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CCR1992075COMMON COUNCIL - CITY OF MUSKEG0 RESOLUTION #X-92 AUTHORIZATION TO RESTRUCTURE WATER UTILITY DEBT WHEREAS, the Water Utility has established long-term advances long-term debt; and for its proportionate share of the City's general obligation WHEREAS, in prior years the Water Utility has adopted a basis as the City repays its general obligation debt; and repayment schedule on the long-term advances to be on the same WHEREAS, the Water Utility, within its rate structure, presently does not have the ability to repay the long-term advance on the schedule previously adopted; and WHEREAS, the City agrees to allow the Water Utility to repay these long-term advances over a 20-year period at a 6.25% interest rate. NOW, THEREFORE, BE IT RESOLVED that the Common Council of the City of Muskego, upon the recommendation of the Public Utilities Committee, does hereby approve the attached repayment schedule for City advances to the Water Utility related to City general obligation long-term debt. DATED THIS 24TH DAY OF MARCH , 1992. SPONSORED BY: PUBLIC UTILITIES COMMITTEE Ald. Daniel J. Hilt Ald. William T. Simmons Ald. David J. Sanders This is to certify that this is a true and accurate copy of City of Muskego. Resolution #75-92 which was adopted by the Common Council of the 3/92cac CMS 6 CO BRKFLD TEL; 1-414-796-8422 ma,- ?:,y2 IS;S~ NO 013 F @ MUSKEGO WATER PUBLIC UTILITY 02-20-1992 Pg 1 ,pounding period...: Annual Nominal annual rate..! 6.250 Effective annual rate: 6.250 Periodic rate........: 6.2500 Equivalent daily rate: 0.01712 CASH FLOW DATA Event Date Amount # Period End-date ......................................... 1 Loan 12-31-91 4,001,675.CO 1 2 Payment 12-31-92 355,998.C9 20 Annual 12-31-11 AMORTIZATION SCHEDULE - Normal amortization Pmt Date Loan 12-31-1991 1991 totals 1 12-31-1992 1992 totale 2 12-31-1993 1994 totals 4 12-31-1995 1995 totals 5 12-31-1996 1996 totals 6 12-31-1997 1997 totale 7 12-31-1998 1998 totals 1999 totals 8 12-31-1999 2000 totals 9 12-31-2000 2001 totals 10 12-31-2001 12-31-2002 Payment 0.00 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 355,998.09 Interest 0.00 250,104.69 250,104.69 243,486.35 243,486.35 235,454.37 236,454.37 228,982.88 :228,982.88 221,044.43 ?21,044.43 212,609.83 212,609.83 :!03,648.06 203,648.06 L94,126.19 1.94,126.19 1,84,009.19 184,009.19 173,259.89 173,259.89 161,838.75 Principal 0.00 105,893.40 105,893.40 112,511.74 112,511.74 119,543.12 119,543.72 127,015.21 127,015.21 134,953.66 134,953.66 143,388.26 143,388.26 152,350.03 152,350.03 161,871.90 161,871.90 171,988.90 171,988.90 182,738.20 182,738.20 194,159.34 Balance 4,001,675.00 3,895,781.60 3,783,269.86 3,663,726.14 3,536,710.93 3,401,757.27 3,258,369.01 3,106,018.98 2,944,147.08 2,772,158.18 2,589,419.98 2,395,260.64 03