Page 195 - CITY OF WATAUGA, TEXAS ANNUAL BUDGET PORTRAIT
P. 195

General Obligation Debt Service Fund

                                 Annual Debt Service Requirement
                      Series 2018 Certificates of Obligation ( $6,780,000 )


                                  DEBT
              YEAR ENDING     OUTSTANDING                   Interest
                SEPT. 30          OCT. 1       PRINCIPAL      Rate     INTEREST        TOTAL
                  2026            $4,405,000     $265,000   5.000%       $148,965       $413,965
                  2027            $4,140,000     $285,000   5.000%       $135,215       $420,215
                  2028            $3,855,000     $300,000   5.000%       $120,590       $420,590
                  2029            $3,555,000     $310,000   3.000%       $108,440       $418,440
                  2030            $3,245,000     $320,000   3.000%        $98,990       $418,990
                  2031            $2,925,000     $325,000   3.000%        $89,315       $414,315
                  2032            $2,600,000     $335,000   3.000%        $79,415       $414,415
                  2033            $2,265,000     $350,000   3.000%        $69,140       $419,140
                  2034            $1,915,000     $360,000   3.150%        $58,220       $418,220
                  2035            $1,555,000     $370,000   3.250%        $46,538       $416,538
                  2036            $1,185,000     $380,000   3.250%        $34,350       $414,350
                  2037             $805,000      $395,000   3.500%        $21,263       $416,263
                  2038             $410,000      $410,000   3.500%          $7,175      $417,175


                                               $4,405,000               $1,017,615    $5,422,615
                                                 Year        Total      Principal     Interest

             This Year's Requirement             2026      $413,965      $265,000      $148,965

             Maximum Requirement                 2028      $420,590      $300,000      $120,590
             Total Outstanding Bonds          $4,405,000
             Total Original Issue             $6,780,000
             Issue Date                        9/18/2018
             Construct street improvements such as utilities repair, curb, gutters, sidewalk and drainage improvement.
             Construct, improve, renovate existing municipal facilities including  a splash pad and park trails.  Purchase of
             materials, supplies, equipment and land for aforementioned capital improvements.  Payment of professional
             services  - design, construction, project management, inspection & consultation of  such capital improvements.



               $450,000                                                  INTEREST    PRINCIPAL
               $400,000
               $350,000
               $300,000
               $250,000
               $200,000
               $150,000
               $100,000
                $50,000
                     $0
                             2026  2027  2028  2029  2030  2031  2032  2033  2034  2035  2036  2037  2038












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