Pinedale Roundup Legals, August 27, 2026

Posted

NOTICE
OF
PUBLIC
HEARING

Notice is hereby given that the Town of Pinedale Planning and Zoning Commission will hold a Public Hearing on Tuesday, September 15, at 5 p.m. in the Lovatt Room of the Sublette County Library, 155 S Tyler Avenue, Pinedale, WY 82941.

The purpose of this public hearing is to discuss the following: 

1. Pursuant to §475 Article XXXIV Amendments, a Zone Map Amendment Application submitted by AWA Engineering on behalf of CJM Limited Liability Limited Partnership, requesting to adjust the existing zoning from and mix of C-1, R-1, R-2a, and R-4 to a different mix of C-1, R-2, and R-4 for the parcel described as:

- A tract of land bounded by the Cooley Sixth Subdivision and the Finlayson Addition to the Town of Pinedale and Lunbeck-Schwab Addition to the Town of Pinedale; Thence easterly along the south boundary of the Cooley Seventh Addition; Thence northerly along the east boundary of the Cooley Seventh Addition and the Cooley First addition; Thence bounded on the north by a tract of land as described in Book 35 of Misc., Page 103; Thence bounded on the east by U.S. Highway 187 and the north-south mid-section line, and bounded on the south by a tract of land owned by Robert A. Harrower as recorded in Book 12 of Deeds, Page 108 by Clark's Acres;

2. Consideration of proposed zoning to accompany an annexation application from CJM Limited Liability Limited Partnership for the parcel described as:

- A tract of land located within the South Half of Section 3, Township 33 North, Range 109 West of the 6th P.M., Sublette County, Wyoming:

Beginning at the point of intersection of the Northeasterly line of Fremont Avenue, also being the Northeasterly line of Cooley Sixth Subdivision, and the East-West Quarter Section line; and running thence Easterly along said Quarter Section line to the intersection thereof with the Southwesterly line of Highway 191; thence Southeasterly along said Southwesterly line to the intersection thereof with the Northerly line of that certain Warranty Deed recorded as Document No. 0455641 in Book 381 at Page 635; thence Westerly along the North line of said Deed; thence Southerly along the West line of said Deed; thence Easterly along the South line of said Deed to the intersection thereof with the North-South Quarter Section line; thence South along said Quarter Section line to the North line of Harrower property as Deeded in Book 12 of Deeds at Page 108, described of record as being a point located 1481.90 feet North along the Quarter Section line from the South Quarter Corner of said Section 3; thence South 87°09’00” West 805.80 feet along said North line to the East line of that certain Warranty Deed recorded in Book 27 of Deeds at Page 630; thence along said Deed the following four courses: North 33°41’00” West 720.00 feet; North 50°57’00” East 100.00 feet; thence North 35°20’00” West 55.58 feet; thence North 88°57’26” West 118.88 feet to the most Easterly corner of said Fremont Avenue and said Cooley Sixth Subdivision; thence Northwesterly along said Northeasterly line of Cooley Sixth Subdivision to the point of beginning.

The applications will be subsequently heard by the Pinedale Town Council on September 28, 2026 at 5:00 p.m. in the same location along with a formal public hearing regarding the Annexation application that is the subject of item 2. Additional information, including the application and maps, may be accessed at the Town of Pinedale website (townofpinedale.us). All members of the public are invited to attend and provide input. If you have any questions about the variance applications, please contact the Planning and Zoning Department at 307-367-4136 or visit Town Hall at 205 Entertainment Lane. Written statements may be submitted to the Town of Pinedale prior to or at the time of the hearing.

Notice #0841 published in the Pinedale Roundup on August 27, Sept. 3, 10, 2026

IN
THE
DISTRICT
COURT
IN
AND
FOR
SUBLETTE
COUNTY,
WYOMING

NINTH
JUDICIAL
DISTRICT

IN THE MATTER OF THE ESTATE )

OF  )           Probate No. 2026-CV-0001968

HENRY JOHN FLETCHER, )

Deceased. )

NOTICE
OF
FILING
OF
PETITION
FOR
ADMISSION
OF
FOREIGN
PROBATE
PROCEEDINGS

TO WHOM IT MAY CONCERN:

You are hereby notified that a Petition has been filed with this Court wherein the Petitioner seeks and intends to have certain probate proceedings conducted in the District Court in El Paso County, Colorado, in the Estate of Henry John Fletcher who became deceased on or about January 19, 2026, admitted in this Court as a probate of said estate by this Court.

You are further notified that said Petition has been set for Hearing before this Court at 8:30 a.m. on the 14th day of October, 2026, at the Sublette County Courthouse, Pinedale, Wyoming, and unless objection is made to this Court on or before said time and date, this Court will enter an Order admitting certified copies of said proceedings to record in this Court, pursuant to W.S. § 2-11-201, et seq.

Judge Kate McKay

DISTRICT COURT JUDGE

Notice #0840 published in the Pinedale Roundup on August 27, Sept. 3, 10, 2026

ABANDONED
VEHICLE
NOTICE

MAKE: Superior

MODEL: Car Hauler

YEAR: 1999

VIN#: 1S9HP1421XC241405

PRICE: $500

LOCATION/FULL ADDRESS: 905 W Pine St, Pinedale, WY 82941

DATE OF SALE/TIME: 9/11/2026 1:00 PM

Notice #0839 published in the Pinedale Roundup on August 27, Sept. 3, 2026

IN
THE
WYOMING
STATE
DISTRICT
COURT,

NINTH
JUDICIAL
DISTRICT,
SUBLETTE
COUNTY

IN THE DETERMINATION OF HEIRSHIP )

)  Probate No. 2026-CV-0009167

OF PATSY RUTH MORRISON, Deceased. )

NOTICE
OF
HEARING
ON
VERIFIED
PETITION

FOR
DETERMINATION
OF
HEIRSHIP

TO ALL PERSONS INTERESTED IN SAID ESTATE:

You are hereby notified that on the 31st day of July, 2026, Petitioner Bryan Morrison filed a Verified Petition for Determination of Heirship (“Petition”) in the above-named Court pursuant to Wyoming Statute § 2-9-202. The Petition alleges that Patsy Ruth Morrison (“Decedent”) of Gransbury, Texas, died on July 9th, 2024. Petitioner requests that the Court determine who the rightful heirs of the Decedent are and determine their respective rights and interests in the Decedent’s property, an undivided .00197674 interest, in and to mineral interest, royalty interests and overriding royalty interest, including after-discovered interests, to which the legal description is fully described in the Assignment of Overriding Royalty Interests, recorded and re-recorded, on January 7th, 2024, in the same said office, No. 301839, Book 126, Page 181 – 188 and No. 301786, Book 126, Page 166- 172, from the following United States Oil and Gas Leases located in Sublette County, Wyoming:

WYW-006269 WYW-008592 WYW-016158 WYW-118156

WYW-006270 WYW-008593 WYW-016161 WYW-118157

WYW-006283 WYW-015314 WYW-016162 WYW-118158

WYW-006286 WYW-015315 WYW-016167 WYW-118159

WYW-006933 WYW-015316 WYW-018039 WYW-118166

WYW-006934 WYW-015317 WYE-026025 WYW-133768

WYW-008589 WYW-016155 WYE-026026 WYW-135124

LESS AND EXCEPT that interest in and to WYW-118157 conveyed by Assignment dated April 4, 2003 by Patricia Granger Hughes, Individual to Wyotex Oil Company, recorded in Volume 124 at Page 511 of the Oil and Gas Records of Sublette County, Wyoming.

Notice is further given that a hearing on said Petition has been set before the Honorable Kate G. McKay, District Court Judge, on the 21st day of September 2026, at the hour of 11:30 A.M., by video conference. At the time and place, any interested persons, including heirs, devisees, and creditors may appear and object to the granting of the Petition. If no objections are filed or made at the hearing, the Court may enter a Decree of Heirship as requested in the Petition. To obtain access instructions for the video conference hearing, please call (307) 367 - 3801.

Notice #0838 published in the Pinedale Roundup on August 27, 2026

TOWN
OF
PINEDALE

2025–26
UNAUDITED
CURRENT-YEAR
BUDGET
AND
ACTUAL

ACCOUNT
TITLE 2025–26
BUDGET 2025–26
ACTUAL

Fund:
10

RECEIVABLE FROM FUND 31 HANGAR 0.00 240,777.00

TAXES,
ROYALTIES

MOTOR VEHICLE TAX 60,000.00 69,255.33

SALES AND USE TAX 1,200,000.00 1,430,795.22

CIGARETTE TAX 10,000.00 8,378.76

FUEL TAX 105,000.00 102,367.07 TOWN 8 MILL LEVYPROPERTY TAX 255,000.00 288,748.21

LODGING TAX TOWN 10% 36,000.00 69,817.20

Total
TAXES,
ROYALTIES: 1,666,000.00 1,969,361.79

LICENSES,
PERMITS

DOG LICENSES 3,000.00 4,067.50

BUILDING PERMITS 14,500.00 21,719.39

DEVELOPMENT FEES 5,000.00 2,375.00

PLAN REVIEW 15,000.00 7,922.06

LIQUOR LICENSES 14,250.00 15,431.00

FOOD TRUCK PERMITS 3,000.00 6,230.00

TEMPORARY USE PERMITS 1,000.00 800.00

ITINERANT MERCHANT 0.00 100.00

BUSINESS LICENSE 0.00 10.00

Total
LICENSES,
PERMITS: 55,750.00 58,654.95

INTERGOVERNMENTAL
REVENUE

MINERAL ROYALTY (Federal) 202,000.00 202,278.60

MINERAL SEVERANCE (State) 81,410.00 71,278.12

WYDOT GRANTS 225,000.00 110,470.11

DIRECT DISTRIBUTION 168,300.00 168,377.76

LOTTERY 10,000.00 9,730.01

SKILLED GAMES 10,000.00 8,232.92

WY BUSINESS COUNCIL 97,817.18 97,817.00

SCHOOL DISTRICT GRANT 250,000.00 0.00

PINE CREEK RESTORATION 15,000.00 0.00

Total
INTERGOVERNMENTAL
REVENUE: 1,059,527.18 668,184.52

UTILITIES TAXESPACIFICORP,ETC 82,000.00 84,564.79

RECREATION (PARK RENTALS) 1,000.00 4,390.00

TOWING 0.00 125.00

Total
CHARGES
FOR
SERVICE: 83,000.00 88,829.79

FINES
&
FORFEITURES

COURT COSTS 150.00 0.00

COURT FINES 2,000.00 6,700.00

Total
FINES
&
FORFEITURES: 2,150.00 6,700.00

MISCELLANEOUS
REVENUE

INTEREST 105,000.00 210,734.49

MISCELLANEOUS 0.00 14,007.80

REAL ESTATE RENTAL FEES 5,000.00 4,900.00

NONGOVT GRANTS & DONATIONS 1,500.00 0.00

AIRPORT INSURANCE PAYMENTS 0.00 0.00

TRANSFER IN FROM OTHER FUNDS 0.00 0.00

Total
MISCELLANEOUS
REVENUE: 111,500.00 229,642.29

TOWN
&
ADMINISTRATION

SALARIESWAGESCOMPENSATION 99,242.00 118,899.99

PAYROLL TAXESFICA 7,940.00 8,947.32

PAYROLL TAXESUNEMPLOYMENT 2,878.00 86.05

PAYROLL TAXESWORKERS COMP 2,977.00 677.95

EMPLOYEE BENEFITSHEALTH INS 37,467.34 31,705.64

EMPLOYEE BENEFITSRETIREMENT 16,725.00 20,523.17

EMPLOYEE BENEFITSOTHER 750.00 1,537.05

OVERTIME OR ON CALL 2,000.00 20.25

LEGAL SERVICES 40,000.00 42,713.68

ACCOUNTING SERVICES 0.00 0.00

AUDITING SERVICES 35,000.00 37,500.00

BANK & CREDIT CARD FEES 50.00 1,244.38

HUMAN RESOURCES CONTRACT 3,800.00 0.00

SPECIAL EVENTS & FOOD 2,000.00 2,286.23

INSURANCELIABILITY & PROPERTY 135,000.00 130,762.66

OFFICE SUPPLIES 6,500.00 5,434.13

MISC GENERAL EXPENSE 4,000.00 2,079.58

NOTICES/ADVERTISEMENTS 24,000.00 25,422.63

TRAINING & MEMBERSHIPS 4,000.00 4,813.00

TRAVEL FOR TRAINING & MEETINGS 1,500.00 2,521.31

ORDINANCE CODIFICATION 2,000.00 4,882.00

CONTRACT LABOR 1,000.00 0.00

CLEANING (TOWN HALL) 500.00 1,286.88

WEBSITE 1,500.00 1,212.40

DRUG SCREENING 2,500.00 2,500.00

UTILITIESCELL PHONES 2,000.00 2,986.07

UTILITIESELECTRICITY 8,000.00 6,837.00

UTILITIESINTERNET 8,000.00 1,654.64

UTILITIESNATURAL GAS 8,000.00 6,153.93

UTILITIESSEWER 1,000.00 511.25

UTILITIESTELEPHONE 2,500.00 2,775.56

UTILITIESTRASH REMOVAL 4,000.00 0.00

UTILITIESWATER 1,500.00 1,265.00

REPAIRS & MAINTENANCE 2,500.00 4,479.75

UNDER $5K CAPITAL OUTLAY 4,500.00 1,725.00

CAPITAL OUTLAY OVER $5K 25,000.00 23,904.00

SPECIFIC ITEMSPROJECTS HEADER 0.00 0.00

Total
REPAIRS
&
CAPITAL
OUTLAY: 500,329.34 497,992.60

MAYOR
AND
COUNCIL

SALARIESWAGESCOMPENSATION 42,400.00 39,300.00

PAYROLL TAXESFICA 3,420.00 3,006.60

TRAINING/TRAVEL/MEMBERSHIP 4,000.00 1,550.43

Total
MAYOR
AND
COUNCIL: 49,820.00 43,857.03

MUNICIPAL
COURT

TRAVEL FOR TRAINING & MEETINGS 350.00 0.00

JUDGE & ALTERNATE JUDGE 2,100.00 2,373.00

LAW LIBRARY 0.00 0.00

Total
MUNICIPAL
COURT: 2,450.00 2,373.00

IT
(INFORMATION
TECHNOLOGY)

CASELLE & OTHER SW SUPPORT 27,000.00 28,584.00

WEBSITE 1,000.00 288.00

CONTRACT LABOR 2,000.00 0.00

IT SERVICE CONTRACT 22,000.00 32,099.68

UNDER $5K SOFTWARE PURCHASES 26,000.00 19,039.08

UNDER $5K HARDWARE PURCHASES 2,500.00 3,766.27

SOFTWARE OVER $5K 20,000.00 20,000.00

LICENSING  1 YR OR LESS 2,500.00 156.19

LICENSING  MORE THAN ONE YEAR 2,000.00 0.00

SPECIFIC ITEMSPROJECTS HEADER 7,500.00 8,541.21

Total
IT
(INFORMATION
TECHNOLOGY): 112,500.00 112,474.43

CONTRACTS
FOR
SERVICES

MISC COMM GRANTS & SERVICES 67,854.70 20.00

DISCOVERY CENTER 0.00 8,369.70

LEARNING CENTER 0.00 8,000.00

MESA THERAPEUTIC 0.00 9,500.00

PINEDALE PRESCHOOL 0.00 4,000.00

RENDEZVOUS POINT 0.00 18,000.00

SAFV TASK FORCE 0.00 8,625.00

PINEDALE AQUATIC CENTER 0.00 11,000.00

Total
CONTRACTS
FOR
SERVICES: 67,854.70 67,514.70

ANIMAL
CONTROL/MUNICIPAL
CODE

SALARIESWAGESCOMPENSATION 59762.00 58138.85

PAYROLL TAXESFICA 4,701.00 5,003.97

PAYROLL TAXESUNEMPLOYMENT 1,728.00 219.62

PAYROLL TAXESWORKERS COMP 1,763.00 2,079.82

EMPLOYEE BENEFITSHEALTH INS 31,603.68 31,599.24

EMPLOYEE BENEFITSRETIREMENT 11,529.00 11,940.04

EMPLOYEE BENEFITSOTHER 0.00 600.00

OVERTIME  OR ON CALL 5,480.00 5,986.00

MISC EXPENSE 500.00 132.84

NOTICES/ADVERTISEMENTS 250.00 0.00

TRAINING & MEMBERSHIPS 750.00 254.00

TRAVEL FOR TRAINING & MEETINGS 750.00 0.00

CLEANING SUPPLIES 100.00 51.46

FOOD FOR ANIMALS 600.00 153.90

UTILITIESTRASH REMOVAL 600.00 1,164.00

UNIFORMS & CLEANING 200.00 193.89

VET & VET SUPPLIES 2,000.00 202.78

GENERAL EXP 500.00 587.62

SAFETY EQUIPMENT 500.00 127.99

REPAIRS & MAINTENANCE 1,000.00 81.53

UNDER $5K CAPITAL OUTLAY 1,000.00 0.00

Total
ANIMAL
CONTROL/MUNICIPAL
CODE: 125,316.68 118,517.55

STREETS
OPERATIONS

SALARIESWAGESCOMPENSATION 55614.00 56351.76

PAYROLL TAXESFICA 4,450.00 4,310.87

PAYROLL TAXESUNEMPLOYMENT 1,635.00 86.38

PAYROLL TAXESWORKERS COMP 1,668.00 1,841.63

EMPLOYEE BENEFITSHEALTH INS 31,603.68 31,083.26

EMPLOYEE BENEFITSRETIREMENT 10,912.00 10,583.31

EMPLOYEE BENEFITSOTHER 0.00 0.00

OVERTIME 1,500.00 486.55

MISC EXPENSE 0.00 144.68

TRAINING & MEMBERSHIPS 500.00 0.00

TRAVEL 1,000.00 148.00

CONTRACT LABOR 0.00 0.00

STREETS DECORATIONS 0.00 2.79

STREET LIGHTS & ELECTRICITY 30,000.00 31,893.48

PAVED STREET MAINTENANCE 545,000.00 534,180.45

UNPAVED STREET MAINTENANCE 1,000.00 0.00

CURB & GUTTER REPAIRS & MAINT 20,000.00 0.00

ENGINEERING  MISC 3,000.00 0.00

STREETS TRASH REMOVAL 3,000.00 5,442.00

SIDEWALK/CROSSWALK MAINT 14,000.00 14,996.19

SNOW REMOVAL  CONTRACT 8,000.00 0.00

SNOW REMOVAL  SALT 12,000.00 20,017.60

SNOW REMOVAL  SAND 4,000.00 9,567.30

SNOW REMOVAL  REPAIRS 8,000.00 1,688.96

WATERWAYS&DRAINAGE (INCL CLNG) 7,000.00 7,000.00

REPAIRS & MAINTENANCE 2,500.00 5,245.12

Total
STREET
OPERATIONS: 766,382.68 735,070.33

MOSQUITO
CONTROL

MOSQUITO CONTROL 30000.00 30,000.00

Total
MOSQUITO
CONTROL: 30,000.00 0.00

PARKS/RECREATION

SALARIESWAGESCOMPENSATION 103,663.00 103,297.46

PAYROLL TAXESFICA 8,693.00 7,912.93

PAYROLL TAXESUNEMPLOYMENT 3,195.00 118.55

PAYROLL TAXESWORKERS COMP 3,260.00 3,313.87

EMPLOYEE BENEFITSHEALTH INS 37,469.40 39,438.54

EMPLOYEE BENEFITSRETIREMENT 15,041.00 14,003.51

EMPLOYEE BENEFITSOTHER 0.00 77.74

OVERTIME 250.00 0.00

MISC EXPENSE 0.00 1,700.00

TRAINING & MEMBERSHIPS 500.00 835.00

TRAVEL FOR TRAINING & MEETINGS 1,000.00 206.00

CLEANING (RESTROOMS) 5,000.00 2,611.90

ENGINEERING 2,500.00 0.00

UTILITIESELECTRICITY 12,000.00 14,488.47

UTILITIESNATURAL GAS 6,500.00 1,441.18

UTILITIESSECURITY 1,000.00 357.65

UTILITIESSEWER 1,680.00 536.00

UTILITIES  TRASH REMOVAL 2,000.00 2,385.60

UTILITIESWATER 26,000.00 24,448.37

TREES/MAINTENANCE 16,000.00 5,415.84

FERTILIZER 9,000.00 8,798.94

BATHROOM & OTHER SUPPLIES 3,000.00 1,729.90

FOURTH OF JULYFIREWORKS 0.00 0.00

FOURTH OF JULYEVENT COSTS 3,500.00 5,392.13

PARK REPAIRS & MAINTENANCE 5,000.00 11,313.56

BUILDING REPAIRS & MAINTENANCE 5,000.00 3,549.61

UNDER $5K CAPITAL OUTLAY 0.00 1,079.99

Total
PARKS/RECREATION: 271,251.40 254,297.26

ENGINEERING/PLANNING
ZONING

SALARIESWAGESCOMPENSATION 84175.00 85463.50

PAYROLL TAXESFICA 6,734.00 6,538.03

PAYROLL TAXESUNEMPLOYMENT 2,475.00 268.78

PAYROLL TAXESWORKERS COMP 2,526.00 2,799.28

EMPLOYEE BENEFITSHEALTH INS 34,436.52 26,553.50

EMPLOYEE BENEFITSRETIREMENT 16,515.00 15,462.51

EMPLOYEE BENEFITSOTHER 0.00 1,000.00

OFFICE SUPPLIES 500.00 1,100.73

MISC EXPENSE 0.00 726.68

NOTICES/ADVERTISEMENTS 2,500.00 1,071.86

P & Z EXPENSES 728.00 1,879.84

PLAN PREP & REVIEW 18,000.00 6,819.20

TRAINING & MEMBERSHIPS 2,000.00 485.00

TRAVEL FOR TRAINING & MEETINGS 1,000.00 1,505.08

CONTRACT LABOR 50,000.00 62,328.45

MAPS, PUBLICATIONS, TECHNOLOGY 2,000.00 2,014.58

Total
ENGINEERING/PLANNING
ZONING: 223,589.52 216,017.02

PUBLIC
WORKS
&
MAINTENANCE

SALARIESWAGESCOMPENSATION 133,177.00 137,012.23

PAYROLL TAXESFICA 10,255.00 10,248.44

PAYROLL TAXESUNEMPLOYMENT 3,769.00 423.32

PAYROLL TAXESWORKERS COMP 3,846.00 4,673.30

EMPLOYEE BENEFITSHEALTH INS 49,776.30 47,544.08

EMPLOYEE BENEFITSRETIREMENT 25,149.00 25,468.19

EMPLOYEE BENEFITSOTHER 0.00 1,090.10

OVERTIME 0.00 0.00

OFFICE SUPPLIES 750.00 57.91

MISC EXPENSE 1,000.00 99.80

TRAINING & MEMBERSHIPS 0.00 275.00

TRAVEL FOR TRAINING & MEETINGS 500.00 0.00

CLEANING (SHOP) 1,000.00 962.03

FUEL 1,000.00 11,108.03

UTILITIESELECTRICITY 20,000.00 11,516.00

UTILITIESNATURAL GAS 9,000.00 8,820.09

UTILITIESSECURITY 9,500.00 712.29

UTILITIESTELEPHONE 500.00 678.33

UNIFORMS & CLEANING 500.00 391.74

SAFETY EQUIPMENT 1,000.00 1,613.75

REPAIRS & MAINTENANCE 4,000.00 10,070.79

UNDER $5K CAPITAL OUTLAY 5,000.00 0.00

CAPITAL OUTLAY OVER $5K 2,500.00 0.00

Total
CAPITAL
OUTLAY: 282,222.30 272,765.42

EQUIP
REPAIRS
&
MAINT

SALARIESWAGESCOMPENSATION 21,842.00 23,174.35

PAYROLL TAXESFICA 1,748.00 1,797.74

PAYROLL TAXESUNEMPLOYMENT 643.00 390.04

PAYROLL TAXESWORKERS COMP 656.00 742.02

EMPLOYEE BENEFITSHEALTH INS 11,710.86 16,176.96

EMPLOYEE BENEFITSRETIREMENT 4,286.00 4,287.93

OVERTIME 500.00 0.00

TRAVEL FOR TRAINING & MEETINGS 500.00 0.00

PARTS & REPAIRSHEAVY EQUIPMNT 20,000.00 2,801.24

PARTS & REPAIRSPARKS EQUIPMNT 5,000.00 4,148.66

PARTS & REPAIRSSTREETS EQPMNT 9,000.00 9,047.80

PARTS & REPAIRSVEHICLES 5,000.00 4,936.74

PARTS & REPAIRSMISC 2,000.00 2,393.06

SHOP SUPPLIES 1,000.00 1,857.19

TOOLS 2,500.00 1,406.38

Total
EQUIP
REPAIRS
&
MAINT: 86,385.86 73,160.11

TC
DISCRETIONARY
CAP
PROJECTS

LOAN TO AIRPORT FOR HANGAR 4,307,158.00 0

NEW PATHWAYS CONSTRUCTION 425,000.00 286,751.70

PINE CREEK RESTORATION 15,000.00 0.00

205 ENTERTAINMENT LANE 0.00 1,221.40

UNIDENTIFIED PROJECTS 250,000.00 0.00

PINE STREET BEAUTIFICATION 1,500.00 0.00

210 WEST PINE IMPROVEMENTS 25,000.00 19,941.84

Total
TC
DISCRETIONARY
CAP
PROJECTS: 5,023,658.00 307,914.94

Fund:
10
Revenue
Total: 2,977,927.18 3,021,373.34

Fund:
10
Expenditure
Total: 7,541,760.48 2,701,954.39

Total
Fund:
10: 4,563,833.30 10,557,037.39

TRAVEL
&
TOURISM
SPEC
REV
FUND

TAX
REVENUES

LODGING TAX  90% PTTC 270,000.00 340,345.03

LODGING TAX  10% TOWN 32,000.00 0

Total
TAX
REVENUES: 302,000.00 340,345.03

PTTC
DIRECTED
MARKETING
EXP'S

ANNUAL DUES 400.00 0.00

COMMUNITY RELATIONS 15,000.00 18,469.56

GRANT PROGRAMS 38,300.00 26,388.59

PFAC SOUNDCHECK MKTG 30,000.00 30,000.00

INDUSTRY RELATIONS 8,000.00 1,843.21

ONLINE ADVERTISING 3,000.00 8,119.84

PRINT ADVERTISING 5,000.00 37.95

VIDEO PRODUCTION & PHOTOS 5,000.00 0.00

WEBSITE DEVELOPMENT 36,000.00 22,919.29

OTHER MARKETING 8,000.00 0.00

TRADE SHOW/DIRECT SALES 9,500.00 2,392.35

Total
PTTC
DIRECTED
MARKETING
EXP'S: 158,200.00 110,170.79

PTTC
DIRECTED
MARKETING
EXP'S

WINTER CAMPAIGN 41,000 1,075.00

FALL CAMPAIGN 30,000.00 6,754.25

SUMMER CAMPAIGN 20,000.00 43,489.00

SPRING CAMPAIGN 25,000.00 48,229.25

Total
PTTC
DIRECTED
MARKETING
EXP'S: 116,000.00 99,547.50

PTTC
DIRECTED
ADMIN
EXP'S

OTHER ADMIN EXPENSES 0.00 201.60

TRAVEL FOR EVENTS & MEETINGS 6,000.00 5,829.09

CONTRACT SERVICES 8,500.00 7,500.00

NEW PROJECT DEVELOPMENT 5,000.00 0.00

Total
PTTC
DIRECTED
ADMIN
EXP'S: 19,500.00 13,530.69

PTTC
WAGES,
TAXES,
&
BENEFITS

SALARIESWAGESCOMPENSATION 28,283.00 21,193.90

PAYROLL TAXESFICA 2,263.00 1,621.32

PAYROLL TAXESUNEMPLOYMENT 832.00 20.66

PAYROLL TAXESWORKERS COMP 849.00 557.21

EMPLOYEE BENEFITSHEALTH INS 10,539.77 6,636.85

EMPLOYEE BENEFITSRETIREMENT 5,549.00 3,946.30

Total
PTTC
WAGES,
TAXES,
&
BENEFITS: 48,315.77 33,976.24

TOWN
DIRECTED
EXPENSES

10%TOWN DIRECTED EXPENSE 32,000.00 32,000.00

Total
TOWN
DIRECTED
EXPENSES: 32,000.00 32,000.00

TRAVEL
&
TOURISM
SPEC
REV
FUND
Revenue
Total: 302,000 340,345.03

TRAVEL
&
TOURISM
SPEC
REV
FUND
Expenditure
Total: 374,015.77 289,225.22

Total
TRAVEL
&
TOURISM
SPEC
REV
FUND: 72,015.77 51,119.81

AIRPORT
OPERATIONS
FUND

PAYABLE TO FUND 10 HANGAR 0.00 240,777.00

ORDINARY
REVENUES

ADMINISTRATIVE REVENUE 50,000.00 51,463.15

INTEREST REVENUE 6,000.00 0.00

AIRFIELD REVENUE 20,600.00 14,135.92

LAND USE REVENUE 41,400.00 104,221.34

MISCELLANEOUS REVENUE 46,500.00 5,178.72

SALES TAX COLLECTED 2,000.00 1,636.96

Total
ORDINARY
REVENUES: 166,500.00 176,636.09

ORDINARY
REVENUES

HANGAR SPACE LEASE 30,000.00 11,265.90

FBO LINE SERVICES 40,000.00 36,011.50

100 LOW LEAD SALES 138,000.00 98,432.46

JET A SALES 739,200.00 654,874.33

Total
ORDINARY
REVENUES: 947,200.00 800,584.19

GRANT
REVENUE

COOPERATIVE REIMBURSEMENTS 310,487.35 264,198.56

STATE GRANT FUNDS RECEIVED 788,823.00 2,295,052.19

FED GRANT FUNDS RECIEVED 2,459,586.00 731,611.50

LOAN DRAWS RECEIVED 4,307,158.00 0.00

Total
GRANT
REVENUE: 7,866,054.35 3,290,862.25

ROUTINE
EXPENSES

ADVERTISING 6,000.00 2,777.23

TRAVEL AND TRAINING 3,000.00 5,233.77

CREDIT CARD, BANK, & RELATED F 0.00 182.63

SALES & LODGING TAX REMITTED 2,000.00 1,476.18

INSURANCE 12,539.00 7,604.00

NONAIRFIELD REALESTATE EXP 12,000.00 9,898.60

LEGAL 3,000.00 8,500.00

MEMBERSHIP DUES 1,000.00 0.00

PROFESSIONAL FEES 2,000.00 5,550.00

WATER RIGHTS 1,100.00 1,188.45

FUEL GASOLINE 4,000.00 4,130.70

FUEL DIESEL 10,000.00 4,629.76

MISCELLANEOUS 0.00 5,120.01

CAPITAL OUTLAY UNDER $5k 0.00 8,075.68

CAPITAL OUTLAY $5k OR OVER 20,000.00 0.00

OFFICE EXPENSE 1,000.00 1,142.89

MAINTENANCE SUPPLIES 1,500.00 784.28

TOOLS & EQUIPMENT 1,000.00 711.83

CAPITAL OUTLAY UNDER 5 K 3,000.00 43.29

IT SERVICE CONTRACT 6,500.00 9,310.82

Total
ROUTINE
EXPENSES: 89,639.00 76,360.12

NAVIGATION
AIDS

AWOS 5376.00 2536.42

Total
NAVIGATION
AIDS: 5,376.00 2,536.42

AIRFIELD
MAINTENANCE

AIRFIELD BUILDING MAINTENANCE 40,000.00 30,249.64

AIRFIELD EQUIPMENT MAINTENANCE 15,000.00 14,897.13

AIRFIELD LIGHTING MAINTENANCE 5,000.00 4,450.21

AIRFIELD MAINTENANCE 4,000.00 13,123.85

Total
AIRFIELD
MAINTENANCE: 64,000.00 62,720.83

AIRPORT
UTILITIES

ELECTRICITY 18,000.00 15,711.33

GAS 8,000.00 5,727.29

INTERNET, PHONE, CELL 1,000.00 1,165.86

TRASH 1,000.00 1,445.25

Total
AIRPORT
UTILITIES: 28,000.00 24,049.73

AIRPORT
UTILITIES

LOW LEAD PURCHASE FOR RESALE 114,000.00 78,243.00

JET A FUEL PURCHASE FOR RESALE 508,000.00 507,230.05

FUEL FARM MAINTENANCE 5,000.00 5,488.76

SOFTWARE/LICENSING 4,000.00 1,275.00

CREDIT CARD, BANK, & RELATED F 13,000.00 18,129.10

DEICE EXPENSE 9,000.00 9,396.96

AMENITIES 3,000.00 8,036.18

FBO LINE SERVICE EXPENSES 1,500.00 29,981.29

JETA FACILITY LOAN 33,416.41 0.00

Total
AIRPORT
UTILITIES: 690,916.41 657,780.34

AIRPORT
WAGES,
TAXES,
BENEFITS

SALARIESWAGESCOMPENSATION 130,313.00 134,431.72

PAYROLL TAXESFICA 10,425.04 10,163.78

PAYROLL TAXESUNEMPLOYMENT 3,831.20 441.84

PAYROLL TAXESWORKERS COMP 3,909.39 3,479.17

EMPLOYEE BENEFITSHEALTH INS 46,843.44 42,938.28

EMPLOYEE BENEFITSRETIREMENT 23,617.18 23,348.89

OVERTIME 5,000.00 845.21

CONTRACT LABOR 1,000.00 0.00

Total
AIRPORT
WAGES,
TAXES,
BENEFITS: 224,939.25 215,648.89

GRANT
EXPENSES

PROJECT NONREIMBURSEABLE 4,332,100.00 230,859.00

STATE GRANTS 782,022.61 725,012.59

PROJECT EXPENSE COUNTY COOP 164,277.35 261,546.78

FEDERAL GRANTS 2,459,586.00 2,193,205.03

Total
GRANT
EXPENSES: 7,737,985.96 3,410,623.40

AIRPORT
OPERATIONS
Revenue
Total: 8,979,754.35 4,268,082.53

AIRPORT
OPERATIONS
Expenditure
&
Total: 8,840,856.62 4,449,719.73

Total
AIRPORT
OPERATIONS
&
PAYABLES: 138,897.73 (59,139.80)

UTILITY
REVENUE

SLIB FUNDING MISC PROJECTS 1,258,000.00 1,142,492.18

PH 9 DW SRF (FED FUNDS) 0.00 0.00

PH 9 MRG 0.00 0.00

INTEREST INCOME (WATER) 50,000.00 34,871.00

MISC & EXTRA SERVICESWATER 2,000.00 1,212.32

WATER CONNECT FEES 40,500.00 112,231.63

WATER FEE 796,284.00 860,075.67

WATER BULK SALES 20,000.00 22,734.23

WATER METERS 37,875.00 12,525.97

LAB FEES 12,000.00 13,853.46

LATE FEES 16,000.00 43,792.28

DISCONNECT/RECONN FEES 3,000.00 2,500.00

Total
UTILITY
REVENUE: 2,235,659.00 2,246,288.74

WATER

SALARIESWAGESCOMPENSATION 235,2985.07 211,686.23

PAYROLL TAXESFICA 18,823.61 16,073.04

PAYROLL TAXESUNEMPLOYMENT 6,917.68 375.23

PAYROLL TAXESWORKERS COMP 7,058.85 5,643.10

EMPLOYEE BENEFITSHEALTH INS 105,255.48 91,866.13

EMPLOYEE BENEFITSRETIREMENT 46,164.89 39,729.77

EMPLOYEE BENEFITSOTHER 0.00 1,500.00

OVERTIME 3,000.00 1,684.85

EDUCATIONAL BONUSES 3,000.00 0.00

INSURANCE 3,900.00 3,920.65

OFFICE SUPPLIES & POSTAGE 1,500.00 830.97

BANK AND XPRESS FEES 11,000.00 11,536.15

MISC 60,104.80 60,105.00

MISC EXPENSE 0.00 495.20

NOTICES/ADVERTISEMENTS 750.00 64.75

TRAINING & MEMBERSHIPS 3,000.00 1,153.00

TRAVEL FOR TRAINING & MEETINGS 3,000.00 1,466.74

CONTRACT BILLING SERVICE 5,000.00 5,366.54

ENGINEERING  MISC 20,000.00 25,905.73

FUEL 5,000.00 14,677.09

UTILITIESCELL PHONES 2,000.00 2,032.99

UTILITIESELECTRICITY 30,000.00 34,816.66

UTILITIESNATURAL GAS 5,500.00 3,479.27

UTILITIESSECURITY 4,500.00 2,127.92

UTILITIESSEWER 336.00 351.50

UTILITIESTELEPHONE 500.00 0.00

UTILITIESWATER 1,250.00 857.75

WATER TESTING 25,000.00 26,793.05

IN HOUSE WATER TESTING 20,000.00 16,566.91

WATER LINE LOCATING 500.00 484.65

LEGAL FEES 1,000.00 0.00

CHEMICALS 60,000.00 28,833.16

WATER METER OPERATIONS 65,000.00 17,820.71

SRF GRANT INTEREST PH8 0.00 0.00

PHASE 3/QUARTZ REPAIR 1,970,962.27 1,563,583.49

REPAIRS & MAINTENANCE 25,000.00 30,604.18

SOFTWARE & SCADA 25,000.00 13,911.20

CONTRACT LABOR 5,000.00 125.00

IT SUPPORT 22,500.00 25,254.82

UNPLANNED EXPENSE 15,000.00 19,288.74

UNDER $5K CAPITAL OUTLAY 5,000.00 5,219.55

CAPITAL OUTLAY OVER $5K 41,000.00 0.00

SPECIFIC ITEMSPROJECTS HEADER 28,000.00 0.00

PHASE 9 DW PAYMENT 5,445.00 0.00

PHASE 9 DW PAYMENT INTEREST 2,072.00 0.00

Total WATER EXPENSE: 2,899,335.65 2,286,231.72

SEWER FUND

UTILITY REVENUE

523706025

ALM/DEQ/OTHER GRANT FUNDS 2,650,115.90 523,529.42

INTEREST INCOME (SEWER) 10,000.00 18,842.00

MISC & EXTRA SERVICESSEWER 0.00 100.00

DUMP STATION 12,000.00 4,384.71

SEWER FEES 517,423.00 537,387.74

SEWER CONNECT FEES 40,500.00 81,000.00

HOLDING TANK 50,000.00 59,664.64

LATE FEES 16,000.00 0.00

Total
UTILITY
REVENUE: 3,296,038.90 1,224,908.51

SEWER

SALARIESWAGESCOMPENSATION 134,431.00 156,243.52

PAYROLL TAXESFICA 10,760.00 11,759.83

PAYROLL TAXESUNEMPLOYMENT 3,953.00 239.03

PAYROLL TAXESWORKERS COMP 4,033.00 4,149.66

EMPLOYEE BENEFITSHEALTH INS 51,077.00 61,813.22

EMPLOYEE BENEFITSRETIREMENT 26,376.00 29,230.45

EMPLOYEE BENEFITSOTHER 0.00 1,000.00

OVERTIME 1,000.00 740.85

EDUCATIONAL BONUSES 2,000.00 0.00

INSURANCE 3,700.00 0.00

OFFICE SUPPLIES & POSTAGE 300.00 96.97

BANK & XPRESS BILL PAY 5,600.00 6,198.53

MISC EXPENSE 38,109.32 37,879.50

NOTICES/ADVERTISEMENTS 500.00 0.00

TRAINING & MEMBERSHIPS 3,000.00 990.00

TRAVEL FOR TRAINING & MEETINGS 3,000.00 880.70

CONTRACT BILLING SERVICE 3,000.00 3,659.60

ENGINEERING 25,000.00 27,943.82

FUEL 5,000.00 3,227.84

UTILITIESCELL PHONES 2,000.00 1,180.01

UTILITIESELECTRICITY 35,000.00 36,035.18

UTILITIESNATURAL GAS 3,500.00 2,692.67

UTILITIESSECURITY 0.00 53.23

UTILITIESTRASH REMOVAL 2,500.00 2,380.00

SEWER TESTING 1,000.00 3,846.94

IN HOUSE WASTEWATER TESTING 7,000.00 7,602.08

SEWER LINE LOCATING 500.00 253.12

CHEMICALS 40,000.00 21,808.00

CLEANING OPERATIONS 0.00 16.99

LAGOON OPERATIONS 2,500.00 1,519.32

LIFT STATIONS 2,500.00 0.00

REPAIRS & MAINTENANCE 15,000.00 15,382.48

SEWER SCADA 6,000.00 12,761.83

CONTRACT LABOR 5,000.00 125.00

IT SUPPORT CONTRACT 22,500.00 24,261.07

UNPLANNED EXPENSE 10,000.00 3,969.31

UNDER $5K CAPITAL OUTLAY 5,000.00 1,863.88

CAPITAL OUTLAY OVER $5K 30,000.00 0.00

PHASE 9 CW PAYMENT 2,654.60 0.00

PHASE 9 CW PAYMENT INTEREST 916.03 0.00

ORCUTT SEEP I&I REDUCTION 45,265.90 24,322.58

WWTF REHABILITATION 2,290,350.00 121,619.42

SHALLOW WATER MAIN 417,859.33 273,904.92

DEPRECIATION RESERVE 25,000.00 0.00

Total
: 3,292,885.18 901,651.55

Notice #0837 published in the Pinedale Roundup on August 27, 2026

RE-NOTICE
OF
BUDGET
MEETING: 

The Sublette County Predatory Animal Management Board will hold its Budget Approval Meeting on Sept 2nd, 2026 at 7:00pm via Teleconference. Members of the public can join the call at https://hello.freeconference.com/conf/call/4782777 or by calling 1-605-562-8400 – Access Code 4782777

Notice #0836 published in the Pinedale Roundup on August 27, 2026

ORDINANCE
742

AN ORDINANCE OF THE TOWN OF PINEDALE, STATE OF WYOMING, CREATING ARTICLE VI OF CHAPTER 440 RELATING TO BICYCLES, ELECTRIC BICYCLES, MOTOR-ASSISTED DEVICES, AND PATHWAY USE.

NOW, THEREFORE, BE IT HEREBY ORDAINED BY THE TOWN COUNCIL OF THE TOWN OF PINEDALE, WYOMING, THAT ARTICLE VI OF CHAPTER 440 OF THE PINEDALE MUNICIPAL CODE IS HEREBY CREATED TO READ AS FOLLOWS:

ARTICLE VI

Bicycles, Electric Bicycles, Motor-Assisted Devices, and Pathway Use

§ 440-26. Purpose.

The purpose of this article is to protect the health, safety, and welfare of pedestrians, bicyclists, electric bicycle users, children, families, and other users of Town streets, sidewalks, parks, bicycle facilities, and pathways by establishing clear rules for the safe operation of bicycles, electric bicycles, motor-assisted scooters, and similar devices within the Town of Pinedale. This article is intended to promote safe shared use of public facilities, reduce conflicts between faster and slower users, and provide enforceable standards for speed, passing, yielding, and responsible operation.

§ 440-27. Definitions.

As used in this article, the following terms shall have the meanings indicated:

BICYCLE: A device propelled solely by human power upon which a person may ride, having two or more wheels, including a tricycle, but excluding a wheelchair or other pedestrian vehicle used by a person with a disability.

ELECTRIC BICYCLE: A bicycle or tricycle equipped with fully operable pedals and an electric motor of less than 750 watts, and which meets the definition of an electric bicycle under Wyoming law.

CLASS 1 ELECTRIC BICYCLE: An electric bicycle equipped with a motor that provides assistance only when the rider is pedaling and that ceases to provide assistance when the bicycle reaches 20 miles per hour.

CLASS 2 ELECTRIC BICYCLE: An electric bicycle equipped with a motor that may be used exclusively to propel the bicycle and that is not capable of providing assistance when the bicycle reaches 20 miles per hour.

CLASS 3 ELECTRIC BICYCLE: An electric bicycle equipped with a motor that provides assistance only when the rider is pedaling and that ceases to provide assistance when the bicycle reaches 28 miles per hour.

MOTOR-ASSISTED SCOOTER: A self-propelled device with at least two wheels in contact with the ground during operation, a braking system, an electric or gas motor, and a deck or seat designed to allow a person to stand or sit while operating the device, but which is not an electric bicycle.

PATHWAY: Any Town-owned, Town-maintained, or Town-controlled bicycle path, shared-use path, multi-use path, trail, greenway, or similar public facility designated or customarily used for pedestrian, bicycle, or other non-automobile travel, whether located within a park, public right-of-way, easement, or other public property.

PEDESTRIAN: Any person afoot or using a wheelchair, mobility aid, stroller, or other pedestrian vehicle.

USER: Any person walking, running, riding, operating, or using a bicycle, electric bicycle, motor-assisted scooter, skateboard, roller skates, skis, mobility device, or other permitted device on a pathway, sidewalk, street, alley, park, or other public place.

§ 440-28. Applicability.

A. This article applies within the corporate limits of the Town of Pinedale and upon all Town-owned, Town-maintained, or Town-controlled streets, alleys, sidewalks, parks, pathways, bicycle facilities, and public places.

B. This article does not apply to pathways, trails, roads, or facilities under the jurisdiction of Sublette County, the State of Wyoming, the Wyoming Department of Transportation, the United States, a school district, or any other separate public entity, except to the extent the Town has jurisdiction by ownership, agreement, easement, maintenance responsibility, or other lawful authority.

C. Nothing in this article authorizes operation on a sidewalk where such operation is otherwise prohibited under Chapter 395 of the Pinedale Municipal Code.

D. Nothing in this article limits the authority of the Town to regulate parks under Chapter 322 of the Pinedale Municipal Code or to adopt additional rules for specific parks, pathways, or public facilities.

§ 440-29. Electric bicycles permitted and prohibited.

A. Class 1 electric bicycles and Class 2 electric bicycles may be operated where bicycles are permitted, unless prohibited by posted sign, resolution, rule, or other lawful action of the Town Council.

B. Class 3 electric bicycles may be operated on public streets and bicycle lanes where bicycles are permitted.

C. Class 3 electric bicycles shall not be operated on Town pathways unless:

  (1) The pathway is within or adjacent to a highway or roadway; or

  (2) The Town Council has authorized Class 3 electric bicycle use on that pathway by resolution, posted sign, map, or other official designation.

D. The Town Council may, by resolution, prohibit or restrict any class of electric bicycle on any Town pathway, park, bicycle facility, sidewalk, or other public place where such restriction is reasonably related to public safety, facility design, congestion, pedestrian use, environmental conditions, or the character of the facility.

E. Electric bicycles shall comply with applicable equipment, manufacturing, labeling, and operational requirements under Wyoming law. No person shall modify an electric bicycle in a manner that changes its motor-powered speed capability or motor engagement unless the classification label is replaced as required by Wyoming law.

F. Electric vehicles or motorized devices that do not meet the definition of a bicycle, electric bicycle, motor-assisted scooter, pedestrian vehicle, authorized mobility device, or other device permitted by this article are prohibited on Town pathways unless expressly authorized by the Town Council, the Mayor, the Director of Public Works, the Municipal Officer, or their designee for public safety, maintenance, accessibility, emergency response, or special event purposes.

§ 440-30. Speed and safe operation.

A. No person shall operate a bicycle, electric bicycle, motor-assisted scooter, or other permitted device on a pathway, sidewalk, park, bicycle facility, or public place at a speed greater than is reasonable and prudent under the conditions then existing.

B. In determining whether speed is reasonable and prudent, consideration shall be given to pedestrian presence, children, animals, visibility, weather, surface condition, congestion, intersections, curves, driveways, street crossings, trail width, and any other actual or potential hazard.

C. Where signs are posted, no person shall operate a bicycle, electric bicycle, motor-assisted scooter, or other permitted device in excess of the posted speed limit.

D. Unless otherwise posted, the maximum lawful speed on Town pathways shall be 10 miles per hour.

E. The Town Council may establish, amend, or remove pathway speed limits by resolution. The Mayor, Director of Public Works, Municipal Officer, or their designee may temporarily post lower speed limits or temporary restrictions when necessary for safety, construction, maintenance, special events, seasonal conditions, or emergency conditions.

F. No person shall operate a bicycle, electric bicycle, motor-assisted scooter, or other permitted device in a careless, reckless, aggressive, or inattentive manner so as to endanger or be likely to endanger any person or property.

G Motor-assisted scooters may be operated where bicycles are permitted, unless prohibited by posted sign, resolution, rule, or other lawful action of the Town Council. No motor-assisted scooter shall be operated on a sidewalk where such operation is otherwise prohibited by the Pinedale Municipal Code.

§ 440-31. Passing, yielding, and pathway conduct.

A. All pathway users shall keep to the right side of the pathway except when safely passing, avoiding an obstruction, complying with official direction, or when pathway design or conditions reasonably require otherwise.

B. A user overtaking another user shall pass to the left at a safe distance and shall not return to the right side of the pathway until safely clear of the overtaken user.

C. A user overtaking another user shall give an audible warning before passing, by bell, voice, or other reasonable means, in sufficient time for the overtaken user to hear and respond.

D. Users passing in a group shall pass in single file when necessary for safety or when approaching pedestrians, children, animals, curves, intersections, street crossings, or other users.

E. Users employing a faster mode of travel have the duty to avoid users employing a slower mode of travel.

F. Users shall yield the right-of-way to pedestrians.

G. Users entering, crossing, or emerging from a pathway, sidewalk, driveway, alley, parking lot, park, or street crossing shall proceed with caution and yield when necessary to avoid creating a hazard.

H. No person shall place, construct, or use ramps, jumps, obstacles, devices, or other materials on a pathway, sidewalk, park, bicycle facility, or public place without authorization from the Town.

I. No person shall fail to obey any official sign, pavement marking, traffic-control device, or posted rule applicable to a pathway, sidewalk, park, bicycle facility, street, alley, or other public place.

§ 440-32. Riding with passengers; towing.

A. No person shall operate a bicycle, electric bicycle, motor-assisted scooter, or other permitted device with more persons on the device than it was designed or equipped to carry.

B. This section does not prohibit use of a tandem bicycle, cargo bicycle, child seat, baby carrier, trailer, or similar equipment designed and safely equipped for carrying additional passengers or cargo.

C. No person shall tow or pull another person, sled, skateboard, scooter, skis, bicycle, or similar device by rope, flexible coupling, or other unsafe means on a street, sidewalk, pathway, park, or public place.

§ 440-33. Minors and parental responsibility.

A. A parent, guardian, or person having custody or control of a minor shall not authorize or knowingly permit the minor to operate an electric bicycle, motor-assisted scooter, or other device in a manner inconsistent with the device’s lawful classification, posted restrictions, or this article.

B. Nothing in this section shall be construed to impose strict liability on a parent, guardian, or custodian for conduct of a minor unless the parent, guardian, or custodian authorized or knowingly permitted the violation.

§ 440-34. Signs and designation of restricted areas.

A. The Town may post signs or markings establishing pathway speed limits, restricted areas, dismount zones, walk-only zones, no-riding zones, pedestrian-priority areas, e-bike restrictions, scooter restrictions, or other safety rules consistent with this article.

B. Posted signs or markings authorized under this article shall have the force and effect of this article.

C. The Town Clerk may maintain a list or map of pathways, parks, bicycle facilities, and public places where specific restrictions have been adopted by resolution or official designation.

§ 440-35. Enforcement, violations and penalties.

A. This article may be enforced by any law enforcement officer or other person authorized by the Town.

B. Any person violating any provision of this article shall be guilty of an infraction and, upon conviction, shall be punished as provided in Chapter 1, Article IV, General Penalty, of the Pinedale Municipal Code, unless a different penalty is specifically provided by law.

C. Each act of violation and each day a violation continues shall constitute a separate offense.

D. In addition to any penalty, the Town may seek any lawful remedy available to protect public safety, public property, or the safe use of Town pathways, streets, sidewalks, parks, bicycle facilities, or public places.

§ 440-37. Effective date.

This ordinance shall be in full force and effect from and after its passage, approval, and publication as required by law. The enforcement implementation date of this article shall be September 1, 2026, unless otherwise directed by the Town Council.

All ordinances or parts of ordinances in conflict with this ordinance are hereby repealed to the extent of such conflict.

PASSED ON FIRST READING ON JULY 13, 2026.

PASSED ON SECOND READING ON JULY 27, 2026.

PASSED, APPROVED AND ADOPTED ON THIRD READING ON AUGUST 10, 2026.

TOWN OF PINEDALE

STATE OF WYOMING

BY: ATTEST:

MATT W. MURDOCK, MAYOR

TOWN CLERK

Notice #0835 published in the Pinedale Roundup on August 27, 2026

PUBLIC
NOTICE:

On Tuesday, September 15, 2026, the Board of County Commissioners will make the following board appointment:

1 – Remainder term, Recreation Board (exp 12/31/2029)

Anyone interested in volunteering for this position should request an application form and return it to County Administrator, PO Box 250, Pinedale, WY, 82941, or jeness.saxton@sublettecountywy.gov by 5 PM on September 4, 2026.

Notice #0834 published in the Pinedale Roundup on August 20, 27, 2026

NOTICE
OF
ELECTION
OF
OFFICERS
REDSTONE
UPPER
GREEN
RIVER
IMPROVEMENT
DISTRICT

Notice is hereby given that an election will be held on November 3, 2026, for one board member for the Redstone Upper Green River Improvement District.  Only registered landowners in the district are eligible to hold office.  The terms of office will be from January 1, 2027 through December 31, 2029.  Duties will be to work with the other officers to determine policy for the maintenance of roads and bridges within the development.  The filing period for this office is August 19, 2026 to September 8, 2026.  Application forms will be distributed via mail to all landowners and may be requested from any board member.  Completed application forms must be sent to RUGRID, P.O. Box 21, Cora, WY 82925. 

Notice #0832 published in the Pinedale Roundup on August 20, 27, 2026 

INVITATION
TO
BID

TOWN
OF
PINEDALE,
WYOMING

Town of Pinedale Anaerobic Pond Covers Replacement Project Notice is hereby given that the Town of Pinedale (Town) is accepting sealed bids for the Town of Pinedale Anaerobic Pond Covers Replacement Project at its wastewater treatment facility (WWTF), 61 Pinedale South Rd., Pinedale, Wyoming.

The Work will include all necessary labor, supervision, equipment, tools, and materials for the replacement anaerobic pond covers. Work includes, but is not limited to, insulated floating covers, sand tubes, perimeter skirt for anchoring, access casing, and walkways. Work to include all associated site work related to the project including, but not limited to, HDPE membrane welding, anchor trench excavation, and backfill. The Town will remove the existing covers before the Replacement Project begins.

Bid documents may be obtained from Town Hall or by contacting abrampearce@townofpinedale.us. The Town of Pinedale will not be responsible for full or partial sets of documents, including addenda, obtained from sources other than the Town.

This project will be funded in whole or in part by the State Revolving Fund (SRF) Program. The use of American Iron and Steel (AIS) requirements as contained in Section 436 of H.R. 3547, The Consolidation Appropriations Act, 2014, and as updated and revised in America’s Water Infrastructure Act of 2018, apply. Davis-Bacon wages (29 CFR 5.5) will be required for this Contract.

The public bidding process will be followed per SRF program requirements. A non-mandatory prebid meeting will be held on Tuesday, September 1, 2026, at 2:00 PM at the Town’s Public Works Facility located at 61 Pinedale South Rd., Pinedale, Wyoming.

Sealed bids will be received at the office of the Town Clerk, Town of Pinedale, located at 205 Entertainment Lane, Pinedale, Wyoming 82941, until September 8, 2026, at 2:00 PM, at which time bids will be publicly opened and read aloud. Bids shall be delivered in accordance with the Instructions to Bidders. Any bid received after the time specified or without accompanying Bid

Guaranty, will not be considered. Questions regarding the bid documents shall be directed to Abram Pearce at (307) 367-4136 or by email to abrampearce@townofpinedale.us.

Bid opening will be public in accordance with Wyoming State Statute (W.S.) 16-6-1001(a)(iii). The Bid Security shall be a minimum of 5 percent of the bid and bonded if it exceeds $150,000 following W.S. 15-1-113(f). Contract Securities must be for 100 percent of the contract price per W.S. 15-1-113(d) & (f) and W.S. 16-6-112. Per the Materials Preference Clause pursuant to W.S. 16-6-106, preference is hereby given to materials, supplies, agricultural products, equipment, machinery and provisions produced, manufactured or grown in Wyoming, or supplied by a resident of the state, quality being equal to articles offered by the competitors outside of the state. Pursuant to W.S. 16-6-102, a five percent preference will be granted to certified Resident Contractors. Bidders seeking this preference must submit a current Wyoming Resident Contractor Certificate issued by the Wyoming Department of Workforce Services with their bid. The contract shall be awarded to the lowest responsible certified resident bidder if their bid is not more than five percent higher than the lowest responsible nonresident bidder.

For all further requirements regarding bid submittal, qualifications, bid bonds, performance and payment bonds, procedures, and contract award, refer to the Instructions to Bidders that are included in the Bidding Documents.

The Town of Pinedale reserves the right to reject any and all bids, to waive informalities, and to accept any bid which in its opinion best serves its interests.

Notice #0829 published in the Pinedale Roundup on August 13, 20, 27, Sept. 3, 2026