOURN
ANY AND ALL BUSINESS TO COME BEFORE THE MAYOR AND COUNCIL WITH THEIR UNANIMOUS CONSENT, ADJOURN
Midge Bourgeois,
City Clerk
City of Patterson
1314 Main Street
Patterson, LA 70392
985-395-5205
In accordance with the Americans with Disabilities Act, if you need special assistance, please contact Midge Bourgeois at 985-395-5205 or email: midge.bourgeois@cityofpattersonla.gov describing the necessary assistance.
“City of Patterson is an Equal Opportunity
Provider and Employer”
Adv. May 31, 2024
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PUBLIC NOTICE
Final Notice and Public
Explanation of a Proposed Activity in a 100-Year/500-year Floodplain and/or
Wetland Area
Town of Berwick 2023 LCDBG Street Improvements Program
To: All interested Agencies, Groups and Individuals
This is to give notice that the Town of Berwick has conducted an evaluation as re- quired by Executive Order 11988 and/or 11990, in accordance with HUD regulations at 24 CFR 55.20 Subpart C Procedures for Making Determinations on Floodplain Management and Wetlands Protection. The proposed activity is funded by the Louisiana Office of Community Development under its small cities program. The Town of Berwick has been awarded a Community De- velopment Block Grant in the amount of $787,095 from the Louisiana Division of Administration. Grant funds will be used to address conditions of substandard streets in the Sixth Street area of the Town of Berwick. The portion of the street included in the project covers ap- proximately 1,695 linear feet. It is in place however; there is currently no roadway surfacing. Limestone is the existing surface. The improvements consist of scarifying and compacting roadbed to include lime and soil cement treatment, installation of asphaltic concrete levelling course and wearing course, installation of aggregate shoulder material, pavement striping, road signs, etc. The street will be reconstructed and will be retained in the same use without change in size or capacity. Coordinates of the center point of Sixth Street project area is approximately latitude 29.686157, longitude -91.224837 in the Town of Berwick, St Mary Parish, Louisiana.
The Town of Berwick has considered the following alternatives and mitigation measures to be taken to minimize adverse impacts and to restore and preserve natural and beneficial values: (i) The project involves the reconstruction of a street that is already in place and is located in or near the 100- year/500-year floodplain and/or wetland, (ii) It is not possible to relocate the project; it should be constructed without modification. This street is in place and will be retained in the same use without change in size or capacity, (iii) all available mitigation measures will be taken to minimize adverse im- pacts and to re- store and preserve natural and beneficial values. The Town of Berwick will comply with all state and local floodplain and/or wetland protection procedures during the implementation of this project.
The Town of Berwick has re- evaluated the al- ternatives to building in the floodplain and/or wetland and has determined that it has no practicable alternative. Environmental files that document compliance with steps 3 through 6 of Executive Order 11988 and/or 11990, are available for public inspection, review and copying upon request at the times and location delineated in the last paragraph of this notice for receipt of comments.
There are three primary purposes for this notice. First, people who may be affected by activities in a floodplains and/or wetland area and those who have an interest in the protection of the natural environment should be given an opportunity to ex- press their concerns and provide information about these areas. Second, an adequate public notice program can be an important public educational tool. The dissemination of information and request for public comment about a floodplains and/or wetland area can facilitate and en- hance Federal efforts to reduce the risks and impacts associated with the occupancy and modification of these special areas. Third, as a matter of fairness, when the Federal government determines it will participate in actions taking place in a floodplains and/or wetland area, it must inform those who may be put at greater or continued risk.
Written comments must be received by the Town of Berwick at the following address on or be- fore May 30, 2024: Town of Berwick, PO Box 486, Berwick, LA 70342 and (985)384-8858, Attention: Duval Arthur, Jr. Mayor. A full description of the project may also be reviewed from 8:00am to 4:00pm at 3225 Third Street, Berwick, LA 70342. Comments may also be submitted via email at nws@townofberwick.org.
Adv. May 31, 2024
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PUBLIC NOTICE
Public Notice
Early Notice and Public Review of a
Proposed
Activity in a 100-Year/500-Year Floodplain and/or Wetland
Town of
Berwick 2023 LCDBG Street Improvements Program
To: All interested Agencies, Groups and Individuals
This is to give notice that the Town of Berwick has determined that the following proposed action under the 2023 LCDBG Street Im- provements Program is located in or near the 100- year/500-year floodplain and/or wetland, and the Town of Berwick will be identifying and evaluating practicable alternatives to locating the action in the floodplain and/or wetland and the potential impacts on the floodplain and/or wetland from the proposed action, as required by Executive Order 11988 and/or 11990, in accordance with HUD regulations at 24 CFR 55.20 Subpart C Procedures for Making Determinations on Floodplain Management and Protection of Wetlands.
The Town of Berwick has been awarded a Community Development Block Grant in the amount of $787,095 from the Louisiana Division of Administration. Grant funds will be used to address conditions of substandard streets in the Sixth Street area of the Town of Berwick. The portion of the street included in the project covers ap- proximately 1,695 linear feet. It is in place however; there is currently no roadway surfacing. Limestone is the existing surface. The improvements consist of scarifying and compacting roadbed to include lime and soil cement treatment, installation of asphaltic concrete levelling course and wearing course, installation of aggregate shoulder material, pavement striping, road signs, etc. The street will be reconstructed and will be retained in the same use without change in size or capacity.
Coordinates of the center point of Sixth Street project area is approximately latitude 29.686157, longitude -91.224837 in the Town of Berwick, St Mary Parish, Louisiana. Maps of the project area are available for review at the Berwick Town Hall.
There are three primary purposes for this notice. First, people who may be affected by activities in a floodplain and/or wetland area and those who have an interest in the protection of the natural environment should be given an opportunity to ex- press their concerns and provide information about these areas. Commenters are en- couraged to offer alternative sites outside of the floodplain and/or wetland area, al- ternative methods to serve the same project purpose, and methods to minimize and mitigate impacts. Second, an adequate public notice program can be an important public educational tool. The dissemination of information and request for public comment about floodplain and/or wetland areas can facilitate and en- hance Federal efforts to reduce the risks and im- pacts associated with the occupancy and modification of these special areas. Third, as a matter of fairness, when the Federal government determines it will participate in actions taking place in floodplain and/or wetland area, it must in- form those who may be put at greater or continued risk.
Written comments must be received by the Town of Berwick at the following address on or before May 17, 2024: Town of Berwick, PO Box 486, Berwick, LA 70342 and (985)384-8858, Attention: Duval Arthur, Jr. Mayor. A full description of the project may also be reviewed from 8:00am to 4:00pm at 3225 Third Street, Berwick, LA 70342. Comments may also be submitted via email at nws@townofberwick.org.
Adv. May 31, 2024
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PUBLIC NOTICE
TOWN OF
BERWICK
PLANNING COMMISSION
PUBLIC HEARING NOTICE
Date: Wednesday, June 5, 2024
Time: 6:00 PM
Place: Council Meeting Room
Berwick Town Hall
AGENDA
Public Hearing(s);
Public Hearing for Minor Subdivision Application for development of 2 Single Family Residential lots on 1345 Old Spanish Trail for R-1 Single Family Dwellings. Applicant, Kory Landry; Engineering, Providence Engineering.
Persons requiring reasonable accommodation to attend the public hearing and meeting are requested to contact the Office of Director of Planning at (985) 384-8858 prior to the meeting to discuss their particular needs.
Adv. May 22, 29 and 31, 2024
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PUBLIC NOTICE
PUBLIC NOTICE
NOTICE IS HEREBY GIVEN that the Board of Adjustment for the Mayor & Councilmen of the City of Morgan City, Louisiana, will meet and hold a Public Hearing in the court room of the City Court Building on Highway 182 East, Morgan City, Louisiana, at 6:00 P.M. on TUESDAY, JUNE 4, 2024 to hear applications and/or objections to the following variances to the zoning ordinance.
1.) PHILIP NAQUIN, 42 MARQUIS MANOR, MORGAN CITY, LA 70380
PARCEL # 3194421137.00
ZONING DISTRICT “R-1B” RESIDENTIAL
REQUEST PERMISSION TO MAINTAIN THE 10’ (TEN FOOT) REAR SETBACK REQUIREMENT SET FORTH BY THE ORIGINAL MARQUIS MANOR SUBDIVISION PROTECTIVE LAND RESTRICTIONS (DATED JANUARY 4, 1974) RATHER THAN THE 20’ (TWENTY FOOT) SETBACK REQUIREMENT CITED IN SECTION 126-47 (SCHEDULE OF DISTRICT REGULATIONS) OF THE CODE OF ORDINANCES OF MORGAN CITY, LA.
NOTICE IS HEREBY FURTHER GIVEN THAT said Board of Adjustment for the Mayor & Councilmen of the City of Morgan City, Louisiana, at said time and place will hear any and all objections to the proposed application. After hearing and passing on such objections, if any there be, said Board of Adjustment for the Mayor & Councilmen of the City of Morgan City, Louisiana, will proceed if they so determine to act on the applications, all in accordance with law (LA R.S. 33:4727).
BOARD OF ADJUSTMENT FOR THE CITY OF MORGAN CITY
ATTEST:
ANDREW REED,
SECRETARY
KENDRA
THOMAS,
CHAIRMAN
Adv. May 31, 2024
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