Security Class | Purpose Type | Description | Final Maturity | Amount |
---|---|---|---|---|
General Obligation | Parks/Recreation | Aquatic Center Construction Loan | 03-01-2025 | $601,361.21 |
General Obligation | Transportation | 5th Street Corp Purpose | 06-01-2027 | $200,000.00 |
General Obligation | Parks/Recreation | Aquatic Center Note | 06-01-2023 | $124,234.31 |
General Obligation | Other | Caterpillar 926M End Loader | 06-01-2020 | $19,000.00 |
Revenue Bonds | Utilities/Sewers | Sewer Revenue Bonds | 06-01-2021 | $171,000.00 |
Total Debt as of 2019: | $1,115,595.52 |