Page 313 - CityofWataugaAdoptedBudgetFY25
P. 313

General Obligation Debt Service Fund

                                   Annual Debt Service Requirement
                        Series 2023 Certificates of Obligation ( $8,820,000)

                                 DEBT
             YEAR ENDING     OUTSTANDING                    Interest
                SEPT. 30        OCT. 1       PRINCIPAL        Rate        INTEREST      TOTAL
                 2025            $7,405,000    $285,000       5.0%          $327,088     $612,088
                 2026            $7,120,000    $295,000       5.0%          $312,588     $607,588
                 2027            $6,825,000    $315,000       5.0%          $297,338     $612,338
                 2028            $6,510,000    $325,000       5.0%          $281,338     $606,338
                 2029            $6,185,000    $345,000       5.0%          $264,588     $609,588
                 2030            $5,840,000    $360,000       5.0%          $246,963     $606,963
                 2031            $5,480,000    $315,000       5.0%          $230,088     $545,088
                 2032            $5,165,000    $330,000       5.0%          $213,963     $543,963
                 2033            $4,835,000    $350,000       5.0%          $196,963     $546,963
                 2034            $4,485,000    $365,000       5.0%          $179,088     $544,088
                 2035            $4,120,000    $385,000       4.0%          $160,338     $545,338
                 2036            $3,735,000    $405,000       4.0%          $142,613     $547,613
                 2037            $3,330,000    $420,000       4.0%          $126,113     $546,113
                 2038            $2,910,000    $435,000       4.0%          $109,013     $544,013
                 2039            $2,475,000    $455,000       4.0%           $91,213     $546,213
                 2040            $2,020,000    $475,000       4.0%           $72,613     $547,613
                 2041            $1,545,000    $495,000       4.0%           $53,213     $548,213
                 2042            $1,050,000    $515,000       4.1%           $32,691     $547,691
                 2043             $535,000     $535,000       4.1%           $11,034     $546,034
                                             $7,405,000                   $3,348,838   $10,753,838

                                                Year         Total        Principal     Interest
            This Year's Requirement            2025           $612,088     $285,000      $327,088
            Maximum Requirement                2027           $612,338     $315,000      $297,338

            Total Outstanding Bonds         $7,405,000
            Total Original Issue            $8,950,000
            Issue Date                        9/1/2023
            Proceeds for contractual obligations of the City to be incurred for making permanent public improvements and purposes, to-wit: (1) constructing
            street improvements, curbs, gutters, and sidewalk improvements, including drainage and traffic safety signalization and signage incidental thereto;
            (2) constructing, acquiring, purchasing, renovating, enlarging, and improving the City’s utility system and public works facilities; (3) designing,
            constructing, renovating, improving, and equipping the City’s parks and recreational facilities, including playground equipment; (4) the purchase of
            materials, supplies, equipment, digital signage, machinery, landscaping, land, and rights-of-way for authorized needs and purposes relating to the
            aforementioned capital improvements; (5) the purchase of fleet vehicles, technology improvements, HVAC improvements, public safety equipment,
            and a motorcycle; and (6) payment for professional and employee services relating to the design, construction, project management, inspection,
            consultant services, and financing of the aforementioned projects.
                                                                                  INTEREST
                 $700,000
                 $600,000                                                         PRINCIPAL
                 $500,000
                 $400,000
                 $300,000
                 $200,000
                 $100,000
                       $0
                              2025  2026  2027  2028  2029  2030  2031  2032  2033  2034  2035  2036  2037  2038  2039  2040  2041  2042  2043








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