Page 615 - Bedford-FY24-25 Budget
P. 615

Supporting?
                               Self-                  Partially                        No                             Partially

























                                  Purpose of Debt (i) the construction of public works, to wit:  (a) acquiring and installing equipment for  public safety facilities and vehicles, (b) constructing, improving, remodeling, renovating  and equipping fire-fighting facilities, including the acquisition of land and rights-of-way  therefor, (c) constructing, improving, remodeling, renovating and equipping park facilities,  including the senior center, and including the acquisition of land and rights-of-way  therefor, (d) constructing and improving streets, including drainage, landscaping,  streetscaping, retaining walls, curbs, gut














                  Current Debt Issuances                                                           Chapter 271, as amended.           amended, and Chapter 1371.















                         Outstanding   Principal &   Interest as of   October 1, 2024    $       28,157,160    $       23,690,656    $         6,487,572









                            Final   Maturit  y        2044                             2043                           2043



                                  Date                                                 9/6/2023

                                  Issue               7/23/2024                                                       6/23/2023


                                Original Issue   Amount   $ 20,685,000                  $ 16,320,000                   $   4,700,000








                                                    Combination Tax &   Revenue Certificates of   Combination Tax &   Revenue Certificates of   Obligation, Series



                                  Series                 Obligation, Series 2024           2023A                   Combination Tax &   Revenue Certificates of   Obligation, Series 2023
   610   611   612   613   614   615   616   617   618   619   620