Ord./Res.
Date
Subject
160
1/11/1973
Increasing the indebtedness in the amount of $400,000 by the issuance of a general obligation bond
161
2/22/1973
Increasing the indebtedness in the amount of $735,000 by the issuance of a general obligation bond
212
4/19/1979
Increasing the indebtedness in the amount of $200,000 by the issuance of a general obligation bond
224
9/25/1980
Increasing the indebtedness in the amount of $350,000 by the issuance of a general obligation installment note
Res. 250
12/14/1968
Increasing the indebtedness by borrowing the sum of $75,000 from the First National Bank of Allentown
Res. 257
1/9/1969
Increasing the indebtedness in the amount of $25,000 in tax anticipation notes
Res. 261
2/17/1969
Increasing the indebtedness in the amount of $35,000 in tax anticipation notes
268
2/27/1986
Increasing the indebtedness in the amount of $46,500 by the issuance of a general obligation note
Res. 268
1/19/1970
Increasing the indebtedness in the amount of $50,000 in tax anticipation notes
Res. 302
4/3/1972
Increasing the indebtedness in the amount of $400,000 by borrowing said sum from the Merchants National Bank of America
Res. 513
4/10/1986
Increasing the indebtedness in the amount of $46,500 by establishing Sinking Fund 1986 general obligation note
Res. 3-90-661
3/22/1990
Recommending for the cash defeasance of the Salisbury Township Authority sewer revenue bonds, Series of 1966
Res. 5-90-323
5/24/1990
Increasing the indebtedness in the amount of $1,810,000 by the issuance of a general obligation note for sundry purposes
5-93-375
5/27/1993
Increasing the indebtedness of the Township by the issue of a general obligation note in the amount of $1,500,000 for the purpose of purchasing land, engineering plans for storm sewer and building construction and remodeling
5-94-392
5/12/1994
Increasing the indebtedness of the Township by the issue of general obligation bonds in the sum of $2,255,000 for sundry purposes
Res. 11-96-907
11/14/1996
Authorizing the acceptance of a proposal to purchase a general obligation note to finance capital improvement projects for an amount not to exceed $3,957,000
11-96-419
11/26/1996
Increasing the indebtedness of the Township by the issue of a general obligation note in the amount of $3,957,000 for the purpose of construction of a sewer interceptor, repair and maintenance of a water storage tank, construction of storm sewers and refinancing of a general obligation note issued in 1993
1-97-422
1/23/1997
Amending §§ 3 and 4 of Ord. 11-96-419 96-419 for the purposes of amending the narrative to reflect a fixed interest rate for a period of 5 years and a negotiated interest rate period of 12 years consistent with the terms of the commitment letter and terms of the general obligation note
09-98-454
9/24/1998
Increasing the indebtedness of the Township by the issue of a general obligation note in the amount of $3,400,000 for the purpose of construction and renovation of a public works complex
5-99-474
5/13/1999
Increasing the general obligation indebtedness of the Township for the purpose of providing funds for and towards the current refunding of the Township's current obligation bonds and the costs and expenses of issuing the debt and financing such projects
11-2002-502
11/26/2002
Issuing a series of general obligation bonds in the aggregate principal amount of $6,445,000
02-2010-556
2/11/2010
Authorizing and directing the issuance of general obligation bonds in the aggregate principal amount of $3,555,000
02-2016-601
2/11/2016
Borrowing ordinance for general obligation bonds, Series of 2016, in the amount of $6,440,000
7-2021-640
7/8/2021
Authorize and direct the issuance of the note in the aggregate principal amount of $6,546,000
11-2022-656
11/10/2022
Authorize and direct the issuance of a general obligation note in the aggregate principal amount of $1,841,000