Madrid Outstanding Obligations
Security Class Purpose Type Description Final Maturity Amount
General Obligation Transportation 2019 Go Bond Issue - Street Improvement Projects + $815,000 to refinance 2016 GO Loan 06-01-2038 $2,295,000.00
General Obligation Transportation 2012 - Refinancing of various smaller debt and additional new debt. 06-01-2027 $830,000.00
General Obligation Utilities/Sewers 2013A - New debt related to several small storm sewer projects. 06-01-2025 $625,000.00
General Obligation Transportation 77% for Fairview Drive Street project and 23% for water main replacement 06-01-2031 $610,000.00
Revenue Bonds Utilities/Sewers 2020 sewer refunding issue called the 2013B bonds. 06-01-2033 $710,000.00
Revenue Bonds Utilities/Sewers 2013C - Rehabilitation work at our water plant and exterior painting of our water tower. 06-01-2027 $275,000.00
Revenue Bonds Utilities/Sewers 2013B - Rehabilitation work at our sanitary sewer plant and sanitary sewer mains for a new development. 06-01-2033 $0.00
Capital Leases/Lease to Purchase Other 2017 - Pelican Street Sweeper 08-21-2021 $8,693.26
Loans Utilities/Sewers 2020 SRF Loan for Sewer Plant Upgrade (information per 06-05-20 SRF amortization schedule) 06-01-2048 $6,295,574.16
Loans Utilities/Sewers 2019 Water Improvement Note - emergency water main break under the river 06-01-2025 $242,510.00
Total Debt as of 2021: $11,891,777.42

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