|
Statement 13
<br />Page 2 of 4
<br />Debt Service (Continued) Capital Projects
<br />Improvement GO Debt Capital Closed
<br />Bonds of Bonds Service Building and Equipment Bond Street
<br />2013A 2014A Subtotal Facilities Revolving Fund Fund Reconstruction
<br />$ $ 21,310 $ 2,467,559 $ 509,321 $ 162,820 $ 681,595 $ 650,450
<br />- 1,935,533 1,022,888
<br />16,861 - 340
<br />14,756 85
<br />13,668 6,181 -
<br />232,370 52,208 106,417
<br />1,271 - -
<br />$ $ 21,310 $ 2,746,485 $ 2,444,854 $ 162,820 S 1,763,297 $ 756,867
<br />S 16,746 $ $ 16,746 $ - $ - $ - $ -
<br />- - 6,712 3,184
<br />16,746 16,746 6,712 3,184
<br />262,899 58,729 106,417
<br />21,310 2,483,586
<br />2,438,142 159,636 1,704,568 650,450
<br />(16,746) - (16,746) - - - -
<br />(16,746) 21,310 2,466,840 2,438,142 159,636 1,704,568 650,450
<br />$ - $ 21,310 $ 2,746,485 $ 2,444,854 $ 162,820 $ 1,763,297 $ 756,867
<br />71
<br />
|