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FINANCE DEPARTMENT - PAGE TWO <br />91-68 MAKE TRANSFERS AND APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER <br />EXPENDITURES FOR THE YEAR ENDING DECEMBER 31, 1991. <br />91-74 ISSUANCE AND SALE OF $1,200,000 NOTES, IN ANTICIPATION OF THE ISSUANCE <br />OF BONDS, FOR THE PURPOSE OF IMPROVING THE MUNICIPAL SANITARY SEWER SYSTEM. <br />91-85 ISSUANCE AND SALE OF $1,775,000 NOTES, IN ANTICIPATION OF THE ISSUANCE OF <br />BONDS FOR THE PURPOSE OF IMPROVING THE MUNICIPAL SANITARY SEWER SYSTEM; <br />91-86 ISSUANCE AND SALE OF $125,000 NOTES, IN ANTICIPATIQN OF THE ISSUANCE OF <br />BONDS, FOR THE PURPOSE OF ACQUIRING A MOTOR VEHICLE FOR PUBLIC SERVICE. <br />91-87 ISSUANCE AND SALE OF $2,300,000 NOTES, IN ANTICIPATION OF THE ISSUANCE OF <br />BONDS FOR THE PURPOSE OF IMPROVING CERTAIN DESIGNATED STREETS IN THE CITY'S <br />STREET SYSTEM. <br />91-92 ADOPTING THE BUDGET FOR THE FISCAL YEAR BEGINNING JANUARY 1, 1992. <br />91-93 TRANSFER AND MAKE APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES <br />FOR THE YEAR ENDING DECEMBER 31, 1991. <br />91-116 TRANSFER AND MAKE APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES <br />FOR THE YEAR ENDING DECEMBER 31, 1991, AS AMENDED. <br />91-117 MAKE APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES FOR THE <br />YEAR ENDING DECEMBER 31, 1991. <br />91-127 MAKE APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES FOR THE <br />YEAR ENDING DECEMBER 31, 1992. <br />91-140 TRANSFER APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES FOR <br />THE YEAR ENDING DECEMBER 31, 1991. <br />91-149 TRANSFER AND MAKE APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDTTURES <br />FOR THE YEAR ENDING DECEMBER 31, 1991, AS AMENDED. <br />91-161 MAKE APPROPRIATIONS FOR CURRENT EXPENSES AND OTHER EXPENDITURES FOR THE YEAR <br />ENDING DECEMBER 31, 1992. <br />91-162 PROVIDING FOR THE ISSUANCE AND SALE OF $1,400 ,000NO~~S~TICIPATION OF THE <br />ISSUANCE OF BONDS, TO PAY COSTS OF RENOVATING THE MUNICIPAL RECREATION CENTER. <br />91-163 PROVIDING FOR THE ISSUANCE AND SALE OF $500,000 NOTES, IN ANTICIPATION OF THE <br />ISSUANCE OF BONDS, TO PAY COSTS OF ACQUIRING MOTOR VEHICLES AND EQUIPMENT <br />FOR USE OF THE DEPARTMENT OF PUBLIC SERVICE, <br />91-164 PROVIDING FOR THE ISSUANCE AND SALE OF $340,000 NOTES, IN ANTICIPATION OF THE <br />ISSUANCE OF BONDS, TO PAY COSTS OF IMPROVING GREAT NORTHERN BLVD,, COUNTRY <br />CLUB BLVD., VICTORIA LANE AND KENNEDY RIDGE ROAD. <br />