Ordinance
Date
Description
41
7/10/1884
$1200 bond issue for construction of fire house
63
11/04/1891
Election on $15,000 bond issue for construction of electric light plant
67
7/06/1892
$15,000 bond issue for construction of electric light plant
74
12/16/1892
Amendment to Ord. No. 67 on bond issue for electric light plant.
75
2/08/1893
Registration of bonds issued under Ord. No. 67
110
6/13/1899
$12,000 funding and refunding bond issue
Res.
5/07/1908
$15,000 bond issue to reconstruct and enlarge electric light plant
Res.
2/20/1914
$5000 bond issue to pay off prior indebtedness
219
6/07/1917
Election on $45,000 bond issue for reconstruction of electric light plant and buildings
220
9/06/1917
$45,000 bond issue for reconstruction of electric light plant and buildings
221
9/06/1917
Annual tax levy to redeem bonds authorized by Ord. No. 220
228
3/05/1925
Election on $116,000 bond issue for construction of sewers and a sewage disposal plant
231
5/05/1926
$140,000 bond issue for construction of sewers and a sewage disposal plant
281
8/05/1936
Election on $14,000 bond issue for acquiring land for park and recreation purposes
297
9/08/1938
Election on $14,000 bond issue for acquiring land for park and recreation purposes
365
3/03/1948
Election on $216,000 bond issue for extension, additions and repairs to sewer system and sewage disposal plant
380
9/01/1948
Cancellation of $68,000 of the $216,000 bond issue referred to in Ord. No. 365
381
10/06/1948
$148,000 bond issue for extensions, additions and repairs to sewer system and sewage disposal plant
389
2/02/1949
$80,000 bond issue for improvements to electric plant
559
2/01/1956
Election on $100,000 bond issue for swimming pool construction
574
1/08/1957
$100,000 bond issue for swimming pool construction
615
12/02/1959
$150,000 electric revenue bonds for making capital improvements to the electric system
635
4/05/1961
Election on $150,000 bond issue for street and storm drains.
716
4/05/1967
$655,000 sewer revenue bonds.
736
6/19/1968
$955,000 sewer revenue bonds.
800
8/01/1973
Amendment to Ord. No. 736 to authorize additional $1,000,000 worth of sewer revenue bonds.
Res.
4/02/1975
$35,000 loan to Fire Company No. 1 for purchase of new pumper
908
6/05/1985
$110,000,000 revenue bonds authorized for hospital projects.
909
12/04/1985
$200,000,000 revenue bonds authorized for hospital projects.
951
8/28/1989
Municipal Authority authorized to issue fixed rate bonds worth $20,000,000 to Presbyterian Homes, Inc., and $10,000,000 to Menno-Haven, Inc. for projects outside of the Borough.
966
9/5/1990
$35,000,000 revenue bonds for financing mental health projects/facilities.
978
8/7/1991
Participating in a project involving the amendment of its pooled financing program of the Quakertown Authority.
979
8/7/1991
Authorizing $24,000 in revenue bonds for the purpose to undertake a project for Lifequest.
986
3/4/1992
Incurring nonelectoral debt in the amount of $5,000 for the purpose of constructing and providing equipment for an electric substation.
999
9/1/1993
Incurring nonelectorial debt in the amount of $385,000 for the purpose of vehicle purchases.
1003
4/6/1994
Increasing the debt in the amount of $10,000,000 for the purpose of providing funds for and toward the construction and acquisition of capital improvements.
1020
2/7/1996
Increasing the debt in the amount of $7,885,000 for the purpose of providing funds for and toward advance refunding of a portion of the Borough's general obligation bonds.
1032
10/2/1996
Authorizing the issuance of Series 1996A revenue bonds in an amount not to exceed $100,000,000 and Series 1996B revenue bonds in an amount not to exceed $100,000,000 to finance projects for hospitals, health care facilities, universities and municipalities.
1052
3/3/1999
Increasing the indebtedness by the issuance of a general obligation note in the amount of $1,100,000 for the purchase of vehicles.
1066
8/13/2001
Increasing the debt in the amount of $6,680,000 for the purpose of providing funds for and toward the refunding of certain outstanding bonds of the Borough.
1075
6/5/2002
Authorizing $11,000,000 in revenue bonds for the Quakertown General Authority to undertake a project for Lifequest Nursing Center, Valley Nursing and Rehabilitation Center and affiliates.
1092
11/5/2003
Increasing the indebtedness by the issuance of a general obligation note in the amount of $3,775,000 for sundry purposes.
1097
3/3/2004
Increasing the indebtedness by the issuance of a general obligation note in the amount of $9,686,908 for sundry purposes.
1100
4/7/2004
Amending Ord. 1097; issuing a guaranteed revenue note instead of a general obligation note.
1114
9/7/2005
Increasing the indebtedness by the issuance of a general obligation note in the amount of $2,000,000 to construct a filter plant at water well 9, and a general obligation note in the amount of $2,755,000 for sundry purposes.
1195
8/27/2012
Authorizing the incurrence of debt by the issuance of general obligation bonds in the amount of $7,925,000, for the purpose of providing funds for and toward a refinancing program.
1230
9/2/2020
Authorizing the incurrence of debt by the issuance of general obligation bonds in the amount of $28,000,000, for the purpose of providing funds for and toward a refinancing program and capital projects.