Board Bill Number 24 In Session 2019-2020

2019 TRANS

Summary

An Ordinance to provide for the borrowing of funds in anticipation of the collection of tax payments levied by The City of St. Louis, Missouri (the "City") for deposit in its General Revenue Fund for the calendar year ending December 31, 2019, and remaining uncollected and other revenues remaining to be collected and deposited in the General Revenue Fund for fiscal year ending June 30, 2020, all such revenues for the General Revenue Fund in the board of The City of St. Louis, Missouri (the "Treasury"), through the issuance by the City of its Tax and Revenue Anticipation Notes, and the acquiring of credit enhancement, if necessary, in order to lower the cost of such borrowing; prescribing the form and details of such Notes; authorizing and approving certain documents and other actions; and containing an emergency clause.

Download

Overview

Session: 2019-2020

Primary Sponsors: Joseph Vollmer

Ordinance: 70967 effective 06/06/2019

Committee: Ways and Means

Legislative History

Legislative activities for this board bill. Learn more about what these activities mean.

  • 05/03/2019

    First Reading

  • 05/17/2019

    Second Reading

  • 05/23/2019

    Perfection

  • 05/31/2019

    Third Reading

Votes

05/31/2019 Vote Results

Aye Votes 25
No Votes 0
Final Passage Vote

View vote details

Ordinance

Ordinance Number: 70967

Effective Date: 06/06/2019

Was this page helpful?      



Comments are helpful!
500 character limit

Feedback is anonymous.

5 comments from people like you have helped us improve this page. Keep the feedback coming!