TABLE XI: BONDS
Ord. No.
Date Passed
Description
Ord. No.
Date Passed
Description
3134
12-8-97
Authorizing the issuance of general obligation bonds for the purpose of paying the costs of a new municipal building and certain related costs.
3135
12-8-97
Abating the tax levied for 1997 to pay the principal of and interest on $775,000 general obligation bonds, series 1992.
3136
12-8-97
Abating the tax levied for 1997 to pay the principal of and interest on $750,000 general obligation bonds, series 1993.
Res. 3925
6-23-97
Authorizing the issuance of Hospital Facility Refunding Revenue Bonds, Series 1997 (Kewanee Hospital).
3144
2-25-98
Authorizing the issuance of $3,000,000 general obligation bonds (sales tax revenues alternate revenue source), Series 1998.
3187
12-14-98
Abating the tax levied for 1998 to pay the principle of , and the interest on, $775,000 general obligation bonds, series 1992.
3188
12-14-98
Abating the tax levied for 1998 to pay the principle of, and the interest on, $750,000 general obligation bonds, series 1993.
3189
12-14-98
Abating the tax levied for 1998 to pay the principle of, and the interest on, $3,000,000 general obligation bonds, series 1998.
3233
12-13-99
Abating the tax levied for 1999 to pay the principal of, and the interest on, $775,000 general obligation bonds (alternate revenue source), series 1992.
3234
12-13-99
Abating the tax levied for 1999 to pay the principal of, and the interest on, $750,000 general obligation bonds, series 1993.
3235
12-13-99
Abating the tax levied for 1999 to pay the principal of, and the interest on, $3,000,000 general obligation bonds, Series 1998.
Res. 4116
4-10-00
Authorizing a rebate of 50% for taxes due in 1999 and payable in 2000 and a 25% rebate for taxes due in 2000 and payable in 2001 to owners of property located in Edgewood Drive.
3283
11-29-00
Authorizing the issuance of up to $3,200,000 aggregate principal amount of general obligation bond for the purpose of paying costs of improving the water and sewer systems.
3289
2-2-01
Authorizing the issuance of $3,200,000 general obligation bonds, Series 2001, and the levy of sewer and water fees sufficient to pay the principal of and interest on such bonds.
3290
1-22-01
Authorizing the issuance of $297,660,000 non-referendum general obligation bonds, Series 2001, and for the levy of property taxes sufficient to pay the principal of such bonds.
3329
12-10-01
Abating the tax levied for 2001 to pay principal and interest on $750,000 general obligation bonds, Series 1993.
3330
12-10-01
Abating the tax levied for 2001 to pay principal and interest on $3,000,000 general obligation bonds, Series 1998.
3331
12-10-01
Authorizing the issuance of $299,285 non- referendum general obligation bonds, Series 2002, and for the levy of property taxes sufficient to pay the principal of such bonds.
3332
12-10-01
Abating the tax levied for 2001 to pay principal and interest on $3,200,000 general obligation bonds, Series 2001.
3353
8-12-02
Authorizing the issuance of up to $8,500,000 waterworks and sewerage revenue bonds for the purpose of defraying costs and improving waterworks facilities.
3411
8-11-03
Authorizing the issuance of $975,000 tax increment revenue bonds, Series 2003.
Res. 4327
9-9-03
Authorizing the issuance of up to $1,750,000 capital improvement bonds, Series 2003.
3415
11-24-03
Abating the tax heretofore levied for the fiscal year 2003 to pay the principal of, and the interest on, $750,000 general obligation bonds, Series 1993.
3416
11-24-03
Abating the tax heretofore levied for the year 2003 to pay the principal of, and the interest on, $3,000,000 general obligation bonds, Series 1998.
3417
11-24-03
Abating the tax heretofore levied for the year 2003 to pay the principal of, and the interest on, $3,200,000 general obligation bonds, Series 2001.
3418
11-24-03
Authorizing the issuance of $296,777.50 non-referendum general obligation bonds, Series 2004.
3453
11-22-04
Authorizing the issuance of tax increment revenue bonds (East & 11th 2004 TIF), Series 2004.
3456
12-13-04
Abating the tax heretofore levied by Ordinance 3144 for the year 2004 to pay the principal of, and the interest on, $3,000,000 general obligation bonds (alternate revenue source), Series 1998.
3457
12-13-04
Abating the tax heretofore levied by Ordinance 3289 for the year 2004 to pay the principal of, and the interest on, $3,200,000 general obligation bonds (water and sewer revenues alternate revenue source), Series 2001.
3458
12-13-04
Authorizing the issuance of $300,027.50 non-referendum general obligation bonds, Series 2005, and providing the details of such bonds and for the levy of property taxes sufficient to pay the principal of such bonds.
3468
5-9-05
Authorizing the issuance of general obligation refunding bonds (sales taxes alternate revenue source), Series 2005, and for an alternate revenue source and the levy of direct annual taxes.
3473
7-25-05
Authorizing the issuance of general obligation refunding bonds (sales taxes alternate revenue source), Series 2005, to secure the payment of certain local governmental securities.
3492
12-12-05
Authorizing the issuance of general obligation refunding bonds, Series 2006, to replace and repair the city sanitary sewer and water main distribution system.
3496
1-23-06
Authorizing the issuance of tax increment refunding revenue bonds (Mill Creek Station 2003 TIF), Series 2006.
3524
12-11-06
Abating the tax heretofore levied by Ordinance 3468 for the year 2006 to pay the principal of, and the interest on, $2,550,000 general obligation refunding bonds (sales taxes alternate revenue source), Series 2005.
3525
12-11-06
Abating the tax heretofore levied by Ordinance 3289 for the year 2006 to pay the principal of, and the interest on, $3,200,000 general obligation bonds (water and sewer revenues alternate revenue source), Series 2001.
3526
12-11-06
Authorizing the issuance of non-referendum general obligation bonds, Series 2007, to replace and repair the existing sanitary sewer system and water main distribution system, to increase the city’s existing water storage capacity, and to undertake certain related activities.
3559
12-10-07
Abating the tax heretofore levied for the year 2007 to pay the principal, of and the interest on, $2,550,000 general obligation refunding bonds (sales tax alternate revenue source), Series 2005.
3560
12-10-07
Abating the tax heretofore levied for the year 2007 to pay the principal of, and the interest on $3,200,000 general obligation bonds (water and sewer revenues alternate revenue source), Series 2001.
3561
12-11-07
Authorizing the issuance of $297,002.50 non-referendum general obligation bonds, Series 2008.
3594
12-8-08
Abating the tax heretofore levied for the year 2008 to pay the principal of, and the interest on, $2,550,000 general obligation refunding bonds (sales tax alternate revenue source), Series 2005.
3595
12-10-08
Abating the tax heretofore levied for the year 2008 to pay the principal of, and the interest on, $3,200,000 general obligation bonds (water and sewer revenue source), Series 2001.
3596
12-10-08
Authorizing the issuance of $298,392.50 non-referendum general obligation bonds, Series 2009, providing the details of such bonds and for the levy of property taxes sufficient to pay the principal of such bonds, and authorizing and approving related matters.
3618
9-14-09
Authorizing the issuance of tax increment refunding revenue bonds (East and 11th 2004 TIF) Series 2009, and related matters.
3623
12-15-09
Authorizing the issuance of $299,262.50 non-referendum general obligation bonds, Series 2010.
3624
12-14-09
Abating the tax heretofore levied for the year 2009 to pay the principal of, and the interest on, $3,200,000 general obligation bonds (water and sewer revenues alternative source), Series 2001.
3625
12-14-09
Abating the tax heretofore levied for the year 2009 to pay the principal of, and the interest on, $2,550,000 general obligation refunding bonds (sales tax alternate revenue source), Series 2005.
3631
3-22-10
Authorizing the issuance of up to $700,000 waterworks and sewerage revenue bonds.
3661
12-13-10
Authorizing the issuance of $299,487.50 non-referendum general obligation bonds, Series 2011.
3662
12-13-10
Abating the tax heretofore levied for the year 2010 to pay the principal of, and the interest on, $3,200,000 general obligation bonds (water and sewer revenues alternate revenue source), Series 2011.
3663
12-13-10
Abating the tax heretofore levied for the year 2010 to pay the principal of, and the interest on, $2,550,000 general obligation refunding bonds (sales tax alternate revenue source), Series 2005.
3675
6-13-11
Authorizing the issuance of general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2011A, and general obligation refunding bonds (alternate revenue source), Series 2011B.
3686
11-14-11
Authorizing the issuance of up to $4,000,000 alternate revenue source bonds to finance various municipal facilities, improvements and costs.
3689
12-12-11
Authorizing the issuance of $284,225 non- referendum general obligation bonds, Series 2012.
3690
12-12-11
Abating the tax heretofore levied for the year 2011 to pay the principal of, and the interest on, $1,315,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2011A.
3691
12-12-11
Abating the tax heretofore levied for the year 2011 to pay the principal of, and the interest on, $1,430,000 general obligation refunding bonds (alternate revenue source), Series 2011B.
3695
1-9-12
Authorizing the issuance of up to $4,000,000 in general obligation bonds (alternate revenue source), Series 2012.
3699
3-26-12
Authorizing the issuance of tax increment refunding revenue bonds (Mill Creek Station 2003 TIF), Series 2012.
3700
4-9-12
Authorizing the issuance of up to $900,000 waterworks and sewerage revenue bonds, to defray the cost of acquiring, constructing and installing improvements to the waterworks facilities.
3717
12-10-12
Authorizing the issuance of $282,850 non-referendum general obligation bonds, Series 2013.
3718
12-10-12
Abating the tax heretofore levied for year 2012 to pay principal of, and interest thereon, on $1,315,000 general obligation waterworks and sewerage refunding bonds.
3719
12-10-12
Abating the tax heretofore levied for year 2012 to pay principal of, and interest thereon, on $1,430,000 general obligation refunding bonds (alternate revenue source) Series 2011B.
3723
1-14-13
Authorizing the issuance of waterworks and sewerage revenue bonds and alternate revenue source (in lieu of such revenue bonds) to refinance waterworks and sewerage facilities and improvements.
3725
3-11-13
Authorizing the issuance of general obligation water works and sewerage refunding bond (alternate revenue source), Series 2013.
3751
12-9-13
Authorizing the issuance of $281,350 non-referendum general obligation bonds, Series 2014.
3752
12-9-13
Abating the tax heretofore levied for year 2013 to pay principal of, and interest thereon, on $1,315,000 general obligation waterworks and sewerage refunding bonds.
3753
12-9-13
Abating the tax heretofore levied for year 2013 to pay principal of, and interest thereon, on $1,430,000 general obligation refunding bonds (alternate revenue source), Series 2011B.
3754
12-9-13
Abating the tax heretofore levied for year 2013 to pay principal of, and interest thereon, on $3,755,000 general obligation bonds (alternate revenue source), Series 2012.
3755
12-9-13
Abating the tax heretofore levied for year 2013 to pay principal of, and interest thereon, on $5,935,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2013.
3779
11-24-14
Authorizing the issuance of $288,400 non-referendum general obligation bonds, Series 2015.
3780
11-24-14
Abating the tax heretofore levied for year 2014 to pay principal of, and interest on, $1,315,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2011A.
3781
11-24-14
Abating the tax heretofore levied for year 2014 to pay principal of, and interest on, $1,430,000 general obligation refunding bonds (alternate revenue source), Series 2011B.
3782
11-24-14
Abating the tax heretofore levied for year 2014 to pay principal of, and interest on, $3,755,000 general obligation bonds (alternate revenue source), Series 2012.
3783
11-24-14
Abating the tax heretofore levied for year 2013 to pay principal of, and interest on, $5,935,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2013.
3794
4-27-15
Authorizing the issuance of general obligation bonds (alternate revenue source), Series 2015.
3797
6-8-15
Authorizing the issuance of general obligation bonds (alternate revenue source), Series 2015, in an aggregate principal amount not to exceed $4,000,000.
3814
11-23-15
Authorizing the issuance of not to exceed $295,000 General Obligation Bonds, Series 2015A.
3816
12-14-15
Abating the tax heretofore levied for year 2015 to pay principal of, and interest on, $3,640,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2015.
3817
12-14-15
Abating the tax heretofore levied for year 2015 to pay principal of, and interest on, $1,430,000 general obligation refunding bonds (alternate revenue source), Series 2011B.
3818
12-14-15
Abating the tax heretofore levied for year 2015 to pay principal of, and interest on, $3,755,000 general obligation bonds (alternate revenue source), Series 2012.
3819
12-14-15
Abating the tax heretofore levied for year 2015 to pay principal of, and interest on, $5,935,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2013.
3903
11-13-17
Authorizing the issuance of $291,920 general obligation refunding bonds, Series 2017.
3910
12-11-17
Abating the tax heretofore levied for 2016 to pay principal of, and interest on, $3,640,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2015.
3911
12-11-17
Abating the tax heretofore levied for 2016 to pay principal of, and interest on, $3,755,000 general obligation bonds (alternate revenue source), Series 2012.
3912
12-11-17
Abating the tax heretofore levied for 2017 to pay principal of, and interest on, $5,935,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2013.
3945
11-13-18
Authorizing the issuance of $298,570 general obligation refunding bonds, Series 2018, and for the levy of a direct annual tax sufficient to pay the principal and interest on said bonds.
3949
12-10-18
Abating the tax heretofore levied for the year 2018 to pay the principal of, and interest on, $3,755,000 general obligation bonds (alternative revenue source), Series 2012.
3950
12-10-18
Abating the tax heretofore levied for the year 2018 to pay the principal of, and the interest on, $5,935,000 general obligation waterworks and sewerage refunding bonds (alternative revenue source), Series 2013.
3951
12-10-18
Abating the tax heretofore levied for the year 2018 to pay the principal of, and the interest on, $3,640,000 general obligation waterworks and sewerage refunding bonds (alternative revenue source), Series 2015.
3982
11-12-19
Providing for the issuance of $299,245 general obligation refunding bonds, Series 2019.
3985.1
12-9-19
Abating the tax heretofore levied for the year 2019 to pay the principal of, and the interest on $5,935,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2013.
3986
12-9-19
Abating the tax heretofore levied for the year 2019 to pay the principal of, and the interest on $3,640,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2015.
3987
12-9-19
Abating the tax heretofore levied for the year 2019 to pay the principal of, and the interest on $3,755,000 general obligation bonds (alternate revenue source), Series 2012.
4037
12-14-20
Abating the tax heretofore levied for the year 2020 to pay the principal of, and the interest on $3,755,000 general obligation bonds (alternate revenue source), Series 2012.
4038
12-14-20
Abating the tax heretofore levied for the year 2020 to pay the principal of, and the interest on $5,935,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2013.
4039
12-14-20
Abating the tax heretofore levied for the year 2020 to pay the principal of, and the interest on $3,640,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2015.
4079
11-8-21
Providing for the issuance of $298,820 taxable general obligation bonds, Series 2021.
4082
12-13-21
Abating the tax heretofore levied for the year 2021 to pay the principal of, and the interest on $3,755,000 general obligation bonds (alternate revenue source), Series 2012.
4083
12-13-21
Abating the tax heretofore levied for the year 2021 to pay the principal of, and the interest on $5,935,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2013.
4084
12-13-21
Abating the tax heretofore levied for the year 2021 to pay the principal of, and the interest on $3,640,000 general obligation waterworks and sewerage refunding bonds (alternate revenue source), Series 2015.
4086
12-13-21
Authorizing the issuance of not to exceed $1,620,000 general obligation refunding bonds (alternative revenue source), Series 2022A.