Page 196 - CITY OF WATAUGA, TEXAS ANNUAL BUDGET PORTRAIT
P. 196

General Obligation Debt Service Fund

                                Annual Debt Service Requirement
                     Series 2016 Certificates of Obligation ( $5,885,000 )


                                  DEBT
             YEAR ENDING      OUTSTANDING                    Interest
                SEPT. 30          OCT. 1       PRINCIPAL       Rate     INTEREST       TOTAL
                 2026             $3,545,000     $290,000    3.000%        $73,519     $363,519
                 2027             $3,255,000     $295,000    2.125%        $66,034     $361,034
                 2028             $2,960,000     $300,000    2.125%        $59,713     $359,713
                 2029             $2,660,000     $310,000    2.125%        $53,231     $363,231
                 2030             $2,350,000     $315,000    2.125%        $46,591     $361,591
                 2031             $2,035,000     $320,000    2.125%        $39,844     $359,844
                 2032             $1,715,000     $330,000    2.125%        $32,938     $362,938
                 2033             $1,385,000     $335,000    2.125%        $25,872     $360,872
                 2034             $1,050,000     $345,000    2.125%        $18,647     $363,647
                 2035               $705,000     $350,000    2.125%        $11,263     $361,263
                 2036               $355,000     $355,000    2.125%         $3,772     $358,772


                                                $3,545,000                $431,422    $3,976,422

                                                  Year        Total      Principal     Interest
            This Year's Requirement              2026       $363,519     $290,000       $73,519

            Maximum Requirement                  2034       $363,647     $345,000       $18,647
            Total Outstanding Bonds            $3,545,000
            Total Original Issue               $5,885,000
            Issue Date                          9/28/2016
             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.


                     $400,000                                                 INTEREST    PRINCIPAL
                     $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














                                                             196
   191   192   193   194   195   196   197   198   199   200   201