Page 328 - City of Watauga FY22 Adopted Budget
P. 328

W/S Debt Service Fund 44

                           Annual Debt Service Requirement ‐ Utility (44)
                        Series 2019 ‐ Certificate of Obligation ( $8,065,000 )

                                   DEBT
              YEAR ENDING     OUTSTANDING                     Interest
                 SEPT. 30         OCT. 1       PRINCIPAL        Rate      INTEREST        TOTAL
                  2022             $7,845,000     $265,000     5.00%        $220,523       $485,523
                  2023             $7,580,000     $275,000     5.00%        $207,023       $482,023
                  2024             $7,305,000     $285,000     5.00%        $193,023       $478,023
                  2025             $7,020,000     $295,000     2.00%        $182,948       $477,948
                  2026             $6,725,000     $310,000     5.00%        $172,248       $482,248
                  2027             $6,415,000     $465,000     5.00%        $152,873       $617,873
                  2028             $5,950,000     $435,000     5.00%        $130,373       $565,373
                  2029             $5,515,000     $450,000     2.00%        $114,998       $564,998
                  2030             $5,065,000     $460,000     2.00%        $105,898       $565,898
                  2031             $4,605,000     $470,000     2.00%         $96,598       $566,598
                  2032             $4,135,000     $480,000     2.00%         $87,098       $567,098
                  2033             $3,655,000     $490,000     2.00%         $77,398       $567,398
                  2034             $3,165,000     $500,000     2.13%         $67,185       $567,185
                  2035             $2,665,000     $510,000     2.25%         $56,135       $566,135
                  2036             $2,155,000     $520,000     2.25%         $44,548       $564,548
                  2037             $1,635,000     $535,000     2.35%         $32,411       $567,411
                  2038             $1,100,000     $545,000     2.38%         $19,653       $564,653
                  2039              $555,000      $555,000     2.38%          $6,591       $561,591
                                                $7,845,000               $1,967,518      $9,812,518

            Total Outstanding Bonds             $7,845,000
            Total Original Issue                $8,065,000
            Issue Date                            8/1/2019

            For the purpose of paying contractual obligations of the City to be incurred for making
            permanent public improvements and for other public purposes, to wit: (1) constructing,
            acquiring, purchasing, renovating, enlarging , and improving the System, (2) constructing
            street improvements (including utility repair, replacement, and relocation), curb, gutters,
            and sidewalk improvements, (3) constructing, acquiring, purchasing, renovating, enlarging
            and improving the storm water and drainage system.
                                                  Year         Total      Principal      Interest

            This Year's Requirement               2022        $485,523     $265,000       $220,523


            Maximum Requirement                   2027        $617,873     $465,000       $152,873

            $700,000                          PRINCIPAL    INTEREST
            $600,000
            $500,000
            $400,000
            $300,000
            $200,000
            $100,000
                  $0




                                                             319
   323   324   325   326   327   328   329   330   331   332   333