North Liberty Outstanding Obligations
Security Class Purpose Type Description Final Maturity Amount
General Obligation Other 2025A Urban Central District Revitalization Project 06-01-2045 $21,260,000.00
General Obligation Other 2024A City Hall Project, Penn Meadows Parking Lot Improvements, Park Land Acquisition 06-01-2037 $9,195,000.00
General Obligation Other 2023A Centennial Park Loop Drive, Ranshaw Way Phase 5, N.Jones Blvd, Dubuque St Phase 1, City Hall 06-01-2039 $8,945,000.00
General Obligation Other 2025B street and utility improvements, street lighting and signage, the construction of a new City Hall, and Centennial Park improvements 06-01-2040 $8,750,000.00
General Obligation Other 2022A Ranshaw Ways Phase 5, SW Growth Utilities Project, FGR Trail - GO/TIF 06-01-2035 $7,790,000.00
General Obligation Other 2020A Bond TIF, GO, WPCP debts 06-30-2032 $6,605,000.00
General Obligation Other 2021A Ranshaw Way Ph 2, St. Andrews Drive, Stormwater Projects, Police Station, Pumper Truck, Aquatic Center Heater Project, Grass Rig Fire Truck 06-01-2037 $5,800,000.00
General Obligation Other 2019A bond financing parks, Kansas Avenue, Hwy 965 and refunding 2011B 06-01-2032 $3,450,000.00
General Obligation Other 2018A GO/TIF Bonds Penn Street, NL Road/Penn Street Improves; Centennial SRF Project; Ranshaw House 06-01-2031 $2,465,000.00
General Obligation Transportation 2017B Refunded 2010B. Funded NL Road/Dubuque St & Penn Street ICAAP Projects 06-01-2029 $2,000,000.00
General Obligation Other 2017A Refunded 2010A, 2008B, 2009A and 2011A. Funded NL Road/Dubuque St. Project & East Growth Utilities 06-01-2027 $510,000.00
General Obligation Public Buildings/Schools 2025REDLG Rural Economic Development Loan Agreement 12-31-2034 $360,000.00
Revenue Bonds Utilities/Sewers CS-1920703-01 SRF WWTP Expansion 06-01-2037 $16,478,840.40
Revenue Bonds Utilities/Sewers FS-52-14-DWSRF-020 SRF 2017 Water Treatment Plant Project. D00391RT 06-01-2037 $15,753,000.00
Revenue Bonds Utilities/Sewers MC124R Wastewater Treatment Plant 06-01-2027 $1,329,000.00
Revenue Bonds Utilities/Sewers C0074R Wastewater Treatment Plant 06-01-2028 $585,000.00
Revenue Bonds Transportation 2012A Road Use Tax Street Shop 06-01-2027 $285,000.00
Total Debt as of 2026: $111,560,840.40

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