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Government ID for mapping buyers across datasets.
Full-time equivalent employees.
Population size to gauge opportunity scale.
How likely this buyer is to spend on new technology based on operating budget trends.
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How often this buyer champions startups and early adoption.
Includes fiscal year calendars, procurement complexity scores, and strategic insights.
Active opportunities open for bidding
City of Big Timber
The project consists of valley gutter, curb & gutter and asphalt pavement improvement to approx 1 block of Hart Street, 2 blocks of Hooper Street and 2 blocks of 8th Avenue in Big Timber, MT.
Posted Date
Mar 13, 2026
Due Date
Apr 2, 2026
Release: Mar 13, 2026
City of Big Timber
Close: Apr 2, 2026
The project consists of valley gutter, curb & gutter and asphalt pavement improvement to approx 1 block of Hart Street, 2 blocks of Hooper Street and 2 blocks of 8th Avenue in Big Timber, MT.
City of Big Timber
Project consists of demolishing and removing the remaining structure and foundation of the City Hall. Building to be demolished consists of concrete, steel, wood and cmu construction. All materials shall be disposed of in accordance with Montana law regarding disposal of solid waste materials.
Posted Date
Nov 27, 2025
Due Date
Dec 10, 2025
Release: Nov 27, 2025
City of Big Timber
Close: Dec 10, 2025
Project consists of demolishing and removing the remaining structure and foundation of the City Hall. Building to be demolished consists of concrete, steel, wood and cmu construction. All materials shall be disposed of in accordance with Montana law regarding disposal of solid waste materials.
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Board meetings and strategic plans from City of Big Timber
The meeting agenda includes a progress update on the Big Timber Trail Network and a decision regarding an encroachment agreement for Goat Ranch Hospitality. Key discussion items cover information requests from the Montana Water Court and the Crazy Mountain Ranch, as well as a request for a letter of support for Crazy Mountain Renewables. The Council will review rankings for architectural and engineering services for the City Hall project, decide on the withdrawal from the MMIA Workers' Compensation Program, and discuss the hiring of additional lifeguards. Finally, the meeting will address the third-quarter budget report, a pledged securities report, and the approval of outstanding claims.
The agenda for the City Council meeting includes receiving reports from the Sheriff and Public Works departments. Key discussion items involve a presentation from Crazy Mountain Renewables, an update on SLIPA Grant Funds and Projects, and a motion regarding co-opting with the County for City Clerk Offices. Further items include consideration of the Dornix Park Agreement, the First Amendment to the Republic Services Contract, an appointment to the City/County Planning Board, adding the Council President to signature cards at banks, and a discussion on increasing contributions to employees' health insurance coverage. Claims, payroll, and overtime for January 2026 will also be reviewed.
The meeting agenda included discussions and potential actions on the FY25 Audit Report, the Sidewalks Ordinance, an update from Republic Services, and a Workers' Compensation Coverage update. The Council planned to address Council Committees, untable and elect a Council President, and consider a letter supporting the BRWA Grant Application. Other key items involved the Dornix Park Agreement and the tabled Snowplowing Policy. The agenda concluded with the approval of claims for the second half of December.
The meeting included a public hearing and discussion on resolutions regarding water and sewer rate increases. Further discussion involved budget items such as the General Fund revision and Water Fund revenue revision. The council considered resolutions for modifying water and sewer charges, and a resolution for the approval to demolish City Hall. Additional items included a bulk water policy, dugout rental agreement form, Triangle Capital credits, and approval of claims for the second half of July.
The City Council addressed the amendment of the budget for Fiscal Year 2024-2025, specifically focusing on adjustments needed for the Library Federation, Library Depreciation Reserve, ARPA Recovery, Water, Sewer, Solid Waste, and Solid Waste Replacement and Depreciation funds to accommodate unanticipated revenues and expenditures. Adjustments were made to various funds through increases and decreases to align with revenue recognition and interfund transfers.
Extracted from official board minutes, strategic plans, and video transcripts.
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