TABLE II
BONDS
Ord. No.
Date Passed
Description
Ord. No.
Date Passed
Description
38
12-20-02
Authorizing the issuance of $10,00 in Waterworks Bonds and to provide for the collection of annual taxes to pay the interest and principal of the same.
67A
- -
Authorizing the issuance of $20,000 for the purpose of providing funds for the construction, extension and improvement of the system of waterworks in the City.
71
4-26-11
Authorizing the issuance of $10,000 for the purpose of providing funds for the extension and improvement of the waterworks.
103
11-11-24
Authorizing the issuance of $40,000 in Waterworks Bonds for the purpose of extending the present Waterworks Plant and System.
145
4-6-44
Authorizing the issuance of $175,000 Electric System Mortgage Revenue Bonds for the purpose of providing funds in order to pay the cost of acquisition of utility projects.
162
8-5-47
Authorizing the issuance of $20,000 Waterworks Mortgage Revenue Bonds for the purpose of paying the cost of the construction of extensions, improvements and additions to the waterworks system including the installation of a new well and necessary facilities.
169
9-23-47
Authorizing the issuance of $50,000 Sewage System Mortgage Revenue Bonds for the purpose of providing for the payment of the cost of constructing and acquiring a sewage disposal plant and intercepting sewers, together with all property, equipment and appurtenances useful in connection therewith.
305
1-2-68
Authorizing the issuance of $140,000 Electric Utility Mortgage Revenue Bonds for the purpose of paying all current costs of the operation and maintenance of the utility and to provide a reasonable reserve for depreciation thereof.
Res. 12782
1-27-82
Authorizing the issuance and sale of $1,380,000 Bond Anticipation Notes for the purpose of paying for part of the costs of constructing improvements to Wastewater Utility.
456
11-18-82
Authorizing the issuance and sale of $1,820,000 Sewerage System Mortgage Revenue Bonds for the purpose of providing payment of the costs of the improvements and extensions to the system.
Res. 82683
8-26-83
Authorizing the issuance of $375,000 Promissory Notes for the purpose of refunding original Promissory Notes of the City.
Res. 1-23-85
1-15-85
Authorizing the issuance of $1,525,000 General Obligation Bond Anticipation Notes for the public purpose of financing sanitary sewer rehabilitation and construction of a new wastewater treatment plant.
Res. 62387
7-1-87
Authorizing the issuance of $1,725,000 Sewerage System Revenue Bond Anticipation Notes for the purpose of paying part of the costs of constructing improvements to the system, together with appurtenances thereto used or useful for public convenience.
Res. 1103
12-3-91
Authorizing the issuance of $1,775,000 General Obligation Promissory Notes for the public purpose of refunding obligations to the City, including interest.
Res. 1106
1-28-92
Authorizing the issuance of $1,920,000 Electric System Revenue Bonds for the purpose of providing for the cost of additions, improvements and extensions to the system and refunding the 1989 Notes.
Res. 1120
6-16-92
Authorizing the issuance of $1,350,000 Bond Anticipation Notes and issuance of General Obligation Securities for the purpose of paying the cost of constructing, extending, adding to, repairing, replacing and improving the City's waterworks system (the Project), and there are insufficient funds on hand to pay such costs.
Res. 1148
2-23-93
Hospital Facility Revenue Bonds to issue bonds to finance costs of certain projects including hospital facilities and to fund previously issued revenue bonds issued for such purposes.
Res. 1175
12-21-93
Authorizing the issuance of $2,835,000 Sewerage System Mortgage Revenue Refunding Bonds for the payment of the bonds and other details with respect to the bonds for the purpose of providing funds to refund the Refunded Obligations.
Res. 1176
12-21-93
Authorizing the issuance of $1,575,000 Water System Mortgage Revenue Refunding Bonds for the purpose of providing ends to refund the 1992 Notes.
Res. 1187
6-8-94
Authorizing the issuance of $1,110,000 Electric System Revenue Bond to provide funds to finance the construction of improvements and extensions of the system, including a substation addition, a distribution feeder and equipment.
Res. 1188
6-8-94
Authorizing the issuance of $2,100,000 Sewerage System Mortgage Revenue Refunding Bonds for the purpose of providing ends to refund the 1992 Notes (the Refunded Obligations).
Res. 1275
11-6-96
Authorizing the issuance of $1,950,000 General Obligation Bonds for the purpose of paying the costs of refinancing the 1995 Notes on the maturity date and paying a portion of the costs of constructing, extending, improving and repairing streets and highways.
Res. 1283
2-4-97
Authorizing the issuance of $270,000 Special Assessment B Bonds to provide funds for the payment of levied special assessments for the construction of public improvements consisting of streets, storm sewers, sewer and water main and lateral extensions and related improvements and expenses.
Res. 1371
1-5-99
Authorizing the issuance of $1,585,000 Electric System Revenue Refunding Bonds, Series 1999B, to refinance various outstanding electric revenue obligations of the City.
Res. 1372
1-5-99
Authorizing the issuance of $1,540,000 Taxable General Obligation Refunding Bonds, Series 1999C, to refinance various outstanding sewer revenue obligations of the City.
Res. 1433
8-15-00
Authorizing the issuance of $1,865,000 General Obligation Promissory Notes, Series 2000A, to finance the construction of various public improvements.
Res. 1434
8-15-00
Providing for the sale of $325,000 Special Assessment B Bonds, Series 2000B, to finance the construction of various public improvements.
Res. 1438
10-1-00
Authorizing the issuance of $1,865,000 General Obligation Promissory Notes for street improvements and construction of a fire station.
Res. 1447
11-8-00
Providing for the sale of $3,120,000 Community Development Revenue Bonds, Series 2000, to finance the construction of various public improvements in Tax Increment District 12.
Res. 1514
6-30-03
Authorizing the borrowing of not-to-exceed $506,500; providing for the issuance and sale of general obligation securities.
Res. 1515
6-30-03
Authorizing the borrowing of not-to-exceed $900,000; providing for the issuance and sale of general obligation refunding securities.
Res. 1535
8-17-04
Providing for the sale of $3,205,000 Community Development Lease Revenue Refunding Bond, Series 2004A.
Res. 1537
9-7-04
Calling for the partial redemption of $935,000 Sewerage System Mortgage Revenue Refunding Bonds dated December 15, 1993.
Res. 1545
3-15-05
Calling for the redemption of remaining $350,000 Sewerage System Mortgage Revenue Refunding Bonds dated December 15, 1993.
Res. 1556
6-20-05
Authorizing the borrowing of not-to-exceed $5,175,000; providing for the issuance and sale of general obligation bonds.
Res. 1568
9-20-05
Authorizing the sale of $1,760,000 General Obligation Refunding Bonds, Series 2005A.
Res. 1569
9-20-05
Authorizing the sale of $735,000 Water System Revenue Refunding Bonds, Series 2005B.
Res. 1595
8-15-06
Authorizing the issuance of General Obligation Refunding Bonds, Series 2006A, not to exceed $2,440,000.
Res. 1611
2-19-07
Calling for the redemption of the 2008 through 2010 maturities of Special Assessment B Bonds, Series 2000B, dated October 5, 2000.
Res. 1655
2-2-09
Authorizing $1,260,000 General Obligation Bonds for community development projects in Tax Incremental District #13.
Res. 1656
2-2-09
Authorizing $435,000 General Obligation Bonds for refunding purposes.
Res. 1658
2-2-09
Authorizing for sale of $1,695,000 General Obligation Corporate Purpose Bonds, Series 2009.
Res. 1665
3-3-09
Awarding the sale of $1,675,000 General Obligation Corporate Purpose Bonds, Series 2009A.
Res. 1707
3-28-11
Authorizing $455,000 General Obligation Bonds for community development projects in Tax Incremental District #13.
Res. 1708
3-28-11
Authorizing $1,410,000 General Obligation Bonds for water system projects.
Res. 1710
3-28-11
Providing for the sale of $1,865,000 General Obligation Corporate Purpose Bonds, Series 2011.
Res. 1712
5-3-11
Awarding the sale of $1,865,000 General Obligation Corporate Purpose Bonds, Series 2011.
Res. 1738
11-20-12
Authorizing the redemption of Water System Revenue Refunding Bonds, Series 2005B, dated October 11, 2005.
Res. 1751
8-12-13
Providing for the sale of $2,580,000 General Obligation Promissory Notes.
Res. 1752
8-12-13
Providing for the sale of $2,190,000 Community Development Lease Revenue Refunding Bonds.
Res. 1753
9-17-13
Authorizing the issuance and sale of $2,555,000 General Obligation Promissory Notes, Series 2013A.
Res. 1828
12-5-17
Authorizing $1,550,000 General Obligation Bonds for sewerage projects.
Res. 1829
12-5-17
Authorizing $995,000 General Obligation Refunding Bonds for the public purpose of refunding obligations of the City.
Res. 1830
12-5-17
Providing for the sale of $2,545,000 General Obligation Corporate Purpose Bonds, Series 2018A, to finance sewerage projects and to refund certain outstanding obligations of the City.
Res. 1832
1-22-18
Awarding the sale of $2,445,000 General Obligation Corporate Purpose Bonds, Series 2018A.
Res. 1875
6-16-20
Authorizing $770,000 General Obligation Bonds for Sewerage Projects.
Res. 1876
6-16-20
Authorizing $3,720,000 General Obligation Refunding Bonds.
Res. 1877
6-16-20
Providing for the sale of $4,490,000 General Obligation Corporate Purpose Bonds, Series 2020B.
Res. 1879
7-21-20
Awarding the sale of $4,455,000 General Obligation Corporate Purpose Bonds, Series 2020B.
Res. 1910
5-3-22
Authorizing the redemption of the Community Development Lease Revenue Refunding Bonds, Series 2013A, dated October 10, 2013.