Page 392 - City of Bedford FY20 Approved Budget
P. 392
CITY OF BEDFORD
SCHEDULE OF DEBT REQUIREMENTS
COMBINATION TAX & REVENUE CERTIFICATES OF OBLIGATION
SERIES 2015
WATER & SEWER
AMOUNT ISSUED: $30,000,000 DATED: December 9, 2015
YEAR
ENDED PRINCIPAL OUTSTANDING INTEREST TOTAL DEBT
9-30 PAYMENT DEBT PAYMENT PAYMENT
2019 $ 30,450,000
2020 700,000 29,750,000 737,195 1,437,195
2021 720,000 29,030,000 729,845 1,449,845
2022 740,000 28,290,000 721,061 1,461,061
2023 765,000 27,525,000 710,775 1,475,775
2024 790,000 26,735,000 698,765 1,488,765
2025 815,000 25,920,000 685,493 1,500,493
2026 840,000 25,080,000 671,149 1,511,149
2027 865,000 24,215,000 654,601 1,519,601
2028 895,000 23,320,000 635,657 1,530,657
2029 920,000 22,400,000 614,535 1,534,535
2030 950,000 21,450,000 591,167 1,541,167
2031 980,000 20,470,000 565,992 1,545,992
2032 1,010,000 19,460,000 539,042 1,549,042
2033 1,045,000 18,415,000 510,762 1,555,762
2034 1,075,000 17,340,000 480,875 1,555,875
2035 1,110,000 16,230,000 449,915 1,559,915
2036 1,145,000 15,085,000 417,614 1,562,614
2037 1,180,000 13,905,000 382,005 1,562,005
2038 1,215,000 12,690,000 345,307 1,560,307
2039 1,255,000 11,435,000 307,520 1,562,520
2040 1,295,000 10,140,000 268,364 1,563,364
2041 1,335,000 8,805,000 227,960 1,562,960
2042 1,375,000 7,430,000 185,240 1,560,240
2043 1,420,000 6,010,000 141,240 1,561,240
2044 1,465,000 4,545,000 95,658 1,560,658
2045 1,515,000 3,030,000 48,632 1,563,632
2046 1,515,000 1,515,000 48,632 1,563,632
2047 1,515,000 - 48,632 1,563,632
2048 - - - -
$ 30,450,000 $ 12,513,629 $ 42,963,629
360