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2012-05 BILL NO. 2012-5 TRANSITORY ORDINANCE NO. 18.78 AN ORDINANCE PROVIDING FOR THE EXPENDITURE OF MONEY FROM THE SPECIAL REVENUE FUND FOR CERTAIN CAPITAL IMPROVEMENTS CITY OF RICHFIELD DOES ORDAIN: Section 1: It is found and determined to be necessary and expedient for the City to expend money from the Special Revenue Fund for the making of capital improvements listed in Section 2 hereof, for which the City would be authorized to issue general obligation bonds. Section 2: The capital improvements and amounts of expenditures for such improvements which are authorized to be paid from the Special Revenue Fund under Section 7.12, Subdivision 2 of the City Charter, are as follows: Outdoor Pool Renovation Loan Repayment $ 103,800 Major Park Maintenance Projects $ 100,000 Lincoln Field Internal Loan Repayment $ 92,600 Community Center Lower Level A/C $ 45,000 Taft Athletic Facility Improvements $ 33,600 Roosevelt Park Play Equipment $ 75,000 Section 3: The expenditures herein authorized shall be made pursuant to such contracts as are authorized from time to time by Council action. Passed by the City Council of the City of Richfield this 13th day of March, 2012. /L✓ om Fitzhenry, Mayor Pro Tempore ATTEST: Nancy Gib yity Clerk www.MinnLocal.com City of Richfield (Official Publication) BILL NO.2012-5 le I TRANSITORY ORDINANCE NO.18.78 AN ORDINANCE PROVIDING FOR THE EXPENDITURE OF MONEY FROM MEDIA CERTAIN CAPITAL IMPROVEMENTS AFFIDAVIT OF PUBLICATION CITY OF RICHFIELD DOES ORDAIN: Section 1: It is found and determined to be necessary and expedient for the City STATE OF MINNESOTA ) to expend money from the Special Rev- ) SS. enue Fund for the making of capital im- provements listed in Section 2 hereof,for COUNTY OF HENNEPIN ) which the City would be authorized to issue general obligation bonds. Richard Hendrickson, being duly sworn on Section 2:The capital improvements and an oath,states or affirms that he is the Chief amounts of expenditures for such im- Financial Officer of the newspaper(s)known provements which are authorized to be paid from the Special Revenue Fund as under Section 7.12,Subdivision 2 of the Richfield Sun-Current City Charter,are as follows: Outdoor Pool Renovation Loan Repayment $103,800 and has full knowledge of the facts stated projects rk Maintenance $100,000 below: Lincoln Field Internal (A)The newspaper has complied with all of Loan Repayment $ 92,60o the requirements constituting qualifica- Community Center Lower tion as a qualified newspaper as provid- Level NC $ 45,000 ed by Minn. Stat. §331A.02, §331A.07, Taft Athletic Facility and other applicable laws as amended. Improvements $ 33,600 (B)The printed public notice that is attached Equipment oo vlt Park Play $ 75,000 was published in said newspaper(s) Section 3: The expenditures herein au- once each week,for one successive thorized shall be made pursuant to such week(s);it was first published on Thurs- contracts as are authorized from time to day,the 22 day of March time by Council action. 2012, and was thereafter printed and R db this 13th day of March,2012 of published on every Thursday to and in- Debbie Goettel,Mayor cluding Thursday, the day of ATTEST: 2012;and printed Nancy Gibbs,City Clerk below is a copy of the lower case alpha- bet from A to Z, both inclusive, which is (Mar.22,2012)D2-Bi112012-5 hereby acknowledged as being the size and kind of type used in the composition and publication of the notice: abcdefgh ijklm nopq rstuvwxyz BY: .. . CFO Subscribed and sworn to or affirmed before me on this 22 day of March ,2012. ,r,d6e2._#1.4 67\)7/2a61/4243,2n, Notary Public �$ x DIANE L. ELIASON NOTARY PUBUC-MINNESOTA ,r., My Comm.Exp.Jan.31,2015