Ord. No.
Type
Amount
Purpose
66-2, 6/8/1966
Increasing Indebtedness
$30,000.00
Municipal Improvements
72-1, 1/24/1972
Increasing Indebtedness
$31,000.00
Municipal Improvements
82-3, 11/29/1982
Increasing Indebtedness
$85,000.00
Sundry Purposes
75-2, 5/8/1975
Increasing Indebtedness
$50,000.00
Grader Purchase
94-3, 12/14/1994
General Obligation Note
$135,000.00
Sinking Fund Depository
95-3, 6/21/1995
Bank Loan Guaranty
$800,000.00
Sanitary Sewage Facility
95-4, 6/21/1995
Pennvest Guaranty Agreement
$800,000.00
Sanitary Sewage Facility
2000-2, 2/14/2000
Pennvest Guaranty Agreement
$350,000.00
Sanitary Sewage Facility
2004-2, 2/9/2004
Bank Loan Guaranty Agreement
$3,482,300.00
Sanitary Sewage Facility
2005-1, 5/9/2005
Increasing Indebtedness
$8,827,400.00
Sanitary Sewer System