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This contract includes 1 purchase order from Jun 18, 2011 to Jun 18, 2011
| Buyer | Vendor | Issued Date | Quantity |
|---|---|---|---|
| DCMA AIMO San Antonio | M7 Aerospace LLC | Jun 18, 2011 | 1 |
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This ordinance authorizes Amendment No. 6 to a contract between the Chicago Transit Authority and Elevated Solution Partners for Owner's Representative Services for the Red and Purple Modernization Project (RPM). The amendment provides an additional $5,375,694.54 to fund Option 1 (12 months) and Option 2 (6 months) of the existing contract, increasing the total contract value to $116,338,683.61. The original contract was signed on February 8, 2019, for a term of seven years with three one-year options.
Effective Date
Feb 8, 2019
Expires
Effective: Feb 8, 2019
Expires:
This ordinance authorizes Amendment No. 6 to a contract between the Chicago Transit Authority and Elevated Solution Partners for Owner's Representative Services for the Red and Purple Modernization Project (RPM). The amendment provides an additional $5,375,694.54 to fund Option 1 (12 months) and Option 2 (6 months) of the existing contract, increasing the total contract value to $116,338,683.61. The original contract was signed on February 8, 2019, for a term of seven years with three one-year options.
ActiveThis regulation, RÈGLEMENT NUMÉRO 937-25, from the VILLE DE Sainte-Catherine, authorizes capital expenditures totaling $2,484,600 for municipal buildings, specialized equipment, infrastructure, rolling stock, and road works. It also authorizes a corresponding umbrella loan of the same total amount, broken into 5, 10, and 20-year terms for different categories of expenses. The regulation includes provisions for funding, special tax collection, fund reallocation, and subsidy application. The effective date is December 15, 2025.
Effective Date
Dec 15, 2025
Expires
Effective: Dec 15, 2025
Expires:
This regulation, RÈGLEMENT NUMÉRO 937-25, from the VILLE DE Sainte-Catherine, authorizes capital expenditures totaling $2,484,600 for municipal buildings, specialized equipment, infrastructure, rolling stock, and road works. It also authorizes a corresponding umbrella loan of the same total amount, broken into 5, 10, and 20-year terms for different categories of expenses. The regulation includes provisions for funding, special tax collection, fund reallocation, and subsidy application. The effective date is December 15, 2025.
ActiveThis document is a municipal regulation (Règlement Numéro 919-25) from Saint-Lambert-de-Lauzon, adopted in 2026, authorizing capital expenditures of 9,405,000 $ for the year 2026, encompassing leisure and road infrastructure projects. It also authorizes a corresponding loan of 4,125,000 $ to finance these projects, with repayment to be covered by annual special taxes. The regulation outlines provisions for fund allocation and the use of financial aid.
Effective Date
Jan 1, 2026
Expires
Effective: Jan 1, 2026
Expires:
This document is a municipal regulation (Règlement Numéro 919-25) from Saint-Lambert-de-Lauzon, adopted in 2026, authorizing capital expenditures of 9,405,000 $ for the year 2026, encompassing leisure and road infrastructure projects. It also authorizes a corresponding loan of 4,125,000 $ to finance these projects, with repayment to be covered by annual special taxes. The regulation outlines provisions for fund allocation and the use of financial aid.
ActiveThis Ordinance Number 2025-61, approved by the Village of West Dundee on December 15, 2025, authorizes a loan agreement with the Illinois Environmental Protection Agency (IEPA) through the Public Water Supply Loan Program. The purpose is to fund Water System Improvements, specifically Lead Service Line Replacement, with an estimated cost and aggregate principal loan amount of $3,900,000. The loan is to be repaid over 30 years from water and sewer utility billing.
Effective Date
Dec 15, 2025
Expires
Effective: Dec 15, 2025
Expires:
This Ordinance Number 2025-61, approved by the Village of West Dundee on December 15, 2025, authorizes a loan agreement with the Illinois Environmental Protection Agency (IEPA) through the Public Water Supply Loan Program. The purpose is to fund Water System Improvements, specifically Lead Service Line Replacement, with an estimated cost and aggregate principal loan amount of $3,900,000. The loan is to be repaid over 30 years from water and sewer utility billing.
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