North Liberty Outstanding Obligations
Security Class Purpose Type Description Final Maturity Amount
General Obligation Other 2011B Street projects and City Hall land acquisition 06-01-2026 $4,715,000.00
General Obligation Other 2010B Street Projects 06-01-2020 $4,215,000.00
General Obligation Transportation 2013C Bond Hwy 965, Phase 2A; Jones Blvd Phase 2 06-01-2024 $3,215,000.00
General Obligation Other 2014C GO repaid with TIF. Highway 965, Phase 2 North Front Street 06-01-2025 $3,090,000.00
General Obligation Other 2013A 2003 Community Center and Fire Truck refinancing 06-02-2023 $2,065,000.00
General Obligation Other 2009A Street projects & Park Shop 06-01-2024 $1,665,000.00
General Obligation Public Buildings/Schools 2012B Library Expansion 06-30-2023 $1,465,000.00
General Obligation Other 2013B SMF construction, Community Center HVAC, Quail Ridge Park Updates, Centennial Park Updates 06-01-2024 $1,295,000.00
General Obligation Other 2010A Fiber Loop, Street projects, ASR Well 06-01-2020 $1,000,000.00
General Obligation Other 2007A Property purchase, Sand/salt bunker, Street Improves, CCA Gym Expansion 06-01-2017 $820,000.00
General Obligation Other 2008B Penn/I380 Project, Comm Ctr dividers, Siren 06-01-2018 $730,000.00
General Obligation Industrial Related UICCU Development Agreement - TIF Rebate 06-01-2016 $655,764.00
General Obligation Utilities/Sewers 2007B Well Improvements 06-01-2022 $490,000.00
General Obligation Other 2011A Refunding 1996 Bond - Comm Ctr and street projects 06-01-2019 $355,000.00
General Obligation Public Buildings/Schools REDLG Loan for Library Expansion 07-01-2022 $210,000.00
General Obligation Public Safety 2006C Fire Truck 06-01-2017 $135,000.00
Revenue Bonds Utilities/Sewers MC124R Wastewater Treatment Plant 06-01-2027 $4,502,000.00
Revenue Bonds Utilities/Sewers C0074R Wastewater Treatment Plant 06-01-2028 $2,174,000.00
Revenue Bonds Other A&M Development LLC TIF Rebate 06-01-2017 $2,071,527.23
Revenue Bonds Transportation 2012A Road Use Tax Street Shop 06-01-2027 $1,500,000.00
Revenue Bonds Utilities/Sewers 2008D Water Projects 06-01-2023 $1,495,000.00
Revenue Bonds Utilities/Sewers CW9619R Wastewater projects 12-01-2018 $1,216,000.00
Revenue Bonds Utilities/Sewers 2014A Sewer Rev - Refinanced sewer debt from 06 (West Trunk Sewer) 06-01-2025 $1,210,000.00
Revenue Bonds Utilities/Sewers 2014B Water Revenue - Refunding 2006 Water Revs (Water Tower 3) 06-01-2026 $1,210,000.00
Revenue Bonds Utilities/Sewers 2014B Water Bond Refunding for 2006 Water Projects 06-01-2026 $1,125,000.00
Revenue Bonds Utilities/Sewers 2012C Refunding 2001 Water bonds 06-01-2021 $1,090,000.00
Revenue Bonds Utilities/Sewers 2008C Sewer Projects 02-01-2023 $850,000.00
Revenue Bonds Industrial Related Maytag Annual Appropriation 06-01-2016 $300,000.00
Revenue Bonds Utilities/Sewers SRF CW8907G Sewer Projects 12-01-2017 $203,000.00
Revenue Bonds Industrial Related Heartland Express Annual Appropriation 09-20-2015 $159,000.00
Revenue Bonds Utilities/Sewers CW8908R Wastewater Projects 12-01-2018 $90,000.00
Revenue Bonds Industrial Related JM Swank Annual Appropriation 11-29-2018 $77,000.00
Total Debt as of 2015: $45,393,291.23

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