Le Mars Outstanding Obligations
Security Class Purpose Type Description Final Maturity Amount
General Obligation Utilities/Sewers Taxable GO Refunding Notes for 2013 Taxable Sewer Revenue Notes 06-01-2026 $5,060,000.00
Revenue Bonds Health Care Hospital Improvements - USDA Loan Agreement 11-17-2051 $13,689,384.00
Revenue Bonds Utilities/Sewers Wastewater Ultraviolet (UV) Disinfection Project - Sewer Revenue Bonds Series 2022 06-01-2042 $5,375,000.00
Revenue Bonds Health Care Hospital Improvements - North Addition Project 01-27-2042 $4,185,000.00
Revenue Bonds Health Care Hospital 2022 North Addition Project - Hospital Revenue Series 2022C 01-27-2042 $1,515,000.00
Revenue Bonds Utilities/Sewers Water SRF Green Loan for Meter Improvements 06-01-2034 $484,000.00
Revenue Bonds Industrial Related Industrial Park Land Purchase - REC Loan (2021C) 10-05-2026 $240,000.00
Revenue Bonds Industrial Related Industrial Park Land Purchase - REC Loan (2021D) 10-05-2026 $240,000.00
Revenue Bonds Industrial Related Industrial Park Land Purchase - REC Loan (2021B) 10-05-2026 $100,000.00
Loans Public Buildings/Schools 2017 Libr Expansion REC Loan 10-19-2027 $225,000.00
Loans Parks/Recreation 2022 Equipment Lease Purchase - 2 Parks JD Tractors with Equipment 07-28-2026 $48,240.42
Total Debt as of 2024: $31,161,624.42

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