Urbandale Outstanding Obligations
Security Class Purpose Type Description Final Maturity Amount
General Obligation Transportation 2016B - Streets, Bridge - TIF portion 06-01-2026 $12,670,000.00
General Obligation Transportation 2015A- Streets, parks, Lib, PW, Storm sewers - TIF & CIP combined 06-01-2030 $9,025,000.00
General Obligation Transportation 2012 - Streets, parks, trails, bridge 06-01-2027 $6,250,000.00
General Obligation Transportation 2010A - Streets, Parks, trails, bridge 06-01-2022 $5,500,000.00
General Obligation Transportation 2014A - Streets, parks, fire, storm sewer 06-01-2029 $4,370,000.00
General Obligation Transportation 2011 - Streets, parks, trails, bridge, refunding 2003GO 06-01-2026 $4,000,000.00
General Obligation Transportation 2009B - Streets, partks trails, fire station, pool remodel (BAB) 06-01-2021 $3,300,000.00
General Obligation Transportation 2013A - Streets, parks, fire bridge, refunding 2004A & 2005 06-01-2028 $3,115,000.00
General Obligation Transportation 2014B - streets - TIF 06-01-2021 $3,105,000.00
General Obligation Other 2015B - Refunding of 2008GO 06-01-2018 $3,055,000.00
General Obligation Transportation 2016A - Streets, Trail, parks, Firetruck, CAD software - CIP portion 06-01-2031 $2,990,000.00
General Obligation Transportation 2013B - Streets - TIF 06-01-2021 $2,250,000.00
General Obligation Other 2014C - Refunding Bond - 2007GO and 2004B CLN 06-01-2024 $1,835,000.00
General Obligation Public Buildings/Schools 2006B CLN - Police Station expansion 06-01-2021 $600,000.00
General Obligation Other 2010B - Refunding 2002 GO and 2000 COP 06-01-2020 $400,000.00
General Obligation Public Buildings/Schools 2007 CLN - Police Station expansion 06-01-2020 $110,000.00
General Obligation Transportation 2008 GO - Streets, Parks, Trails 06-01-2018 $0.00
General Obligation Public Buildings/Schools 2004B CLN - City hall construction 06-01-2024 $0.00
Revenue Bonds Utilities/Sewers 2012 Water - land acquisition 06-01-2033 $2,110,000.00
Loans Utilities/Sewers 2015 Water - Refinance of 2005 Revenue bonds 06-01-2024 $1,762,000.00
Loans Utilities/Sewers 2010 SRF Water utility capital loan 06-01-2031 $1,080,000.00
Total Debt as of 2016: $67,527,000.00

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