Long-term Bank Loan for the Municipality of Ostrów Wielkopolski
Long-term bank loan: 14,178,000.00 PLN to cover existing obligations and finance the municipality's planned deficit. Capital repayment is from December 2026 to December 2041, interest repayment from 2026 to 2041. The loan will be made available to the contracting authority immediately after contract conclusion, but no later than 30.12.2026. The planned contract signing is in October 2026. Repayment will be exclusively in Polish Zloty (PLN), further details as per the tender documents.
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Tender documents
- Portal — LOT-0001NON-RESTRICTED-DOCUMENT
- TED HTML — 595913-2026HTML
- TED PDF — 595913-2026PDF
- TED XML — 595913-2026XML
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