Security Class | Purpose Type | Description | Final Maturity | Amount |
---|---|---|---|---|
General Obligation | Transportation | 2013 Refinance | 06-01-2022 | $2,635,000.00 |
General Obligation | Utilities/Sewers | Wastewater Plant Refinance | 06-01-2014 | $155,000.00 |
General Obligation | Transportation | Street Note | 06-01-2021 | $0.00 |
General Obligation | Parks/Recreation | Downtown Sidewalk | 06-01-2019 | $0.00 |
General Obligation | Utilities/Sewers | Spiegel Utility Extension | 06-01-2015 | $0.00 |
General Obligation | Transportation | Park Street | 06-01-2022 | $0.00 |
Revenue Bonds | Utilities/Sewers | Telco Refinance | 03-01-2037 | $1,773,473.58 |
Revenue Bonds | Utilities/Sewers | Telco Refinance | 03-01-2037 | $960,198.02 |
Revenue Bonds | Transportation | 7th Street Project | 06-01-2016 | $630,000.00 |
Revenue Bonds | Utilities/Sewers | Telco Refinance | 03-01-2018 | $227,053.34 |
Total Debt as of 2013: | $6,380,724.94 |