Ordinance
|
Date
|
Description
|
---|---|---|
TOWNSHIP OF JEFFERSON
| ||
165
|
11/22/1943
|
Authorizing the Township to increase its indebtedness in the
amount of $50,000 for the purpose of constructing sewers and improving
streets
|
184
|
3/4/1946
|
Expressing the desire of the Township to increase its indebtedness
in the amount of $325,000 for the purpose of purchasing existing water
pipes, lines and other facilities
|
190
|
8/26/1946
|
Authorizing the Township to increase its indebtedness in the
amount of $325,000 in coupon bonds for the purpose of acquiring existing
water pipes, lines and other facilities
|
Ordinance
|
Date
|
Description
|
---|---|---|
BOROUGH OF JEFFERSON HILLS
| ||
157
|
10/2/1961
|
Authorizing the Borough to increase its nonelectoral indebtedness
in the amount of $200,000 for the purpose of constructing and installing
water mains with the necessary appurtenances within the Borough
|
309
|
4/1/1974
|
Authorizing the Borough to increase its nonelectoral indebtedness
in the amount of $560,000 for the purpose of financing a proposed
planning project consisting of preparation of final plans for a sanitary
sewage collection and transportation system
|
332
|
3/26/1976
|
Authorizing the incurring of a lease rental debt in the form
of payments under a guaranty and sewage service agreement with Clairton
Municipal Authority for an undetermined amount of money
|
334
|
4/19/1976
|
Authorizing the Borough to increase its indebtedness in the
amount of $7,700,000 for the purpose of financing the construction
of the Borough's sewer system project
|
408
|
12/19/1977
|
Authorizing the incurring of a lease rental debt in the form
of payments under a first supplemental guaranty and sewage service
agreement with the Clairton Municipal Authority for the purpose of
acquiring, holding, owning, constructing improving and maintaining
sewers, sewer systems and sewage treatment works
|
468
|
11/26/1980
|
Authorizing the increasing of the nonelectoral indebtedness
of the Borough in an amount of $5,930,000 for the purpose of repaying
the prior interim construction financing of the Borough's sewer system
project
|
487
|
5/10/1982
|
Authorizing the Borough to borrow $50,000 from the authority
for the purpose of improvements in municipalities of Allegheny County
for the construction of waterlines in the Waterman Road Area
|
528
|
7/16/1986
|
Authorizing the Borough to increase its nonelectoral self-liquidating
indebtedness in the amount of $4,820,000 in guaranteed sewer revenue
bonds for the purpose of repaying outstanding general obligation bonds
and various other bonds
|
563A
|
7/27/1989
|
Authorizing the Borough to increase its indebtedness in the
amount of $3,230,000 in general obligations bonds for the purpose
of constructing a new municipal building
|
571
|
12/11/1989
|
Authorizing the Borough to increase its indebtedness in the
amount of $71,060 by the issuance of a general obligation note for
sundry purposes
|
608
|
4/21/1992
|
Authorizing the Borough to increase its nonelectoral self-liquidating
indebtedness in the amount of $4,990,000 of guaranteed sewer revenue
bonds for the purpose of refunding all presently outstanding Borough
of Jefferson, guaranteed sewer revenue bonds, series of 1986
|
635
|
11/2/1993
|
Authorizing the Borough to increase its indebtedness by the
issuance of $3,140,000 in general obligation bonds, refunding series
of 1993, for the purpose of refunding a portion of the Borough of
Jefferson, general obligation bonds, series of 1989
|
691
|
11/9/1998
|
Authorizing the Borough to increase its indebtedness by the
issuance of $3,100,000 in general obligation bonds, refunding series
of 1993, for the purpose of refunding a portion of the Borough of
Jefferson, general obligation bonds, series of 1998
|
Res. 28-98
|
10/12/1998
|
Authorizing the Borough to incur nonelectoral debt by the issuance
of general obligation bonds in the estimated aggregate principal amount
of $3.07 million for the purpose of refunding the Borough's series
of 1993 issue
|
700
|
9/23/1999
|
Authorizing the Borough to increase its nonelectoral self-liquidating
indebtedness in the amount of $4,025,000 in guaranteed sewer revenue
bonds for the purpose of refunding all of the prior series of 1992
guaranteed sewer revenue bonds
|
702
|
12/13/1999
|
Appropriating and applying certain funds obtained from the Pennsylvania
Turnpike Commission for credit to and for the retirement of certain
prior stated maturities thereof of the series of 1993 Bonds, a portion
thereof of the presently outstanding series of 1993 bonds, represented
by the 2013 and 2014 maturities in the aggregate principal amount
of $1,185,000
|
772
|
7/11/2005
|
Authorizing the direct issuance of general obligation bonds
in an aggregate principal of $6,430,000
|
816
|
7/11/2011
|
Authorizing the issuance of general obligation bonds in the
aggregate principal amount of $5,980,000
|
Res. 38-2012
|
11/13/2012
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2005 project fund in the amount of $38,445.96
|
Res. 2-2013
|
2/11/2013
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2005 project fund in the amount of $122,322.66
|
Res. 8-2013
|
3/11/2013
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2005 project fund in the amount of $103,211.90
|
Res. 21-2013
|
7/8/2013
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2005 project fund in the amount of $304,179.66
|
838
|
10/14/2013
|
Authorizing the issuance of a general obligation note in the
aggregate principal amount of $1,250,000
|
Res. 33-2013
|
10/14/2013
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2005 project fund in the amount of $331,126.39
|
Res. 41-2013
|
12/9/2013
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $838,242.84
|
Res. 16-2014
|
2/10/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $221,635.98
|
Res. 18-2014
|
3/10/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $439,732.86
|
Res. 22-2014
|
4/14/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $296,844.12
|
Res. 26-2014
|
5/12/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $103,264.06
|
Res. 31-2014
|
6/9/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $219,684.06
|
Res. 32-2014
|
8/11/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $330,935.87
|
Res. 36-2014
|
8/11/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $278,768.62
|
Res. 40-2014
|
9/8/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $604,796.07
|
Res. 41-2014
|
10/13/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $298,185.10
|
Res. 47-2014
|
11/10/2014
|
Approving reimbursement of the General Fund by the general obligation
bond series of 2011 project fund in the amount of $76,020.24
|
Res. 50-2014
|
12/8/2014
|
Approving reimbursement of the General Fund by the 2013 construction
note in the amount of $32,881.50
|
Res. 4-2015
|
2/9/2015
|
Approving reimbursement of the General Fund by the 2013 construction
note in the amount of $293,864.00
|
Res. 14-2015
|
6/8/2015
|
Advancing funds in the approximate amount of $500,000 from the
Sewer Revenue Fund and authorizing reimbursement of said fund from
the proceeds of the series of 2015 or 2016 bonds
|
855
|
3/14/2016
|
Authorizing the incurrence of nonelectoral debt by the issuance
of general obligation bonds, series of 2016, for the purpose of providing
funds to currently refund certain outstanding bonds from the general
obligation bonds, series of 2011
|
864
|
11/13/2017
|
Increasing the indebtedness of the Borough by the issuance of
a guaranteed revenue note in the maximum principal amount of $9,524,050
for purposes of the WESA Act 537 Plan implementation capital projects
|
Res. 16-2021
|
4/12/2021
|
Authorizing the Borough to work with its Municipal Advisor,
Bond Counsel and Solicitor in conjunction with the issuance of the
Series of 2021 bonds for the purpose of refinancing the 2016 bonds
and adopting post-issuance compliance procedures
|