Security Class |
Purpose Type |
Description |
Final Maturity |
Amount |
General Obligation |
Other |
2022A REFUNDING OF 2014A AND PROCEEDS OF THE BONDS ARE BEING USED TO PAY COSTS OF CARRYING OUT ESEENTIAL AND GENERAL CORPORATE PURPOSE PROJECTS. |
06-01-2037 |
$26,840,000.00 |
General Obligation |
Other |
Series 2024 Proceeds of the Bonds are being issued for sewers, storm water, public safety, facilities, parks, IT, equipment |
06-01-2039 |
$24,805,000.00 |
General Obligation |
Other |
2016A GO streets, sewer, equipment, solid waste, facilities |
06-01-2031 |
$22,400,000.00 |
General Obligation |
Other |
The $ 31,880,000 GO Bonds Series 2023 are issued for: sanitary sewers, streets, parks, vehicles, IT, Library, bridges, streetscapes, sidewalks. |
06-01-2038 |
$22,315,000.00 |
General Obligation |
Other |
2020A Improvements to sewers, streets, streetscape, sidewalks and paths, airport, housing proj., fire & police, and refunding 2012A & 2012D. |
06-01-2035 |
$21,945,000.00 |
General Obligation |
Other |
2020B improvements to sanitary sewers, sewage treatment works, storm sewers, streets, streetscape, sidewalks & paths, airport, and miscellaneous |
06-01-2036 |
$16,580,000.00 |
General Obligation |
Other |
2019A Sanitary sewers, storm sewers, streets, airport, municipal housing projects, fire & police department parks and equipment |
06-01-2034 |
$14,765,000.00 |
General Obligation |
Other |
2018A GO CORPORATE AND REFUNDING BUNDS
REFUNDING 2010A & 2010B |
06-01-2026 |
$14,470,000.00 |
General Obligation |
Other |
2017A |
06-01-2032 |
$11,815,000.00 |
General Obligation |
Other |
2015 GO issue sewers, streets, solid waste, buildings |
06-01-2030 |
$7,065,000.00 |
General Obligation |
Other |
2021A refunding 2013A |
06-01-2032 |
$5,650,000.00 |
General Obligation |
Other |
2018B TAXABLE GO CORPORATE AND REFUNDING BONDS.
REFUNDING 2010C |
06-01-2026 |
$4,625,000.00 |
General Obligation |
Other |
2017B REFUNDING OF 2009C COMMUNICATION BONDS |
06-01-2029 |
$3,525,000.00 |
General Obligation |
Other |
2016b advance refunding of 2008d and 2009b |
06-01-2028 |
$1,565,000.00 |
Revenue Bonds |
Utilities/Sewers |
SRF #4 1930'S sanitary sewer riverfront interceptor |
06-01-2040 |
$8,526,246.00 |
Revenue Bonds |
Utilities/Sewers |
srf loan |
06-01-2041 |
$6,800,000.00 |
Revenue Bonds |
Utilities/Sewers |
UV disinfection project & gray water system addition project |
06-01-2041 |
$6,006,026.00 |
Revenue Bonds |
Utilities/Sewers |
srf #3 plant optimization |
06-01-2036 |
$4,359,000.00 |
Revenue Bonds |
Utilities/Sewers |
srf #2 |
06-01-2034 |
$3,015,000.00 |
Revenue Bonds |
Utilities/Sewers |
28E WITH SOLID WASTE COMMISSION FOR SINGLE STREAM WASTE CARTS |
07-01-2025 |
$405,549.00 |
Capital Leases/Lease to Purchase |
Public Safety |
AXON-Cameras |
07-31-2028 |
$589,115.00 |
Capital Leases/Lease to Purchase |
Public Safety |
AXON-Taser 10-Holster |
06-30-2029 |
$411,393.00 |
Capital Leases/Lease to Purchase |
Parks/Recreation |
HARRIS GOLF CARTS 4889-000125 |
10-31-2027 |
$23,559.00 |
Capital Leases/Lease to Purchase |
Parks/Recreation |
M&M GOLF CARS 4889-4-000123 |
02-28-2028 |
$14,111.00 |
Loans |
Transportation |
RAIL DEBT |
06-30-2026 |
$62,158.00 |
Total Debt as of 2025: |
$228,577,157.00 |