Sheet 33
DEBT SERVICE FOR NOTES (OTHER THAN ASSESSMENT NOTES)
| Title or Purpose of Issue | Original Amount Issued |
Original Date of Issue* |
Amount of Note Outstanding Dec. 31, 2021 |
Date of Maturity |
Rate of Interest |
2022 Budget Requirements | Interest Computed to (Insert Date) |
|
|---|---|---|---|---|---|---|---|---|
| For Principal | For Interest** | |||||||
| Title or Purpose of IssueOrd # 2617 Construction of Parking Garage | Original Amount Issued6,660,000.00 | Original Date of Issue2/4/2021 | Amount of Note Outstanding Dec. 31, 20216,660,000.00 | Date of Maturity02/03/22 | Rate of Interest0.7500% | For Principal | For Interest**49,811.25 | Interest Computed to (Insert Date) |
| Page Totals | Original Amount Issued6,660,000.00 | Amount of Note Outstanding Dec. 31, 20216,660,000.00 | For Principal- | For Interest**49,811.25 | ||||