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
   161   162   163   164   165   166   167   168   169   170   171