Page 605 - Bedford-FY23-24 Budget
P. 605

Current Debt Issuances

                                                                                  Total
                                                                               Outstanding
                                                                                Principal &
                                                      Original Issue    Final   Interest as of                                                         Self-
                                          Series       Amount   Issue Date Maturity October 1, 2022               Purpose of Debt                    Supporting?
                                                                                          (1) for the discharge and final payment of certain outstanding obligations of the City
                                    General Obligation                                    (identified in the preamble hereof and referred to as the “Refunded Obligations”) and (2) to
                                    Refunding Bonds, Series   $   5,650,000  10/13/2020  2031   $         4,228,707  pay for professional services rendered in relation thereto, all in accordance with the   Partially
                                    2020                                                  authority conferred by and in conformity with the Constitution and laws of the State of
                                                                                          Texas, including Chapter 1207 of the Texas Government Code, as amended.
                                                                                          (i) constructing, improving, renovating, and equipping park and recreation facilities
                                    General Obligation                                    (including ball field improvements, aquatic center improvements, multi-purpose event
                                    Bonds, Taxable Series    $   5,500,000  8/15/2019  2039   $         5,423,363  facilities improvements and other related improvements) including the acquistion of land   No
                                    2019                                                  therefor; and (ii) pay for professional services of attorneys, financial advisors and other
                                                                                          professionals in connection with the issuance of the Taxable Bonds.
                                                                                          (i) constructing, improving, renovating, and equipping park and recreation facilities
                                    General Obligation                                    (including ball field improvements, aquatic center improvements, multi-purpose event
                                    Refunding &       $    8,885,000  8/15/2019  2039  $            7,945,125  facilities improvements and other related improvements) including the acquistion of land   Partially

                                    Improvement Bonds,                                    therefor; (ii) refunding the Refunded Obligations for debt service savings; and (iii) pay for
                                    Series 2019                                           professional services of attorneys, financial advisors and other professionals in connection
                                                                                          with the issuance of the Bonds.
                                    Combination Tax &                                     (i) Construction of public works, to wit: improving and extending the City's combined


                                    Revenue Certificates of   $    3,990,000  2/26/2019  2039  $          4,372,360 Waterworks and Sewer System, including the acquisition of land and rights-of-way therefor   Yes
                                    Obligation, Series 2019                               and (ii) professional services rendered in relation to such projects

                                    Tax Notes, Series 2019  $    2,750,000  2/26/2019  2024  $               603,925 The acquisition and installation of public safety vehicles, equipment and software  No
                                                                                          (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  $                                                               Partially

                                    Improvement Bonds,                           67,340,488 (including ball field improvements, aquatic center improvements, multi-purpose event
                                    Series 2018                                           facilities improvements and other related improvements) including the acquisition of land
                                                                                          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  $          23,619,423  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  $        34,012,490  system                               Yes
                                    Obligation, Series 2015
                                                                                          Permanent public improvements (Boys Ranch Lake improvements, trail improvements,
                                    General Obligation   $    3,200,000  3/25/2014  2034  $          2,534,706 channel improvements, recreation facilities, and related improvements at Boys Ranch  No


                                    Bonds, Series 2014
                                                                                          Park).
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