Hawarden Outstanding Obligations
Security Class Purpose Type Description Final Maturity Amount
General Obligation Public Buildings/Schools 06-01-2018 $650,000.00
Revenue Bonds Utilities/Sewers 06-01-2016 $1,895,000.00
General Fund Obligation Public Buildings/Schools 06-01-2022 $131,162.00
Revenue - TIF Utilities/Sewers 06-01-2019 $450,000.00
Revenue - TIF Short Term/Anticipatory 12-31-2010 $262,000.00
Revenue - TIF Transportation 06-01-2012 $183,000.00
Revenue - TIF Industrial Related 09-30-2021 $160,331.00
Revenue - TIF Industrial Related 02-01-2017 $90,186.00
Revenue - TIF Industrial Related 08-01-2019 $57,931.00
Revenue - TIF Industrial Related 12-31-2013 $27,654.00
Revenue - TIF Industrial Related 12-18-2011 $6,857.00
Total Debt as of 2010: $3,914,121.00

Fun Facts: