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150-22

Order: That Five Million Dollars ($5,000,000) is appropriated to pay costs of making roadway improvements throughout the City, 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 M.G.L. c. 44, §7(1) or any other enabling authority, and to issue bonds or notes of the City therefore.

Order Reported from Committee Introduced March 28, 2022
Committee
City Council
Introduced
March 28, 2022
On agenda
April 5, 2022
Passed
April 12, 2022