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The Hinton News
Hinton, West Virginia
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October 3, 2017     The Hinton News
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October 3, 2017
 

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10 - Hinton News Tues. Oct. 3, 2017 LEGAL NOTICE Summers County, Weet VirgL, da, Board of Education Statement of Net Position FYE June 30, 2017 Governmental Activities ASSETS AND DEFERRED OUTFLOWS OF RESOURCES Assets: Cash and cash equivalents Investments $ 927,467 Taxes receivable, net of allowance for uncol/setihle taxes 134,052 Deposit with Retirement Board 359,823 Food service receivable Other receivables 63,470 Prepaid Workers' Compensation 29,941 Due from other governments: State aid receivable 70,567 PEfA ~tocation receivable 230,462 Reimbursements receivable 268,690 Capital Assets: Land 219,765 Land improvements Buildings and improvements 22,616,157 Furniture and equipment895,430 Vehicles 2,543,723 Construction in process less accumulated depreciation (9,222,368) Total capita], assets, net of depreciation 17,052,707 Total assets $19,136,879 Deferred outflows of resources: Total deferred outflows of resources 568,789 Total assets and deferred outflows of reseurese $19,705,668 LIABILITIES, DEFERRED OUTFLOWS OF RESOURCES, AND NET POSITION Liabilities: Salaries payable and related payroll liabilities PEIA premiums payable $995,379 Compensated absences Accounts payable $6,007 other post employment benefit payable Due to Other Fiscal Agents $795,618 Long-term obligations: Due within one year: Rends, capital leases, and contracts 113,514 Accrued interest Accrued sick leave payable $15,273 Due beyond one year: Bonds, capita], leases, and contracts $1,436,319 Accrued sick leave payable Net pension Hability - Proportionate Share 708,484 Total liabilities $4,070,394 Deferred inflows of resources: Total deferred inflows of resources $541,698 Total liabilities and deferred inflowa of resourree $4,612,292 Net Position: Net Investment in Capita/Assets Reetr~ted for; $17,052,707 Debt service Special projects Capital projects $204,025 Unrestricted ($2,163,356) Total net position $15,093,376 SUMMERS COUNTY, WEST VIRGINIA, BOARD OF EDUCATION STATEMENT OF ACTIVITIES FYE JUNE 3,0, 2017 Program Revenues Functions Expenses Governmental activities: Instruction $8,534,258 Supporting services: Students $488,454 Instructional staff $442,575 General administration $414,974 School administration $734,719 Central services $421,536 Operation and maintenance of facilities $1,256,217 Student transportation $1,568,375 Other support services$56,479 Food services $1,I53,991 Community services $87,466 Interest on long-term debt $15,273 Total gnvernmental activities $15,174,317 Program Revenues Functions Changes for Service Governmental activities: Instruction $642,661 ~i ~':i SuDporting seT! .....~ ~: Instructionai'st~f3 ~ . ~.~' ~ ~ ~ ~. General adminintretion, $3t,249 . ' School administration $55,327 Central services $31,743 Operation and maintenance of facilities $94,598 Student transportation $118,104 Other support services $4,253 Food services ($2,534) Community services Interest on long-term debt Total governmental activities $1,045,511 Program Revenues Functions Operating Grants and Contributions Governmental activities: Instruction $1,261,589 Supporting services: Students $71,316 Instructional staff $64,618 General administration $60,588 School administration $107,272 Central services $61,546 Operation and maintenance of facilities $183,412 Student transportation $228,988 Other support services $8,246 Food services 11,152 Community serv~es Interest on long-term debt Total governmental activities Program Revenues Functions Capital Grants and Contributions Governmental Activities Governmental activities: Instruction Supporting services: Students Instructional staff General administration School administration Central services Operation and maintenance of facilitise Student transportation Other support cervices Food services Community services Interest on long-term debt Total governmental activities Program Revenues Functions Net (Expense) Revenue & Changes in Net Position Governmental Activities Governmental activities: Instruction ($6,630,008) Supporting services: Students ($380,356) Instructional staff ($344,629) General administration ($323,137) School administration ($572,120) Central services ($328,247) Operation and maintenance of facilities ($978,207) Student transportation ($1,221,283) Other support services ($43,980) Food services ($1,145,373) Community services ($87,466) Interest on long-term debt (15,273) Total governmental activities ($12,070,079) BALANCE SHEET- GOVERNMENTAL FUNDS FYE JUNE 30, 2017 ASETS AMD DEFERRED OUTFLOWS OF RESOURCES General Current Expense Assets: Cash and cash equivalents $927,467 Investments Taxes receivable, net $134,052 Deposit with Retirement Board $359,523 Prepaid Workers' Comp & BRIM $29,941 Food service receivable, net Other receivables $49,603 Due from other governments: State aid receivableS70,567 PEIA allocation receivableS230,462 Reimbursements receivable Due from other funds $45,816 Tetal assets $1,847,433 Deferred outflows of resources Total deferred outflows of reseurose TOTAL ASSETS PLUS DEFERRED OUTFLOWS OF RESOURCES$1,847,433 LIABILITIES, DEFERRED INFLOWS OF RE- SOURCES AND FUND BALANCES Liabilities: Salaries payable and related payroll liabiritles $995,379 Other post employment benefits payable $795,618 PEIA premiums payable Accounts payable & Payable to others Due to other fiscal agents Due to oincr funds Total liabilities $1 390,997 Deferred Inflows of resources $67~514 Total deferred inflows of resources $67,514 Fund Balances: Nonspcndablc $389.464 Restricted Committed Assigned ($4OO.543) Unassigned ($11 ,o79) Total fund bniseces $1,847,432 TOTAL LIABILITIES, DEFERRED INFLOWS OF RESOURCES ANO FUND BALANCES SPECIAL REVENUE FUND ASETS AMD DEFERRED OUTFLOWS OF RESOURCES Assets: Cash and cash equivalents Investments Taxes receivable, net Deposit with Retirement Board P.~paid Workers' Comp & BRIM Food service receivable, net Other receivables $13,867 Due from other governments: State aid receivable PEIA allocation receivable Reimbursements receivable $268,690 Due from otherfunds Total assets $282,557 Deferred outflows of resources Total deferred outflows of resources TOTAL ASSETS PLUS DEFERRED oUTFI~WS OF RESOURCES $282,557 LIABILITIES, DEFERRED INFLOWS OF RE- SOURCES AND FUND BALANCES Liabilities: Salaries payable and related payroll Liabirities Other post employment benefits payable PEIA premiums payable $6,007 Accounts payable & Payable to others Due to other fiseni agents Due to other funds $45,818 Total liabilities $51,825 Deferred Inflows of reseurees $26,708 Total deferred Inflows of resources $26,708 Fund Balances: Noespendable Res~cled 5204925 Committed Assigned Unassigned Total fund balances $204D25 TOTAL LIABILITIF.~, DEFERRED INFLOWS OF RESOURCES AND FUND BALANCES $282,558 Total Governmental ASETS AMD DEFERRED OUTFLOWS OF RESOURCES Assets: Cash and cash equivalents $927,467 Investments Taxes receivable, net $134,052 Deposit with Retirement Board $359,523 Prepaid Workers' Cutup & BRIM $29,941 Food service receivable, net $63,470 Other receivables Due from other governments: State aid receivable $70,567 PEIA allocation receivable $230,462 Reimbursements r3ceivable $268,690 Due from other funds $45,818 Total assets $2,129,990 Deferred outflows of resources Total deferred outflows of resources TOTAL ASSETS PLUS DEFERRED OUTFLOWS OF RESOURCES $2,129,990 LIABILITIES, DEFERRED INFLOWS OF RE- SOURCES AND FUND BALANCES Liabilities: Ssiasies payable and related payroll Lisbifities $995.379 Other post employment benefits payable $795,618 FEIA premiums payable Accounts payable & Payable to others $6.007 Due to other fiscal agents Dse to other funds $45,818 Total liabilities $1,842,822 Deferred Inflows of resources $94,?.22 Total deferred Inflows of resources $94,222 Pund Balances: Nntmpendabie $389,464 Restricted $204,025 Committed Assigned Unassigned ($400,543) Total fund b~dse~s $192~948 TOTAL LIABILITIES, DEFERRED INFLOWS OF RESOURCES ANO FUND BALANCF~ $2,129,990 Amounts reported for governmental activities in the statement of net position differ duc to: Capital assets used in governmental activities are not financial resources and, therefore, are not reported in the funds $17,052307 Other deferred charges are not reported in the funds $15,556 Propert~ taxes receivable and food service billings re- ceivabin will be collected this year but ate not avadsblc seen enough to pay for the current period's cxpendltmes, and are therefore deferred io the funds $78,666 Mi$cellanooes sources Total revenues $16,414J597 Expenditures: Insm~ction $9,082,236 Supporting services: Students $746,017 Instructional staff $493,024 General administration $538,292 School administration $797592 Central Services $427,660 Operation and msintenance of facilities $I ,321,221 Student tnmsportation$1,821 '281 Other support services $54,050 Food services $1,204,522 Community services $83,704 Capital outlay $7,216 Debt service: Principal retirement Interest and fiscal charges Total expenditures $16576,815 Excess (deficiency) of revenues over expenditures ($162,118) Other financing sources (uses): Proceeds from disposal of real or personal property $4,856 Transfers in $314,868 Transfers (out) ($314,868) Total other financing sources (use's) $4,856 Net change in fund balances ($157,262) Fund balances - beginning $350.208 Prior pennd adjustments - (See Note..) Fund balances beginning, as restated $350,208 Fund balances - ending 5192,946 SUMMERS COUNTY, WEST VIRGINIA, BOARD OF EDUCATION RECONCILIATION OF THE STATE- MENT OF REVENUES, EXPENDITURES, AND CHANGES IN FUND BALANCES OF GOVERNMEN- TAL FUNDS TO THE STATEMENT OF ACTIVITIES FYE JUNE 30, 2017 Net change in fund balances - total govemmcntal funds ($157,262) Amounts rcp~red for goverun-,untal activities in the state- went of activities are different due tO: Governmental fimds report capital unOays as expandi- tores. However, in the statement of net position, the cost of those assets is aUocated over their estimated useful lives and reported as depreciation expense. The effect on net position is the amount by which capital outlays exceed depreciation in the current period~ Deprecintion expense ($582,685) Capital outlays $253 ,647 Certain receivables will be collected this year but are not available soon enough to pay for the current period's expenditures. This is the amount by which such wceivables increased (decreasnd). Property tunes receivableS177 Operating Grants and Contributions $5,032 Other miscellanceus conversion adjustments The repayment of the principal of long-term debt (e.g., bonds, leases) consumes the current financial resources of gnvemmemal funds. However, such repayment has no effect on net position. $109,978 Differences in the cost and accumulated depreciation on disposed capital assets me reported as a loss and reduction in net position in the statement of activities. Cost of assets disposed ($172,996) Accumulated depreciation of assets disposed $155,696 Interest on long-term debt in the statement of activities differs from the amount reported in the gnvernrnental funds because interest is recognized as an expenditure io the funds when it is due, and thus requires the use of current financial resources. In the statement of activities, however, interest expense is recognized as the interest accrues, regardless of when it is due. ($15 ,273) Governmental hinds report district pension contributions as expenditures. However, in the Statement of Activities. the cost of peesioo benefits earned net of empioyes conlributions is repor,.ed as.pension expense District pension contributions $263,012 Cost of benefits earned set of employee contributions ($55,158) Change in net position of governmental activities ($196,832) SUMMERS COUNTY, WEST VIRGINIA BOARD OF EDUCATION STATEMENT OF FIDUCIARY NET POSITION, FI- DUCIARY FUNDS FYE JUNE 30, 2017 Agency Funds School Activity Funds ASSETS AND DEFERRED OUTFLOWS OF RE- SOURCES Assets: Cash and cash equivalents Total assets Deferred outflows of resources: Total de fen~ outflows of resources Total assets and deferred outflows.of resousees LIABILITIES AND DEFERRED INFLOWS OF RE- SOURCES Fast Book 2,577.56 Fisher Parts fl,231.46 Fliun Scientific Inc 106.15 Forest Hill Family Practice 492.00 Fox Photographies 150.00 Frye Roofing 1,80734 Gopher Sports 227.43 Gordce Stowe 249.00 Gore!s Autobody 1no 264.17 Gralnger Co 336.09 Green River Garden Center 1,022.24 Orccnbrier Nurseries,,hic 300.00 a Guest House On Comlhouse 147-34 Gym Closet 299.93 Hsiley Via 922.32 Halo Branded Solutions/no 412.36 Heather Seer Greer 28.500.00 Helen M Morris 13,811.60 Henry's Radiator Shop/no 507.00 Heritage Bus Sales lnc 186,612.00 Heritage Tmck/Eqnipmcot 28,792.99 Highland Insurance 1,097.78 Hill Manufacturing Co 820.49 Hinton Area Elementary 5,800.00 Hinton Hasdware 4,600.34 Hinton News 1,105.69 Hinton Sanitary Board 28,266.56 Hirerlght Solutions Inc 74.50 Hobart 10,472.36 Holey Cards 119.79 Hot Designs 250.00 Hotmath. Inc 599.00 Houghton Mifflin Hareoml 8,165.06 RuBert 3,933.94 Hughes Supply Co 9,591.55 Id Card Group 256.00 lotto,state Batteries 1'299.45 Itpa~s Help Lie 719.00 ltsavvy LIc 11,414.68 COMMUNITY MARKET The Alderson is now being hosted in the grass between the Visitor's Center and Wolf Creek Gallery,. between the hours of 10 a.m. - 2 p.m. have not changed. ,Entering the Fall season. has brought a variety of new produce to the market place. The week's tasting features fried green tomatoes with carmelized garlic, peppers, and onions. Music and children activities wil begin at noon. The difference between what the most and the least learned people know is inexpressibly trivial in relation to that which is unknown. --Albert Einstein It is the mark of an educated mind to be able to entertain a thought without accepting it. .-Aristotle ( Real #1298 215 6th Ave., Hinton nice 2 story home 4 or 5 bedrooms, 2 baths nice older home with lots of charm. Covered front porch, living room, formal dining. Large storage/shop building behind home..."MAKE OFFER" #1312 RIVER BOTTOM 12 Acres near DOH garage on Rt. 1~ Also includes 87 aces of woodland across road. Has some timber... $240,000 Estate Defesred outflows sed inflows of resources relntad to Liablllties: #1315 278 Terrace Street, near pensions ar~appiieabte tot~'~:petiods sad, therefore, are Ductoother fund$ $258,680 hospital, like new 3 BR home, nice notl~q~.tedintl~t~nd~,. ~::.~ ~ _ :_~:.~ . ~,:~.~ ~ ! Totalliabllllies$258,680 .... ............. Deferred' 6fitfl0w's' 0f to/ ....... lared io pe,sio,s Defe~-ed Inflows of ..... "I'0catibfi,'pOrCh and suriddC-~! Re~dy $568,789 ., " ....... Total deferred Inflows of resources to move in.... Reduced to Make Offer Deferred inflows of resomr.~s related to ponsions Total liabilities and deferred inflows of resources ($541.698) $258,680 Some liabilitfes, including net pension obligations, are Vendor A~ount 1316 HINTON BYPASS, Rts. 3 & not due and payable in the 1 World globes & maps, llc 383.95 Bonds payable,due within one year 4imprint, hic 1,2174~ 20. Spacious residence on main Bonds payable, due beyond one year Aaa Septic Tank 3,375.00 level, former apartments downstairs Uesmortlzed bond premium ($15,273) Accu Train Developmental 379.00 Accrued interest on bonds Aep Direct 361.40 (need some repairs), plus additional Capital leases payable Adrian A Thomas 426.93 house. Former business Acorul~ sick leave payable ($1,549,833) Advanced B~siness Technology 710.00 Compensated absences Advanced Placement Program 2,901.00 Iocation...Great potential for homeor Not pension liah~ity- pmporfioeste sham ($708,484) Aap Cooncctlons, Lie 440.00 business...over 200' frontage on Net position of governmental activities $15,093,375 Allbrands Appfiancc Service 120.00 SUMMERS COUNTY, WEST VIRGINIA, Allied100, Llc 2.944.00 River and road. $-l-69TEH~ BOARD OF EDUCATION Allstate 1,632 .00 R E D UC E D STATEMENT OF REVENUES, EXPENDITURES AND AIs Envirunmenta1274.00 CHANGES IN FUND BALANCES - GOVERNMENTAL Alwayscere Benefits Inc 13,788.58 FUNDS Amazon.Corn Corporate Credit 32,502.32 #1317 PIPESTEM DISTRICT, near FYE JUNE 30, 2017 American Family Life 8,.594.99 American FidelityAssuranceCo 103566.90 Mercer Co. line, private woodland Goz~'a] Anmrican Filter Services Inc 4,495.50 tract, 105 acres...great hunting, Currant American Jomsal Of Nursing 67.80 Expense An,otiose Printing House For 67.00home or cabins site...old home site... Revenues: American Technology Security 6,803.06 $120,000 Property taxes $2,997,638 Amtrak-Stallon Building 1,465.38 Other Local sources $217,725 Anderson's 212.49 State sources $9,802,314 Appalachian Ttre Products 24.605.65 #1324 marie, wv "Emma Jaens" Federal sources $25,827 ApFurson Print Management 292.53 Miscellaneous sources Applelnc 1,397.00 County Store building. This historic Total revcoues $13,043'504 AppLindEducatioeslSystems2500.00 landmark building, formerly was a Expenditures: Ammark Services Inc. 1,.350.46 InstructionS7,253'035 Ashce893.24 store...has living quarters attqched Suppottingscrvicos: B&H 1,02539 plus rooms over store. Almost acre Stod~ts $724,115 Bm'nes & Noble 179.55 Instructional stuffS198,724 Bb&T 162,056.04 lot, outbuilding and parkinglot. Could General admlnistratiun$538,292 Beckley Newspaper 3,515.53 make a nice Bed and Breakfast, School administration $717,693 Becklcy Steel Inc 597.50 Central Services $423,077 Bckley Welding Supply hic 347.00 commercial location or unique Operationsedmalntenaaccoffacilitins$1,321'221 . BadfordF~man&Worth364.29 home. $245,000 Stndest tomsportation $1,652'091 Big Bend Psd 4,432.03 Other support services $54,050 Big Four I~g Store 65.38 Fund services BjwPrinters6,761.28 #1325 - Leatherwood Road, 2 Community services $83,704 Bluefleld State College 84.98 Capitaloutiny$42 BowlesRiceLlp15,037.94 bedroom, 1 bath very well kept Debt sev,'ise: Brat Mc Million 332,00 home. Newer wi~_~- ~s, kitchen and Principal retireme,t Interest and fiscal charges Brewer & Co. Of Wva, Inc 2.945.70 ~ ---- 7.~ O~.~., To~ =~pendis~s s12,956,044 Brickbat Mut~ Insu,-~ I55'551~0 bath. Pro," lace, ceiling fans Exress(deficicocy)ofrevensesoverBrightSohitionsForDyalexia2,638.60 and ' ,~dl basement. Near expenditures $77,460 Brown Reporting A~encv C.A.S.E | ~ttq Other finasoingsourees (uses): Carolyn Price Stophens 2,947.61 Bluestone State ParkH NEW PRICE Proceeds from disposal of real or persemd properW Carrot-Tap Industries 3,(}00.00 $55,000. $4,856 Category Five Technologies 67.85 Transfers in $73,112 Ce Safety Supply LIc 3,470.56 Transfers (oat) ($245,301) Celeste Justice 675.62 #1328 NIMITZ, 3 BR Brick Ranch Total other financing sources (uses) ($167,333) Central Restaurant Products 324.01 Nnt chsegn in fund balances ($89,873) ChanningLBeteCo, Inc87.85 Style home, has been totally Fund balances- beginning $78,794Charleston Acoustics 2,744.89 re novated, n ew pl u m bi n g with l~rior period adjustments - (See Note .,) Child Support Enforcement Div 13,357.95 Fundbeia~v~s boghmiag, esmstatnd$T8,794 Ck~innstiFhxzCompa~y 887.19 fixtures, electric, laminate hardwood Pandbalaeces-ceding(Sll'079 Clntas2232.11 floors, heat pump, granite Revenues: Cintas Corp 278.46 Special City National Bank City Of Hinton 879.18 countertops large level fenced Revenue Comfort Inn & Suites 4(]0.00 yard, two car garage attached plus Prolxaly taxes Community Foundation For 5(~0.00 Other Local seurees $7'579 TbeConcordUniversity17'036.22 large garage/workshop, paved Slam sources $I '050,359 Conseco Health Insm-ancc Co 7,103.63driveway F.edersi sources $2,313,255 Coole School 2.050.36 Miseellsooo .... Crane's Machine S~wice 2250~0 $179,000 REDUCED Total revenues $3,371,193 Crisis Prevention Institute 3,445.00 Expenditures: Crooks Consm~tion Lie 595.00 histmctioo$1,829,201 ComminsSalesAndservice635-25 #1331 - 3 Bedroom, 1 Bath, 2.03 Supporting services: Cestomink 963.68 acres located on Lester Neely Road. Students $21,902 D & M Recycling Inc 341.82 InsWactional staff $294,300 Darwin Global, Llc 1,480.00 General administration Data Recognition .Corporation 474,79 School administration $79,899 Davis Athletics, Lie 9,308.80 Central Services $4,583 Davis Publications Inc 787.20 Operation and maintenance of facilities $169,190 Days Inn & Suites Conference 2,937.00 Student U-anspprtation Dd Office Products 5,774.60 Other support services $1,204,522 Decker Equipment 108.34 rood services Delta Dental Of Wv 39,783.50 Community services Delta Education Inc 108,123.92 Capita] outlay $7,174 Desi 43.00 Debt service: Dian R Cook 77.04 Principal retirement Interest and fiscal charges Dickeys Barbeque Pit 5,552.45 Total expenditures $3,610,771 Dinsmore & Shoni Lip 12,720.00 Excess (deficiency) of revceecs over Discount Magazine 378,72 expenditures ($239,578) Dk Enterprises Ltd 39,908.16 Other financing sources (uses): Douglas Equipment 47934 Proceeds from disporad of real or personal property Dr. Deborah Clark 564.51 Transfers in $241356 Dynamic Education Consulting 493.88 Transfers (out) ($69,367) E School 3,000.00 Total other financing soorce~ (uses) $172,189 Ebia lnc 245.00 Net change in fund balances ($67,389) Edmcntom Holdings lnc 2.582.80 Fund balances - beginning $271,414 Elevating Equipment Inspection 500.00 Prior period adjustments - (See Note .J l~isnia Lowry 1.000~0 ,; Fund balances beginning, as restated $271,414 Elsevier 279.99 Fund balances - ending $204.025 Enterprise 299.84 Revenues: Ewell Eductional Services Inc 295.00 Total Exxon Card Service 175.70 Governmental Fairfield Inn & Suites 408.00 Pmparty taxes $2,997,638 Fancy Caps 204.00 Other Local semc~ $225,304 Federal License Management 100.00 State sources $ I0,852,673 Feecbenberger & Barringer L.C. 4,658,95 Federal sources $2,339,082 Filtersoorce 383.23 Web Site: jonesunitedcountryrealestate.com Fenced field with Barn. Storage Building and Utility Building. Minutes away from Bluestone Park and Bluestone Lake. MOVE IN READY!! $125,000 #1338 PIPESTEM CREEK, Nice older 2 story home with 29 acres, @ 7 cleared and balanced wooded. Nice frontage on Rt. 20. This home built @ 1900's has 3 BR, one bath, detached 2 car garage. Creek flows on property, paved driveway, public water, Could be a good small farm, retreat, hunting place~:e~ct.~lN#ar Pipestem Resort, Bluestone Park and Lake. $165,000 #1339 FOREST HILL RD. 2 Story Home with 20 acres. Private setting, some clear land for yard, garden, pasture and woods. Creek flows on. property. This 3 br home has full basement plus detached garage. Private well and septic, apple tree, berries and wildlife. Near River and public hunting lands. $130,000 #1340 37 Acres overlooking Hinton from Raleigh County Side ..... very private, all wooded ..... good hunting tract or place for retreat. $60,000 #1346 Leatherwood Road - 2 homes situated on 3 Acres (+/o), proven income producing propertiets, 2 outbuildings, cellar, grapes, chestnut tree, garden spot, public water. Both homes in GOOD condition. Wonderful Opportunity!!! REDUCED $89,000 #1350 Talcott area, enjoy the river- view from this acre and half lot, very private. Has very nice mobile home with room addition, detached 2 car garage/workshop. Located behind old dairy on Bacon Falls Road. $89,000 #1357 Ballengee "A Special Place" 10 acres, new 2 story Great Views - all furniture - interior of 2nd floor needs finished. $275,000 #1358 Off 4-H Camp R C'~, BR 2 Bath dbl-wide o~)g?~" I u s 2.acre fr?1~'~,1~..~,,'~l"the river, This tr( ~ out water did not get in hb,ne.$75,000 #1361 1202 Terrace Street (out from hospital) on comer lot. 3 BR 1.5 baths, off street parking. $60,000'. #1362 Located in ~,~" Jal Manor, Jumpi~'~-~ik~ch. 3 Bedroom ~ls,,_._ 2 Story hou~,"l~.1~, .#,etely remodeledll[ , " ~. oeel Move in Readyll ~165,000 #1364 PENCE SPRINGS 4 ACRES ON RIVER, with beautiful home, 4 car garage, 2 car garage/shed, paved driveway S P E C I A L PROPERTY $190,000. #1365 : ~:,~ E AND REMOTE ..... 100 ACRES of mountain woodland, creeks, spring ...... 3BR 2 bath home, large workshop/storage bldg. with shed. Well, septic, electric, apple trees...$225,000 #1367 WlLLOWOfi~t-I~G , nice hem`=:. ~; 1~.~_~cr'~ es on rii ~.,~'olf course, full basement $175,000 #1369 404 MILLER AVE, 2 BR (1/2 of duplex), LR, KIT, laundry room, garage, off street parking. $130,000 #1371 Talcott, CAMP WITH 100' FRONTAGE Pat Ball Road, behind VFD, 3BR, full bsmt, sundecks $69,500 #1372 ALDERSON....home 2nd lot back from river, 2 levels, sundecks, level acre lot, needs cosmetic work...$35,000 #1373 DANESEMaplewood area 4 BR home, over acre lot, barn, 9 miles to Prince and New RiveRiver access. $45,000 m #1375 Will Dodd R~-~G 11.7 Acres with a ,tome. 3 Bedroom~ ~"~ths. Public Water ~I~,~>., i Spot, Outbuilding W;' %P, ached Dog Kennel, E, ge Barn, Fenced Pasture. $165,0O0.00 GREAT BUSINESS OPPORTUNITYIIt 158 Hinton By-Pass. Former location of Riverside Floral. Large showroom with built in cabinets and shelves. Floral Walk-In Freezer. Office space. PrepArea. 24x30 Metal Building with 8" Concrete Pad. Priced to sell at $185,000. : Visit Our Website www,lonesumtedcountryrealestate,com Sales Associate SalesAssociate Perdue 304-466-3046