Ord./Res.
Date
Subject
Res. No. 12/4/1899
12/4/1989
Increasing the indebtedness in the amount of $38,000 for street improvements
Ord. No. 12
7/15/1904
Authorizing the issuing of a loan in the amount of $1,800 for macadamizing streets
Ord. No. 38
4/3/1922
Increasing the indebtedness of the Borough for repairing the Borough electric system
Ord. No. 52
3/1/1931
Increasing the indebtedness in the amount of $38,000 for erecting a municipal electric plant
Ord. No. 54
6/9/1931
Increasing the indebtedness in the amount of $38,000 for erecting a municipal electric plant
Ord. No. 69
10/10/1936
Increasing the indebtedness in the amount of $16,000 for electrical generating equipment
Ord. No. 164
2/1/1965
Increasing the indebtedness in the amount of $150,000 equipment for the Borough Electric Plant
Res. No. 12/5/1966
12/5/1966
Resolving that pursuant to § 13 of the Agreement of Lease dated June 1, 1965, between Hatfield Borough Authority and the Borough, the Borough deems it necessary to install a third pump, for standby purposes, in the Sewage Treatment Plant; approximate cost of this pump, including electrical work and installation to be $5,000
Ord. No. 200
10/26/1970
Increasing the indebtedness in the amount of $175,000 for improving the water works system
Ord. No. 201
10/26/1970
Increasing the indebtedness in the amount of $1,700 for improving the water works system
Ord. No. 256
6/1/1976
Increasing the indebtedness in the amount of $50,000 for road reconstruction
Res. 12/5/1979
12/5/1979
Incurring a temporary debt by way of tax anticipation borrowing evidenced by means of a note or notes payable, both principal and interest, within the fiscal year of 1980
Res. No. 12/19/1979
12/19/1979
Authorizing a tax anticipation note for issuance by Harleysville National Bank in the sum of $80,000
Ord. No. 284
3/19/1980
Increasing the indebtedness in the amount of $350,000 for a test well and water purification system
Res. No. 12/1/1980
12/1/1980
Incurring a temporary debt by way of tax anticipation borrowing evidenced by means of a note or notes payable, both principal and interest, within the fiscal year of 1981
Res. No. 12/16/1981
12/16/1981
Incurring a temporary debt by way of tax anticipation borrowing evidenced by means of a note or notes payable, both principal and interest, within the fiscal year of 1982
Res. No. 11/16/1983
11/16/1983
Incurring a temporary debt by way of tax anticipation borrowing evidenced by means of a note or notes payable, both principal and interest, within the fiscal year of 1984
Ord. No. 301
5/9/1984
Increasing the indebtedness in the amount of $100,000 for acquisition of a truck
Res. No. 12/5/1984
12/5/1984
Incurring a temporary debt by way of tax anticipation borrowing evidenced by means of a note or notes payable, both principal and interest, within the fiscal year of 1985
Res. No. 11/20/1985
11/20/1985
Incurring a temporary debt by way of tax anticipation borrowing evidenced by means of a note or notes payable, both principal and interest, within the fiscal year of 1986
Res. No. 10/19/1988
10/19/1988
Authorizing the borrowing of up to $2,965,000 for purposes of administrative, engineering, legal expenses and construction of interconnection facilities necessary to divert sewage flow from the Borough of Hatfield sewage facilities to the Hatfield Township Municipal Authority Sewer Plant and for purposes of purchasing capacity in said plant
Ord. No. 331
4/19/1989
Increasing the indebtedness in the amounts of $1,265,000 and $1,700,000 for acquisition of treatment capacity at a wastewater treatment plant
Res. No. 5/1/1989
5/1/1989
Increasing the indebtedness in the amount of $1,265,000 and $1,700,000 for acquisition of treatment capacity at a wastewater treatment plant
Res. No. 1989-11
12/6/1989
Incurring a temporary debt by way of tax anticipation borrowing evidenced by means of a note or notes payable, both principal and interest, within the fiscal year of 1990
Ord. No. 343
2/21/1990
Increasing the indebtedness in the amount of $1,227,176 for acquisition of treatment capacity at a wastewater treatment plant
Ord. No. 352
3/20/1991
Increasing the indebtedness in the amount of $1,000,000 to fund the costs of the conversion of Hatfield Borough's electric system from a 4 KV system to a 12 KV system
Ord. No. 392
10/16/1992
Increasing the nonelectoral indebtedness by the issuance of a $50,000 general obligation note, series of 1996, for the purpose of financing certain capital projects
Res. No. 2000-12
8/16/2000
Authorizing small borrowing for capital purposes under § 8109 of the LGUDA
Ord. No. 436
8/6/2003
Authorizing the incurrence of nonelectoral debt by the issuance of general obligation notes, series 2003, in the aggregate par amount of $4,000,000 and approving certain capital projects
Res. No. 2005-09
4/6/2005
Authorizing to approve and execute the documentation, including the conversion certificates, required to accept a fixed interest rate for the 2003 A note, at a rate not to exceed 3.85%
Res. No. 2011-25
10/19/2011
Authorizing the negotiation, execution and delivery of a street sweeper in accordance with lease-purchase agreement No. 001-0601798-300 dated October 7, 2011, in the principal amount of $157,311.75 between the Borough and TCF Equipment Finance
Ord. No. 522
4/20/2016
Authorizing the incurrence of nonelectoral debt by the issuance of a general obligation note, series of 2016, in the maximum aggregate principal amount of $4,000,000 to finance certain capital projects
Ord. No. 532
7/18/2018
Authorizing the amendment of the terms of the general obligation note, series of 2016, issued by the Borough and authorizing other necessary action
Ord. No. 537
8/19/2020
Authorizing the incurrence of nonelectoral debt by the issuance of general obligation notes, 2020 series, in the aggregate principal amount of $3,640,000