2022 Annual Comprehensive Financial Report
Table XVII Page 2 of 2
Solid Waste Management Fund (b) Debt Service Expenditures
Sales Tax Revenue Pledged (g)
Coverage
Principal
Interest
Total
(h)
$
15,468,649
$
575,000
$
250,700
$
825,700
18.73
16,308,065
600,000
227,700
827,700
19.70
18,065,312
625,000
195,617
820,617
22.01
655,000
170,516
825,516
22.80
18,820,580
20,185,006
680,000
143,667
823,667
24.51
21,135,944
715,000
109,521
824,521
25.63
22,777,547
750,000
73,625
823,625
27.66
23,479,511
785,000
35,979
820,979
28.60
-
-
-
N/A
-
-
-
-
N/A
-2 12
Made with FlippingBook flipbook maker