Ord./Res.
Date
Type of Action
Amount
Purpose
Ord. -/-/1831
-/-/1831
Loan
$1,000
Street Improvements
Ord. 3/24/1831
3/24/1831
Loan
$2,000
Town House
Ord. 5/26/1837
5/26/1837
Loan
$5,000
Unspecified
Ord. 7/1/1837
7/1/1837
Loan
$3,400
Unspecified
Ord. 4/16/1838
4/16/1838
Loan
$6,000
Unspecified
Ord. 8/4/1838
8/4/1838
Loan
$6,000
Scrip Removal
Ord. 9/18/1838
9/18/1838
Loan
$7,000
Scrip Removal
Ord. 4/1/1839
4/1/1839
Loan
$8,000
Loan Payment
Ord. 1/3/1842
1/3/1842
Loan
$3,000
Unspecified
Ord. 1/31/1842
1/31/1842
Loan
$1,000
Unspecified
Ord. 3/2/1842
3/2/1842
Loan
$2,000
Unspecified
Ord. 4/28/1853
4/28/1853
Loan
$2,000
Loan Redemption
Ord. 11/12/1883
11/12/1883
Loan
—
Bridge
Ord. 2/8/1892
2/8/1892
Loan
$9,000
Retiring Bonds
Ord. 5/21/1906
5/21/1906
Desire to Increase Indebtedness
$100,000
Water Works
Ord. 9/10/1906
9/10/1906
Desire to Increase Indebtedness
$63,000
Sewage System
Ord. 1/9/1911
1/9/1911
Bond Issue
$163,000
Water Works and Sewage System
Ord. 9/22/1911
9/22/1911
Amendment to 1/9/1911
Ord. 1/9/1912
1/9/1912
Bond Issue
$100,000
Water Works
Ord. 9/9/1913
9/9/1913
Bond Issue
$9,000
Bond Payment
Ord. 5/15/1918
5/15/1918
Bond Issue
$52,000
Filtration Plant
Ord. 6/28/1918
6/28/1918
Tax
Interest Payments
Ord. 12/10/1919
12/10/1919
Bond Issue
$12,000
Water Works
Ord. 11/16/1922
11/16/1922
Coupon Bonds
$27,000
Water and Fire Systems
Ord. 9/29/1924
9/29/1924
Desire to Increase Indebtedness
$80,000
Sundry Purposes
Ord. 2/22/1925
2/22/1925
Bond Issue
$6,000
Indebtedness
Ord. 12/5/1925
12/5/1925
Bond Issue
$80,000
Sundry Purposes
Ord. 12/13/1926
12/13/1926
Coupon Books
$35,000
Street Improvement
Ord. 1/12/1928
1/12/1928
Coupon Books
$44,000
Bridges
Ord. 12/12/1928
12/12/1928
Coupon Books
$6,000
Indebtedness
Ord. 9/15/1932
9/15/1932
Coupon Books
$27,000
Sewers
Ord. 8/13/1945
8/13/1945
General Obligation Bonds
$54,000
Water System
Ord. 7/14/1947
7/14/1947
Desire to Increase Indebtedness
$35,000
Water System
Ord. 7/14/1947
7/14/1947
Desire to Increase Indebtedness
$67,000
Improvements
Ord. 10/20/1947A
10/20/1947
General Obligation Bonds
$35,000
Water System
Ord. 10/20/1947B
10/20/1947
General Obligation Bonds
$67,000
Improvements
Ord. 5/31/1951
5/31/1951
Desire to Increase Indebtedness
$400,000
Sewage Plant
Ord. 1/12/1953
1/12/1953
Bond Issue
$135,000
Sundry Purposes
Ord. 3/9/1953B
3/9/1953
Amendment to 1/12/1953
Ord. 4/13/1953
4/13/1953
Desire to Increase Indebtedness
$80,000
Water Supply
Ord. 7/13/1953
7/13/1953
Bond Issue
$80,000
Water Supply
Ord. 583
2/26/1960
Revenue Bonds
$600,000
Water System
Ord. 658
6/14/1965
Bond Issue
$160,000
Sundry Purposes
Ord. 807
1/8/1972
General Obligation Bonds
$220,000
Street Improvements
Ord. 839
8/12/1974
General Obligation Bonds
$85,000
Urban Development
Ord. 850
4/25/1975
General Obligation Bonds
$21,000
Urban Development
Ord. 864
8/21/1975
General Obligation Bonds
$50,000
Capital Deficit
Ord. 874
2/2/1976
General Obligation Notes
$16,678.29
Urban Development
Ord. 889
1/28/1976
Revenue Bonds
$1,140,000
Sewer System
Ord. 893
4/11/1977
General Obligation Notes
$39,000
Recreation Center
Ord. 894
6/13/1977
General Obligation Notes
$84,000
Machinery Purchase
Ord. 948
9/8/1980
General Obligation Notes
$125,000
Unfunded Debt
Ord. 961
12/28/1981
General Obligation Notes
$122,000
Civil Suit
Ord. 982
4/16/1984
General Obligation Notes
$81,000
Machinery Purchase
Ord. 983
4/16/1984
General Obligation Notes
$47,000
Machinery Purchase
Ord. 1003
6/9/1986
General Obligation Notes
$85,000
Road construction
Ord. 1004
6/9/1986
General Obligation Notes
$300,000
Purchase real property
Ord. 1007
-/-/1986
Issuance of Note
$1,000,000
Rail Line Construction
Ord. 1021
9/14/1987
Issuance of Note
$600,000
Financing Mill Street Business Improvement
Ord. 1033
11/14/1988
Issuance of Note
$2,500,000
Riverfront North Redevelopment Project
Ord. 1047
3/12/1990
General Obligation
$1,500,000
Road construction
Ord. 1075B
11/4/1992
General Obligation Bonds
$3,925,000
Refunding of existing indebtedness
Ord. 1099
8/21/1995
General Obligation Bonds
$3,915,000
Refunding of existing indebtedness
Ord. 1106
9/9/1996
Lease Rental Debt
$4,615,000
Ice skating rink
Ord. 1107
10/15/1996
Lease Rental Debt
$4,615,000
Ice skating ring
Ord. 1127
2/9/1998
Lease Rental Debt
$600,000
Sewer System rehabilitation
Ord. 1142
12/21/1998
Lease Rental Debt
$8,935,000
Recreation Authority
Ord. 1152
3/13/2000
Issuance of Note
$250,000
Recreation Authority construction
Ord. 1164
1/14/2002
Nonelectoral Debt
$2,580,000
Sinking Fund
Ord. 1168
8/12/2002
Revenue Note
$1,200,000
Capital Purposes
Ord. 1170
10/15/2002
Issuance of Note
$1,200,000
Bridges and roads
Ord. 1173
1/30/2003
Issuance of Note
$733,000
Recreation Authority
Ord. 1190
6/3/2004
Nonelectoral Debt
$8,855,000
Refunding Program
Ord. 1206
8/15/2005
General Obligation Bonds
$8,735,000
Financing for various projects
Ord. 1219
4/17/2006
General Obligation Bonds
$129,000
Capital projects
Ord. 1237
4/9/2007
General Obligation Bonds
$2,295,563
Capital projects
Ord. 1250
6/19/2008
General Obligation Bonds
$5,500,000
Capital projects
Ord. 1262
5/26/2009
General Obligation Bonds
$5,500,000
Capital projects
Ord. 1289
8/6/2012
General Obligation Bonds
$7,391,000
Capital projects
Ord. 1313
2/8/2016
Lease Rental Debt
$3,215,000
Sewer Revenue Notes
Res. 2020-12
5/11/2020
General Obligation Notes
–
2008 A Series and 2012 A and B Series