381-22
| 1 | | | Committee Minutes | Minutes of June 14, 2022 to be approved. | tabled | Pass |
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369-22
| 1 | | | Order | Order: That One Million Dollars ($1,000,000) is appropriated to pay costs of reconstructing and making extraordinary repairs to the Central Business District Garage, including the payment of all costs incidental and related thereto, and to meet this appropriation, the Treasurer, with approval of the Mayor is authorized to borrow said amount under G.L. c. 44, ยง7(1) or any other enabling authority, and to issue bonds or notes of the City therefor. | recommended favorably | Pass |
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370-22
| 1 | | | Order | Order: That the sum of One Hundred Twenty Eight Thousand One Hundred Sixty Four Dollars and Seventy Five Cents ($128,164.75) be and the same is hereby appropriated from the TNC Surcharge Municipal Distribution Account to cover the following expenses: Road milling and paving, utility structure adjustments, pedestrian signal upgrades, wheelchair ramp upgrades, and new crosswalk line striping with thermoplastic at the intersection of Summer Street and Clifton Street. | recommended favorably | Pass |
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371-22
| 1 | | | Order | Order: That the appropriation enumerated below, being in the amount of Thirty-One Thousand Four Hundred Seventy Dollars, ($31,470) be appropriated from the Community Preservation Act Fund for the following project:
Wallace Park Wall Restoration: $31,470 from Historic Preservation Reserve | recommended favorably | Pass |
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246-22
| 1 | | | Committee Minutes | Minutes of April 19, 2022 to be approved. | tabled | Pass |
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267-22
| 1 | | | Committee Minutes | Minutes of May 31, 2022 to be approved. | approved | Pass |
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299-22
| 1 | | | Committee Minutes | Minutes of June 7, 2022 to be approved. | approved | Pass |
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