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1 <br /> B. Future Debt Service <br /> ' The annual principal and interest payments to retire all general obligation <br /> long-term debt outstanding as of June 30, 1997 are as follows: <br /> ' Governmental Principal Interest Total <br /> ' 1998 $ 3,518,900 $ 1,854,276 $ 5,373,176 <br /> 1999 3,083,900 1,667,965 4,751,865 <br /> 2000 2,027,500 1,534,776 3,562,276 <br /> ' 2001 1,027,500 1,440,188 3,467,688 <br /> 2002 1,845,000 1,351,361 3,196,361 <br /> Thereafter 23.465,000 9,837,953 33.302.953 <br /> Total $ 35.967.800 $ 17.686.519 $ 53.654.319 <br /> ' C. Bond Authorizations <br /> Long-term debt authorizations which have not been issued or rescinded <br /> as of June 30, 1997 are as follows: <br /> Purpose Amount <br /> ' Regional Septage Treatment Plant $ 3,250,000 <br /> Chapter 90 1,489,401 <br /> Bufflehead Bay Land 500,000 <br /> Landfill Capping 1.263,000 <br /> ' Total $ 6.502.401 <br /> At June 30, 1997, bond anticipation notes, totaling $ 500,000, were <br /> outstanding for this project. <br /> D. State House Notes <br /> At June 30, 1997, the Town had a state house note outstanding for <br /> $ 63,750, which was used for fire truck repairs. The note includes interest <br /> ' at 4.87% and matures as follows: <br /> Year Amount <br /> ' 1998 $ 18,750 <br /> 1999 15,000 <br /> ' 2000 15,000 <br /> 2001 15,000 <br /> ' Total $ 63.750 <br /> ' 15 <br />