Page 410 - Cover 3.psd
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ADOPTED | BUDGET






                                     2022-2023 Operating Budget



                                Drainage Utility Fund Debt Service

                            Principal & Interest Payment Schedule







                                         Principal                            Interest






                  $140,000




                  $120,000




                  $100,000





                   $80,000




                   $60,000




                   $40,000





                   $20,000




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











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