Security Class |
Purpose Type |
Description |
Final Maturity |
Amount |
General Obligation |
Other |
Bond proceeds funded improvements to streets, water, and sewer. |
06-01-2025 |
$525,000.00 |
General Obligation |
Transportation |
South Road Bridge Replacement |
06-01-2028 |
$288,000.00 |
General Obligation |
Parks/Recreation |
Marina Dock Improvements |
06-01-2029 |
$200,000.00 |
General Obligation |
Utilities/Sewers |
Clear Creek sewer pipe on bridge replacement. (on South Front St) Paid with water sewer revenue. |
06-01-2023 |
$177,000.00 |
Revenue Bonds |
Utilities/Sewers |
MC127R: Finance the construction of a new wastewater treatment facility and are to be paid out of the revenues collected for sewer service. |
06-01-2037 |
$1,632,000.00 |
Revenue Bonds |
Utilities/Sewers |
D0228R:SouthTown Revenue Bond. New wastewater lines for Valley, Pearl, and Wall Streets. Bonds are to be repaid through sewer utility revenues. |
06-01-2031 |
$403,000.00 |
Revenue Bonds |
Utilities/Sewers |
MD84R: Purchase reservoir on Mt. Hosmer. Bonds to be repaid through collections of water revenues. |
06-01-2026 |
$217,000.00 |
Total Debt as of 2019: |
$3,442,000.00 |