Pittsfield City Council Meeting - June 8, 2021

Open Agenda

Agenda Item 1 00:06:48

Open Microphone


Agenda Item 2 00:15:01

COVID Update


Agenda Item 7 00:29:14

A report from the Committee of the Whole on an Order raising and appropriating $179,410,963.00 to fund the City's operating budget for the Fiscal Year 2022, recommending to amend to $179,205,963.00 7/3


Agenda Item 3 00:31:08

A communication from Mayor Tyer submitting an Order raising and appropriating $179,205,963.00 to fund the City's operating budget for the Fiscal Year 2022


Agenda Item 9 00:36:05

A report from the Committee of the Whole on an Order appropriating $750,000.00 from certified free cash to reduce the Fiscal Year 2022 Tax Rate, recommending to amend and increase to $1,500,000.00 10/0


Agenda Item 4 00:37:38

A communication from Mayor Tyer submitting an Order appropriating $1,500,000.00 from certified free cash to reduce the Fiscal Year 2022 Tax Rate


Agenda Item 5 00:39:16

A communication from Mayor Tyer submitting an Order to authorize the transfer and appropriation of $60,000.00 from the Unclassified Budget to Worker's Compensation


Agenda Item 6 00:40:46

A response from Commissioner Morales, the Park and Open Space Program Manager and the Parks Superintendent on a petition from Councilors Maffuccio requesting an update on the status of improvements to the overflow parking area at Pontoosuc Lake Park


Agenda Item 8 00:42:22

A report from the Committee of the Whole on an Order authorizing the use and expenditure of the City's current revolving funds pursuant to MGL Chapter 44, Section 53E Y2 for Fiscal Year 2022, recommending to approve 1 0/0


Agenda Item 10 00:45:06

A report from the Committee of the Whole on an Order appropriating $202,000.00 for parking related expenditures pursuant to MGL Chapter 40, Sections 21A-22C for the Fiscal Year 2022, recommending to approve 8/2


Agenda Item 11 00:48:02

A report from the Committee of the Whole on an Order to borrow under the provisions of MGL Chapter 44, an aggregate sum not exceeding $6,992,000.00 for General Fund Capital Expenditures for Fiscal Year 2022, recommending to approve 8/2


Agenda Item 12 00:51:25

A report from the Committee of the Whole on an Order to borrow under the provisions of MGL Chapter 44, an aggregate sum not exceeding $700,000.00 for Enterprise Fund Capital Expenditures for Fiscal Year 2022, recommending to approve 10/0


Agenda Item 13 00:54:09

A report from the Committee of the Whole on a communication submitting the 5-Year Capital Improvement Plan for the Fiscal Years 2022-2026, recommending the plan be accepted and place on file