Security Class |
Purpose Type |
Description |
Final Maturity |
Amount |
General Obligation |
Transportation |
Street Construction |
07-01-2026 |
$560,000.00 |
General Obligation |
Parks/Recreation |
Aquatic Center Construction |
07-01-2018 |
$260,000.00 |
Revenue Bonds |
Utilities/Sewers |
Electric Substation Project |
08-01-2028 |
$2,405,000.00 |
Revenue Bonds |
Utilities/Sewers |
Water Revenue Refinance and New Well Project |
06-01-2027 |
$490,000.00 |
Revenue Bonds |
Utilities/Sewers |
Wastewater Expansion |
06-01-2025 |
$435,000.00 |
Revenue Bonds |
Utilities/Sewers |
Refinance of Telecommunications Debt |
12-01-2023 |
$275,000.00 |
Loans |
Housing/Urban Dev. |
Internal Tif Debt for land purchase |
12-01-2026 |
$640,000.00 |
Total Debt as of 2017: |
$5,065,000.00 |