powered help
header-left header-center header-right
File #: 211334    Version:
Type: Resolution Status: Passed
File created: 12/14/2021 In control: COMMON COUNCIL
On agenda: Final action: 1/18/2022
Effective date:    
Title: Substitute resolution relating to the carryover of 2021 authorization for general obligation and revenue based borrowing.
Sponsors: THE CHAIR
Indexes: GENERAL OBLIGATION BONDS, REVENUE BONDS
Attachments: 1. Comptroller Letter 2022 Borrowing, 2. Fiscal Impact Statement, 3. Schedule of Borrowing Authorization Carry Overs

Number

211334

Version

Substitute 1

Reference

 

Sponsor

THE CHAIR

 

Title

Substitute resolution relating to the carryover of 2021 authorization for general obligation and revenue based borrowing.

 

Analysis

This resolution authorizes that certain amounts for related specific purposes as provided in the 2021 budget for general obligation or revenue based borrowing be carried over into 2022.

 

Body

Whereas, The Municipal Budget adopted for the calendar year 2021 (the “Budget”), plus additional authorizations approved by adoption of prior resolutions of intent to issue bonds or notes, include borrowing amounts shown in the attached detailed schedule (the “Schedule”) and covered by the resolutions recited in the Schedule; and

 

Whereas, The Budget contains carryover and new authorization for general obligation and revenue based borrowing in the aggregate amount of $1,283,293,992.63; and

 

Whereas, General obligation and/or revenues based notes (other than for refunding purposes) in the aggregate amount of $171,573,082.35 have been issued in 2021; and

 

Whereas, There is dropped from the borrowing authorization in the Budget a total of $644,755,140.58 unutilized borrowing authority; now, therefore, be it

 

Resolved, By the Common Council of the City of Milwaukee that the sum of $466,965,769.70 of the Budget authorized for general obligation and revenue based borrowing as detailed in the Schedule by amount, purpose, and by initial resolution number, with respect to the issuance and sale of such general obligation and revenue based debt, shall continue in full force and effect. The referred to detailed schedule is as appended and is made an integral part of this file.

 

Requestor

Comptroller

Drafter

Joshua Benson

PD-8595z01bW.rtf