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Legals for August, 20 2025

Coeur d'Alene Press | UPDATED 7 months, 3 weeks AGO
| August 20, 2025 12:00 AM

NOTICE OF HEARING Case No. CV28-25-5132 IN THE DISTRICT COURT OF THE FIRST JUDICIAL DISTRICT OF THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI In re the matter of:  MEE JUNG BEAUCHAMP Petitioner. A Petition to change the name of Mee Jung Beauchamp residing in the City of Harrison, State of Idaho, has been filed in the District Court in Kootenai County, Idaho. The name will change to Saori Kimberly Beauchamp. The reason for the change in name is because all her school, work, and government issued identifications depict the name that her adoptive parents gave her. Her green card and permanent resident ID contain her legal name. The petitioner’s driver’s license needs to be reissued but the state will not do so because her name is different on government issued ids and her green card.  A hearing on the Petition is scheduled for September, 2, 2025 @ 1:30 PM at the Kootenai County Courthouse. Objections may be filed by any person who can show the Court a good reason against the name change.  DATED: 7/17/2025 Jennifer Locke CLERK OF THE DISTRICT COURT /s/Lori A. Grilley Deputy Clerk Legal#14724 AD#39198 July 30, & Aug. 6, 13, 20, 2025 _________________________

NOTICE OF HEARING ON NAME CHANGE Case No. CV28-25-5216 IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI IN RE: Mackenzie Anne Williams, A petition to change the name of Mackenzie Anne Williams, 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 Mackenzie Anne Luna. The reason for the change in name is: recent marriage to husband Alec Luna.  A hearing on the petition is scheduled for 1:30 o’clock p.m. on September 2nd 2025 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: 7/25/2025 Jennifer Locke CLERK OF THE DISTRICT COURT /s/Natalie J Seese Deputy Clerk Legal#14765 AD#39468 August 6, 13, 20, 27, 2025 _________________________

HAYDEN LAKE SEWER DISTRICT NOTICE OF PUBLIC HEARING PROPOSED BUDGET FOR FISCAL YEAR 2025-2026 NOTICE IS HEREBY GIVEN that the Board of Directors for the Hayden Lake Sewer District will hold a public hearing for consideration of the proposed budget for the fiscal period December 1, 2025 to November 30, 2026, pursuant to the provisions of Section 50-1002, Idaho Code. Included in the public hearing will be a proposed sewer rate increase from $77.00 per month $80.00 per month for such operations, maintenance, and depreciation fees. The hearing will be held at the District office, 9393 N. Strahorn Rd., Hayden Lake, ID at 4:00 pm. on August 27, 2025. All interested persons are invited to appear and show cause if any, why said budget should not be adopted. A copy of this budget is available for review during regular office hours ( 9:00 am to 4:00 pm Monday through Thursday and 9:00 am to 12:00 noon on Friday). Those with disabilities must contact the Administrator at least 48 hours prior to the public hearing. FY 2023-2024 FY 2024-2025 FY 2025-2026 Actual Budgeted Proposed  GENERAL FUND Expenditures Expenditures Expenditures  Director Salaries & Benefits 24,000.00 29,500.00 29,500.00  Professional Fees 10,984.15 33,000.00 16,261.00  Administrative 3,261.45 9,261.00 5,000.00  Insurance/Misc. Expense 22,405.98 26,500.00 29,500.00  Total General Fund 60,651.58 98,261.00 80,261.00 OPERATIONS & MAINTENANCE  Plant Operations 873,355.38 960,000.00 1,037,131.00  Professional Fees 63,165.93 65,000.00 165,000.00  Administrative 49,207.68 53,081.00 54,000.00  Office/Operations  59,624.15 59,000.00 58,004.00  Utilites 48,239.62 67,000.00 68,500.00  Salaries & Benefits 381,352.17 443,269.00 462,350.00  Shared Costs 40,432.00 27,000.00 25,000.00  Supplies & Repairs & Maintenance 305,806.89 347,354.00 353,000.00  Reserve/Capital -   100,000.00 100,000.00  Total Operations & Maintenance 1,821,183.82 2,121,704.00 2,322,985.00  CAPITAL REPLACEMENT FUND  Supplies -   43,473.00 40,500.00  Repairs and Maintenance 184,811.24 115,000.00 155,000.00  Capital Replacement Fund -   228,792.00 230,000.00  CAPITAL REPLACEMENT FUND 184,811.24 387,265.00 425,500.00  LID 7  Professional Fees 36.00 -   -    Reserve -   -    Debt/Bond Costs 477,275.18 477,276.00 477,276.00  Total LID Funds 477,311.18 477,276.00 477,276.00  Grand Total All Expendatures 2,543,957.82 3,084,506.00 3,306,022.00 FY 2023-2024 FY 2024-2025 FY 2025-2026 Actual Proposed Proposed Revenues Revenues Revenues  GENERAL FUND  Property Tax 76,602.56 77,761.00 77,261.00  Sales Tax 0.08 -   -    Misc. Income 219.15 500.00 500.00  Interest Income 45,502.70 20,000.00 2,500.00  Total General Fund 122,324.49 98,261.00 80,261.00  OPERATIONS & MAINTENANCE  User Fees 1,955,179.31 2,029,104.00 2,150,400.00  Special Assessments - County 117,960.20 65,000.00 70,000.00  Permits/Other 163,750.87 27,600.00 64,540.00  Depreciation Reserve -    Total Operations & Maintenance 2,236,890.38 2,121,704.00 2,284,940.00  CAP FEES  Cap. Fees 33,456.80 13,015.00 38,045.00  Total Cap Fees  LID FUNDS  LID 6 Assessments 43,241.38 38,000.00 5,000.00  LID 6 Reserve 335,050.00 413,000.00  LID 6 Interest 17,248.24 1,200.00 7,500.00  LID 7 Assessments 359,569.81 420,000.00 250,000.00  LID7 Reserve Income 54,776.00 219,276.00  LID 7 Interest 22,952.74 2,500.00 8,000.00  Total LID Funds 443,012.17 851,526.00 902,776.00  Grand Total All Revenues 2,835,683.84 3,084,506.00 3,306,022.00 The proposed expenditures and revenues for fiscal year 2025-2026 have been tentatively approved by the Board of the Hayden Lake Sewer District and entered in detail in the the journal of proceedings.  Tina West, District Administrator Legal#14732 AD#39266 July 30, & August 6, 2025

NOTICE OF   HALL CALL HEARING  Case No.: CV28-25-4852  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  WILLIAM EHLERS  DECEASED.  PLEASE TAKE NOTICE that a hearing in the above-entitled matter for a Petition for Summary Administration of Estate, is scheduled for a HALL CALL HEARING, at the Kootenai County Courthouse, on the 11th day of September 2025 at 1:30 p.m. Pacific Time.   DATED this 28th day of July 2025.  POST FALLS ESTATE PLANNING  By:/s/Kurt Schwab | ISBN: 9210  P.O. Box 1310  Rathdrum, Idaho 83858  Ph. 208.508.1930   [email protected]  For Service: [email protected]  Attorney for Maxine Ehlers.  Legal#14773 AD#39545 August 6, 13, 20, 2025 _________________________

GREENFERRY WATER AND SEWER DISTRICT PRELIMINARY BUDGET FY 2025-26 Budget: The Greenferry Water and Sewer District Board will consider the FY2026 budget on August 25, 2025 at 4:00 pm at the District Office, 9191 Michael Way, Coeur d’Alene, Idaho. The fiscal year begins on December 1, 2025 and ends on November 30, 2026. The public is encouraged to attend and comment on the preliminary budget at that time. PRELIMINARY ACTUAL ACTUAL BUDGET BUDGET 2022-23 2023-24 2024-25 2025-26 Income: Beginning Balance $0 $0 Property Tax -   403,480 400,000 400,000 Member Income 181,039 180,423 185,000 182,000 Member - Cap Reserve Fees 108,600 116,044 126,000 126,000 Grant Income 100,000 100,000 Miscellaneous: Other 1,800 23,528 Member Income - Hookups 16,080 45,900 45,900 Interest 7,860 3,319 10,000 10,000 Total Income $315,379 $726,794 $866,900 $863,900 Expenditures: Accounting/Billing Costs 53,723 29,061 $37,000 $37,000 Management Contract 39,499 39,000 39,000 Banking 68 27 90 90 Directors 9,900 12,450 12,000 18,000 Engineering 7,140 6,503 5,000 6,000 Insurance 7,550 9,241 6,800 9,200 Water Operator Cost 40,380 43,958 43,000 44,000 Debt Service Interest($1.8 mil 20 years) 87,779 44,336 116,054 116,054 Miscelleanous: Testing 990 4,490 2,200 2,200 Miscellaneous: Other 2,053 1,106 1,000 Maintenance, Construction, Repair 46,095 22,928 80,000 80,000 Capital Replacement 470,000 447,856 Office Expense 7,394 7,384 7,500 7,350 Professional: Audit 6,900 6,900 6,900 6,900 Professional: Legal 596 372 2,000 5,000  Utilities - Electricity 39,336 42,121 36,000 42,000 Utilities - Other 250 250 Utilities - Telephone 1,712 1,888 2,000 2,000 Total Expenditures $311,616 $271,158 $866,900 $863,900 Surplus $3,763 $455,636 $0 $0  Monthly Rate (up to 25,000 gals) $35.00 $35.00 $35.00 $35.00  Capital Reserve/Debt Service Fee $15.00 $15.00 $25.00 $25.00  25,000 - 50,000 gals (June - Sept) $0.75/1K $0.75/1K $0.75/1K $0.75/1K  50,000 - 100,000 gallons $1.30/1K $1.30/1K $1.30/1K $1.30/1K Over 100,000 gallons $2.00/1K $2.00/1K $2.00/1K $2.00/1K Hydrant Rental ($100, $1,500 Deposit) $3.00/K $3.00/K $3.00/K $3.00/K Trip Charge (during office hours) $25 $25 $100 $100  Trip Charge (during off hours) $100 $100 $125 $125  Capitalization Fee (New Hookups) $9,200 $9,200 $15,300 $15,300  John F. Austin, Manager Legal#14793 AD#39663 August 20, 2025

Coeur d’Alene Trust Call for Contractor Qualifications: The Coeur d’Alene Trust (Trust) was established to coordinate the investigation, design, and implementation of remedies for environmental impacts associated with former mines, mills, and tailings piles in the Coeur d’Alene River Basin. The Trust is soliciting qualifications from construction contractors to perform the Flynn Mine and Black Bear Fraction Remedial Action Construction Project in the Canyon Creek Basin within the Upper Basin of the Bunker Hill Mining and Metallurgical Complex Superfund Site. The type of work includes items such as excavating and hauling mine waste materials, regrading and consolidating mine waste, adit diversion, forming and placing concrete, pre-cast concrete installation, liner installation, storm water construction, coordinating with utility companies, working in steep terrain, completing revegetation, etc. Work is currently scheduled to begin in 2026. The Request for Qualification will be available online beginning at 8:00 a.m. (Pacific Time) on Monday August 11, 2025. Responses are due by Wednesday September 17, 2025, at 12:00 noon (Pacific Time). For further information, please visit the Coeur d’Alene Trust website (www.civcastusa.com - Flynn Mine and Black Bear Fraction Remedial Action Construction Project RFQ  SHO-CDA#14816 AD#39756 August 12, 13, 14, 15, 16, 19, 20, 21, 22, 23, 2025 _________________________

NOTICE OF HEARING ON NAME CHANGE (Minor) Case No. CV28-25-5695 IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI IN RE: Sayla Paige Cherrstrom, A petition to change the name of Sayla Paige Cherrstrom, a minor, 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 Sayla Paige Cabe. The reason for the change in name is: Mother and father are now married.  A hearing on the petition is scheduled for 1:30 o’clock p.m. on 9/22/2025 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 8, 2025 Jennifer Locke CLERK OF THE DISTRICT COURT /s/Mary Seevers Deputy Clerk Legal#14818 AD#39759 Aug. 13, 20, 27, & Sept. 3, 2025 _________________________

ORDER FOR SERVICE OF PROCESS BY PUBLICATION IN A NEWSPAPER STATE OF NEW MEXICO COUNTY OF BERNALILLO SECOND JUDICIAL DISTRICT In the Matter of J.M., M.M., M.M., M.M. Petitioner has filed a Motion requesting that the Court approve service of process upon Katrina York by publication in a newspaper of general circulation. The Court finds that the Petitioner has made diligent efforts to make personal service but has not been able to complete service of process. The last known address of Katrina York is 702 N Compton Apt 11 Post Falls, ID 83854. The Court further finds that the newspaper of general circulation in this county is Kootenai County News Paper and that this newspaper is most likely to give Respondent notice of pendency if the action. THEREFORE, IT IS HEREBY ORDERED that the Petition serve process on Katrina York by publication once a week for three consecutive weeks in the Kootenai County Newspaper and once a week for three consecutive weeks in Kootenai County Newspaper in Kootenai County. The Petitioner shall file proof of service with a copy of the Affidavit of Publication when service has been completed. Dated this 1st day of August 2025 /s/District Judge DC 8/1/25 Legal#14819 AD#39762 Aug. 13, 20, 27, 2025 _________________________

NOTICE OF PUBLIC HEARING    On the 27th day of August 2025, at 4:00 o’clock p.m. at the Hayden Lake Sewer District office, 9393 N. Strahorn Road, Hayden Lake, Idaho 83835, a hearing will be held by the Board of Directors of the Hayden Lake Sewer District for the purpose of hearing public comments to consider the Proposed Resolution No. 2025-2 increasing Sewer Capitalization Fees and to explain the reasons for such action. A summary of the proposed increase pertaining to the capitalization fee rates for Residential Units (RU’s) as outlined in the Proposed Resolution is as follows: The current fee is $12,515.00/RU, and the suggested new fee $14,333.00/RU. The full text of the Proposed Resolution is available at the office, at the address listed above, and will be provided to any citizen upon personal request during normal office hours. No later than 3:00 o’clock p.m. on the date of the hearing, any person may file with the Administrator of the Hayden Lake Sewer District, 9393 N. Strahorn Road, Hayden Lake, Idaho 83835, written testimony for inclusion in the record at the hearing. Such testimony must contain the interested party’s name and address, a general description of the property owned by him/her, and the reasons for the testimony. Oral testimony will also be allowed at the public hearing so long as it complies with the requirements of the Hayden Lake Sewer District codes. Accommodations are also available for persons with disabilities upon request. Please contact the main office at 208-772-4379 at least 48 business hours prior to the meeting to make arrangements. Further information regarding this hearing may be obtained by contacting the Administrator at the address listed above.    /s/Tina West  Administrator  Legal#14820 AD#39819 August 13, 20, 2025 _________________________

NOTICE OF PUBLIC HEARING ON FISCAL YEAR 2025-2026 BUDGET FOR THE CITY OF COEUR D’ ALENE, IDAHO    A public hearing pursuant to Idaho Code 50-1002 will be held for consideration of the proposed budget for the fiscal year from October 1, 2025 to September 31, 2026 and a public hearing pursuant to Idaho Code 63-802(1)(f) will be held. The hearings will be held at the Library Community Room, Coeur d’ Alene, Idaho at 6:00 p.m. on September 2, 2025.     All interested persons are invited to appear and show cause, if any, why such budget should or should not be adopted. Copies of the proposed City budget in detail are available at City Hall during regular office hours (8:00 a.m. to 5:00 p.m. Monday through Friday) or online at: http://cdaid.org/budget . City Hall is accessible to persons with disabilities. Anyone desiring accommodations for disabilities must contact the City Clerk at least 72 hours prior to the public hearing.     The following is an Estimate of Expenditures and Anticipated Revenue of the City of Coeur d’ Alene for the fiscal year beginning October 1, 2025 including the two previous fiscal years:  GENERAL FUND EXPENDITURES: FY2023-24  FY2024-25  FY2025-26 ACTUAL BUDGET PROPOSED   Mayor and Council $273,374 $288,967 $290,693  Administration           243,146           252,276           259,678   Finance Department         1,596,374        1,774,867        1,913,676   Municipal Services         2,682,313        2,890,358        3,073,760   Human Resources           452,843           487,244           548,119   Legal Department        1,443,224        1,398,512        1,447,251   Planning Department            816,908           820,717           814,379   Building Maintenance           797,194           764,779           928,991   Police Department        22,410,485      25,790,291      21,465,567   Police Department Grants           198,227           247,275           567,456   Drug Task Force             3,550               -                -    Fire Department        13,668,200      14,490,604      15,043,792   General Government           670,399             38,800             70,810   Streets/Garage         9,159,631        6,679,213        7,265,993   Parks Department         2,852,593        3,035,131        3,258,893   Recreation Department           781,654           785,636           838,840   Building Inspection         1,040,123        1,088,306        1,180,047   TOTAL GENERAL FUND EXPENDITURES: 59,090,238      60,832,976      58,967,945     SPECIAL REVENUE FUND EXPENDITURES: FY 2023-24  FY 2024-25  FY 2025-26   ACTUAL BUDGET PROPOSED Library Fund         2,002,222        2,109,366        2,140,076   2025 Fire Bond                -                -       16,336,161   Community Development Block Grant          306,142           359,060           342,971   Impact Fee Fund           164,483        1,093,000               -    Parks Capital Improvements           673,960           751,100           781,100   Annexation Fee Fund           520,000           580,000           580,000   Cemetery Fund           361,313           358,098           366,420   Cemetery Perpetual Care Fund             4,639             19,500             19,700   Jewett House           198,110             31,120             33,115   Reforestation/Street Trees/Community Canopy 58,385           134,500           137,000   Public Art Funds            68,496           244,500           201,000   TOTAL SPECIAL FUNDS:                         4,357,752        5,680,243      20,937,543     ENTERPRISE FUND EXPENDITURES: Street Lighting Fund           794,409           801,000           883,820   Water Fund        11,599,008      13,187,728      16,451,232   Wastewater Fund        24,866,878      29,661,316      28,835,381   Water Cap Fee Fund            687,661        2,260,000        3,220,000   WWTP Cap Fees Fund          2,307,673        7,143,549        5,350,000   Sanitation Fund         5,465,978        5,469,062        5,625,198   City Parking Fund         1,818,901        1,788,091        1,834,020   Drainage         2,463,466        2,074,668        2,251,951   TOTAL ENTERPRISE EXPENDITURES:      50,003,973      62,385,414      64,451,602     FIDUCIARY FUNDS:         3,578,061       3,737,200        3,611,200   STREET CAPITAL PROJECTS FUNDS: 1,712,577        5,866,000        2,440,000   DEBT SERVICE FUNDS:           876,307           877,308        2,150,000   GRAND TOTAL OF ALL EXPENDITURES:   119,618,908    139,379,141    152,558,290       ESTIMATED REVENUES: FY 2023-24  FY 2024-25  FY 2025-26   ACTUAL BUDGET PROPOSED Property Taxes: General Levy        24,823,943      25,473,157      27,007,087   Library Levy         1,815,379        1,994,434        2,054,267   Fireman’s Retirement Fund Levy           250,000         250,000           250,000   Policemen’s Retirement Fund Levy            145,632         146,000           146,000   2025 G.O. Bond Levy           874,561           877,308        2,150,000   TOTAL REVENUE FROM PROPERTY TAXES: 27,909,516      28,740,899      31,607,354     ESTIMATED OTHER REVENUES: FY 2023-24  FY 2024-25  FY 2025-26     ACTUAL BUDGET PROPOSED Interfund Transfers         4,653,177       14,608,476     12,808,025   Beginning Balance        84,062,787      28,216,291      43,711,508   Other Revenue: General Fund        35,081,358      26,559,336      25,509,175   Library Fund            84,691             24,650             51,650   Community Development Block Grant           306,142           359,060           342,971   Parks Capital Improvement Fund           703,764           348,000           285,000   Cemetery           280,907           260,098           261,936   Annexation Fee Fund            33,194               -                -    Impact Fee Fund         1,178,834           875,000           965,000   Cemetery Perpetual Care Fund            78,184             25,000             12,500   Jewett House           141,313             60,000             60,000   Street Trees / Reforestation            57,110             54,500             57,000   Public Art Funds           118,425             87,500             21,000   Street Lighting Fund           722,001           766,000           763,500   Water Fund         8,435,547        7,799,852        8,433,309   Wastewater Fund        17,639,823      16,475,000      17,159,691   Water Capitalization Fees         1,269,412           900,000           700,000   WWTP Capitalization Fees         3,302,115        1,350,000        1,225,000   Sanitation Fund         4,984,433        4,969,062        5,181,550   City Parking Fund         1,237,537        1,084,000        1,068,500   Drainage         2,059,068        1,129,018        1,128,235   Fiduciary Funds         3,560,017        3,424,000        3,518,500   Capital Projects Fund         4,649,278        4,826,000           100,000   Debt Service Fund            23,675               -                -    TOTAL REVENUE OTHER THAN PROPERTY TAXES: 174,662,792    114,200,843    123,364,050     SUMMARY: FY 2023-24  FY 2024-25  FY 2025-26   ACTUAL BUDGET PROPOSED PROPERTY TAXES        27,909,516     28,740,899      31,607,354   OTHER THAN PROPERTY TAXES       174,662,792    114,200,843    123,364,050   TOTAL ESTIMATED REVENUES $202,572,308 $142,941,742 $154,971,404  BE IT FURTHER RESOLVED, that a Public Hearing on the Budget be held on the 2nd day September, 2025 at the hour of 6:00 o’clock p.m. on said day, at which time any interested person may appear and show cause, if any he has, why the proposed Budget should or should not be adopted.   Legal#14822 AD#39822 August 13, 20, 2025

CITY OF DALTON GARDENS, IDAHO NOTICE OF PUBLIC HEARINGS PROPOSED BUDGET FOR FISCAL YEAR 2025-2026 INTENT TO TAKE FORGONE FOR FISCAL YEAR 2025-2026 Notice is hereby given that the City Council of the City of Dalton Gardens, Kootenai County, Idaho, will hold public hearings for consideration of the proposed budget for the fiscal period October 1, 2025 to September 30, 2026, pursuant to the provisions of Section 50-1002, Idaho Code and for the intent to take forgone monies for the same fiscal period. The hearings will be held at City Hall, 6360 N. 4th Street, Dalton Gardens, Idaho, at 6:00 PM on Wednesday, August 27, 2025. All interested people are invited to appear and show cause, if any they have, why such proposed budget and forgone should or should not be adopted. Copies of the proposed budget detail are available on the City’s Website www.daltongardens.com or at City Hall during regular office hours (7:00-5:00 Mon-Thurs). Assistance for persons with disabilities will be provided upon 48-hour notice prior to the public hearing. The City Council intends to take the forgoe balance of $5.00 pursuant to section 63-802, Idaho code for the purpose of Maintenance & Operations. REVENUES FY 2024 FY 2025 FY 2026 actual revenues budget revenues proposed revenues  GENERAL FUND:    Community Development 120,597.06 107,110.00 86,250.00    Franchise Fees 59,556.29 44,600.00 58,550.00    Property Tax Levy 192,571.88 196,159.00 197,917.00    State Rev. Sharing 523,734.52 380,129.00 375,320.00    Other Income 189,661.97 138,602.00 44,250.00 STREET & LID FUND:    Highway Funds 157,042.87 207,256.00 241,914.00  LID Assessments 58,137.49 54,569.00 48,910.00  OTHER REVENUE    ARPA Funds Carryover 0.00 0.00 144,798.00   FY Carryover Fund Draw 0.00 536,599.00 0.00  TOTAL REVENUE 1,301,302.08 1,665,024.00 1,197,909.00 EXPENDITURES FY 2024 FY 2025 FY 2026 actual expenditure budget expenditure proposed expenditure  GENERAL FUND:    General & Admin. 333,725.29 462,842.00 555,246.00    Law Enforcement 143,263.22 170,940.00 141,740.00    Parks 44,111.95 95,300.00 51,500.00    Community Development 88,517.00 127,737.00 93,143.00  STREET & LID FUND:    Street Fund 275,280.75 434,710.00 199,982.00    LID Phase 1 & 2 10,289.61 11,802.00 11,500.00  OTHER FUNDS     ARPA Projects 94,030.00 361,693.00 144,798.00  TOTAL EXPENSES: 989,217.82 1,665,024.00 1,197,909.00 The proposed expenditures and revenues for the fiscal year 2025-2026 have been tentatively approved by the City Council. Publication dates for the notice of the public hearing are August 13 & August 20, 2025 in the Coeur d’ Alene Press. /s/Stephanie Mueller, Treasurer Legal#14823 AD#39825 August 13, 20, 2025

NOTICE OF SALE OF VESSEL UNDER LIEN Notice is hereby given that Under Cover Boat and RV, 860 S Spokane St, Post Falls, ID 83854, claims a lien under Idaho Code §45-805 for unpaid storage charges on the following vessel: • Year/Make/Model: 1990 Bayliner PIGPR • HIN/Reg #: BLBA27EJB090/ WN$21059 • Length/Description: 37’ Bayliner, Shrink wrapped since 2017, outside storage, no trailer. Amount due: $8,655 plus costs. Said vessel will be sold at public auction to the highest bidder for cash on Sept 1st 5:00 Pm, at 860 S Spokane St, Post Falls, ID, 83854, to satisfy the lien. Dated: 08/18, 2025 Legal#14876 AD#40129 August 20, 27, 2025 _________________________

NOTICE OF CITY ELECTION  CITY OF COEUR D’ALENE    NOTICE IS HEREBY GIVEN that the General City Election for the City of Coeur d’Alene, Idaho, will be held on Tuesday, November 4, 2025. The Polls will be open from 8:00 a.m. until 8:00 p.m. The election is held for the purpose of electing one Mayor and three (3) Council members to four-year terms. Candidates for a city elected office are required to file a “Declaration of Candidacy” with the City Clerk accompanied by a nonrefundable filing fee of $40 or a “Petition of Candidacy” signed by a least five qualified city electors, verified by the County Clerk. The first date to file declarations of candidacy is August 18, 2025 and the last date, is Friday August 29, 2025, at 5:00 p.m. Declarations of Candidacy and Declaration of Intent to be a write-in candidate forms are available at www.cdaid.org/elections or in the Office of the City Clerk at City Hall 710 E. Mullan Avenue, Coeur d’Alene, Idaho from the hours 8:00 a.m. until 5:00 p.m., Monday through Friday.   Renata McLeod, City Clerk  Legal#14878 AD#40149 August 20, 2025 _________________________

NOTICE OF TRUSTEE’S SALE T.S. No. 137683-ID Parcel No.: C2565015013B On 12/16/2025 at 10:00 AM (recognized local time), at the VETERANS MEMORIAL PLAZA NORTH ENTRANCE ADMIN BUILDING 451 N GOVERNMENT WAY, COEUR D’ALENE, ID 83815, in the County of Kootenai, SYDNEY K. LEAVITT, ESQ., a member of the State Bar of Idaho, of ALDRIDGE PITE, LLP as trustee, will sell at public auction, to the highest bidder, for cash, in lawful money of the United States, all payable at the time of sale, the following described real property, situated in the County of Kootenai, State of Idaho, and described as follows, to wit: THE SOUTH 62 FEET OF THE WEST 100 FEET OF LOT 13, BLOCK 15, EAST LACROSSE ADDITION, ACCORDING TO THE PLAT RECORDED IN BOOK “B” OF PLATS, PAGE 119, RECORDS OF KOOTENAI COUNTY, IDAHO. The Trustee has no knowledge of a more particular description of the above referenced real property, but for purposes of compliance with Idaho Code Section 60-113, the Trustee has been informed that the address of: 1113 W DAVIDSON AVE, COEUR DALENE, ID 83814, is commonly associated with said real property. Said sale will be made without covenant or warranty, express or implied, regarding title, possession or encumbrances to satisfy the obligation secured by and pursuant to the power of sale conferred in the Deed of Trust executed by RONALD AYERS, AN UNMARRIED MAN, as Grantor(s), to ALLIANCE TITLE & ESCROW CORPORATION, as Trustee, for the benefit and security of CHASE BANK USA, N.A., as Beneficiary, dated 1/19/2006, recorded 1/25/2006, as Instrument No. 2009799, official records of Kootenai County, Idaho. Please note: The above named Grantors are named to comply with Idaho Code Section 45-1506(4)(a); no representation is made that they are, or are not, presently responsible for the obligation. The default for which this sale is to be made is the failure to make monthly payments when due from 2/14/2025 and all subsequent monthly payments thereafter, including installments of principal, interest, impounds, advances, plus any charges lawfully due under the note secured by the aforementioned Deed of Trust, Deed of Trust and as allowed under Idaho Law. The sum owing on the obligation secured by said Deed of Trust as of 8/6/2025 is $37,694.08 including interest, costs, fees, including trustee and/or attorney fees and costs, and expenses actually incurred in enforcing the obligation thereunder or in this sale and to protect the security associated with the Deed of Trust, as authorized in the Note, Deed of Trust or as allowed under Idaho Law. Because interest, late charges, fees, costs and expenses continue to accrue, the total amount due varies from day to day. Hence, if you pay the amount shown above, an adjustment may be necessary after receipt of funds to satisfy the debt. For further information, write the Trustee at 4375 Jutland Drive, Ste. 200, San Diego, CA 92117, or call (866)931-0036 DATED: 8/6/2025 Signature/By: SYDNEY K. LEAVITT, ESQ., a member of the State Bar of Idaho, of ALDRIDGE PITE, LLP  Legal#14879 AD#40150 Aug. 20, 27, & Sept. 3, 10, 2025 _________________________

NOTICE OF PUBLIC HEARING  PROPOSED BUDGET FOR FISCAL YEAR 2025-2026  KOOTENAI COUNTY WATER DISTRICT No. 1    Notice is hereby given that Kootenai County Water District No. 1 (KCWD#1), Kootenai County, Idaho, will hold a public hearing for the consideration of the proposed budget for the fiscal period December 1, 2025 to November 30, 2026 pursuant to the applicable section(s) of Idaho Code. The hearing will be held at the Eastside Highway District Building, 6095 Mullan Trail Rd., Coeur d’Alene, ID at 6:00 P.M. on Wednesday, August 27, 2025. All interested resident patrons and tax payers are invited to appear and show cause, if any, why such budget should or should not be adopted.  Period ended Period ended Period ended 11/30/2026  11/30/2025 11/30/2024 Proposed Budget Budget Actual Operating Revenue User fees and charges 183,951 165,806 175,658  Annexation and Hook-up Fees Impact Fees Other Income 750 550  Total Operating Revenues 184,701 165,806 176,208  Operating Expenses Depreciation 40,000 40,000 24,113  Salaries, Payroll Tax, and Benefits 83,000 98,000 89,384  Utilities 65,300 58,300 66,651  Repair and Maintenance 119,750 90,000 128,749  Professional Services 35,500 33,000 33,803  Office and Postage 6,000 6,000 4,200  Insurance 11,321 10,518 11,193  Miscellaneous 22,500 19,500 13,522  Total Operating Expenses 383,371 355,318 371,615  Operating Income (loss) (198,670) (189,512) (195,407) Non-operating Revenues (expense) Tax Revenue 183,670 174,512 174,553  Interest Income (expense), Net 5,000 5,000 8,276  Late Fee Income 10,000 10,000 21,314  Total Non-operating Revenues (expense) 198,670 189,512 204,143  Total Income (loss) 0 0 8,736  The proposed revenues and expenditures for fiscal year 2026 have been tentatively approved by the Kootenai County Water District No. 1 Board of Directors (the “Board”) at a public meeting held July 23, 2025.  www.kcwd1.blogspot.com  Legal#14880 AD#40151 August 20, 23, 2025

NOTICE OF HEARING ON NAME CHANGE Case No. CV28-25-5734 IN THE DISTRICT COURT FOR THE FIRST JUDICIAL DISTRICT FOR THE STATE OF IDAHO, IN AND FOR THE COUNTY OF KOOTENAI IN RE: Trinity Dunghoang Do, A petition to change the name of Trinity Dunghoang Do, 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 Braxyn Vane Hel Morrigan. The reason for the change in name is: cutting ties with toxic family.  A hearing on the petition is scheduled for 1:30 o’clock p.m. on September 22, 2025 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: 8/11/25 Jennifer Locke CLERK OF THE DISTRICT COURT /s/Lori Grilley Deputy Clerk Legal#14881 AD#40153 Aug. 20, 27, & Sept. 3, 10, 2025 _________________________

NOTICE OF BUDGET HEARING WORLEY HIGHWAY DISTRICT will hold a public hearing on August 27, 2025, 9:00 a.m.at the District Office to consider the proposed budget and the Forgone amount of $122,521 for the Fiscal Year 2025-2026, at which time the public may appear and be heard upon all or part of the budget. WORLEY HIGHWAY DISTRICT PROPOSED BUDGET October 1, 2025 – September 30, 2026 ANTICIPATED REVENUE: Maintenance & Operation Levy 1,408,592 Special Const/Bridge Levy 2,100,000 Ag. Equip. Tax Replacement 21,624 Tort Levy 35,000 Highway Users Revenue 1,916,203 Forest Reserve Fund 0 State Sales Tax 395,901 CEA Tax 34,000 Interest Income 165,000 Development Fees 191,000 Sale of surplus equipment 22,000 Permit Fees 15,000 Federal Share Bridge/Spec. Const. 2,390,170 Miscellaneous Revenue 121,000 TOTAL ANTICIPATED REVENUE 8,815,490 Antic. Carry Fwd: Undedicated 1,018,648 Dedicated: Special Road Const 1,149,104 Dedicated: Tort 21,000 TOTAL BUDGETED REVENUE 11,004,242 ANTICIPATED EXPENDITURES: Labor Expense 1,539,298 Administration 460,188 Employee Benefit Expenses 458,122 Commissioner’s Compensation 28,800 Operating Expense 762,404 Road Maintenance 1,471,571 Road Construction 4,632,000 Asset Acquisitions 1,408,000 Tort 56,000 M&O Levy Transferred back to Cities 187,859 TOTAL ANTIC. EXPENDITURES 11,004,242 REVENUE REQUIRED 11,004,242 The budget is available for public inspection at the District Office 12799 W. Ness Road, 6:30 a.m. to 4:00 p.m. Mon.-Thurs. WORLEY HIGHWAY DISTRICT BOARD OF COMMISSIONERS: Philip W. Cooper, George Miller, Corinne Johnson ATTEST: Charyl Ragan, Clerk/Treasurer Legal#14882 AD#40155 August 20, 21, 2025