Ord. No. | Date Passed | Description |
Ord. No. | Date Passed | Description |
— | 1-13-60 | Awarding and selling certain notes to Roose and Company subject to the rejection of such notes by the Bond Retirement Fund. |
532 | 6-21-60 | Providing for the issuance of notes in anticipation of the issuance of bonds and of the levy of special assessment to pay the property's owners portion of the cost of improving Harvest Lane between certain termini by paving and constructing sanitary and storm sewers. |
545 | 9-11-61 | Authorizing the issuance of bonds by the village in anticipation of the collection of special assessments heretofore levied to pay the property owners portion of the cost of improving Harvest Lane between certain termini by paving and constructing sanitary and storm sewers. |
587 | 8-20-68 | Providing for the issuance of notes in anticipation of the issuance of bonds to pay a part of the costs of improving and extending the water system of the village. |
588 | 9-17-68 | Authorizing the employment of special counsel to prepare and supervise essential proceedings for the issuance of water system improvement notes of the village. |
598 | 12-2-69 | Authorizing the employment of special counsel to prepare and supervise essential proceedings for the issuance of water system improvement notes. |
688 | 5-2-78 | Providing for the issuance of notes in anticipation of the issuance of bonds for the purpose of improving and extending the electric distribution system of the village by constructing new overhead power lines and installing new transformers, insulation and all necessary appurtenances. |
689 | 5-2-78 | Providing for the issuance of notes in anticipation of the issuance of bonds for the purpose of improving and extending the waterworks system of the village by installing additional water lines together with the necessary valves, hydrants and other appurtenances. |
692 | 6-6-78 | Providing for the issuance of notes in anticipation of the issuance of bonds for the purpose of constructing a new village hall. |
702 | 4-12-79 | Authorizing the issuance of certain bonds. |
716 | 9-30-80 | Providing for the issuance of notes in anticipation of the issuance of bonds for the purpose of improving and making additions to the Municipal Waterworks System, including water booster systems, control and metering equipment, a mobile stand-by generator system and necessary appurtenances. |
741 | 4-4-83 | Authorizing the issuance of an emergency waterworks bond. |
746 | 9-6-83 | Providing for the issuance of notes in anticipation of the issuance of bonds for the purpose of acquiring and installing electric street lighting fixtures. |
751 | 10-3-83 | Authorizing the issuance of water improvement notes. |
7-84- | -84 | Authorizing the issuance of water system improvement notes. |
6-89 | 2-21-89 | Providing for the issuance and sale of $125,000 notes for the purpose of paying a portion of the costs of improving and expanding the municipal sanitary sewerage system by expending, renovating and otherwise improving the wastewater treatment plant, constructing sanitary sewers and acquiring sewer cleaning equipment real estate and interest in real estate, all together with all necessary appurtenances. |
14-92 | 12-21-92 | Providing for retaining Squire, Sanders & Dempsey to provide certain legal services in connection with the proceedings for $260,000 water system improvement notes. |
15-92 | 12-21-92 | Providing for the issuance and sale of $260,000 notes, in anticipation of the issuance of bonds, for the purpose of improving the municipal water system by constructing and installing water main and water system improvements, together with all necessary appurtenances. |
17-93 | 12-20-93 | Providing for retaining Squire, Sanders & Dempsey to provide certain legal services in connection with the proceedings for $260,000 water system improvement notes. |
18-93 | 12-20-93 | Providing for the issuance and sale of $260,000 notes for the purpose of improving the municipal water system by constructing and installing water main and water system improvements, together with all necessary appurtenances. |
2-94 | 1-3-94 | Designating the National Bank of Oak Harbor as the village's paying agent. |
3-95 | 3-20-95 | Providing for the issuance and sale of $340,000 notes for the purpose of paying costs of constructing improvements and extensions to the municipal water system, together with all necessary appurtenances. |
5-96 | 2-20-96 | Providing for the issuance and sale of $315,000 notes, in anticipation of the issuance of bonds, for the purpose of paying costs of constructing improvements and extensions to the municipal water system, together with all necessary appurtenances. |
2-97 | 2-18-97 | Providing for the issuance and sale of $290,000 notes, in anticipation of the issuance of bonds, for the purpose of paying costs of constructing improvements and extensions to the municipal water system, together with all necessary appurtenances. |
6-98 | 2-2-98 | Providing for the issuance and sale of $100,000 notes, in anticipation of the issuance of bonds, for the purpose of acquiring a building to house village offices, personnel and functions, together with all necessary appurtenances. |
11-98 | 3-2-98 | Providing for the issuance and sale of $190,000 notes, in anticipation of the issuance of bonds, for the purpose of paying costs of constructing improvements and extensions to the municipal water system, together with all necessary appurtenances. |
27-98 | 7-20-98 | Providing for the issuance and sale of $200,000 notes, in anticipation of the issuance of bonds, to pay costs of improving the village sanitary sewer system by acquiring and installing an ultraviolet disinfection system together with all necessary appurtenances. |
12-99 | 3-15-99 | Providing for the issuance and sale of $100,000 notes, in anticipation of the issuance of bonds, for the purpose of paying costs of constructing improvements and extensions to the municipal water system, together with all necessary appurtenances. |
13-99 | 3-15-99 | Providing for the issuance and sale of $230,000 notes, in anticipation of the issuance of bonds, for the purpose of paying costs of constructing a vehicle storage building, with all necessary appurtenances, for use by the village's Electric Utility Department. |
25-99 | 7-19-99 | Providing for the issuance and sale of $100,000 notes, in anticipation of the issuance of bonds, to pay costs of improving the village sanitary sewer system by acquiring and installing an ultraviolet disinfection system, together with all necessary appurtenances. |
10-2000 | 6-19-00 | Providing for the issuance and sale of $100,000 notes, in anticipation of the issuance of bonds, to pay costs of improving the village sanitary sewer system by acquiring and installing an ultraviolet disinfection system, together with all necessary appurtenances. |
19-2000 | 10-2-00 | Providing for the issuance and sale of notes not to exceed $325,000 in principal amount, in anticipation of the issuance of bonds, to pay the village's portion of the costs of acquiring, in cooperation with other Ohio municipalities, electric generation and transmission facilities. |
03-2004 | 3-15-04 | Providing for the issuance and sale of notes in the maximum principal amount of $250,000 in anticipation of the issuance of bonds for the purpose of paying the costs of improving the municipal water system. |
07-2012 | 7-16-12 | Authorizing declarations of official intent under U.S. Treasury regulations with respect to reimbursements from note and bond proceeds of temporary advances made for payments prior to issuance. |
01-2020 | 2-23-20 | Providing for the issuance and sale of bonds in the principal amount of $3,830,000, for the purpose of paying the costs of improving the public service facilities. |
02-2020 | 2-23-20 | Providing for the issuance and sale of bonds in the maximum principal amount of $1,500,00, for the purpose of paying the costs of improving the public service facilities. |
16-2020 | 11-16-20 | Providing for the issuance and sale of electric system improvement revenue bonds in the maximum principal amount of $900,000 for the purpose of paying the costs of improving the municipal electric utility. |
17-2020 | 11-16-20 | Providing for the issuance and sale of water system improvement revenue bonds in the maximum principal amount of $1,300,000 for the purpose of paying the costs of improving the municipal water utility. |