Page 429 - Cover 3.psd
P. 429

2018 - 2019 Operating Budget



                                                   General Debt Service

                                    Principal & Interest Payment Schedule



                                          Principal                           Interest





                  $9,000,000



                  $8,000,000



                  $7,000,000



                  $6,000,000




                  $5,000,000



                  $4,000,000



                  $3,000,000



                  $2,000,000



                  $1,000,000



                          $-
                             2019    2021   2023   2025    2027   2029   2031    2033   2035   2037    2039














                                                             423
   424   425   426   427   428   429   430   431   432   433   434