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City of Toledo, OH
Meeting:
City Council on 2025-07-15 4:00 PM
Meeting Time: July 15, 2025 at 4:00pm EDT
3 Comments
Closed for Comment July 15, 2025 at 4:00pm EDT
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Agenda Items
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O-299-25 Authorizing the Mayor to enter into an agreement with the The BAZ Group to assist with phase 2 of the telephony optimization and modernization project; authorizing the expenditure of $108,000 from the Information and Communications Technology Fund; waiving the competitive bidding requirements of TMC Chapter 187; and declaring an emergency.
Legislation Text
COUNCILMAN SARANTOU PRESENTS THE FOLLOWING 14 ITEMS FROM THE DEPARTMENT OF FINANCE:
O-300-25 Levying special assessments for sprinkling, sweeping, cleaning and snow removal services for the municipal streets, alleys and public ways in the City during the calendar year 2024; and declaring an emergency.
Legislation Text
Comparison Charts 2023-2024 Actuals
2020-2024 Actuals and 2020-2025 Estimates
O-301-25 Levying special assessments for the improvement of certain streets and public ways in the downtown area of the City by providing street lighting during the calendar year 2024; and declaring an emergency.
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O-302-25 Levying special assessments for the improvement of certain streets, alleys and public ways outside of the downtown area of the City by providing street lighting during the calendar year 2024; and declaring an emergency.
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O-303-25 Levying special assessments for controlling the blight and disease of shade trees within public rights-of-way and planting, maintaining, trimming and removing shade trees in and along the streets of the City during the calendar year 2024; and declaring an emergency.
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O-304-25 Authorizing the Mayor at his discretion to enter into amended contracts with existing vendors through the end of 2025 in order to account for verified tariff-related cost increases; waiving the competitive bidding requirements of TMC Chapter 187; and declaring an emergency.
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O-305-25 Providing for the issuance and sale of Notes for the purpose of paying, in anticipation of the levy and collection of special assessments, a portion of the cost of (i) lighting streets, alleys and other public ways of the City, (ii) sprinkling, sweeping, cleaning and removing snow from streets, alleys and other public ways of the City and (iii) controlling blight and disease of shade trees within rights of way and planting, maintaining, trimming and removing shade trees in and along streets of the City, all during the year 2025; authorizing the execution and delivery of a Trust Agreement securing the payment of the Notes; authorizing the execution and delivery of certain other documents in connection with the issuance of the Notes; and declaring an emergency.
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O-306-25 Providing for the issuance and sale of $1,260,000 of notes, in anticipation of the issuance of bonds, for the purpose of paying costs of constructing, reconstructing and rehabilitating sidewalks, including, where necessary, driveway approaches and curbs, in certain locations on designated streets; and declaring an emergency.
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O-307-25 Providing for the issuance and sale of bonds in the maximum principal amount of $1,265,000 for the purpose of paying costs of acquiring equipment for use in carrying out functions of the City's Hoffman Road Landfill, and declaring an emergency.
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O-308-25 Providing for the issuance and sale of bonds in the maximum principal amount of $700,000 for the purpose of paying costs of acquiring motor vehicles and equipment for use in carrying out functions of the City's Department of Transportation; and declaring an emergency.
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O-309-25 Providing for the issuance and sale of bonds in the maximum principal amount of $680,000 for the purpose of paying costs of acquiring motor vehicles and equipment for use in carrying out functions of the City's Department of Public Service, including but not limited to its Divisions of Fleet and Facilities Operations, Solid Waste and Urban Beautification; and declaring an emergency.
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O-310-25 Providing for the issuance and sale of bonds in the maximum principal amount of $660,000 for the purpose of paying costs of acquiring fire apparatus and equipment for use by the City's Department of Fire and Rescue Operations; and declaring an emergency.
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O-311-25 Providing for the issuance and sale of bonds in the maximum principal amount of $18,645,000 for the purpose of paying costs of improving the City's street system, in cooperation with the Department of Transportation of the State of Ohio and otherwise, by (i) improving streets by constructing, reconstructing and rehabilitating the pavement base, bridges, curbs, drainage improvements, driveway approaches, pedestrian ramps, bicycle paths and sidewalks, widening, realigning, adjusting radius cutbacks, manholes and catch basins, preparing the surface and surfacing and resurfacing, and installing traffic signs, signals and signalization, where necessary, and (ii) improving bridges by constructing, reconstructing, replacing, rehabilitating, restoring and widening bridge decks, supporting piers, abutments, arches, beams, columns and other structural steel components and bridge bearing systems and related embankments and drainage facilities, restoring and installing expansion joints, bridge railings and traffic barrier railings and constructing, reconstructing and rehabilitating the pavement base, curbs, drainage improvements, driveway approaches, bicycle paths and sidewalks and surfacing and resurfacing the roadway on those bridges and approaches to those bridges, where necessary, in each case as designated in the plans approved or to be approved by Council; and declaring an emergency.
Legislation Text
O-312-25 Providing for the issuance and sale of bonds in the maximum principal amount of $7,490,000 for the purpose of refunding for debt charges savings certain of the City's outstanding Capital Improvement and Refunding Bonds, Series 2015, dated October 15, 2015; and declaring an emergency.
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