PDF Res# Date Subject Description
- 2 MB 2015-44 2015-09-21 Issuance of Bonds Expressing official intent to reimburse costs of projects.
- 2 MB 2015-56 2015-12-07 Issuance of Bonds Expressing official intent to reimburse costs of the Residential Street Reconstruction Program.
- 2 MB 2016-03 2016-01-19 Issuance of Bonds Approving a bond resolution by Mesquite Health Facilities Development Corporation providing for the issuance of bonds for Christian Care Centers, Inc.
- 2 MB 2016-09 2016-02-01 Issuance of Bonds Directing publication of Notice of Intention to Issue City of Mesquite, Texas, Combination Tax and Revenue Certificates of Obligation, Series 2016 and resolving other matters related thereto.
- 2 MB 2016-40 2016-09-19 Issuance of Bonds Expressing official intent to reimburse costs of projects.
- 776 KB 2017-13 2017-03-20 Issuance of Bonds Directing publication of Notice of Intention to Issue City of Mesquite, Texas, Combination Tax and Revenue Certificates of Obligation, Series 2017 and resolving other matters related thereto.
- 1 MB 2017-20 2017-05-01 Issuance of Bonds Approving and authorizing the execution and delivery of a project agreement with Mesquite Quality of Life Corporation for the payment of costs related to reconstruction of Town East Boulevard from Skyline to Military Parkway and construction of an adjacent pedestrian trail, approving expenditure of funds by the Corporation in connection therewith and containing other provisions related thereto.
- 1 MB 2017-37 2017-09-18 Issuance of Bonds Expressing official intent to reimburse, from the proceeds of obligations to be issued by the City, the costs of the Residential Street Reconstruction Program, and of street, road, alley, sidewalk and screening wall projects, water and sewer system improvements, municipal building improvements and acquisition of vehicles and equipment and computer equipment and software for municipal departments.
- 900 KB 2018-16 2018-03-19 Issuance of Bonds Relating to the giving of notice of intention to issue City of Mesquite, Texas Combination Tax and Limited Surplus Revenue Certificates of Obligation, Series 2018, to provide funds for public improvements, facilities and equipment including, without limitation, information technology infrastructure and equipment, streets, thoroughfares and bridge improvements, streetscaping, storm drainage improvements, signalization, traffic controls, sidewalks, street lights, right of way acquisitions, vehicles, municipal buildings and facilities, and related issuance costs and providing an effective date.
- 3 MB 2018-25 2018-05-07 Issuance of Bonds Approving and authorizing the execution and delivery of a project agreement with Mesquite Quality of Life Corporation for the payment of costs related to reconstruction of Town East Boulevard from US Highway 80 to Skyline Drive and construction and installation of an adjacent pedestrian trail on the east side of Town East Boulevard in the area to be reconstructed, reconstruction of Scyene Road from Clay Mathis Road to Lawson Road and reconstruction of Gus Thomasson Road in the area of the Thomasson Square redevelopment project; approving expenditure of funds by the Corporation in connection therewith; and containing other provisions related thereto.
- 1 MB 2018-52 2018-09-17 Issuance of Bonds Expressing official intent to reimburse, from the proceeds of obligations to be issued by the City, the costs of street, road, alley, sidewalk and screening wall projects, water and sewer system improvements, drainage system improvements, municipal building improvements, acquisition of vehicles and equipment, and computer equipment and software for municipal departments.
- 5 MB 2019-25 2019-03-18 Issuance of Bonds Relating to the giving of notice of intention to issue City of Mesquite, Texas Combination Tax and Limited Surplus Revenue Certificates of Obligation, Series 2019, to provide funds for public improvements, facilities and equipment including, without limitation, information technology infrastructure and equipment, streets, thoroughfares and bridge improvements, streetscaping, storm drainage improvements, signalization, traffic controls, sidewalks, street lights, right of way acquisitions, vehicles, municipal buildings and facilities, and related issuance costs and providing an effective date.
- 6 MB 2019-33 2019-05-06 Issuance of Bonds Approving and authorizing the execution and delivery of a project agreement with Mesquite Quality of Life Corporation for the payment of costs related to reconstruction of Town East Boulevard from US Highway 80 to Skyline Drive and construction and installation of an adjacent pedestrian trail on the east side of Town East Boulevard in the area to be reconstructed; approving expenditure of funds by the Corporation in connection therewith; and containing other provisions related thereto.
- 7 MB 2019-35 2019-05-06 Issuance of Bonds Approving and authorizing the execution and delivery of a project agreement with the Towne Centre Tax Increment Reinvestment Zone (TIRZ) No. 2 for the payment of costs related to the drainage reconstruction project of South Mesquite Creek located within the TIRZ boundaries; approving expenditure of funds by the TIRZ in connection therewith; and containing other provisions related thereto.
- 5 MB 2019-67 2019-09-16 Issuance of Bonds Expressing official intent to reimburse, from the proceeds of obligations to be issued by the City, the costs of the residential street reconstruction program, street, road, alley, sidewalk and screening wall projects, water and sewer system improvements, municipal building improvements, acquisition of vehicles and equipment, and computer equipment and software for municipal departments.
- 4 MB 2020-13 2020-03-02 Issuance of Bonds Relating to notice of intention to issue City of Mesquite, Texas Combination Tax and Limited Surplus Revenue Certificates of Obligation, Series 2020, to provide funds for public improvements, facilities and equipment including, without limitation, information technology infrastructure and equipment, streets, thoroughfares and bridge improvements, streetscapes, storm drainage improvements, traffic signalization and controls, sidewalks, street lights, right-of-way acquisition, vehicles, municipal facilities, and related issuance costs and providing an effective date.
- 424 KB 2020-37 2020-09-21 Issuance of Bonds Expressing official intent to reimburse, from the proceeds of obligations to be issued by the City, the costs of street, road, alley, sidewalk and screening wall projects, water and sewer system improvements, municipal building improvements and acquisition of vehicles and equipment and computer equipment and software for municipal departments.
- 281 KB 2021-14 2021-04-05 Issuance of Bonds Authorizing publication of Notice of Intention to issue Certificates of Obligation, approving the preparation of a preliminary official statement and a notice of sale and providing for the effective date thereof.
- 321 KB 2022-15 2022-04-04 Issuance of Bonds Authorizing publication of Notice of Intention to Issue Certificates of Obligation; approving the preparation of a preliminary official statement and a notice of sale; and providing for the effective date thereof.
- 485 KB 2021-66 2021-10-04 Issuance of Bonds Expressing intent to reimburse expenditures from proceeds of future obligations.
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