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2021-006 Council Resolution
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2021-006 Council Resolution
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Last modified
3/11/2021 7:36:05 AM
Creation date
2/9/2021 3:23:21 PM
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City Council
Council Document Type
Resolutions
Meeting Date
02/08/2021
Council Meeting Type
Regular
Resolution #
21-06
Resolution Title
DECLARING THE OFFICIAL INTENT OF THE CITY OF LINO LAKES TO REIMBURSE CERTAIN EXPENDITURES FROM THE PROCEEDS OF BONDS TO BE ISSUED BY THE CITY (2021 STREET IMPROVEMENT PROJECT)
Resolution Summary
Declaring intent to reimburse certain expenditures from proceeds of bonds
Resolution Date Passed
02/08/2021
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CITY OF LINO LAKES, MINNESOTA <br />RESOLUTION NO. 21-06 <br />DECLARING THE OFFICIAL INTENT OF THE <br />CITY OF LINO LAKES TO REIMBURSE <br />CERTAIN EXPENDITURES FROM THE PROCEEDS <br />OF BONDS TO BE ISSUED BY THE CITY <br />(2021 Street Improvement Project) <br />WHEREAS, the Internal Revenue Service has issued Treas. Reg. § 1.150-2 (the <br />"Reimbursement Regulations") providing that proceeds of tax-exempt bonds used to reimburse prior <br />expenditures will not be deemed spent unless certain requirements are met; and <br />WHEREAS, the City expects to incur certain expenditures that may be financed temporarily <br />from sources other than bonds, and reimbursed from the proceeds of a tax-exempt bond; <br />WHEREAS, the City has determined to make this declaration of official intent <br />("Declaration") to reimburse certain costs from proceeds of bonds in accordance with the <br />Reimbursement Regulations. <br />NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF <br />LINO LAKES AS FOLLOWS: <br />1. The City proposes to undertake certain street=reconstruction and surface water <br />management improvements on 4th Avenue (Main Street to Pine Street), Joyer Lane, Karth Road, <br />Talle Lane, Canfield Road and Gaage Lane, as more fully described in the City's 2020-2024 Street <br />Reconstruction Plan (the "Project"). <br />2. The City reasonably expects to reimburse the expenditures made for certain costs <br />of the Project from the proceeds of bonds in an estimated maximum principal amount of <br />$2,600,000.00. All reimbursed expenditures will be capital expenditures, costs of issuance of the <br />bonds, or other expenditures eligible for reimbursement under Section 1.150-2(d)(3) of the <br />Reimbursement Regulations. <br />3. This Declaration has been made not later than 60 days after payment of any original <br />expenditure to be subject to a reimbursement allocation with respect to the proceeds of bonds, <br />except for the following expenditures: (a) costs of issuance of bonds; (b) costs in an amount not in <br />excess of $100,000 or 5 percent of the proceeds of an issue; or (c) "preliminary expenditures" up to <br />an amount not in excess of 20 percent of the aggregate issue price of the issue or issues that finance <br />or are reasonably expected by the City to finance the project for which the preliminary expenditures <br />were incurred. The term "preliminary expenditures" includes architectural, engineering, surveying, <br />bond issuance, and similar costs that are incurred prior to commencement of acquisition, construction <br />or rehabilitation of a project, other than land acquisition, site preparation, and similar costs incident <br />to commencement of construction. <br />
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