Page 530 - Bedford-FY22-23 Budget
P. 530

Current Debt Issuances

                                                                               Outstanding
                                                                        Final   Principal &
                                                      Original Issue    Maturit  Interest as of                                                        Self-
                                          Series       Amount   Issue Date  y  October 1, 2022                    Purpose of Debt                    Supporting?
                                                                                          (i) Permanent public improvements and public purposes, to wit: (a) drainage improvements
                                    General Obligation                                    and (b) constructing, improving, renovating, equipping park and recreation facilities
                                    Refunding &       $  63,920,000  4/25/2018  2038  $        72,079,250 (including ball field improvements, aquatic center improvements, multi-purpose event  Partially
                                    Improvement Bonds,                                    facilities improvements and other related improvements) including the acquisition of land
                                    Series 2018
                                                                                          therefor; (ii) the discharge and final payment of certain outstanding obligations of the City.
                                    Combination Tax &                                     The construction of public works, to wit: improving and extending the City's waterworks
                                    Revenue Certificates of   $  20,000,000 10/10/2017  2047  $        24,593,719  system                               Yes
                                    Obligation, Series 2017
                                    Combination Tax &                                     The construction of public works, to wit: improving and extending the City's waterworks
                                    Revenue Certificates of   $  30,000,000  12/9/2015  2045  $        35,488,265  system                               Yes
                                    Obligation, Series 2015
                                                                                          Permanent public improvements (Boys Ranch Lake improvements, trail improvements,
                                    General Obligation   $    3,200,000  3/25/2014  2034  $          2,755,519 channel improvements, recreation facilities, and related improvements at Boys Ranch  No
                                    Bonds, Series 2014
                                                                                          Park).
                                    Public Property Finance                               (i) The purchase of a fire truck, (ii) the purchase of computer software, (iii) a system
                                    Contractual Obligations,  $    2,300,000  3/25/2014  2024  $             517,688                                    No
                                    Series 2014                                           upgrade to the emergency services communications system.
                                    General Obligation                                    (i) (a) Residential street improvements, including curbs, gutters, sidewalks, drainage and
                                    Refunding &       $    5,375,000  8/27/2013  2033  $          1,844,163  utility line relocations incidental thereto, and (b) construct a parks maintenance service  No
                                    Improvement Bonds,                                    center and make improvements to existing parks and linear trails; (ii) providing funds for
                                    Series 2013                                           the discharge and final payment of certain outstanding obligations of the City.
                                    Combination Tax &
                                    Revenue Certifications   $       630,000  9/11/2012  2032  $             351,074  Improving and extending the City's Sewer System, including acquisition of land and rights-  Yes
                                    of Obligation, Series                                 of-way.
                                    2012
                                    Combination Tax &
                                    Revenue Certificates of   $    4,270,000  9/11/2012  2032  $          2,738,881  Improving and extending the City's combined Waterworks and Sewer System, including the  Yes
                                    Obligation, Series                                    acquisition of land and rights-of-way.
                                    2012A
                                                                              $      171,484,128
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