Page 166 - FY 2020-21 Budget Cover.pub
P. 166
City of Azle
Utility Fund Debt Schedules
2012 Waterworks & Sewer System Revenue Refunding Bonds
Principal Principal Interest Total
Year Outstanding Payment Payment Payment
2021 1,135,000 370,000 24,516 394,516
2022 765,000 380,000 16,524 396,524
2023 385,000 385,000 8,316 393,316
450,000
400,000
350,000
300,000
250,000
Interest
Principal
200,000
150,000
100,000
50,000
-
2021 2023
City of Azle 2020-2021 Budget 155