| Security Class | Purpose Type | Description | Final Maturity | Amount |
|---|---|---|---|---|
| General Obligation | Other | streets, solid waste. Library, 04 & 05 GO refunding | 06-01-2032 | $13,540,000.00 |
| General Obligation | Other | streets, bridges, water main, storm sewers, sanitary sewers, airport terminal,flood, 06 & 07 GO refunding | 06-01-2035 | $9,750,000.00 |
| General Obligation | Other | streets, storm sewers, sanitary sewers, bridges, 09 GO refunding | 06-01-2029 | $8,015,000.00 |
| General Obligation | Other | streets, bridges, water main, storm sewers, sanitary sewers, airport terminal,flood, 08 GO refunding | 06-01-2028 | $7,630,000.00 |
| General Obligation | Other | streets, water & sanitary sewer, flood mitigation, city parks, Library | 06-01-2032 | $6,935,000.00 |
| General Obligation | Other | street improvements, emergency services communication equipment, fire station improvements | 06-01-2030 | $6,915,000.00 |
| General Obligation | Other | streets, bridge, solid waste disposal facilities, flood mitigation | 06-01-2026 | $5,690,000.00 |
| General Obligation | Other | streets and City Hall improvements | 06-01-2023 | $2,405,000.00 |
| General Obligation | Other | streets, bridges, City Hall, fire equipment | 06-01-2022 | $1,915,000.00 |
| General Obligation | Other | refund 02A, 02B, 03 GO bonds | 06-01-2021 | $495,000.00 |
| Revenue Bonds | Other | Refund 2011 bonds | 06-15-2036 | $62,725,000.00 |
| Revenue Bonds | Health Care | refund the 2003 revenue bonds and finance hospital expansion | 06-15-2027 | $10,185,000.00 |
| Revenue Bonds | Utilities/Sewers | Improvements to the municipal electric light & Power plant | 06-01-2027 | $6,735,000.00 |
| Loans | Utilities/Sewers | Water Plant | 01-01-2030 | $62,190,737.08 |
| Loans | Utilities/Sewers | Sanitary Sewer Manhole Covers | 06-01-2038 | $2,985,155.92 |
| Loans | Utilities/Sewers | Sewer | 01-01-2030 | $1,702,000.00 |
| Loans | Utilities/Sewers | bar screening system | 06-01-2038 | $726,771.36 |
| Loans | Utilities/Sewers | Lift Station Project | 06-01-2036 | $541,331.82 |
| Loans | Utilities/Sewers | Sanitary Sewer Rehab | 06-01-2035 | $318,750.00 |
| Total Debt as of 2019: | $211,399,746.18 | |||