City Council - February 28, 2023

Chapters

ROLL CALL 00:00:19


PLEDGE OF ALLEGIANCE 00:00:53


PUBLIC FORUM 00:01:12


PRESIDENT'S REPORT 00:02:04


PUBLIC HEARING AND VOTE 00:02:41

Public Hearing and Vote on a Proposed Loan Order Authorizing the Sum of $2,500,000 is appropriated to pay costs of Constructing, Reconstructing, Paving, Repairing or Otherwise Improving Streets and Sidewalks, Including Improving Underground Ducts and Conduits and Paying All Other Costs Incidental and Related to such Street and Sidewalk Work; and that to meet this appropriation, the Treasurer, with the approval of the City Manager, is authorized to borrow said amount under and pursuant to M.G.L. c.44, §7(1), or pursuant to any other enabling authority, and to issue bonds or notes of the City therefor


PUBLIC HEARING AND VOTE 00:05:34

Public Hearing and Vote on a Proposed Order Authorizing the Sum of $1,500,000 is appropriated to pay costs of Replacing the Turf at Victory Field, including the payment of all costs incidental and related thereto; and that to meet this appropriation, the Treasurer, with the approval of the City Manager, is authorized to borrow said amount under and pursuant to M.G.L. c.44, §7(1), or pursuant to any other enabling authority, and to issue bonds or notes of the City therefor


MOTIONS, ORDINANCES, ORDER, AND RESOLUTIONS 02:40:03

Vote to Endorse the Solid Waste and Recycling Advisory Committee's Recommendation on the Trash/Recycling Contract


MOTIONS, ORDINANCES, ORDER, AND RESOLUTIONS 02:52:06

First Reading on a Proposed Loan Order authorizing the sum of $1,380,000 is appropriated to pay costs of demolishing and removing existing tennis courts and basketball courts, constructing a new tennis court, basketball court and pre-fabricated multi-purpose rink system, and making other improvements to the courts and related facilities at Moxley Field, including court surfacing, a new court lighting system, site improvements and all other costs incidental and related thereto; and that to meet this appropriation, the Treasurer, with the approval of the City Manager, is authorized to borrow said amount under and pursuant to M.G.L. c.44, §7(1), or pursuant to any other enabling authority, and to issue bonds or notes of the City therefor


MOTIONS, ORDINANCES, ORDER, AND RESOLUTIONS 02:53:15

Resolution authorizing a transfer of funds in the amount of $698,425 from the Fiscal Year 2023 City Council Reserve Fund to various Fiscal Year 2023 Departmental Accounts in order to move forward with proposed improvements at the Parker Annex Building


REPORTS OF COMMITTEES 02:55:48

Committee of the Budget and Fiscal Oversight Report Regarding ARPA Funds


NEW BUSINESS 03:16:49


COMMUNICATIONS FROM THE CITY MANAGER 03:16:55


REQUESTS FOR INFORMATION/REVIEW OF LIST OF PENDING MATTERS 03:18:34


ANNOUNCEMENTS 03:18:40


PUBLIC FORUM 03:18:44


RECESS OR ADJOURNMENT 03:19:54



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