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ADOPTED | BUDGET






                                             2022-2023 Operating Budget



                                                   General Debt Service

                                    Principal & Interest Payment Schedule



                                         Principal                            Interest





                 $12,000,000






                 $10,000,000





                  $8,000,000






                  $6,000,000






                  $4,000,000





                  $2,000,000






                          $-
                             2023    2025    2027   2029    2031    2033   2035    2037    2039   2041














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