year|cnty_description|county_cd_fk|budget_unit_type|unit_code|submit_status|unit_name|afr_unit_type|sboa_id|ent_id|ent_description|ent_name|debt_class_code|debt_class_name|debt_description|end_principal_bal|principal_amt_due_1yr 2022|Adams|01|1|0000|2|ADAMS COUNTY|1|01-000.00|0||Governmental Activities|2|Revenue Bonds|Construction of Judicial Center|12610000.00|1299236.00 2022|Adams|01|3|0407|2|DECATUR CIVIL CITY|2|01-001.00|0||Governmental Activities|1|General Obligation Bonds|New City Hall and Police Station|1250000.00|170000.00 2022|Adams|01|3|0407|2|DECATUR CIVIL CITY|2|01-001.00|30380||SEWAGE|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2015|420000.00|420000.00 2022|Adams|01|3|0407|2|DECATUR CIVIL CITY|2|01-001.00|30380||SEWAGE|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2019|3530000.00|490000.00 2022|Adams|01|3|0407|2|DECATUR CIVIL CITY|2|01-001.00|30380||SEWAGE|2|Revenue Bonds|Sewage Works Revenue Bonds of 2015|6000000.00|.00 2022|Adams|01|3|0407|2|DECATUR CIVIL CITY|2|01-001.00|30381||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2017|634000.00|118000.00 2022|Adams|01|3|0407|2|DECATUR CIVIL CITY|2|01-001.00|30381||WATER|2|Revenue Bonds|Waterworks Revenue Bonds Series 2018|7795000.00|390000.00 2022|Adams|01|3|0407|2|DECATUR CIVIL CITY|2|01-001.00|30381||WATER|2|Revenue Bonds|Waterworks Revenue Bonds Series 2020|8430000.00|325000.00 2022|Adams|01|3|0453|2|BERNE CIVIL CITY|2|01-002.00|0||Governmental Activities|2|Revenue Bonds|ECONOMIC DEVELOPMENT IN TIF AREA|2893747.08|48514.96 2022|Adams|01|3|0453|2|BERNE CIVIL CITY|2|01-002.00|30382|Funded by user fees-Provides for storm/sewer separation|STORM WATER|2|Revenue Bonds|STORMWATER REVENUE SRF BONDS 2020|3044000.00|141000.00 2022|Adams|01|3|0453|2|BERNE CIVIL CITY|2|01-002.00|30383|Funded by user fees-Provides for sewer infrastructure and treatment of sewage.|WASTEWATER|2|Revenue Bonds|SEWER IMPROVEMENTS SRF 2008 BONDS|728000.00|307000.00 2022|Adams|01|3|0453|2|BERNE CIVIL CITY|2|01-002.00|30383|Funded by user fees-Provides for sewer infrastructure and treatment of sewage.|WASTEWATER|2|Revenue Bonds|SEWER IMPROVEMENTS SRF 2014 BONDS|6455000.00|189000.00 2022|Adams|01|3|0520|2|GENEVA CIVIL TOWN|3|01-003.00|30387||GENEVA WATER|10|Notes and Loans Payable - Long Term|Water Infrastructure|411614.90|36944.60 2022|Adams|01|3|0520|2|GENEVA CIVIL TOWN|3|01-003.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck - Pierce Pumper|.00| 2022|Adams|01|3|0520|2|GENEVA CIVIL TOWN|3|01-003.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck-Pierce Pumper, Fire Truck-Tanker|250000.00| 2022|Adams|01|3|0521|2|MONROE CIVIL TOWN|3|01-004.00|30238|Water service is provided to all residents & business entities within town limits.|water utility|10|Notes and Loans Payable - Long Term|Bond Anticipation Note of 2020 (Forgivable)|2439000.00|.00 2022|Adams|01|3|0521|2|MONROE CIVIL TOWN|3|01-004.00|30238|Water service is provided to all residents & business entities within town limits.|water utility|2|Revenue Bonds|Waterworks Revenue Bonds of 2020, Series A|442000.00|20000.00 2022|Adams|01|3|0521|2|MONROE CIVIL TOWN|3|01-004.00|30238|Water service is provided to all residents & business entities within town limits.|water utility|2|Revenue Bonds|Waterworks Revenue Bonds of 2020, Series B|795000.00|16000.00 2022|Adams|01|3|0521|2|MONROE CIVIL TOWN|3|01-004.00|30241|Wastewater service is provided to all residents & business entities within town limits.|wastewater|2|Revenue Bonds|Sewage Works Revenue Bonds of 2019|1123000.00|45000.00 2022|Adams|01|4|0015||ADAMS CENTRAL COMMUNITY SCHOOL CORPORATION|5|01-017.00|0||Governmental Activities|1|General Obligation Bonds|Roof Renovation & Misc. Facility Renovations 2015|| 2022|Adams|01|4|0025||NORTH ADAMS COMMUNITY SCHOOL CORPORATION|5|01-018.00|0||Governmental Activities|1|General Obligation Bonds|2017 NACS Ren. Bldg Corp Ad Valorem Prop Tax First Mortgage Bonds|| 2022|Adams|01|4|0025||NORTH ADAMS COMMUNITY SCHOOL CORPORATION|5|01-018.00|0||Governmental Activities|1|General Obligation Bonds|2018 NACS Ren Bldg Corp Ad Valorem Prop Tax First Mortgage Bonds|| 2022|Adams|01|4|0025||NORTH ADAMS COMMUNITY SCHOOL CORPORATION|5|01-018.00|0||Governmental Activities|1|General Obligation Bonds|HS Science Wing / Elementary Renovation Refinance 2015|| 2022|Adams|01|4|0025||NORTH ADAMS COMMUNITY SCHOOL CORPORATION|5|01-018.00|0||Governmental Activities|1|General Obligation Bonds|Pension Retirement 2014|| 2022|Adams|01|6|0040||ADAMS COUNTY MEMORIAL HOSPITAL|4|01-020.00|0||Governmental Activities|1|General Obligation Bonds|Hospital Bond Issues|| 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|11|Notes and Loans Payable - Short Term|Promissory Note-Adams County Government|.00| 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|14|Other - Long Term|Truck Loan - First Bank of Berne|2540.09|2540.09 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|Sewage Works Revenue Bond Anticipation Note, Series 2020|2192601.26|.00 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|Sewage Works Revenue Bond Anticipation Note, Series 2021|7649061.97|.00 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|Sewage Works Revenue Bond Anticipation Note, SWIF-Construction Only|1194371.00|.00 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|Sewage Works Revenue Bond Anticipation Note, WAF- Other Expenses|1113997.00|.00 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|Sewage Works Revenue Bond, Series 2016A|2302000.00|36000.00 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|Sewage Works Revenue Bond, Series 2016B|153000.00|2000.00 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|Sewage Works Revenue Bond, Series 2021|1860000.00|38000.00 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|Sewage Works Revenue Bond, Series 2022|3141000.00|.00 2022|Adams|01|6|0072|2|Adams County Regional Sewer District|21|01-030.00|29753|Regional wastewater collection system|Adams County Regional Sewer District|2|Revenue Bonds|SRF Principal Forgiveness BAN|134797.00|.00 2022|Allen|02|1|0000|2|ALLEN COUNTY|1|02-000.00|0||Governmental Activities|2|Revenue Bonds|General Motors Series 2015 C - TIF|1900000.00|80000.00 2022|Allen|02|1|0000|2|ALLEN COUNTY|1|02-000.00|0||Governmental Activities|2|Revenue Bonds|Maplecrest Road Bridge Refunding Bonds of 2016|11200000.00|1375000.00 2022|Allen|02|2|0001|2|ABOITE TOWNSHIP|7|02-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Ladder Truck Loan|183200.26|124283.14 2022|Allen|02|2|0001|2|ABOITE TOWNSHIP|7|02-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Park Improvement Loan|151652.48|102903.57 2022|Allen|02|2|0009||MADISON TOWNSHIP|7|02-015.00|0||Governmental Activities|15|Other - Short Term|ambulance loan 1st Merchants Bank|| 2022|Allen|02|2|0011|2|MAUMEE TOWNSHIP|7|02-017.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Ambulance Purchase|13853.62| 2022|Allen|02|2|0019|2|WASHINGTON TOWNSHIP|7|02-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Lease/Purchase Of Fire Truck|126445.36|43674.00 2022|Allen|02|2|0019|2|WASHINGTON TOWNSHIP|7|02-025.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Assistance Loan|294010.00| 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|1|General Obligation Bonds|2017 Park District Bonds|3075000.00|745000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|1|General Obligation Bonds|2022 Franke Park Renaissance Bond|10265000.00|875000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2008 HUD Sec108 Loan|2000000.00|400000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2013 HUD Sec108 Loan|1210000.00|90000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2016 Equipment Commercial Loan|715098.25|715098.25 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2017 Equipment Commercial Loan|2282409.06|1513823.24 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2018 Equipment Commercial Loan|3768704.15|1473127.14 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2019 Equipment Commercial Loan|5338912.50|1474777.65 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Equipment Commercial Laon|8541390.65|1857732.88 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2021 Equipment Commercial Loan|9442124.97|1665945.57 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2022 Equipment Commercial Loan|9054835.91|1309563.63 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|29758||SOLID WASTE|10|Notes and Loans Payable - Long Term|2022 Garbage Cart Lease|1000000.00|90419.51 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30389||STORM WATER|10|Notes and Loans Payable - Long Term|2017 Equipment Commercial Loan|71231.00|47239.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30389||STORM WATER|10|Notes and Loans Payable - Long Term|2018 Equipment Commercial Loan|74329.00|29013.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30389||STORM WATER|10|Notes and Loans Payable - Long Term|2019 Equipment Commercial Loan|370291.00|102216.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30389||STORM WATER|10|Notes and Loans Payable - Long Term|2020 Equipment Commercial Loan|366458.00|79653.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30389||STORM WATER|10|Notes and Loans Payable - Long Term|2021 Equipment Commercial Loan|283266.00|49922.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30389||STORM WATER|10|Notes and Loans Payable - Long Term|2022 Equipment Comercial Loan|468237.00|67697.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|10|Notes and Loans Payable - Long Term|2017 Equipment Commercial Lease|218454.00|144873.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|10|Notes and Loans Payable - Long Term|2018 Equipment Commercial Lease|226268.00|88365.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|10|Notes and Loans Payable - Long Term|2019 Equipment Commercial Lease|663571.00|183195.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|10|Notes and Loans Payable - Long Term|2020 Equipment Commercial Lease|973132.00|211506.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|10|Notes and Loans Payable - Long Term|2021 Equipment Commercial Lease|1004971.00|177133.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|10|Notes and Loans Payable - Long Term|2022 Equipment Commercial Lease|899916.00|130164.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|10|Notes and Loans Payable - Long Term|2017 Equipment Commercial Loan|98112.00|65065.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|10|Notes and Loans Payable - Long Term|2018 Equipment Commercial Loan|97844.00|38211.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|10|Notes and Loans Payable - Long Term|2019 Equipment Commercial Loan|246923.00|68169.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|10|Notes and Loans Payable - Long Term|2020 Equipment Commercial Loan|619348.00|134613.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|10|Notes and Loans Payable - Long Term|2021 Equipment Commercial Loan|656433.00|115688.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|10|Notes and Loans Payable - Long Term|2022 Equipment Commercial Loan|732195.00|105904.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|2|Revenue Bonds|Local Income Tax Refunding Revenue Bond, Series 2019A|8080000.00|575000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|0||Governmental Activities|2|Revenue Bonds|Local Income Tax Refunding Revenue Bond, Series 2019B|8195000.00|585000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30389||STORM WATER|2|Revenue Bonds|Drainage and Flood Improvements 2017|19245000.00|1605000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2011 SRF A Improvements and extensions|13240000.00|3140000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2012 A Series A SRF|5658000.00|522000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2012 Refunder|.00|.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2012 Series B|6110000.00|1155000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2013 A Sewer Bond|8015000.00|3955000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2013 B Sewer Bond|42260000.00|.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2014 SRF Bond A|10743000.00|867000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2014 SRF Bond B|55812000.00|2950000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2014 SRF Bond C|3510000.00|245000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2017 Bond Ref A|11060000.00|1275000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2017 Bond Ref B|11040000.00|1275000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2018 Bond B|19058700.00|883500.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2021 Bond A|139950000.00|2374919.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2022 A Bonds|25000000.00|300000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|2022 B SRF Draw|5518000.00|178000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|Bond 2016 Refunder|14645000.00|3735000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|Bond 2016 SRF A|86850022.00|4485000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|Bond 2016 SRF B|126379458.00|3623888.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|Bond 2020 A|22205000.00|1035000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|Bond 2020 B|29270000.00|2190000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|Bond 2020 C|23028000.00|1003000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|Sewer 2011 Series B SRF|17072000.00|1730000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30391||WASTEWATER|2|Revenue Bonds|SRF Loan 2009 Sewer system mains|1977294.00|245782.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|2|Revenue Bonds|2012 Revenue Bond|26125000.00|2280000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|2|Revenue Bonds|2014 Revenue Bond|55130000.00|3710000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|2|Revenue Bonds|2019 Bond A|10460000.00|460000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|2|Revenue Bonds|2019 Bond B|5689158.00|303000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|2|Revenue Bonds|2019 Bond C|19577000.00|764000.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|2|Revenue Bonds|2021 Bond A|44470000.00|1792734.00 2022|Allen|02|3|0100|2|FORT WAYNE CIVIL CITY|2|02-001.00|30392||WATER|2|Revenue Bonds|Fund DSR - 2011 Water B|16249000.00|1559000.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|0||Governmental Activities|1|General Obligation Bonds|Community Center|1395000.00|90000.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|0||Governmental Activities|1|General Obligation Bonds|Fire Station Improvements|1250000.00|90000.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|0||Governmental Activities|1|General Obligation Bonds|G.O. Bond 2022|500000.00|500000.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City Hall|.00|.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Jury Pool|2110000.00|280000.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|30394|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2005/ construction for sewer separation|1050000.00|260000.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|30394|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2006/ construction for sewer separation|2435000.00|485000.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|30394|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|1780000.00|170000.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|30394|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Wastewater Refunding Bonds 2011/ refinanced wastewater utility building 2001 bonds/received lower interest rate|.00|.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|30395|Water Utility|WATER|2|Revenue Bonds|Water Refunding Bonds 2012/ refinanced 2002 bonds/lower rate|.00|.00 2022|Allen|02|3|0424|2|NEW HAVEN CIVIL CITY|2|02-002.00|30395|Water Utility|WATER|2|Revenue Bonds|Water Refunding Bonds of 2019/refinanced 2011 Bonds/lower rate|1860000.00|240000.00 2022|Allen|02|3|0465|2|WOODBURN CIVIL CITY|2|02-003.00|30397|SEWER SERVICE|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2010 (SRF)|1165000.00|135000.00 2022|Allen|02|3|0465|2|WOODBURN CIVIL CITY|2|02-003.00|30397|SEWER SERVICE|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2017, Series A (SRF)|5722000.00|203000.00 2022|Allen|02|3|0465|2|WOODBURN CIVIL CITY|2|02-003.00|30397|SEWER SERVICE|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2017, Series B (SRF)|363000.00|9000.00 2022|Allen|02|3|0465|2|WOODBURN CIVIL CITY|2|02-003.00|30398|WATER SERVICE|WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2013, Series B|50000.00|50000.00 2022|Allen|02|3|0465|2|WOODBURN CIVIL CITY|2|02-003.00|30398|WATER SERVICE|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2013, Series A|595000.00|50000.00 2022|Allen|02|3|0522|2|GRABILL CIVIL TOWN|3|02-004.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bonds of 2012|389000.00|36000.00 2022|Allen|02|3|0522|2|GRABILL CIVIL TOWN|3|02-004.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bonds of 2016|464000.00|28000.00 2022|Allen|02|3|0522|2|GRABILL CIVIL TOWN|3|02-004.00|30399||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2006|352000.00|74000.00 2022|Allen|02|3|0522|2|GRABILL CIVIL TOWN|3|02-004.00|30400||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2022A|1572000.00|63000.00 2022|Allen|02|3|0522|2|GRABILL CIVIL TOWN|3|02-004.00|30400||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2022B|1825000.00|32000.00 2022|Allen|02|3|0523|2|HUNTERTOWN CIVIL TOWN|3|02-005.00|30402||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2016 Series A|12695000.00|735000.00 2022|Allen|02|3|0523|2|HUNTERTOWN CIVIL TOWN|3|02-005.00|30402||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2016 Series B|1532000.00|366000.00 2022|Allen|02|3|0523|2|HUNTERTOWN CIVIL TOWN|3|02-005.00|30403||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2013|.00|.00 2022|Allen|02|3|0523|2|HUNTERTOWN CIVIL TOWN|3|02-005.00|30403||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2013|1861572.00|140000.00 2022|Allen|02|3|0524|2|MONROEVILLE CIVIL TOWN|3|02-006.00|30405|Collection and processing of Town wastewater|WASTEWATER|1|General Obligation Bonds|Reline and refurbish sewer lines|332000.00|40000.00 2022|Allen|02|3|0524|2|MONROEVILLE CIVIL TOWN|3|02-006.00|30406|Processing and distribution of Town water|WATER|2|Revenue Bonds|Water Line Construction|2362000.00|46000.00 2022|Allen|02|4|0125||M.S.D. SW ALLEN COUNTY SCHOOL CORPORATION|5|02-030.00|0||Governmental Activities|1|General Obligation Bonds|Series 2019 B|| 2022|Allen|02|4|0125||M.S.D. SW ALLEN COUNTY SCHOOL CORPORATION|5|02-030.00|0||Governmental Activities|1|General Obligation Bonds|Series 2019A|| 2022|Allen|02|4|0125||M.S.D. SW ALLEN COUNTY SCHOOL CORPORATION|5|02-030.00|0||Governmental Activities|1|General Obligation Bonds|Series 2020|| 2022|Allen|02|4|0225||NORTHWEST ALLEN COUNTY SCHOOL CORPORATION|5|02-029.00|0||Governmental Activities|1|General Obligation Bonds|Capital Improvements|| 2022|Allen|02|4|0235||FORT WAYNE COMMUNITY SCHOOL CORPORATION|5|02-028.00|0||Governmental Activities|1|General Obligation Bonds|FWCS GO QZAB 2009|| 2022|Allen|02|4|0255||EAST ALLEN COUNTY SCHOOL CORPORATION|5|02-027.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond - Building Renovations|| 2022|Allen|02|4|0255||EAST ALLEN COUNTY SCHOOL CORPORATION|5|02-027.00|0||Governmental Activities|1|General Obligation Bonds|2021 General Obligation Bond - Building Renovations|| 2022|Allen|02|4|0255||EAST ALLEN COUNTY SCHOOL CORPORATION|5|02-027.00|0||Governmental Activities|14|Other - Long Term|Pension Bond|| 2022|Allen|02|6|0034|2|ALLEN CO REGIONAL SEWER & WATER DIS|21|02-034.00|0||Governmental Activities|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2021|.00|.00 2022|Allen|02|6|0034|2|ALLEN CO REGIONAL SEWER & WATER DIS|21|02-034.00|29684|Regional Sewer District|Allen County Regional Water & Sewer District|2|Revenue Bonds|2017 Taxable Sewage Works BAN, Series A (Forgivable)|.00|.00 2022|Allen|02|6|0034|2|ALLEN CO REGIONAL SEWER & WATER DIS|21|02-034.00|29684|Regional Sewer District|Allen County Regional Water & Sewer District|2|Revenue Bonds|2018 Series A BAN (Forgivable)|.00|.00 2022|Allen|02|6|0035|2|LEO-CEDARVILLE REGIONAL SEWER DISTR|21|02-035.00|0||Governmental Activities|2|Revenue Bonds|Sewage Works Revenue Bond 2013|4262000.00|81000.00 2022|Allen|02|6|0036|2|MAYSVILLE REGIONAL WATER & SEWER DI|20|02-036.00|30029||Wastewater|1|General Obligation Bonds|SRF|364757.94|77000.00 2022|Allen|02|6|0036|2|MAYSVILLE REGIONAL WATER & SEWER DI|20|02-036.00|30029||Wastewater|1|General Obligation Bonds|SRF|1125996.00|24000.00 2022|Allen|02|6|0036|2|MAYSVILLE REGIONAL WATER & SEWER DI|20|02-036.00|30030||Water|1|General Obligation Bonds|Refunding|475153.51|32635.17 2022|Allen|02|6|0036|2|MAYSVILLE REGIONAL WATER & SEWER DI|20|02-036.00|30030||Water|1|General Obligation Bonds|Waterworks Revenue Bond|2727000.00|43000.00 2022|Allen|02|6|0038|2|ALLEN CO FT WAYNE CIB OF MANAGERS|39|02-038.00|0||Governmental Activities|2|Revenue Bonds|Bond Issuance|7860000.00|30000.00 2022|Allen|02|6|0043||Fort Wayne-Housing Authority|23|02-043.00|0||Governmental Activities|2|Revenue Bonds|Capital Fund Revenue Bonds, Series 2003|| 2022|Allen|02|6|0960|2|FORT WAYNE-ALLEN COUNTY AIRPORT AUTHORITY|25|02-042.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds of 2021 for W Terminal Expansion and Renovation Project|12235000.00|535000.00 2022|Allen|02|6|0960|2|FORT WAYNE-ALLEN COUNTY AIRPORT AUTHORITY|25|02-042.00|0||Governmental Activities|1|General Obligation Bonds|GO Private Activity Bonds of 2021 for W Terminal Expansion and Renovation Project|15195000.00|660000.00 2022|Allen|02|6|0960|2|FORT WAYNE-ALLEN COUNTY AIRPORT AUTHORITY|25|02-042.00|0||Governmental Activities|1|General Obligation Bonds|To fund certain airport improvements including an aircraft rescue and firefighting truck, solar canopies, parking lot improvements, an airfield liquid de-ice unit and tractor, together with the necessary appurtenances, related improvements and equipment and to pay issuance expenses.|.00|.00 2022|Bartholomew|03|1|0000|2|BARTHOLOMEW COUNTY|1|03-000.00|0||Governmental Activities|1|General Obligation Bonds|Local Income Tax Revenue Bonds, Series 2019|4798642.00|478019.00 2022|Bartholomew|03|1|0000|2|BARTHOLOMEW COUNTY|1|03-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Jail addition and renovation|8203000.00|1987338.00 2022|Bartholomew|03|2|0001|2|CLAY TOWNSHIP|7|03-007.00|0||Governmental Activities|1|General Obligation Bonds|Fire Department building/Trustee Office|169968.00|50000.00 2022|Bartholomew|03|2|0003|2|COLUMBUS TOWNSHIP|7|03-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of Fire apparatus|211984.89|100736.46 2022|Bartholomew|03|2|0009|2|OHIO TOWNSHIP|7|03-015.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Building Loan|127290.75|14378.70 2022|Bartholomew|03|2|0009|2|OHIO TOWNSHIP|7|03-015.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Trustee Loan for Community Center-Loan no. 820114109|372886.44|48405.72 2022|Bartholomew|03|2|0012|2|WAYNE TOWNSHIP|7|03-018.00|0||Governmental Activities|1|General Obligation Bonds|Building Bond|55000.00|55000.00 2022|Bartholomew|03|2|0012|2|WAYNE TOWNSHIP|7|03-018.00|0||Governmental Activities|1|General Obligation Bonds|Township Trustee Office/ Fire Department|.00|.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|1|General Obligation Bonds|2017 Commons Bonds|3790000.00|525000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29686|Water Utility|Water|15|Other - Short Term|Waterworks Revenue Bond Anticipation Notes Series 2020|.00| 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29686|Water Utility|Water|15|Other - Short Term|Waterworks Revenue Bond Anticipation Notes Series 2021|.00| 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29687|Wastewater Utility|Wastewater|15|Other - Short Term|Sewage Works Bond Anticipation Notes of 2021|.00| 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29687|Wastewater Utility|Wastewater|15|Other - Short Term|Sewage Works Bond Anticipation Notes of 2022|2380000.00| 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Brownfield Series 2011B Revenue Bond|510000.00|60000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Ec. Dev. TIF Bonds Series 2011B|.00|.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Income Tax Revenue Bonds, Series 2012|3225000.00|565000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Park District Bond Series 2022|11500000.00|20000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Special Taxing District Refunding Bonds, Series 2016A|2050000.00|370000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Special Taxing District Refunding Bonds, Series 2016B|2285000.00|435000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Series 2011 Buckingham Cole Taxable Ec. Dev. Bond|1030000.00|110000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|SRF Redevelopment District Rev. Bonds 2011A|255000.00|30000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Develeopment Tax Increment Revenue Bonds 2022|9667000.00|596000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2009|5159342.15|782361.55 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29686|Water Utility|Water|2|Revenue Bonds|2022 Water Utility Revenue Bonds|22200000.00|361000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29687|Wastewater Utility|Wastewater|2|Revenue Bonds|2016 Sewage Works Refunding Revenue Bonds|9960000.00|1915000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29687|Wastewater Utility|Wastewater|2|Revenue Bonds|2019 Refunding Revenue Bond|2390000.00|310000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29687|Wastewater Utility|Wastewater|2|Revenue Bonds|2020 Sewage Works Refunding Revenue Bonds|19930000.00|2195000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29687|Wastewater Utility|Wastewater|2|Revenue Bonds|2022 Sewage Works Revenue Bonds, Series A|4330000.00|30000.00 2022|Bartholomew|03|3|0200|2|COLUMBUS CIVIL CITY|2|03-001.00|29687|Wastewater Utility|Wastewater|2|Revenue Bonds|2022 Sewage Works Revenue Bonds, Series B|21500000.00|.00 2022|Bartholomew|03|3|0526|2|ELIZABETHTOWN CIVIL TOWN|3|03-003.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|short term bond pending sewer project completion|.00|.00 2022|Bartholomew|03|3|0527|2|HARTSVILLE CIVIL TOWN|3|03-004.00|29701|Sewage utility|Hartsville Sewage Utility|1|General Obligation Bonds|sewer bond for new sewage plant|130000.00|24000.00 2022|Bartholomew|03|3|0528|2|HOPE CIVIL TOWN|3|03-005.00|30409|Drinking Water Distribution|WATER|2|Revenue Bonds|2005 Improvement of Drinking Water|126000.00|30000.00 2022|Bartholomew|03|3|0528|2|HOPE CIVIL TOWN|3|03-005.00|30409|Drinking Water Distribution|WATER|2|Revenue Bonds|2015 Drinking Water Systems Improvement|1074000.00|67000.00 2022|Bartholomew|03|4|0365||BARTHOLOMEW CONSOLIDATED SCHOOL CORPORATION|5|03-019.00|0||Governmental Activities|1|General Obligation Bonds|2015 Sside-Rockcreek|| 2022|Bartholomew|03|4|0365||BARTHOLOMEW CONSOLIDATED SCHOOL CORPORATION|5|03-019.00|0||Governmental Activities|1|General Obligation Bonds|2016 GO Bond|| 2022|Bartholomew|03|4|0365||BARTHOLOMEW CONSOLIDATED SCHOOL CORPORATION|5|03-019.00|0||Governmental Activities|1|General Obligation Bonds|2018 GO Bond|| 2022|Bartholomew|03|4|0365||BARTHOLOMEW CONSOLIDATED SCHOOL CORPORATION|5|03-019.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bonds|| 2022|Bartholomew|03|4|0365||BARTHOLOMEW CONSOLIDATED SCHOOL CORPORATION|5|03-019.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bonds|| 2022|Bartholomew|03|4|0365||BARTHOLOMEW CONSOLIDATED SCHOOL CORPORATION|5|03-019.00|0||Governmental Activities|1|General Obligation Bonds|QZAB 2011|| 2022|Bartholomew|03|4|0370||FLATROCK-HAWCREEK SCHOOL CORPORATION|5|03-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School - Technology Loans|| 2022|Bartholomew|03|6|0024|2|Tamerix Lake Regional Sewer District|21|03-024.00|30293|Wastewater treatment for a specified geography in western Bartholomew County.|Tamerix Lake Regional Sewer District|2|Revenue Bonds|Fund Wastewater Treatment Plant Construction|413393.42|9000.00 2022|Bartholomew|03|6|0030||COLUMBUS REGIONAL HOSPITAL|4|03-022.00|0||Governmental Activities|2|Revenue Bonds|Indiana Finance Authority Hospital Revnue Bonds Series 2014 A and Series 2014 B|| 2022|Benton|04|2|0004|2|GRANT TOWNSHIP|7|04-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|65914.64|13991.00 2022|Benton|04|3|0531|2|BOSWELL CIVIL TOWN|3|04-002.00|29016|Water|WATER|1|General Obligation Bonds|Water Grant Project|769000.00|52530.00 2022|Benton|04|3|0532|2|EARL PARK CIVIL TOWN|3|04-003.00|29017|WATER UTILITY|WATER|2|Revenue Bonds|SRF Loan-New Well|57000.00|11000.00 2022|Benton|04|3|0533|2|FOWLER CIVIL TOWN|3|04-004.00|0||Governmental Activities|1|General Obligation Bonds|STORM DRAINAGE PROJECT|1000000.00|50000.00 2022|Benton|04|3|0533|2|FOWLER CIVIL TOWN|3|04-004.00|29019|Utility|WATER|2|Revenue Bonds|New Water Plant 91-03|1165887.98|26569.13 2022|Benton|04|3|0533|2|FOWLER CIVIL TOWN|3|04-004.00|29019|Utility|WATER|2|Revenue Bonds|Water SRF Bond|.00|.00 2022|Benton|04|3|0533|2|FOWLER CIVIL TOWN|3|04-004.00|29019|Utility|WATER|2|Revenue Bonds|Waterworks refunding 91-04|292288.49|5303.61 2022|Benton|04|3|0534|2|OTTERBEIN CIVIL TOWN|3|04-005.00|0||Governmental Activities|2|Revenue Bonds|Public Improvement Revenue Bond of 2016|394000.00|22000.00 2022|Benton|04|3|0534|2|OTTERBEIN CIVIL TOWN|3|04-005.00|29880|Wastewater Utility|WASTEWATER|2|Revenue Bonds|WWT Plant Improvement|1245000.00|65000.00 2022|Benton|04|3|0534|2|OTTERBEIN CIVIL TOWN|3|04-005.00|29881|Water Utility|WATER|2|Revenue Bonds|Water System Rehab|642000.00|48000.00 2022|Benton|04|3|0534|2|OTTERBEIN CIVIL TOWN|3|04-005.00|29881|Water Utility|WATER|2|Revenue Bonds|Water System Rehab Bond of 2022|712000.00|8000.00 2022|Benton|04|3|0535|2|OXFORD CIVIL TOWN|3|04-006.00|29883|Wastewater services|OXFORD WASTEWATER UTILITY|2|Revenue Bonds|Sewage Works Bond Anticipation Note|3308878.24|.00 2022|Benton|04|3|0535|2|OXFORD CIVIL TOWN|3|04-006.00|29884|Drinking water services|OXFORD WATER UTILITY|2|Revenue Bonds|Water works revenue bond 2000|165000.00|.00 2022|Benton|04|3|0535|2|OXFORD CIVIL TOWN|3|04-006.00|29884|Drinking water services|OXFORD WATER UTILITY|2|Revenue Bonds|Water works revenue bond 2001|85000.00|.00 2022|Benton|04|4|0395||BENTON COMMUNITY SCHOOL CORPORATION|5|04-024.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2021|| 2022|Benton|04|4|0395||BENTON COMMUNITY SCHOOL CORPORATION|5|04-024.00|0||Governmental Activities|1|General Obligation Bonds|Retirement Severance Bonds 2002 & 2006|| 2022|Blackford|05|1|0000|2|BLACKFORD COUNTY|1|05-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Jail/Courthouse Improvements|1485000.00|225000.00 2022|Blackford|05|3|0409|2|HARTFORD CITY CIVIL CITY|2|05-001.00|0||Governmental Activities|1|General Obligation Bonds|Economic Development bonds of 2019|51896.00|18000.00 2022|Blackford|05|3|0409|2|HARTFORD CITY CIVIL CITY|2|05-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|The Newberry Building|1461678.36|63470.87 2022|Blackford|05|3|0409|2|HARTFORD CITY CIVIL CITY|2|05-001.00|0||Governmental Activities|2|Revenue Bonds|Hartford City Municipal Building Corporation|1867000.00|120000.00 2022|Blackford|05|3|0409|2|HARTFORD CITY CIVIL CITY|2|05-001.00|29699||WASTEWATER|2|Revenue Bonds|Wastewater Revenue Bonds of 2014|3258280.00|225000.00 2022|Blackford|05|3|0409|2|HARTFORD CITY CIVIL CITY|2|05-001.00|29699||WASTEWATER|2|Revenue Bonds|Wastewater Revenue Bonds of 2017|3445343.50|140000.00 2022|Blackford|05|3|0409|2|HARTFORD CITY CIVIL CITY|2|05-001.00|29885||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2013|112508.94|.00 2022|Blackford|05|3|0464|2|MONTPELIER CIVIL CITY|2|05-002.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond|.00|.00 2022|Blackford|05|3|0464|2|MONTPELIER CIVIL CITY|2|05-002.00|0||Governmental Activities|2|Revenue Bonds|NRP (Econ Dev)|1198677.12|60680.00 2022|Blackford|05|3|0464|2|MONTPELIER CIVIL CITY|2|05-002.00|29888|Wastewater|WASTEWATER|2|Revenue Bonds|2019 WW BOND A|1661000.00|18000.00 2022|Blackford|05|3|0464|2|MONTPELIER CIVIL CITY|2|05-002.00|29888|Wastewater|WASTEWATER|2|Revenue Bonds|2019 WW BOND B|3167000.01|165999.96 2022|Blackford|05|3|0464|2|MONTPELIER CIVIL CITY|2|05-002.00|29889|Water|WATER|2|Revenue Bonds|Water Bond 2011|1740500.00|45500.00 2022|Blackford|05|3|0951||SHAMROCK LAKES CIVIL TOWN|3|05-003.00|29890||WASTEWATER|1|General Obligation Bonds|Install Sewer System|| 2022|Blackford|05|4|0515||BLACKFORD COUNTY SCHOOL CORPORATION|5|05-008.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Payment|| 2022|Blackford|05|4|0515||BLACKFORD COUNTY SCHOOL CORPORATION|5|05-008.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Payments|| 2022|Blackford|05|5|0013|2|HARTFORD CITY PUBLIC LIBRARY|6|05-009.00|0||Governmental Activities|1|General Obligation Bonds|Renovation|750000.00|90000.00 2022|Blackford|05|5|0014||MONTPELIER PUBLIC LIBRARY|6|05-010.00|0||Governmental Activities|1|General Obligation Bonds|Renovations of the library|| 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|BRIDGE/ROAD IMPROVEMENT NOTE OF 2020 SERIES A|1425000.00|424688.75 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|BRIDGE/ROAD IMPROVEMENT NOTE OF 2020 SERIES B|1525000.00|356297.50 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|BRIDGE/ROAD IMPROVEMENT NOTE OF 2020 SERIES C|1080000.00|206937.50 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|COIT Revenue Bonds of 2014|2400000.00|251590.00 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|E911 Revenue and Refunding Revenue Bonds of 2018|3233495.00|395130.00 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bond Series 2015A|4572707.76|297226.00 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Develpment Revenue Bonds Series 2015B|740000.00|48100.00 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|LIT Revenue Bond of 2017|2280000.00|299202.50 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|LOCAL INCOME TAX LEASE RENTAL REVENUE BONDS, SERIES 2022|56695000.00|1960509.90 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds of 2013|5500000.00|357500.00 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Captial Apprec 2008|3546266.23|1110000.00 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Refund Revenue Bond 2016|1210000.00|167180.00 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Redevolpment District Tax Increment Refunding Revenue Bonds 2015|6405000.00|1251812.50 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bonds 2016|2660000.00|394205.00 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bonds of 2014 (Jamestown)|5130000.00|537918.75 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bonds of 2015|780000.00|58306.25 2022|Boone|06|1|0000|2|BOONE COUNTY|1|06-000.00|0||Governmental Activities|2|Revenue Bonds|Taxable County Option Income Tax Revenue Bonds of 2016|8805000.00|868650.00 2022|Boone|06|2|0003||EAGLE TOWNSHIP|2||0||Governmental Activities||||| 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2019|545000.00|130000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2020|210000.00|210000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2022|5500000.00|220000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds of 2013|855000.00|155000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds of 2013, Series A|875000.00|160000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds of 2015|2455000.00|80000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds of 2018|1985000.00|175000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|14|Other - Long Term|Build-Operate-Transfer Agreement (Shell Building Project)|4200000.00|.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Multipurpose Revenue Bonds, Series 2015 (Skjodt-Barrett Project)|2750000.00|170000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2011 (FiberNet)|589000.00|36000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2015|1590000.00|125000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2010 (DA Lubricants)|.00|.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|2|Revenue Bonds|Loan Agreement (Forza Project)|1385742.00|34399.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2021 (NewCold Project)|8989000.00|.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|29891||ELECTRIC|2|Revenue Bonds|Electric Utility Revenue Bonds of 2013|7815000.00|605000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|29893||STORM WATER|2|Revenue Bonds|Storm Water District Refunding Bonds of 2021|5409000.00|412000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|29895||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2014|1685000.00|660000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|29895||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2018|9650000.00|.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|29896||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2019|2937000.00|147000.00 2022|Boone|06|3|0402|2|LEBANON CIVIL CITY|2|06-001.00|29896||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2021|6593000.00|289000.00 2022|Boone|06|3|0536|2|ADVANCE CIVIL TOWN|3|06-002.00|29898|SEWER|WASTEWATER|2|Revenue Bonds|WWTP Improvements|144628.00|7000.00 2022|Boone|06|3|0536|2|ADVANCE CIVIL TOWN|3|06-002.00|29899|WATER|WATER|2|Revenue Bonds|Water Tower Bond 2008|418000.00|10000.00 2022|Boone|06|3|0537|2|JAMESTOWN CIVIL TOWN|3|06-003.00|29902|Town Sewer|WASTEWATER|1|General Obligation Bonds|CWSRF TRADITIONAL LOAN|1158007.00|62000.00 2022|Boone|06|3|0537|2|JAMESTOWN CIVIL TOWN|3|06-003.00|30251|Town Stormwater|STORMWATER|1|General Obligation Bonds|FCRF TRADITIONAL LOAN|122900.00|14100.00 2022|Boone|06|3|0537|2|JAMESTOWN CIVIL TOWN|3|06-003.00|29903|Town Water|WATER|10|Notes and Loans Payable - Long Term|RADIO READ METER LOAN|55073.60|14567.29 2022|Boone|06|3|0537|2|JAMESTOWN CIVIL TOWN|3|06-003.00|29903|Town Water|WATER|10|Notes and Loans Payable - Long Term|WATER TOWER LOAN|2664.78|2664.78 2022|Boone|06|3|0537|2|JAMESTOWN CIVIL TOWN|3|06-003.00|29900|Provides Electricity to All Residents|ELECTRIC|11|Notes and Loans Payable - Short Term|PURCHASE OF HYDROVAC 70%|16732.80| 2022|Boone|06|3|0537|2|JAMESTOWN CIVIL TOWN|3|06-003.00|29902|Town Sewer|WASTEWATER|11|Notes and Loans Payable - Short Term|HYDRO VAC PURCHASE 30%|7171.21| 2022|Boone|06|3|0538|2|THORNTOWN CIVIL TOWN|3|06-004.00|0||Governmental Activities|1|General Obligation Bonds|wastewater project|.00|.00 2022|Boone|06|3|0538|2|THORNTOWN CIVIL TOWN|3|06-004.00|29905|wastewater|WASTEWATER|1|General Obligation Bonds|wastewater project|679000.00|27613.00 2022|Boone|06|3|0538|2|THORNTOWN CIVIL TOWN|3|06-004.00|29905|wastewater|WASTEWATER|15|Other - Short Term|Boone County Council is giving us $1.5mil from their ARPA funds toward our wastewater project. However, SRF required we have the funds in our account at closing.|.00| 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Seriess 2022|1060000.00|1060000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|1|General Obligation Bonds|GO Refunding 2019|570000.00|137000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|1|General Obligation Bonds|GO Refunding 2020|1015000.00|500000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Building Corporation Ad Valorem Prop Tax First Mortgage Bonds, Series 2018|4045000.00|210000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2018 (GDI Holdings LLC)|5300000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2021 (Milhaus Project)|4100000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2021 (MultiFamily Partners))|3000000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2021A (Bridle Oaks)|1180000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2021B (Bridle Oaks)|180000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2022 (65 Commerce)|3500000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2022 (Becknell)|6775000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2022 (Park 130 II)|7430000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2022 (Patch)|6630000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Multipurpose Refunding Revenue Bonds, Series 2021A (Perry Industrial Park)|2215000.00|540000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Multipurpose Refunding Revenue Bonds, Series 2021B (Perry Industrial Park)|14670000.00|645000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Public Safety Income Tax Revenue BAN, Series 2019|570000.00|275000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Authority Lease Rental Refunding Bonds, Series 2021|4945000.00|375000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Authority Lease Rental Revenue Bonds, Series 2018|5565000.00|265000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bond Anticipation Notes, 2021|5030000.00|1370000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2018 (Park 130)|5000000.00|.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2020|3145000.00|25000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Lease Rental Revenue Bonds, Series 2019|3980000.00|300000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|0||Governmental Activities|2|Revenue Bonds|Whitestown Redevelopment Authority Lease Rental Revenue Bonds, Series 2015|3425000.00|225000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29907||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds, Series 2020|1745000.00|320000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29907||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2015|400123.00|6000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29907||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2020A|4198000.00|1000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29907||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2020B|2060000.00|120000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29907||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2022|9000000.00|220000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29907||WASTEWATER|2|Revenue Bonds|Wastewater Revenue Bonds, Series 2014A|11045000.00|505000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29908||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2010|685000.00|70000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29908||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2013|1975000.00|150000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29908||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2015|109009.00|2000.00 2022|Boone|06|3|0540|2|WHITESTOWN CIVIL TOWN|3|06-006.00|29908||WATER|2|Revenue Bonds|Waterworks, Refunding Revenue Bonds, Series 2020|1545000.00|275000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018 A|3060000.00|140000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018 B|2700000.00|125000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018 C|2035000.00|95000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018 D|2650000.00|120000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds, Series 2019B|3375000.00|140000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds, Series 2019C|4305000.00|351396.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2017 Real Estate Purchase Agreement (Erin Corporation)|413396.00|71631.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|0||Governmental Activities|2|Revenue Bonds|Zionsville Redevelopment Commission Taxable Economic Development Revenue bonds, Series 2017 (Metro Fibernet Project))|1500000.00|62000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|29910|Wastewater utility owned and operated by the Town's Wastewater department|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2019|3150000.00|275000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|29910|Wastewater utility owned and operated by the Town's Wastewater department|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2010 (SRF)|587000.00|73000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|29910|Wastewater utility owned and operated by the Town's Wastewater department|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2015, Series B|500000.00|50000.00 2022|Boone|06|3|0541|0|ZIONSVILLE CIVIL TOWN|3|06-007.00|29910|Wastewater utility owned and operated by the Town's Wastewater department|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2019|5850000.00|135000.00 2022|Boone|06|4|0615||WESTERN BOONE COUNTY SCHOOL CORPORATION|5|06-022.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond|| 2022|Boone|06|4|0615||WESTERN BOONE COUNTY SCHOOL CORPORATION|5|06-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Boone|06|4|0630||ZIONSVILLE COMMUNITY SCHOOL CORPORATION|5|06-021.00|0||Governmental Activities|1|General Obligation Bonds|Construction Project- 2017A|| 2022|Boone|06|4|0630||ZIONSVILLE COMMUNITY SCHOOL CORPORATION|5|06-021.00|0||Governmental Activities|1|General Obligation Bonds|Construction Project- 2017B|| 2022|Boone|06|4|0630||ZIONSVILLE COMMUNITY SCHOOL CORPORATION|5|06-021.00|0||Governmental Activities|1|General Obligation Bonds|Construction Project- 2018A|| 2022|Boone|06|4|0630||ZIONSVILLE COMMUNITY SCHOOL CORPORATION|5|06-021.00|0||Governmental Activities|1|General Obligation Bonds|Construction Project- 2018B|| 2022|Boone|06|4|0630||ZIONSVILLE COMMUNITY SCHOOL CORPORATION|5|06-021.00|0||Governmental Activities|1|General Obligation Bonds|Refinanced Pension Bonds|| 2022|Boone|06|4|0665||LEBANON COMMUNITY SCHOOL CORPORATION|5|06-020.00|0||Governmental Activities|1|General Obligation Bonds|Buildiing and property improvments/maintenance/repairs|| 2022|Boone|06|4|0665||LEBANON COMMUNITY SCHOOL CORPORATION|5|06-020.00|0||Governmental Activities|1|General Obligation Bonds|Building and property improvements/maintenance/repairs|| 2022|Boone|06|4|0665||LEBANON COMMUNITY SCHOOL CORPORATION|5|06-020.00|0||Governmental Activities|1|General Obligation Bonds|Building and property maintenance/repairs|| 2022|Boone|06|4|0665||LEBANON COMMUNITY SCHOOL CORPORATION|5|06-020.00|0||Governmental Activities|1|General Obligation Bonds|Building and property maintenance/repairs/bus purchases|| 2022|Boone|06|4|0665||LEBANON COMMUNITY SCHOOL CORPORATION|5|06-020.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Tech Loan|| 2022|Boone|06|5|0296|2|HUSSEY - MAYFIELD MEMORIAL LIBRARY|6|06-026.00|0||Governmental Activities|1|General Obligation Bonds|Construction of New Library|9000000.00|210000.00 2022|Boone|06|8|0105|0|ZIONSVILLE REDEVELOPMENT AUTHORITY|36|06-029.00|0||Governmental Activities|2|Revenue Bonds|RDA Lease Rental Rev Bond 2012|1230000.00|.00 2022|Boone|06|8|0105|0|ZIONSVILLE REDEVELOPMENT AUTHORITY|36|06-029.00|0||Governmental Activities|2|Revenue Bonds|RDA Lease Rental Rev Ref Bond 2017|2495000.00|.00 2022|Boone|06|8|0105|0|ZIONSVILLE REDEVELOPMENT AUTHORITY|36|06-029.00|0||Governmental Activities|2|Revenue Bonds|RDA Lease Rental Revenue Bond 2016|4910000.00|.00 2022|Brown|07|1|0000|2|BROWN COUNTY|1|07-000.00|0||Governmental Activities|1|General Obligation Bonds|Payment for loan toward Capital Projects|1995299.99|509090.00 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29911|Nashville Wastewater Utility|WASTEWATER|1|General Obligation Bonds|Wastewater Expansion Project 2010 #92-11|2056000.00|54000.00 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29911|Nashville Wastewater Utility|WASTEWATER|1|General Obligation Bonds|Wastewater Expansion Project 2010 #92-13|857000.00|22000.00 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29912|Nashville Water Utility|WATER|1|General Obligation Bonds|Capital Improvements Project #91-16|905000.00|16000.00 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29912|Nashville Water Utility|WATER|1|General Obligation Bonds|Refinance USDA Bonds - 1977 & 1995|446312.85|30000.00 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|New Police Station 25 Artist Drive|180263.67|8278.96 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29912|Nashville Water Utility|WATER|10|Notes and Loans Payable - Long Term|Freeman Ridge Kelley Hill Water Main Extension Loan|221996.14|16116.00 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|1/3 Mvh 2018 Silverado Truck|968.46| 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29911|Nashville Wastewater Utility|WASTEWATER|11|Notes and Loans Payable - Short Term|1 2019 E50R2 Series Bobcat Excavator|18468.16| 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29911|Nashville Wastewater Utility|WASTEWATER|11|Notes and Loans Payable - Short Term|1/3 Sewer 2018 Silverado Truck|968.43| 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29912|Nashville Water Utility|WATER|11|Notes and Loans Payable - Short Term|1 2019 E50 R2 Series Bobcat Excavator|18468.17| 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29912|Nashville Water Utility|WATER|11|Notes and Loans Payable - Short Term|1/3 Water 2018 Silverado Truck|968.44| 2022|Brown|07|3|0542|2|NASHVILLE CIVIL TOWN|3|07-001.00|29912|Nashville Water Utility|WATER|14|Other - Long Term|DNR Water Project - Pass Through Agency - Forgiveable BAN|3825000.00|.00 2022|Brown|07|4|0670||BROWN COUNTY SCHOOL CORPORATION|5|07-006.00|0||Governmental Activities|1|General Obligation Bonds|ELEMENTARY SCIENCE LABS, GO BOND BUS 2016; AND 2014 GO BOND , 2018 GO BOND, 2020 GO BOND|| 2022|Brown|07|4|0670||BROWN COUNTY SCHOOL CORPORATION|5|07-006.00|0||Governmental Activities|1|General Obligation Bonds|QSCB BOND|| 2022|Brown|07|4|0670||BROWN COUNTY SCHOOL CORPORATION|5|07-006.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan|| 2022|Brown|07|5|0017||BROWN COUNTY PUBLIC LIBRARY|6|07-007.00|0||Governmental Activities|1|General Obligation Bonds|Library Building|| 2022|Brown|07|6|0011||HELMSBURG REGIONAL SEWER DISTRICT|21|07-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|loan|| 2022|Brown|07|6|0960|2|HAMBLEN TOWNSHIP FIRE PROTECTION DISTRICT|18|07-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck Loan|147273.29| 2022|Brown|07|6|1041|2|BROWN COUNTY SOLID WASTE MANAGEMENT|16|07-009.00|0||Governmental Activities|15|Other - Short Term|2019 MAC TRUCK|67124.34| 2022|Brown|07|7|0051|2|CORDRY-SWEETWATER CONSERVANCY DISTRICT|27|07-008.00|29913||Water|1|General Obligation Bonds|State Revolving Fun Small Loan|206000.00|24000.00 2022|Brown|07|7|0051|2|CORDRY-SWEETWATER CONSERVANCY DISTRICT|27|07-008.00|29913||Water|1|General Obligation Bonds|State Revolving Fund Loan|1807000.00|105000.00 2022|Brown|07|7|0051|2|CORDRY-SWEETWATER CONSERVANCY DISTRICT|27|07-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Building Construction Line of Credit|84130.82|48791.03 2022|Carroll|08|1|0000|2|CARROLL COUNTY|1|08-000.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds, Series 2014|1955000.00|216482.00 2022|Carroll|08|1|0000|2|CARROLL COUNTY|1|08-000.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds, Series 2015|875000.00|91518.00 2022|Carroll|08|1|0000|2|CARROLL COUNTY|1|08-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Highway Equipment Loan|.00|.00 2022|Carroll|08|2|0006|2|DEMOCRAT TOWNSHIP|7|08-011.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|fire equipment loan|5658.94| 2022|Carroll|08|2|0007||JACKSON TOWNSHIP|7|08-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|FD Equipment & Building Repair|| 2022|Carroll|08|3|0457|2|DELPHI CIVIL CITY|2|08-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|NEW FIRE BUILDING|309171.13|28387.42 2022|Carroll|08|3|0457|2|DELPHI CIVIL CITY|2|08-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|NEW HANGAR BUILDING AT AIRPORT|301500.09|15873.87 2022|Carroll|08|3|0457|2|DELPHI CIVIL CITY|2|08-001.00|29914|wasteewater treatment|WASTEWATER|2|Revenue Bonds|2013 Improvements|1000000.00|60000.00 2022|Carroll|08|3|0457|2|DELPHI CIVIL CITY|2|08-001.00|29915|water service to residents|WATER|2|Revenue Bonds|2013 Improvements|1390000.00|80000.00 2022|Carroll|08|3|0457|2|DELPHI CIVIL CITY|2|08-001.00|29915|water service to residents|WATER|2|Revenue Bonds|Water improvement plan|7090000.00|125000.00 2022|Carroll|08|3|0457|2|DELPHI CIVIL CITY|2|08-001.00|29915|water service to residents|WATER|2|Revenue Bonds|Water improvement plan - phase II|4816000.00|217000.00 2022|Carroll|08|3|0457|2|DELPHI CIVIL CITY|2|08-001.00|29915|water service to residents|WATER|2|Revenue Bonds|Water Refunding Revenue Bond 2015|1920000.00|80000.00 2022|Carroll|08|3|0544|2|CAMDEN CIVIL TOWN|3|08-002.00|29917|wastewater service|WASTEWATER|5|Lines of Credit|REVOLVING LOAN FOR SEWER PROJECTS|22291.38| 2022|Carroll|08|3|0544|2|CAMDEN CIVIL TOWN|3|08-002.00|29917|wastewater service|WASTEWATER|5|Lines of Credit|REVOLVING LOAN FOR SEWER PROJECTS|25975.91| 2022|Carroll|08|3|0545|2|FLORA CIVIL TOWN|3|08-003.00|29919|Flora Electric Utility|ELECTRIC|10|Notes and Loans Payable - Long Term|Purchased Back Hoe|.00|.00 2022|Carroll|08|3|0545|2|FLORA CIVIL TOWN|3|08-003.00|29920|Flora Wastewater Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|Purchased Back Hoe|.00|.00 2022|Carroll|08|3|0545|2|FLORA CIVIL TOWN|3|08-003.00|29921|Flora Water Utility|WATER|10|Notes and Loans Payable - Long Term|Purchased Back Hoe|.00|.00 2022|Carroll|08|3|0545|2|FLORA CIVIL TOWN|3|08-003.00|29920|Flora Wastewater Utility|WASTEWATER|11|Notes and Loans Payable - Short Term|2022 Bond Anticipation Notes|1535000.00| 2022|Carroll|08|3|0545|2|FLORA CIVIL TOWN|3|08-003.00|29921|Flora Water Utility|WATER|2|Revenue Bonds|2019 Waterworks Bonds|2457000.00|48000.00 2022|Carroll|08|4|0750||CARROLL CONSOLIDATED SCHOOL CORPORATION|5|08-021.00|0||Governmental Activities|1|General Obligation Bonds|Renovations to the Carroll Junior-Senior High School|| 2022|Carroll|08|4|0755||DELPHI COMMUNITY SCHOOL CORPORATION|5|08-020.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond|| 2022|Carroll|08|4|0755||DELPHI COMMUNITY SCHOOL CORPORATION|5|08-020.00|0||Governmental Activities|1|General Obligation Bonds|Pension Debt|| 2022|Carroll|08|4|0755||DELPHI COMMUNITY SCHOOL CORPORATION|5|08-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2017 Solar Bond|| 2022|Carroll|08|5|0020|2|FLORA PUBLIC LIBRARY|6|08-024.00|0||Governmental Activities|1|General Obligation Bonds|Renovation|375000.00|120000.00 2022|Carroll|08|6|0030|2|ROCKFIELD REGIONAL SEWER DISTRICT|21|08-030.00|0||Governmental Activities|2|Revenue Bonds|Rural Development Loan to build a sewer facility|349000.00|11000.00 2022|Cass|09|1|0000|2|CASS COUNTY|1|09-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Indiana Creek Drainage Project|258313.00| 2022|Cass|09|1|0000|2|CASS COUNTY|1|09-000.00|0||Governmental Activities|14|Other - Long Term|TIF Bond - Clymers|1186250.00|120500.00 2022|Cass|09|1|0000|2|CASS COUNTY|1|09-000.00|0||Governmental Activities|14|Other - Long Term|TIF Bond - Fire Surpression|4350000.00|190000.00 2022|Cass|09|1|0000|2|CASS COUNTY|1|09-000.00|0||Governmental Activities|14|Other - Long Term|TIF Bond - Waelz Project|17000000.00|4000.00 2022|Cass|09|2|0001|2|ADAMS TOWNSHIP|7|09-006.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|37500.00|12500.00 2022|Cass|09|3|0301|2|LOGANSPORT CIVIL CITY|2|09-001.00|0||Governmental Activities|2|Revenue Bonds|REVENUE BOND 2016|1660000.00|245000.00 2022|Cass|09|3|0301|2|LOGANSPORT CIVIL CITY|2|09-001.00|29923|City storm drain|STORM WATER|2|Revenue Bonds|Infrastructure Lines 2012|5415687.00|428806.00 2022|Cass|09|3|0301|2|LOGANSPORT CIVIL CITY|2|09-001.00|29923|City storm drain|STORM WATER|2|Revenue Bonds|Revenue Bonds, Series 2014|4840719.00|343991.00 2022|Cass|09|3|0301|2|LOGANSPORT CIVIL CITY|2|09-001.00|29923|City storm drain|STORM WATER|2|Revenue Bonds|Storm Water Revenue Bonds of 2018|13384618.00|288477.00 2022|Cass|09|3|0301|2|LOGANSPORT CIVIL CITY|2|09-001.00|29924|Collection/Treatment/Disposal of waste material|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|3060776.00|142008.00 2022|Cass|09|3|0301|2|LOGANSPORT CIVIL CITY|2|09-001.00|29924|Collection/Treatment/Disposal of waste material|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2018A|5490346.00|265602.00 2022|Cass|09|3|0301|2|LOGANSPORT CIVIL CITY|2|09-001.00|29924|Collection/Treatment/Disposal of waste material|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2018B|10753900.00|245822.00 2022|Cass|09|3|0547|2|GALVESTON CIVIL TOWN|3|09-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2011 Total Patcher Vortex Machine|9810.20|11589.00 2022|Cass|09|3|0547|2|GALVESTON CIVIL TOWN|3|09-002.00|29926||WASTEWATER|2|Revenue Bonds|2003 SRF Loan CS182401-01|38000.00|35000.00 2022|Cass|09|3|0547|2|GALVESTON CIVIL TOWN|3|09-002.00|29927||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2020 - SRF|1640511.00|49712.00 2022|Cass|09|3|0549||ROYAL CENTER CIVIL TOWN|3|09-004.00|29928|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Bond|| 2022|Cass|09|3|0549||ROYAL CENTER CIVIL TOWN|3|09-004.00|29929|Water Utility|WATER|2|Revenue Bonds|Water Bond|| 2022|Cass|09|3|0550|2|WALTON CIVIL TOWN|3|09-005.00|29930|sewage|WASTEWATER|2|Revenue Bonds|Sewage Plant Project|365444.53|41000.00 2022|Cass|09|3|0550|2|WALTON CIVIL TOWN|3|09-005.00|29931|water|WATER|2|Revenue Bonds|Tower & Waterlines Project|391000.00|39000.00 2022|Cass|09|4|0775||PIONEER REGIONAL SCHOOL CORPORATION|5|09-021.00|0||Governmental Activities|1|General Obligation Bonds|2015 and 2016 Lease Rental Payments 1St Series Bonds|| 2022|Cass|09|4|0775||PIONEER REGIONAL SCHOOL CORPORATION|5|09-021.00|0||Governmental Activities|1|General Obligation Bonds|Common School Loan|| 2022|Cass|09|4|0775||PIONEER REGIONAL SCHOOL CORPORATION|5|09-021.00|0||Governmental Activities|1|General Obligation Bonds|Pension Debt|| 2022|Cass|09|4|0815||Lewis Cass Schools|5|09-022.00|0||Governmental Activities|1|General Obligation Bonds|2014 GOB|| 2022|Cass|09|4|0875||LOGANSPORT COMMUNITY SCHOOL CORPORATION|5|09-020.00|0||Governmental Activities|1|General Obligation Bonds|Renovation Bonds|| 2022|Cass|09|4|0875||LOGANSPORT COMMUNITY SCHOOL CORPORATION|5|09-020.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Tax/Tuition Loan|| 2022|Cass|09|5|0023|2|WALTON PUBLIC LIBRARY|6|09-025.00|0||Governmental Activities|1|General Obligation Bonds|Annual administration fee for the General Obligation Bonds of 2018 to The Huntington National Bank for work done with the bonds and also collection of the payments due during the year. Payment amount was $500.00|.00|500.00 2022|Cass|09|5|0023|2|WALTON PUBLIC LIBRARY|6|09-025.00|0||Governmental Activities|1|General Obligation Bonds|Payments on G.O. Bond based on amortization schedule|190000.00|85000.00 2022|Cass|09|6|1101|2|LOGANSPORT AND CASS CO. AIRPORT AUTHORITY|25|09-036.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|595000.00|100000.00 2022|Cass|09|6|2002|2|CASS COUNTY FIRE DISTRICT #1|18|09-037.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|County Emergency Loan|.00|.00 2022|Cass|09|6|2002|2|CASS COUNTY FIRE DISTRICT #1|18|09-037.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck Loan|185693.54|185693.54 2022|Clark|10|1|0000|2|CLARK COUNTY|1|10-000.00|0||Governmental Activities|1|General Obligation Bonds|2010 Building Bond|434705.00|193565.00 2022|Clark|10|1|0000|2|CLARK COUNTY|1|10-000.00|0||Governmental Activities|1|General Obligation Bonds|2011 Landfill Bond|2183137.50|901312.50 2022|Clark|10|1|0000|2|CLARK COUNTY|1|10-000.00|0||Governmental Activities|1|General Obligation Bonds|2013-Landfill Bond|8386685.00|446765.00 2022|Clark|10|1|0000|2|CLARK COUNTY|1|10-000.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bonds|1600000.00|240000.00 2022|Clark|10|1|0000|2|CLARK COUNTY|1|10-000.00|0||Governmental Activities|14|Other - Long Term|Judgment Funding Bonds 2017|5556925.00|1243075.00 2022|Clark|10|1|0000|2|CLARK COUNTY|1|10-000.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue 2022|10000000.00|900000.00 2022|Clark|10|1|0000|2|CLARK COUNTY|1|10-000.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Refunding Bonds|4358000.00|1148000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|INDOT State Infrastructure Bank Loan Overpass Construction|.00|.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|10|Notes and Loans Payable - Long Term|2011 Series B SRF Brownfield Remediation|173863.00|39000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|10|Notes and Loans Payable - Long Term|2011 Series C SRF North WW Treatment Plant|11058000.00|1031000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|10|Notes and Loans Payable - Long Term|2012 SRF WWTP Improvements|6423000.00|595000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|10|Notes and Loans Payable - Long Term|2020 Series A SRFDowntown WWTP Wet Weather Treatment Facilities|14009000.00|654000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|10|Notes and Loans Payable - Long Term|2020 Series B SRF (Reissued 2022) Phase II & III construction projects as approved by USEPA and DOJ|24999000.00|1000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|10|Notes and Loans Payable - Long Term|2020 Series B SRF Phase II & III construction projects as approved by USEPA and DOJ|.00|.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2019 Fire Apparatus & Equipment|500203.82| 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 Mayor Chevy Blazer|21035.30| 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 Parks Loader|21330.00| 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 Police Body Cameras & Software|177588.00| 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 Police Dodge Durangos (12)|.00| 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2021 Fire Communication System|50856.31| 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2021 Police Tahoes (5)|49529.56| 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|11|Notes and Loans Payable - Short Term|2019 CCTV Camera Truck|.00| 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|14|Other - Long Term|2022 Sewage Works Bond Anticipation Notes|13825000.00|.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|2|Revenue Bonds|2008 Tax Increment Bonds for Veterans Pkwy & Thompson Rd|800000.00|215000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|2|Revenue Bonds|2013 Tax Increment Revenue Bonds 2013 - Series A|1245000.00|115000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|2|Revenue Bonds|2013 Tax Increment Revenue Bonds 2013 - Series B|3240000.00|685000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|2|Revenue Bonds|2013 Tax Increment Revenue Bonds 2013 - Series C|3110000.00|280000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|2|Revenue Bonds|2013 Tax Increment Revenue Bonds 2013 - Series D|1370000.00|290000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|2|Revenue Bonds|2013 Tax Increment Revenue Bonds 2013 - Series E|1750000.00|.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|0||Governmental Activities|2|Revenue Bonds|2017 Capital Development Tourism Bonds|.00|.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|2|Revenue Bonds|2013 Sewage Works Refunding (1999, 2003, 2005A) Revenue Bonds|3515000.00|1125000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|2|Revenue Bonds|2017 Series A Sewage Works Refunding (2010)|9675000.00|1080000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|2|Revenue Bonds|2020 Sewage works Refunding (2008 & 2009)|4045000.00|.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|2|Revenue Bonds|2021 Sewage Works Refunding (2010A & 2011A)|14200000.00|620000.00 2022|Clark|10|3|0205|2|JEFFERSONVILLE CIVIL CITY|2|10-002.00|29932|Wastewater Treatment Facilities|WASTEWATER|2|Revenue Bonds|2022 Sewage Works SRF Taxable (from reissue of 2020B)|4835000.00|330000.00 2022|Clark|10|3|0421|2|CHARLESTOWN CIVIL CITY|2|10-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Police Station|1022268.77|76245.14 2022|Clark|10|3|0421|2|CHARLESTOWN CIVIL CITY|2|10-001.00|29933|wastewater service|WASTEWATER|2|Revenue Bonds|upgrade sewer plant|1545000.00|225000.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|1|General Obligation Bonds|2015 TAX INCREMENT BOND SERIES A (TIF BOND A)|8900000.00|400000.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|1|General Obligation Bonds|2019 REDEV DIST TAX INCREMENT REV BONDS|4655000.00|235000.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|1|General Obligation Bonds|CAP DEV TOURISM FUND REV BOND 2018|249078.00|37501.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|1|General Obligation Bonds|PARK DIST TAX INC REV REF BONDS 2016 (REF 2007 LL BOND)|1680000.00|360000.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|INDOT LOAN FOR VETERANS PARKWAY INFRASTRUCTURE|350425.00|231874.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|14|Other - Long Term|BUILD-OPERATE-TRANSFER (BOT) (S CLARKSVILLE STREET CONST)|4830036.00|282148.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|15|Other - Short Term|TAXABLE ECONOMIC DEV REVENUE NOTE SERIES 2022; FINANCE THE BEND PROJECT|1050000.00| 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|2|Revenue Bonds|TAXABLE ECON DEV REV BONDS OF 2020 (WOERNER AVE)|7110000.00|315000.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|0||Governmental Activities|2|Revenue Bonds|TAXABLE ECON DEV REV BONDS OF 2022; FINANCE CONST OF BEND APT PROJECT ADN RELATED IMP|7210000.00|.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|29935|Operating|STORM WATER|2|Revenue Bonds|TAX SEW WORKS REFUNDING REV BONDS 2020|7940000.00|370000.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|29936|Operating|WASTEWATER|2|Revenue Bonds|2015 SEWAGE WORKS REFUNDING BONDS (FKA 05)|1975000.00|975000.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|29936|Operating|WASTEWATER|2|Revenue Bonds|2018 SEWAGE WORKS BAN|1500000.00|.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|29936|Operating|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2020|21810000.00|1025000.00 2022|Clark|10|3|0500|2|CLARKSVILLE CIVIL TOWN|3|10-003.00|29936|Operating|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|20510000.00|90000.00 2022|Clark|10|3|0551||TOWN OF BORDEN|3|10-004.00|29937||WASTEWATER|2|Revenue Bonds|SEWER PLANT BOND|| 2022|Clark|10|3|0552|2|SELLERSBURG CIVIL TOWN|3|10-005.00|0||Governmental Activities|1|General Obligation Bonds|2018 REDEVELOPMENT BAN|820000.00|820000.00 2022|Clark|10|3|0552|2|SELLERSBURG CIVIL TOWN|3|10-005.00|29938|Wastewater Utility|WASTEWATER|1|General Obligation Bonds|2021 SEWAGE WORKS REVENUE BONDS (SRF)|26105000.00|.00 2022|Clark|10|3|0552|2|SELLERSBURG CIVIL TOWN|3|10-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2022 BUILD OPERATE TRANSFER (BOT) OBLIGATION|3789625.00|221371.00 2022|Clark|10|3|0552|2|SELLERSBURG CIVIL TOWN|3|10-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2022 GARBAGE PACKER LEASE|303200.00|80867.00 2022|Clark|10|3|0552|2|SELLERSBURG CIVIL TOWN|3|10-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|POLICE STATION LOAN 1|1721829.00|46536.00 2022|Clark|10|3|0552|2|SELLERSBURG CIVIL TOWN|3|10-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|POLICE STATION LOAN 2|549813.00|51435.00 2022|Clark|10|3|0552|2|SELLERSBURG CIVIL TOWN|3|10-005.00|29939|Water Utility|WATER|2|Revenue Bonds|WATERWORKS REVENUE BONDS OF 2014|5515444.00|390000.00 2022|Clark|10|3|0962|2|UTICA CIVIL TOWN|3|10-006.00|0||Governmental Activities|15|Other - Short Term|Police Car lLoan|.00| 2022|Clark|10|3|0962|2|UTICA CIVIL TOWN|3|10-006.00|0||Governmental Activities|15|Other - Short Term|Police Car Loan|.00| 2022|Clark|10|3|0962|2|UTICA CIVIL TOWN|3|10-006.00|0||Governmental Activities|15|Other - Short Term|Truck Loan|.00| 2022|Clark|10|4|0935||BORDEN-HENRYVILLE SCHOOL CORPORATION|5|10-061.00|0||Governmental Activities|1|General Obligation Bonds|BHSC Railroad Building Purchase for Central Office|| 2022|Clark|10|4|0935||BORDEN-HENRYVILLE SCHOOL CORPORATION|5|10-061.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Solar Panel Project-Bond Anticipation Note|| 2022|Clark|10|4|0940||WEST CLARK COMMUNITY SCHOOL CORPORATION|5|10-020.00|0||Governmental Activities|1|General Obligation Bonds|Pension Buy Out|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|SEVERANCE|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology A1959|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology A2976|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology A2992|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology B0031|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology B0093|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology B0131|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology B0176|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology B0215|| 2022|Clark|10|4|0945||SILVER CREEK SCHOOL CORPORATION|5|10-060.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology B0257|| 2022|Clark|10|4|1000||CLARKSVILLE COMMUNITY SCHOOL CORPORATION|5|10-019.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2016|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|1|General Obligation Bonds|G/O Bond Series 2021|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds, Series 2013|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|1|General Obligation Bonds|Series 2011 / Corden Porter School Renovation|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|1|General Obligation Bonds|Series 2011 QSCB / Parkwood Elementary Renovation|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0007|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0047|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0087|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0101|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0146|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0184|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0195|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0231|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0432|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B2852|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B2908|| 2022|Clark|10|4|1010||GREATER CLARK COUNTY SCHOOL CORPORATION|5|10-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B2985|| 2022|Clark|10|5|0025|2|JEFFERSONVILLE TOWNSHIP PUBLIC LIBRARY|6|10-024.00|0||Governmental Activities|1|General Obligation Bonds|Renovation, Improvements and Construction of both Libraries|1395000.00|445000.00 2022|Clark|10|6|0026|2|Clark-Floyd Counties Convention and Tourism Bureau|39|10-026.00|0||Governmental Activities|1|General Obligation Bonds|Floyd County Bond|1460000.00|60000.00 2022|Clark|10|6|0026|2|Clark-Floyd Counties Convention and Tourism Bureau|39|10-026.00|0||Governmental Activities|1|General Obligation Bonds|Jeffersonville Bond|.00|.00 2022|Clark|10|6|0026|2|Clark-Floyd Counties Convention and Tourism Bureau|39|10-026.00|0||Governmental Activities|1|General Obligation Bonds|New Albany Bond|.00|.00 2022|Clark|10|6|0034|2|RIVER RIDGE DEVELOPMENT AUTHORITY|30|10-034.00|0||Governmental Activities|2|Revenue Bonds|Infrastructure Improvements|74330509.00|15885509.00 2022|Clark|10|6|0037||JEFFERSONVILLE CLARK CNTY BLDG ATHR|26|10-037.00|0||Governmental Activities|1|General Obligation Bonds|fund remodel of county courthouse|| 2022|Clark|10|6|0065|2|South Central Airport Authority|25|10-054.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CASE Tractor for Mowing|9175.49|7329.62 2022|Clark|10|6|0065|2|South Central Airport Authority|25|10-054.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of SCRAA Building from Whirlaway|70500.35|4253.38 2022|Clark|10|6|0065|2|South Central Airport Authority|25|10-054.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase/Leaseback of ASI Buildings|2612517.50|48000.00 2022|Clark|10|6|0065|2|South Central Airport Authority|25|10-054.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|T- Hangar Complex Mortgage I|860070.28|37786.35 2022|Clark|10|6|0065|2|South Central Airport Authority|25|10-054.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|T- Hangar Complex Mortgage II|1142586.10|42759.54 2022|Clark|10|6|0802|2|JEFFERSONVILLE FLOOD CONTROL|29|10-027.00|0||Governmental Activities|2|Revenue Bonds|Cane Run Pump Station|2590000.00|2590000.00 2022|Clark|10|6|0962|2|CHARLESTOWN FIRE|18|10-041.00|0||Governmental Activities|1|General Obligation Bonds|Fire Apparatus|1640000.00|145000.00 2022|Clark|10|6|0967|2|TRI-TOWNSHIP FIRE PROTECTION DISTRICT|18|10-043.00|0||Governmental Activities|1|General Obligation Bonds|Fire Truck, Land, Equipment|3148200.00|325000.00 2022|Clark|10|6|0967|2|TRI-TOWNSHIP FIRE PROTECTION DISTRICT|18|10-043.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2021 Chevy Silverado Brush Truck|.00|.00 2022|Clark|10|6|0967|2|TRI-TOWNSHIP FIRE PROTECTION DISTRICT|18|10-043.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2022 Ram 2500|89580.00|.00 2022|Clark|10|6|0967|2|TRI-TOWNSHIP FIRE PROTECTION DISTRICT|18|10-043.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|E-One CAFS Custom Pumper|92624.80|61291.88 2022|Clark|10|6|0967|2|TRI-TOWNSHIP FIRE PROTECTION DISTRICT|18|10-043.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Low-Hosebed Pumper and KME Comm Tanker|1088606.31|139715.58 2022|Clark|10|6|0971|2|MONROE TOWNSHIP FIRE PROTECTION|18|10-042.00|0||Governmental Activities|1|General Obligation Bonds|FIRE TRUCKS|375000.00|60000.00 2022|Clark|10|6|0972|2|UTICA TOWNSHIP FIRE DISTRICT|18|10-048.00|0||Governmental Activities|1|General Obligation Bonds|Refinance|620000.00|80000.00 2022|Clark|10|6|9540||William E Wilson Education Center|5|10-045.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Paycheck Protection Program Forgiven 04/26/2022|| 2022|Clark|10|7|0004||OAK PARK CONSERVANCY|28|10-032.00|0||Governmental Activities|1|General Obligation Bonds|Bond 2000 Construction-Wastewater Treatment Plant|| 2022|Clark|10|7|0056|2|MUDDY FORK CONSERVANCY DISTRICT|28|10-033.00|0||Governmental Activities|1|General Obligation Bonds|Land Acquisition|554435.00|554435.00 2022|Clark|10|8|0800|2|Jeffersonville Redevelopment Authority|36|10-055.00|0||Governmental Activities|2|Revenue Bonds|2009 Lease Rental Refunding Aquatic Center|.00|.00 2022|Clark|10|8|0800|2|Jeffersonville Redevelopment Authority|36|10-055.00|0||Governmental Activities|2|Revenue Bonds|2016 Lease Rental - Refunding 2006 ABC|2990000.00|695000.00 2022|Clark|10|8|0800|2|Jeffersonville Redevelopment Authority|36|10-055.00|0||Governmental Activities|2|Revenue Bonds|2017 :ease Rental - 10th St Road Improvements|12515000.00|2685000.00 2022|Clay|11|1|0000|2|CLAY COUNTY|1|11-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds, Series 2021|1839000.00|96000.00 2022|Clay|11|2|0002|2|CASS TOWNSHIP|7|11-009.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Poland Fire Territory lease of 3 fire trucks|.00| 2022|Clay|11|2|0002|2|CASS TOWNSHIP|7|11-009.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Poland Fire Territory purchase of vehicle|49645.27| 2022|Clay|11|3|0410|2|BRAZIL CIVIL CITY|2|11-001.00|29941|Water|WATER|10|Notes and Loans Payable - Long Term|2017 Water Truck|9997.00|.00 2022|Clay|11|3|0410|2|BRAZIL CIVIL CITY|2|11-001.00|29941|Water|WATER|10|Notes and Loans Payable - Long Term|Water Distribution Truck|1.00|.00 2022|Clay|11|3|0410|2|BRAZIL CIVIL CITY|2|11-001.00|29940|Wastewater|WASTEWATER|11|Notes and Loans Payable - Short Term|WW 2021 CHEVY SILVERADO 1500 PICKUP|19899.75| 2022|Clay|11|3|0410|2|BRAZIL CIVIL CITY|2|11-001.00|29940|Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works 2013 BOND|2125001.00|.00 2022|Clay|11|3|0410|2|BRAZIL CIVIL CITY|2|11-001.00|29941|Water|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2010, Series A (SRF)|2806001.00|.00 2022|Clay|11|3|0553||CARBON CIVIL TOWN|3|11-002.00|29942|storm water utility|STORM WATER|10|Notes and Loans Payable - Long Term|installation of storm sewer utility|| 2022|Clay|11|3|0553||CARBON CIVIL TOWN|3|11-002.00|29943|Sewer Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|installation of sewer utility|| 2022|Clay|11|3|0556||KNIGHTSVILLE CIVIL TOWN|3|11-005.00|0||Governmental Activities|2|Revenue Bonds|Knightsville Water Project|| 2022|Clay|11|3|0557||STAUNTON CIVIL TOWN|3|11-006.00|29023|WATER|STAUNTON WATER|1|General Obligation Bonds|LOAN|| 2022|Clay|11|5|0026||BRAZIL PUBLIC LIBRARY|6|11-022.00|0||Governmental Activities|1|General Obligation Bonds|renovation & addition to existing building|| 2022|Clay|11|6|0002|2|K & H REGIONAL SEWER DISTRICT|21|11-005.02|0||Governmental Activities|2|Revenue Bonds|Funding for Improvements to system|.00|.00 2022|Clay|11|8|0024|2|Brazil Redevelopment Authority|36|11-028.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Bonds of 2013|710000.00|465000.00 2022|Clay|11|8|0024|2|Brazil Redevelopment Authority|36|11-028.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Bonds of 2016|1645000.00|190000.00 2022|Clinton|12|1|0000|2|CLINTON COUNTY|1|12-000.00|0||Governmental Activities|1|General Obligation Bonds|28 WEST INFRASTRUCTURE/CONAGRA|2054450.00|150000.00 2022|Clinton|12|1|0000|2|CLINTON COUNTY|1|12-000.00|0||Governmental Activities|1|General Obligation Bonds|CR 375 PROJECT|2545000.00|335000.00 2022|Clinton|12|1|0000|2|CLINTON COUNTY|1|12-000.00|0||Governmental Activities|1|General Obligation Bonds|REDEVELOPMENT BOND (2020)|6032000.00|280000.00 2022|Clinton|12|1|0000|2|CLINTON COUNTY|1|12-000.00|0||Governmental Activities|1|General Obligation Bonds|WATER AND SEWER BONDS (2021)|16200000.00|135000.00 2022|Clinton|12|2|0001||CENTER TOWNSHIP|7|12-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|| 2022|Clinton|12|2|0009|2|PERRY TOWNSHIP|7|12-015.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|fire engine debt payment regions bank|84803.30|23298.00 2022|Clinton|12|2|0009|2|PERRY TOWNSHIP|7|12-015.00|0||Governmental Activities|15|Other - Short Term|nothing|.00| 2022|Clinton|12|3|0309|2|FRANKFORT CIVIL CITY|2|12-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2014 (ConAgra Foods Project)|14867000.00|1682000.00 2022|Clinton|12|3|0309|2|FRANKFORT CIVIL CITY|2|12-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2014 (Fontana Fasteners Project)|120000.00|60000.00 2022|Clinton|12|3|0309|2|FRANKFORT CIVIL CITY|2|12-001.00|29024||ELECTRIC|2|Revenue Bonds|Electric Utility Revenue Bonds of 2018|10370000.00|520000.00 2022|Clinton|12|3|0309|2|FRANKFORT CIVIL CITY|2|12-001.00|29026||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2017 - Sewage Works Improvements|4980000.00|570000.00 2022|Clinton|12|3|0309|2|FRANKFORT CIVIL CITY|2|12-001.00|29026||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2020 (SRF)|25264000.00|925000.00 2022|Clinton|12|3|0309|2|FRANKFORT CIVIL CITY|2|12-001.00|29027||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2016 - Waterworks Improvements|3305000.00|425000.00 2022|Clinton|12|3|0309|2|FRANKFORT CIVIL CITY|2|12-001.00|29027||WATER|2|Revenue Bonds|Waterworks Revenue Bonds Series 2021A (SRF)|10835000.00|.00 2022|Clinton|12|3|0309|2|FRANKFORT CIVIL CITY|2|12-001.00|29027||WATER|2|Revenue Bonds|Waterworks Revenue Bonds Series 2021B (SRF)|2795000.00|.00 2022|Clinton|12|3|0559|2|COLFAX CIVIL TOWN|3|12-002.00|29029|wastewater|WASTEWATER|2|Revenue Bonds|UPDATE WASTEWATER PLANT|86957.00|12000.00 2022|Clinton|12|3|0559|2|COLFAX CIVIL TOWN|3|12-002.00|29030|water|WATER|2|Revenue Bonds|UPDATE WATER PLANT|405000.00|30000.00 2022|Clinton|12|3|0560|2|KIRKLIN CIVIL TOWN|3|12-003.00|29031||WASTEWATER|2|Revenue Bonds|Sewer Rehabilitation|128000.00|15000.00 2022|Clinton|12|3|0560|2|KIRKLIN CIVIL TOWN|3|12-003.00|29031||WASTEWATER|2|Revenue Bonds|Wastewater System Improvements|536000.00|31000.00 2022|Clinton|12|3|0560|2|KIRKLIN CIVIL TOWN|3|12-003.00|29032||WATER|2|Revenue Bonds|Water System Improvements|1016000.00|51000.00 2022|Clinton|12|3|0561|2|MICHIGANTOWN CIVIL TOWN|3|12-004.00|29033|town sewage utiility|WASTEWATER|2|Revenue Bonds|Sew Works 2017 Bond Ser A and B|1137707.10|1072507.10 2022|Clinton|12|3|0562|2|MULBERRY CIVIL TOWN|3|12-005.00|29034||WASTEWATER|2|Revenue Bonds|Sewage Improvements|1405000.00|80000.00 2022|Clinton|12|3|0562|2|MULBERRY CIVIL TOWN|3|12-005.00|29035||WATER|2|Revenue Bonds|Water Improvemnets|50000.00|50000.00 2022|Clinton|12|3|0563|2|ROSSVILLE CIVIL TOWN|3|12-006.00|29036|Wastewater|WASTEWATER|2|Revenue Bonds|Improvements to high school lift station/force main/ww plant|1780000.00|105000.00 2022|Clinton|12|3|0563|2|ROSSVILLE CIVIL TOWN|3|12-006.00|29036|Wastewater|WASTEWATER|2|Revenue Bonds|Improvements to WWTP|2655000.00|115000.00 2022|Clinton|12|4|1150||CLINTON CENTRAL SCHOOL CORPORATION|5|12-023.00|0||Governmental Activities|1|General Obligation Bonds|Clinton Central 2009 School Building Coporation|| 2022|Clinton|12|4|1150||CLINTON CENTRAL SCHOOL CORPORATION|5|12-023.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2016|| 2022|Clinton|12|4|1150||CLINTON CENTRAL SCHOOL CORPORATION|5|12-023.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2019|| 2022|Clinton|12|4|1160||CLINTON PRAIRIE SCHOOL CORPORATION|5|12-021.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond|| 2022|Clinton|12|4|1170||FRANKFORT COMMUNITY SCHOOL CORPORATION|5|12-022.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATION BOND OF 2022 - PAVING AND LIGHTING|| 2022|Clinton|12|4|1170||FRANKFORT COMMUNITY SCHOOL CORPORATION|5|12-022.00|0||Governmental Activities|1|General Obligation Bonds|HS/ELEMENTARY|| 2022|Clinton|12|4|1170||FRANKFORT COMMUNITY SCHOOL CORPORATION|5|12-022.00|0||Governmental Activities|1|General Obligation Bonds|RETIREMENT/SERVERANCE BONDS|| 2022|Clinton|12|4|1170||FRANKFORT COMMUNITY SCHOOL CORPORATION|5|12-022.00|0||Governmental Activities|1|General Obligation Bonds|SC ELEMENTARY COMMON SCHOOL LOAN|| 2022|Clinton|12|4|1180||ROSSVILLE CONSOLIDATED SCHOOL CORP|5|12-024.00|0||Governmental Activities|1|General Obligation Bonds|Building Project 2021|| 2022|Clinton|12|5|0029|2|KIRKLIN PUBLIC LIBRARY|6|12-027.00|0||Governmental Activities|1|General Obligation Bonds|Repair and Maintenance on Library|450000.00|55000.00 2022|Clinton|12|6|0326|2|FRANKFORT AND CLINTON COUNTY AIRPORT AUTHORITY|25|12-031.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATION BONDS OF 2012|83925.00|91215.00 2022|Crawford|13|1|0000||CRAWFORD COUNTY|1|13-000.00|0||Governmental Activities|1|General Obligation Bonds|TIF Bonds of 1997|| 2022|Crawford|13|3|0565|2|ENGLISH CIVIL TOWN|3|13-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Backhoe|17664.21| 2022|Crawford|13|3|0565|2|ENGLISH CIVIL TOWN|3|13-002.00|29038|Sewer Utility|ENGLISH SEWER WORKS|2|Revenue Bonds|English Sewer Works|447000.00|32000.00 2022|Crawford|13|3|0565|2|ENGLISH CIVIL TOWN|3|13-002.00|0||Governmental Activities|5|Lines of Credit|English Civic Center|18299.26| 2022|Crawford|13|3|0566|2|LEAVENWORTH CIVIL TOWN|3|13-003.00|29041|Water|WATER|14|Other - Long Term|WATER IMPROVEMENT LOAN|601307.83|47802.06 2022|Crawford|13|3|0566|2|LEAVENWORTH CIVIL TOWN|3|13-003.00|0||Governmental Activities|15|Other - Short Term|ROAD IMPROVEMENT GRANT/LOAN|10292.77| 2022|Crawford|13|3|0566|2|LEAVENWORTH CIVIL TOWN|3|13-003.00|0||Governmental Activities|15|Other - Short Term|ROAD IMPROVEMENT GRANT/LOAN|26937.68| 2022|Crawford|13|3|0567|2|MARENGO CIVIL TOWN|3|13-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Trash Truck|48700.00|3200.00 2022|Crawford|13|3|0567|2|MARENGO CIVIL TOWN|3|13-004.00|29042|Sewer Plant Operations|WASTEWATER|10|Notes and Loans Payable - Long Term|Holding Tank at Sewage Plant|.00|.00 2022|Crawford|13|3|0567|2|MARENGO CIVIL TOWN|3|13-004.00|29042|Sewer Plant Operations|WASTEWATER|10|Notes and Loans Payable - Long Term|Sewage Plant Matching Grant|52627.83|16801.31 2022|Crawford|13|3|0568||MILLTOWN CIVIL TOWN|3|13-005.00|29631|Sewer|Milltown Sewer|2|Revenue Bonds|2020 Sewage Works SRF Loan|| 2022|Crawford|13|3|0568||MILLTOWN CIVIL TOWN|3|13-005.00|29631|Sewer|Milltown Sewer|2|Revenue Bonds|Sewage Works Bonds of 2007 Bond A|| 2022|Crawford|13|3|0568||MILLTOWN CIVIL TOWN|3|13-005.00|29631|Sewer|Milltown Sewer|2|Revenue Bonds|Sewage Works Bonds of 2007 Bond B|| 2022|Crawford|13|4|1300||CRAWFORD COUNTY COMMUNITY SCHOOL CORPORATION|5|13-007.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds|| 2022|Crawford|13|4|1300||CRAWFORD COUNTY COMMUNITY SCHOOL CORPORATION|5|13-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Crawford|13|6|0023||BLUE RIVER REGIONAL WATER DISTRICT|20|13-023.00|29613|Sale of water to customers|Water|11|Notes and Loans Payable - Short Term|METERS|| 2022|Crawford|13|6|0966|2|ENGLISH FIRE|18|13-020.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Trucks|.00| 2022|Daviess|14|1|0000|2|DAVIESS COUNTY|1|14-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds Series 2014|.00|.00 2022|Daviess|14|1|0000|2|DAVIESS COUNTY|1|14-000.00|0||Governmental Activities|2|Revenue Bonds|Local Income Tax Revenue Bonds, Series 2018|2240000.00|20000.00 2022|Daviess|14|2|0010|2|WASHINGTON TOWNSHIP|7|14-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2010 Rescue Pumper|103759.00|27000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Repayment of DCEDF for Wastewater Impr at I-69|259930.00|33173.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 Police Vehicles Loan 1st Federal -4 Dodge Durgangos|65479.00| 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29045||WASTEWATER|11|Notes and Loans Payable - Short Term|Combination Sewer Cleaner ONB Tax Exempt Loan|143239.00| 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|0||Governmental Activities|14|Other - Long Term|Revolving Fund Loan Common Projects|.00|400000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|0||Governmental Activities|2|Revenue Bonds|economic facilities 2014B|6050000.00|470000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|0||Governmental Activities|2|Revenue Bonds|infrastructure 2014A|1080000.00|715000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Revenue Bonds of 2022|605000.00|.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29043||ELECTRIC|2|Revenue Bonds|Electric Utility Bonds Series 2018 for US 50 Relinquishment|670000.00|445000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29045||WASTEWATER|2|Revenue Bonds|Sewage Works BANS 2018 related to Hwy 50 relinquishment|1010000.00|.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29045||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds 2016A|2725000.00|525000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29045||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds 2020 payoff 2009 &2010|8980000.00|980000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29045||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2016B|940000.00|10000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29046||WATER|2|Revenue Bonds|Tax Exempt Waterworks BAN Series 2018 related to Hwy 50 relinquishment|1725000.00|.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29046||WATER|2|Revenue Bonds|Tax Exempt Waterworks Revenue Bonds 2018A Payoff 2013 BAN|5490000.00|850000.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29046||WATER|2|Revenue Bonds|Taxable Waterworks Rev Bonds 2018B Pay Capitalized Int & Cost of Issuance|565000.00|.00 2022|Daviess|14|3|0319|2|WASHINGTON CIVIL CITY|2|14-001.00|29046||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2013, Series A|.00|.00 2022|Daviess|14|3|0571|2|ELNORA CIVIL TOWN|3|14-003.00|29047|Elnora Sewer Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Plant Improvements|1033231.25|27000.00 2022|Daviess|14|3|0571|2|ELNORA CIVIL TOWN|3|14-003.00|29048|Elnora Water Utility|WATER|10|Notes and Loans Payable - Long Term|Water Plant Improvements|664078.80|50000.00 2022|Daviess|14|3|0572|2|MONTGOMERY CIVIL TOWN|3|14-005.00|29049|REMOVE WASTE|WASTEWATER|1|General Obligation Bonds|wastewater|107000.00|2000.00 2022|Daviess|14|3|0572|2|MONTGOMERY CIVIL TOWN|3|14-005.00|29049|REMOVE WASTE|WASTEWATER|2|Revenue Bonds|wastewater|551000.00|12000.00 2022|Daviess|14|3|0573||ODON CIVIL TOWN|3|14-006.00|29051|Wastewater Treastment Plant & Services|Municipal Sewage Works|2|Revenue Bonds|Sewage System Improvement|| 2022|Daviess|14|3|0573||ODON CIVIL TOWN|3|14-006.00|29052|Water Treastment Plant & Services|Municpal Water Works|2|Revenue Bonds|Improvements|| 2022|Daviess|14|3|0574|2|PLAINVILLE CIVIL TOWN|3|14-007.00|29669|Wastewater|Wastewater Plant|10|Notes and Loans Payable - Long Term|watewater imporvements|338715.17|24494.04 2022|Daviess|14|4|1315||BARR-REEVE COMMUNITY SCHOOL CORPORATION|5|14-009.00|0||Governmental Activities|1|General Obligation Bonds|FY 19 Bond - Transportation|| 2022|Daviess|14|4|1315||BARR-REEVE COMMUNITY SCHOOL CORPORATION|5|14-009.00|0||Governmental Activities|1|General Obligation Bonds|FY 20 Bond|| 2022|Daviess|14|4|1375||NORTH DAVIESS COUNTY SCHOOL CORPORATION|5|14-010.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond HS Renovations|| 2022|Daviess|14|4|1375||NORTH DAVIESS COUNTY SCHOOL CORPORATION|5|14-010.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental HS Construction/Renovation|| 2022|Daviess|14|4|1405||WASHINGTON COMMUNITY SCHOOL CORPORATION|5|14-011.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2019|| 2022|Daviess|14|4|1405||WASHINGTON COMMUNITY SCHOOL CORPORATION|5|14-011.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds for Bus Purchases|| 2022|Daviess|14|6|1445||DAVIESS COMMUNITY HOSPITAL|4|14-008.00|0||Governmental Activities|1|General Obligation Bonds|BONDS PAYABLE|| 2022|Daviess|14|8|0001|2|Washington Redevelopment Authority|36|14-027.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds 2019|2665000.00|190000.00 2022|Dearborn|15|1|0000|2|DEARBORN COUNTY|1|15-000.00|0||Governmental Activities|2|Revenue Bonds|Whitewater Mill Project Construction|1103319.10|180000.00 2022|Dearborn|15|2|0010||MANCHESTER TOWNSHIP|7|15-017.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase park land|| 2022|Dearborn|15|3|0439|2|LAWRENCEBURG CIVIL CITY|2|15-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Lawrenceburg, IN General Obligation Bond, Series 2019|2490000.00|175000.00 2022|Dearborn|15|3|0439|2|LAWRENCEBURG CIVIL CITY|2|15-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Lawrenceburg, IN Redevelopment District Bond, Series 2019|2490000.00|175000.00 2022|Dearborn|15|3|0442|2|AURORA CIVIL CITY|2|15-001.00|0||Governmental Activities|1|General Obligation Bonds|ESG Smart Meter Project|2057979.25|118514.00 2022|Dearborn|15|3|0442|2|AURORA CIVIL CITY|2|15-001.00|0||Governmental Activities|1|General Obligation Bonds|Pool Reconstruction - Civista|.00|100000.00 2022|Dearborn|15|3|0442|2|AURORA CIVIL CITY|2|15-001.00|0||Governmental Activities|1|General Obligation Bonds|Pool Reconstruction - Lawrenceburg Bond Bank|1400000.00|100000.00 2022|Dearborn|15|3|0442|2|AURORA CIVIL CITY|2|15-001.00|0||Governmental Activities|1|General Obligation Bonds|Wet Weath Storage Basin|524551.00|26172.00 2022|Dearborn|15|3|0442|2|AURORA CIVIL CITY|2|15-001.00|29053||WASTEWATER UTILITY|2|Revenue Bonds|Construct New Lift Station|1204000.00|228000.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|14|Other - Long Term|2006 800mh Radio Loan|21975.00|7325.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|14|Other - Long Term|Firehouse Loan|75000.00|75000.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|14|Other - Long Term|Police Station Reno Loan|255000.00|85000.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|29056||ELECTRIC|14|Other - Long Term|Electric Improvements|3044590.64|208505.33 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|29058||WATER|14|Other - Long Term|Water Tower Loan|621544.38|93500.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bond Series 2022 B (Rudolph Way)|.00|.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds Series 2021 (The Crossing at Tanner Creek Project)|1800000.00|1800000.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds Series 2022 A (Rudolph Way)|1080000.00|1080000.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bond, Series 2019 (Queen City Candy, LLC Project)|2015000.00|230000.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds Series 2020 (Anchor Glass Project)|2840000.00|330000.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds Series 2020 (TKL Properties Project)|680000.00|80000.00 2022|Dearborn|15|3|0576|2|CITY OF GREENDALE|2|15-003.00|29056||ELECTRIC|2|Revenue Bonds|Electric Utility|4890000.00|110000.00 2022|Dearborn|15|3|0577|2|MOORES HILL CIVIL TOWN|3|15-004.00|29059||WASTEWATER|1|General Obligation Bonds|SERIES A - NEW WWTP|1116000.00|1310000.00 2022|Dearborn|15|3|0577|2|MOORES HILL CIVIL TOWN|3|15-004.00|29059||WASTEWATER|1|General Obligation Bonds|SERIES B - NEW WWTP|294000.00|294000.00 2022|Dearborn|15|3|0578||ST. LEON CIVIL TOWN|3|15-005.00|29060|Rural wastewater collection & treatment service.|WASTEWATER|1|General Obligation Bonds|Loan received for the expansion of the sewer plant|| 2022|Dearborn|15|3|0578||ST. LEON CIVIL TOWN|3|15-005.00|29060|Rural wastewater collection & treatment service.|WASTEWATER|1|General Obligation Bonds|LOAN RECEIVED REFINANCING|| 2022|Dearborn|15|4|1560||SUNMAN-DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-024.00|0||Governmental Activities|14|Other - Long Term|Common School Tech Loans|| 2022|Dearborn|15|4|1560||SUNMAN-DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-024.00|0||Governmental Activities|14|Other - Long Term|Pension Bonds|| 2022|Dearborn|15|4|1560||SUNMAN-DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-024.00|0||Governmental Activities|15|Other - Short Term|Capital Improvements STD BO Bond|| 2022|Dearborn|15|4|1600||SOUTH DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-023.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan|| 2022|Dearborn|15|4|1600||SOUTH DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-023.00|0||Governmental Activities|2|Revenue Bonds|Ad Valorem Property Tax First Mortgage Bonds, Series 2015|| 2022|Dearborn|15|4|1600||SOUTH DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-023.00|0||Governmental Activities|2|Revenue Bonds|Ad Valorem Property Tax First Mortgage Bonds, Series 2017|| 2022|Dearborn|15|4|1600||SOUTH DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-023.00|0||Governmental Activities|2|Revenue Bonds|Ad Valorem Property Tax First Mortgage Bonds, Series 2020|| 2022|Dearborn|15|4|1600||SOUTH DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-023.00|0||Governmental Activities|2|Revenue Bonds|Ad Valorem Property Tax First Mortgage Bonds, Series 2022|| 2022|Dearborn|15|4|1600||SOUTH DEARBORN COMMUNITY SCHOOL CORPORATION|5|15-023.00|0||Governmental Activities|2|Revenue Bonds|First Mortgage Refunding and Improvement Bonds, Series 2013|| 2022|Dearborn|15|4|1620||LAWRENCEBURG COMMUNITY SCHOOL CORPORATION|5|15-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Loan from City of Lawrenceburg for Gym Construction|| 2022|Dearborn|15|4|1620||LAWRENCEBURG COMMUNITY SCHOOL CORPORATION|5|15-022.00|0||Governmental Activities|14|Other - Long Term|Ad Valorem Property Tax First Mortgage Bonds, Series 2021|| 2022|Dearborn|15|4|1620||LAWRENCEBURG COMMUNITY SCHOOL CORPORATION|5|15-022.00|0||Governmental Activities|14|Other - Long Term|First Mortgage Refunding Bonds 2017|| 2022|Dearborn|15|6|0028|2|LAWRENCEBURG-MANCHESTER-SPARTA CONS|28|15-029.00|29614|Water Utility|Water Utility|10|Notes and Loans Payable - Long Term|FCN Bank commercial loan 8799 refinance|424892.52|77602.48 2022|Dearborn|15|6|0028|2|LAWRENCEBURG-MANCHESTER-SPARTA CONS|28|15-029.00|29614|Water Utility|Water Utility|10|Notes and Loans Payable - Long Term|FCN Bank construction loan 2119-water main upgrade|1520925.61|148994.96 2022|Dearborn|15|6|0031|2|SOUTH DEARBORN REGIONAL SEWER DISTR|21|15-031.00|30514|Plant Improvement 2022|Wastewater Improvement Project|1|General Obligation Bonds|Wastewater Improvements-SRF Loan|23435000.00|970000.00 2022|Dearborn|15|6|0031|2|SOUTH DEARBORN REGIONAL SEWER DISTR|21|15-031.00|29663|Fund Capital Improvements|Depreciation Fund|2|Revenue Bonds|Capital Improvements - 5 year plan funding|.00|.00 2022|Dearborn|15|6|1036|2|DEARBORN COUNTY SOLID WASTE|16|15-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City of Lawrenceburg|60000.00|30000.00 2022|Dearborn|15|6|1050||Highpoint Health|4|15-027.00|0||Governmental Activities|1|General Obligation Bonds|Fifth Third EHR #1|| 2022|Dearborn|15|6|1050||Highpoint Health|4|15-027.00|0||Governmental Activities|1|General Obligation Bonds|Fifth Third EHR #2|| 2022|Dearborn|15|6|1050||Highpoint Health|4|15-027.00|0||Governmental Activities|1|General Obligation Bonds|Fifth Third EHR #3|| 2022|Dearborn|15|6|1050||Highpoint Health|4|15-027.00|0||Governmental Activities|1|General Obligation Bonds|Fifth Third EHR #4|| 2022|Dearborn|15|6|1050||Highpoint Health|4|15-027.00|0||Governmental Activities|1|General Obligation Bonds|Fifth Third Equipment Bond|| 2022|Dearborn|15|6|1050||Highpoint Health|4|15-027.00|0||Governmental Activities|2|Revenue Bonds|Dearborn County Indiana Adjustable Rate Demand Economic Development Revenue Bonds, Series 2006|| 2022|Decatur|16|1|0000|2|DECATUR COUNTY|1|16-000.00|0||Governmental Activities|2|Revenue Bonds|Honda TIF|9147927.05|2150000.00 2022|Decatur|16|2|0009|2|WASHINGTON TOWNSHIP|7|16-015.00|0||Governmental Activities|1|General Obligation Bonds|Fire trucks|1010516.74|242304.28 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|0||Governmental Activities|1|General Obligation Bonds|Greensburg General Capital Bond 2021|575000.00|285000.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|0||Governmental Activities|1|General Obligation Bonds|Greensburg Public Safety Facility|.00|.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|0||Governmental Activities|1|General Obligation Bonds|Renovation Bond 2005 Billings School/City Hall|50000.00|50000.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Dist Tax Increment Rev Bond 2014|6080000.00|500000.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Dist Taxable Bonds, Series 2020|1265000.00|1265000.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|29061|Provides wastewater services|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2007B|4355228.00|721500.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|29061|Provides wastewater services|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2016|5785000.00|900000.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|29061|Provides wastewater services|WASTEWATER|2|Revenue Bonds|Sewage Works SRF Revenue Bonds Series-2017|4783000.00|266000.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|29062|Provides clean water services|WATER|2|Revenue Bonds|Waterworks Revenue Bonds 2007A|2655000.00|440000.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|29062|Provides clean water services|WATER|2|Revenue Bonds|Waterworks Revenue Bonds 2007B|3431727.00|568500.00 2022|Decatur|16|3|0406|2|GREENSBURG CIVIL CITY|2|16-001.00|29062|Provides clean water services|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2019|20094000.00|848000.00 2022|Decatur|16|3|0582|2|NEW POINT CIVIL TOWN|3|16-004.00|29063|Sewer utility|WASTEWATER|1|General Obligation Bonds|Sewer|50380.00|9840.00 2022|Decatur|16|3|0583||ST. PAUL CIVIL TOWN|3|16-005.00|0||Governmental Activities|14|Other - Long Term|Fire Truck|| 2022|Decatur|16|3|0584|2|WESTPORT CIVIL TOWN|3|16-006.00|29722|MUNICIPILITY|WATER UTILITY|1|General Obligation Bonds|2020 USDA Bond - Series A|1044000.00|22000.00 2022|Decatur|16|3|0584|2|WESTPORT CIVIL TOWN|3|16-006.00|29722|MUNICIPILITY|WATER UTILITY|1|General Obligation Bonds|2020 USDA Bond - Series B|1569000.00|34000.00 2022|Decatur|16|3|0584|2|WESTPORT CIVIL TOWN|3|16-006.00|29723|MUNICIPILITY|WASTEWATER UTILITY|1|General Obligation Bonds|Upgrade to Sewer System - 2011|2055000.00|46000.00 2022|Decatur|16|3|0584|2|WESTPORT CIVIL TOWN|3|16-006.00|29723|MUNICIPILITY|WASTEWATER UTILITY|10|Notes and Loans Payable - Long Term|NRWA UPGRADE TO SEWER|22624.82|2596.00 2022|Decatur|16|4|1655||DECATUR COUNTY COMMUNITY SCHOOL CORPORATION|5|16-016.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond|| 2022|Decatur|16|4|1730||GREENSBURG COMMUNITY SCHOOL CORPORATION|5|16-017.00|0||Governmental Activities|1|General Obligation Bonds|Corporation Upgrades Project 2020|| 2022|Decatur|16|4|1730||GREENSBURG COMMUNITY SCHOOL CORPORATION|5|16-017.00|0||Governmental Activities|14|Other - Long Term|Elementary Project|| 2022|Decatur|16|4|1730||GREENSBURG COMMUNITY SCHOOL CORPORATION|5|16-017.00|0||Governmental Activities|14|Other - Long Term|GCS Corporation Project|| 2022|Decatur|16|4|1730||GREENSBURG COMMUNITY SCHOOL CORPORATION|5|16-017.00|0||Governmental Activities|14|Other - Long Term|GCS Corporation Project 2021|| 2022|Decatur|16|5|0035|2|GREENSBURG PUBLIC LIBRARY|6|16-018.00|0||Governmental Activities|1|General Obligation Bonds|Building Bond|1485000.00|45000.00 2022|Decatur|16|6|0025|2|LAKE SANTEE REGIONAL WATER SEWER DI|20|16-025.00|29747|Waste & Water Utility|Lake Santee Regional Waste & Water District|1|General Obligation Bonds|Sewer Bond|1834000.00|87000.00 2022|Decatur|16|6|0025|2|LAKE SANTEE REGIONAL WATER SEWER DI|20|16-025.00|29747|Waste & Water Utility|Lake Santee Regional Waste & Water District|1|General Obligation Bonds|Water Bond|1966000.00|87000.00 2022|Decatur|16|6|0025|2|LAKE SANTEE REGIONAL WATER SEWER DI|20|16-025.00|29747|Waste & Water Utility|Lake Santee Regional Waste & Water District|10|Notes and Loans Payable - Long Term|Sewer BAN|250000.00|45812.00 2022|Decatur|16|6|1050||DECATUR COUNTY MEMORIAL HOSPITAL|4|16-019.00|0||Governmental Activities|2|Revenue Bonds|Capital Improvement - Hospital Construction|| 2022|Decatur|16|6|1050||DECATUR COUNTY MEMORIAL HOSPITAL|4|16-019.00|0||Governmental Activities|2|Revenue Bonds|Refunding of Revenue Bonds for Hospital Addition|| 2022|Decatur|16|7|0049||LAKE MCCOY CONSERVANCY DISTRICT|28|16-024.00|0||Governmental Activities|1|General Obligation Bonds|Conservancy District 2001 Bonds|| 2022|DeKalb|17|1|0000|2|DEKALB COUNTY|1|17-000.00|0||Governmental Activities|1|General Obligation Bonds|Central Communications Building Project|1230000.00|200000.00 2022|DeKalb|17|1|0000|2|DEKALB COUNTY|1|17-000.00|0||Governmental Activities|1|General Obligation Bonds|Community Corrections General Obligation Bonds, Series 2018|4410000.00|675000.00 2022|DeKalb|17|3|0416|2|AUBURN CIVIL CITY|2|17-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Street Dept Equipment|250050.06| 2022|DeKalb|17|3|0416|2|AUBURN CIVIL CITY|2|17-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Street Dept Equipment|361647.05| 2022|DeKalb|17|3|0416|2|AUBURN CIVIL CITY|2|17-001.00|29064|Electric Utility|ELECTRIC|11|Notes and Loans Payable - Short Term|Equipment|531289.00| 2022|DeKalb|17|3|0416|2|AUBURN CIVIL CITY|2|17-001.00|29066|Water Utility|WATER|11|Notes and Loans Payable - Short Term|Backhoe|53475.98| 2022|DeKalb|17|3|0416|2|AUBURN CIVIL CITY|2|17-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Dev LIT Revenue Refunding & Improvements|3465000.00|360000.00 2022|DeKalb|17|3|0416|2|AUBURN CIVIL CITY|2|17-001.00|29065|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewer Works Improvements|11230000.00|1040000.00 2022|DeKalb|17|3|0416|2|AUBURN CIVIL CITY|2|17-001.00|29066|Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds 2018|2540000.00|240000.00 2022|DeKalb|17|3|0416|2|AUBURN CIVIL CITY|2|17-001.00|29064|Electric Utility|ELECTRIC|5|Lines of Credit|Equipment|209959.00| 2022|DeKalb|17|3|0436|2|GARRETT CIVIL CITY|2|17-003.00|29067|Electric Utility|ELECTRIC|2|Revenue Bonds|SUBSTATION CONSTRUCTION/LINE IMPROVEMENT|784420.25|255000.00 2022|DeKalb|17|3|0436|2|GARRETT CIVIL CITY|2|17-003.00|29068|Wastewater Utility|WASTEWATER|2|Revenue Bonds|SEWAGE REVENUE BONDS 2012|190000.00|190000.00 2022|DeKalb|17|3|0436|2|GARRETT CIVIL CITY|2|17-003.00|29068|Wastewater Utility|WASTEWATER|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS OF 2013|2610000.00|200000.00 2022|DeKalb|17|3|0436|2|GARRETT CIVIL CITY|2|17-003.00|29069|Water Utility|WATER|2|Revenue Bonds|WATER TOWER CONSTRUCTION/MAIN EXTENSIONS 2004|175000.00|55000.00 2022|DeKalb|17|3|0460|2|BUTLER CIVIL CITY|2|17-002.00|29072|Fund 6201|WASTEWATER|2|Revenue Bonds|2021 SRF Bonds|8065000.00|332000.00 2022|DeKalb|17|3|0460|2|BUTLER CIVIL CITY|2|17-002.00|29072|Fund 6201|WASTEWATER|2|Revenue Bonds|2022 WW SW Bonds|3110000.00|60000.00 2022|DeKalb|17|3|0460|2|BUTLER CIVIL CITY|2|17-002.00|29073|Fund 6101|WATER|2|Revenue Bonds|Water Bond Issue 2013|875000.00|65000.00 2022|DeKalb|17|3|0460|2|BUTLER CIVIL CITY|2|17-002.00|29073|Fund 6101|WATER|2|Revenue Bonds|water utility improvements|206400.00|46800.00 2022|DeKalb|17|3|0587|2|CORUNNA CIVIL TOWN|3|17-005.00|29671|operation|water utlity|1|General Obligation Bonds|water system|63600.00|7000.00 2022|DeKalb|17|3|0590|2|WATERLOO CIVIL TOWN|3|17-007.00|0||Governmental Activities|1|General Obligation Bonds|tif|1516587.67|161546.64 2022|DeKalb|17|3|0590|2|WATERLOO CIVIL TOWN|3|17-007.00|29076||WATER|1|General Obligation Bonds|Water Improvements|54100.75|54100.75 2022|DeKalb|17|4|1805||DEKALB COUNTY EASTERN COMM SCHOOL CORPORATION|5|17-024.00|0||Governmental Activities|1|General Obligation Bonds|2020 General Obligation Bonds|| 2022|DeKalb|17|4|1805||DEKALB COUNTY EASTERN COMM SCHOOL CORPORATION|5|17-024.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Indiana Bond Bank|| 2022|DeKalb|17|4|1820||GARRETT-KEYSER-BUTLER COMMUNITY SCHOOL CORPORATION|5|17-025.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2019 Apple|| 2022|DeKalb|17|4|1820||GARRETT-KEYSER-BUTLER COMMUNITY SCHOOL CORPORATION|5|17-025.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2021 Apple|| 2022|DeKalb|17|4|1835||DEKALB COUNTY CENTRAL UNITED SCHOOL CORPORATION|5|17-023.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bond for JRW|| 2022|DeKalb|17|4|1835||DEKALB COUNTY CENTRAL UNITED SCHOOL CORPORATION|5|17-023.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO Bond for DMS/DHS|| 2022|DeKalb|17|5|0038|2|GARRETT PUBLIC LIBRARY|6|17-028.00|0||Governmental Activities|1|General Obligation Bonds|Construction|445000.00|140000.00 2022|DeKalb|17|5|0039|2|WATERLOO PUBLIC LIBRARY|6|17-029.00|0||Governmental Activities|1|General Obligation Bonds|Addition/renovation|435000.00|56488.00 2022|DeKalb|17|6|0032|2|ST JOE SPENCERVILLE REG. SEWER DIST|21|17-032.00|29645|Waster Water Treatment Plant|Waste Water|10|Notes and Loans Payable - Long Term|New Building at Plant|58878.41|19400.00 2022|DeKalb|17|6|0994||NORTHEAST INDIANA SOLID WASTE MANAGEMENT|16|17-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|EQUIPMENT PURCHASES|| 2022|DeKalb|17|6|1103|2|DeKalb County Airport Authority|25|17-034.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Hangar Refinance|.00| 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Bell Perch Bond|175000.00|35000.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Daleville 2015|3623100.00|185800.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Delaware County Justice Center EDIT 2019|47676000.00|3259000.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|EDIT 2014|3850000.00|245000.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Fountain Square A|22934399.00|.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Fountain Square B|6621247.00|.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Morrison Rd. Area 2021|4541000.00|370000.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Morrison Rd. Area 2021|5208000.00|.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Nebo Land Partners Project|1995000.00|120000.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Park & New Brevini 2021|2565000.00|260000.00 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|PRL 2015|1888889.75|188888.89 2022|Delaware|18|1|0000|2|DELAWARE COUNTY|1|18-000.00|0||Governmental Activities|1|General Obligation Bonds|Twoson Park Twoson Mursix 2014|3395000.00|205000.00 2022|Delaware|18|2|0005|2|LIBERTY TOWNSHIP|7|18-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2017 E-1 Tanker Fire Truck Loan First Merchants Bank|60107.00|60110.00 2022|Delaware|18|2|0006|2|MONROE TOWNSHIP|7|18-013.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|FIRE TRUCK|404915.06|97084.85 2022|Delaware|18|2|0007||MT. PLEASANT TOWNSHIP|7||0||Governmental Activities|1|General Obligation Bonds|Fire Department Building|| 2022|Delaware|18|2|0010|2|SALEM TOWNSHIP|7|18-017.00|0||Governmental Activities|5|Lines of Credit|Credit Card through First Merchants Bank|.00| 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Police Vehicles|284766.20|182233.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Downtown Facade 2013|166582.42|137877.33 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Bonds, Series 2014 A (Horizon Center Garage Project)|12945000.00|595000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Income Tax Revenue Bonds 2013|1160000.00|375000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2019A(MAP/ Hillcroft Projects)|3480000.00|225000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2019B(Canal District/ Accutech Projects))|7072390.00|335000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2014 (MAP Muncie North, LLC)|.00|.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Revenue Bonds, Series 2015 (Hillcroft Services, Inc Project)|.00|.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|INDIANA PARK DISTRICT BONDS FOR TUHEY POOL|1100000.00|110000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|INDIANA STAMPING PROJECT|307689.10|4017.04 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|LEASE RENTAL REVENUE REFUNDING BONDS 2012|.00|.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tav Increment Revenue Bond Series 2022|3415000.00|15000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bonds of 2014|4500000.00|535000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2019C(Madjax/Cardinal Projects)|8870000.00|290000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|Bond Anticipation Notes, Series 2019|.00|.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|SANITARY DISTRICT REFUNDING REVENUE BONDS SERIES 2021C|1220000.00|.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|Sanitary District Refunding Revenue Bonds, Series 2017|5890000.00|1425000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|SANITARY DISTRICT REVENUE & REFUNDING REVENUE BONDS SERIES 2021A|43375000.00|2750000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|SANITARY DISTRICT REVENUE & REFUNDING REVENUE BONDS SERIES 2021B|40785000.00|120000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|SANITARY DISTRICT REVENUE & REVENUE BOND, SERIES 2013|.00|.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|SANITARY DISTRICT REVENUE BOND, SERIES 2016A|57410000.00|1280000.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|SANITARY DISTRICT REVENUE BONDS SERIES 2013 B|.00|.00 2022|Delaware|18|3|0107|2|MUNCIE CIVIL CITY|2|18-001.00|29077||WASTEWATER|2|Revenue Bonds|SANITARY REVENUE, SERIES 2014|.00|.00 2022|Delaware|18|3|0591|2|ALBANY CIVIL TOWN|3|18-002.00|29078|Town maintains storm water system that enables us to separate storm water from wastewater.|STORM WATER|2|Revenue Bonds|Storm Water Revenue Bonds|895000.00|100000.00 2022|Delaware|18|3|0591|2|ALBANY CIVIL TOWN|3|18-002.00|29080|Town maintains a wastwater system for town residents.|WASTEWATER|2|Revenue Bonds|Sewage Revenue Bonds|1700000.00|200000.00 2022|Delaware|18|3|0591|2|ALBANY CIVIL TOWN|3|18-002.00|29080|Town maintains a wastwater system for town residents.|WASTEWATER|2|Revenue Bonds|Sewage Revenue Bonds RD|4499000.00|90000.00 2022|Delaware|18|3|0591|2|ALBANY CIVIL TOWN|3|18-002.00|29081|Town maintains a drinking water system for town residents.|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2011|2554000.00|65000.00 2022|Delaware|18|3|0592|2|EATON CIVIL TOWN|3|18-003.00|0||Governmental Activities|1|General Obligation Bonds|2019 Project Fund|240785.89|28000.00 2022|Delaware|18|3|0592|2|EATON CIVIL TOWN|3|18-003.00|29083||WATER|15|Other - Short Term|WATERWORKS BOND ANTCIPATION NOTE|1900000.00| 2022|Delaware|18|3|0592|2|EATON CIVIL TOWN|3|18-003.00|29082||WASTEWATER|2|Revenue Bonds|SEWAGE WORKS SERIES 2020A|8630000.00|178000.00 2022|Delaware|18|3|0592|2|EATON CIVIL TOWN|3|18-003.00|29082||WASTEWATER|2|Revenue Bonds|SEWAGE WORKS SERIES 2020B|3406000.00|70000.00 2022|Delaware|18|3|0593|2|GASTON CIVIL TOWN|3|18-004.00|30276|water plant|water plant|10|Notes and Loans Payable - Long Term|water project|473000.00|10000.00 2022|Delaware|18|3|0593|2|GASTON CIVIL TOWN|3|18-004.00|30282|sewer plant|sewer plant|10|Notes and Loans Payable - Long Term|sewer project|1174000.00|23000.00 2022|Delaware|18|3|0594|2|SELMA CIVIL TOWN|3|18-005.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Police Vehicle Purchase|7764.00| 2022|Delaware|18|3|0594|2|SELMA CIVIL TOWN|3|18-005.00|0||Governmental Activities|2|Revenue Bonds|Storm Water Revenue Bond|70376.70|20000.00 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|0||Governmental Activities|1|General Obligation Bonds|GO Refunding Bonds of 2019 (Ref. 2008 Bonds)|745000.00|130000.00 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|0||Governmental Activities|1|General Obligation Bonds|Redev Refunding Bonds of 2019 (Ref. 2009 Bonds)|645000.00|90000.00 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Snow Plows 2017|17472.16|17472.16 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|0||Governmental Activities|2|Revenue Bonds|General Revenue Bonds of 2022 (Roundabout Project)|758000.00|132000.00 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Revenue Bonds of 2021A Rebar Project|1913000.00|187000.00 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Revenue Bonds of 2021B Rebar Project|360000.00|30000.00 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|30049|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2017|1600000.00|230000.00 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|30049|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|9636000.00|278000.00 2022|Delaware|18|3|0595|2|YORKTOWN CIVIL TOWN|3|18-006.00|30050|Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2014|969000.00|68000.00 2022|Delaware|18|3|0963|2|DALEVILLE CIVIL TOWN|3|18-007.00|30052|Utility of the Town|WATER|10|Notes and Loans Payable - Long Term|Water Meter Purchase & Equipment|21037.89|21037.89 2022|Delaware|18|3|0963|2|DALEVILLE CIVIL TOWN|3|18-007.00|30051|Part of the Town Water Utility|STORM WATER|2|Revenue Bonds|STORMWATER SYSTEM IMPROVEMENTS AND COSTS OF ISSUEANCE|1038000.00|1038000.00 2022|Delaware|18|4|1875||DELAWARE COMMUNITY SCHOOL CORPORATION|5|18-024.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO Bond|| 2022|Delaware|18|4|1875||DELAWARE COMMUNITY SCHOOL CORPORATION|5|18-024.00|0||Governmental Activities|1|General Obligation Bonds|Pension Severance Buyout|| 2022|Delaware|18|4|1885||WES-DEL COMMUNITY SCHOOL CORPORATION|5|18-020.00|0||Governmental Activities|1|General Obligation Bonds|Construction|| 2022|Delaware|18|4|1885||WES-DEL COMMUNITY SCHOOL CORPORATION|5|18-020.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental|| 2022|Delaware|18|4|1895||LIBERTY-PERRY COMMUNITY SCHOOL CORPORATION|5|18-021.00|0||Governmental Activities|1|General Obligation Bonds|pension|| 2022|Delaware|18|4|1900||COWAN COMMUNITY SCHOOL CORPORATION|5|18-026.00|0||Governmental Activities|14|Other - Long Term|Common School Loan # A0518|| 2022|Delaware|18|4|1900||COWAN COMMUNITY SCHOOL CORPORATION|5|18-026.00|0||Governmental Activities|14|Other - Long Term|Common School Loan #B0262|| 2022|Delaware|18|4|1900||COWAN COMMUNITY SCHOOL CORPORATION|5|18-026.00|0||Governmental Activities|14|Other - Long Term|Common School Loan #B0324|| 2022|Delaware|18|4|1900||COWAN COMMUNITY SCHOOL CORPORATION|5|18-026.00|0||Governmental Activities|14|Other - Long Term|Common School Loan #C0011|| 2022|Delaware|18|4|1910||YORKTOWN COMMUNITY SCHOOLS|5|18-022.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds of 2021 - Renovation/Addition to YES|| 2022|Delaware|18|4|1910||YORKTOWN COMMUNITY SCHOOLS|5|18-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|CSF Loan #A1964 - Technology Advancement|| 2022|Delaware|18|4|1910||YORKTOWN COMMUNITY SCHOOLS|5|18-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|CSF Loan #A2800 - Technology Advancement|| 2022|Delaware|18|4|1910||YORKTOWN COMMUNITY SCHOOLS|5|18-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|CSF Loan #A2880 - Technology Advancement|| 2022|Delaware|18|4|1910||YORKTOWN COMMUNITY SCHOOLS|5|18-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|CSF Loan #B0034 - Technology Advancement|| 2022|Delaware|18|4|1910||YORKTOWN COMMUNITY SCHOOLS|5|18-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|CSF Loan #B0080 - Technology Advancement|| 2022|Delaware|18|4|1910||YORKTOWN COMMUNITY SCHOOLS|5|18-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|CSF Loan #B0180 - Technology Advancement|| 2022|Delaware|18|4|1940||DALEVILLE COMMUNITY SCHOOLS|5|18-025.00|0||Governmental Activities|1|General Obligation Bonds|CONSTRUCTION - 0700-2019|| 2022|Delaware|18|4|1940||DALEVILLE COMMUNITY SCHOOLS|5|18-025.00|0||Governmental Activities|1|General Obligation Bonds|CONSTRUCTION - 0701-2021|| 2022|Delaware|18|4|1940||DALEVILLE COMMUNITY SCHOOLS|5|18-025.00|0||Governmental Activities|14|Other - Long Term|FIRST MORTGAGE REFUNDING BONDS, SERIES 2015|| 2022|Delaware|18|4|1970||MUNCIE COMMUNITY SCHOOL CORPORATION|5|18-023.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2014|| 2022|Delaware|18|4|1970||MUNCIE COMMUNITY SCHOOL CORPORATION|5|18-023.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0158 $ 400,000 - 2020|| 2022|Delaware|18|5|0040||MUNCIE PUBLIC LIBRARY|6|18-027.00|0||Governmental Activities|1|General Obligation Bonds|Building renovation|| 2022|Delaware|18|5|0041|2|YORKTOWN - MT PLEASANT LIBRARY|6|18-042.00|0||Governmental Activities|1|General Obligation Bonds|Building addition and remodeling project|29124.41|164562.50 2022|Delaware|18|6|0029|2|DELAWARE REGIONAL WASTEWATER DISTRI|21|18-029.00|29756|Regional Wastewater District|Wastewater|10|Notes and Loans Payable - Long Term|TANGLEWOOD PROJECT LOAN|116936.77|11531.00 2022|Delaware|18|6|0029|2|DELAWARE REGIONAL WASTEWATER DISTRI|21|18-029.00|29756|Regional Wastewater District|Wastewater|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS OF 2009 (2020 REISSUED BONDS)|957023.00|145001.00 2022|Delaware|18|6|0029|2|DELAWARE REGIONAL WASTEWATER DISTRI|21|18-029.00|29756|Regional Wastewater District|Wastewater|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS OF 2012, SERIES A|750000.00|1000.00 2022|Delaware|18|6|0029|2|DELAWARE REGIONAL WASTEWATER DISTRI|21|18-029.00|29756|Regional Wastewater District|Wastewater|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS OF 2020, SERIES A|4192000.00|1000.00 2022|Delaware|18|6|0029|2|DELAWARE REGIONAL WASTEWATER DISTRI|21|18-029.00|29756|Regional Wastewater District|Wastewater|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS OF 2020, SERIES B|729000.00|34000.00 2022|Delaware|18|6|0030|2|LIBERTY REGIONAL WASTEWATER DISTRIC|21|18-030.00|29615|This is a wastewater/sewage business|WASTEWATER|2|Revenue Bonds|2001 Construction Bond|.00|.00 2022|Delaware|18|6|0030|2|LIBERTY REGIONAL WASTEWATER DISTRIC|21|18-030.00|29615|This is a wastewater/sewage business|WASTEWATER|2|Revenue Bonds|2004 Construction Bond|34000.00|17000.00 2022|Delaware|18|6|0030|2|LIBERTY REGIONAL WASTEWATER DISTRIC|21|18-030.00|29615|This is a wastewater/sewage business|WASTEWATER|2|Revenue Bonds|2010 Re-Construction and Maintanence|1723000.00|180000.00 2022|Delaware|18|6|0030|2|LIBERTY REGIONAL WASTEWATER DISTRIC|21|18-030.00|29615|This is a wastewater/sewage business|WASTEWATER|2|Revenue Bonds|2015 Construction Bond|689000.00|47000.00 2022|Delaware|18|6|0038||DELAWARE CO CONVENTION AND VISITOR BURE|39|18-038.00|0||Governmental Activities|2|Revenue Bonds|Economic Development|| 2022|Delaware|18|6|0956|2|DELAWARE AIRPORT|25|18-039.00|0||Governmental Activities|15|Other - Short Term|Hangar construction|471058.33| 2022|Dubois|19|1|0000|2|DUBOIS COUNTY|1|19-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|BodyWorn and Rocket IoT In Car Cameras - Govt Obligation Contract|84260.00|42130.00 2022|Dubois|19|1|0000|2|DUBOIS COUNTY|1|19-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Distressed Road Loan|1000000.00|1000000.00 2022|Dubois|19|1|0000|2|DUBOIS COUNTY|1|19-000.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds, Series 2021|22605000.00|.00 2022|Dubois|19|2|0003|2|CASS TOWNSHIP|7|19-015.00|0||Governmental Activities|1|General Obligation Bonds|Purchase of Fire Truck|57008.22|28206.37 2022|Dubois|19|2|0012|2|PATOKA TOWNSHIP|7|19-024.00|0||Governmental Activities|1|General Obligation Bonds|Fire Truck|137455.78|27921.58 2022|Dubois|19|3|0405|2|JASPER CIVIL CITY|2|19-002.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond, Series 2022|3350000.00|615000.00 2022|Dubois|19|3|0405|2|JASPER CIVIL CITY|2|19-002.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Incremenmt Revenue Bonds, Series 2019A-2(River Centre Inc Project)|438000.00|11000.00 2022|Dubois|19|3|0405|2|JASPER CIVIL CITY|2|19-002.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2019A-1 (River Centre Inc Project)|3722000.00|105000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|30058|Wastewater Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|Electric Cash Reserve Loan|1158000.00|5000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|30058|Wastewater Utility|WASTEWATER|14|Other - Long Term|Taxable Sewage Works Revenue Bonds Anticipation Note of 2020-BOKF|2065500.00|2065500.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|0||Governmental Activities|2|Revenue Bonds|Huntingburg Economic Development -Series A NW TIF Farbest 400W|2749000.00|196000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|0||Governmental Activities|2|Revenue Bonds|Huntingburg Economic Development -Series B OFS TIF Farbest 400 W|115000.00|20000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|0||Governmental Activities|2|Revenue Bonds|Series A - TIF Projects|630000.00|25000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|0||Governmental Activities|2|Revenue Bonds|Series B - TIF Projects|2050000.00|120000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds (OFS Project)|14875900.00|328900.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds of 2021 (Farbest Project)|928000.00|.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|30058|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2015-GAB|730000.00|290000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|30058|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2010|550000.00|65000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|30058|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewer Works Revenue Bond of 2016-ONB|1200000.00|50000.00 2022|Dubois|19|3|0434|2|HUNTINGBURG CIVIL CITY|2|19-001.00|30059|Water Utility|WATER|2|Revenue Bonds|Waterworks Refunding and Revenue Bond of 2019-SRF|7846000.00|314000.00 2022|Dubois|19|3|0597|2|FERDINAND CIVIL TOWN|3|19-004.00|30064|Provide sewers to customers|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2014|1970000.00|120000.00 2022|Dubois|19|3|0597|2|FERDINAND CIVIL TOWN|3|19-004.00|30064|Provide sewers to customers|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2016|1040000.00|22000.00 2022|Dubois|19|3|0598|2|HOLLAND CIVIL TOWN|3|19-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Inter-Local Loan Agreement (Dubois County)|37271.69|.00 2022|Dubois|19|3|0598|2|HOLLAND CIVIL TOWN|3|19-005.00|30066||WASTEWATER|10|Notes and Loans Payable - Long Term|1998 USDA Rural Development Laon|.00|.00 2022|Dubois|19|3|0598|2|HOLLAND CIVIL TOWN|3|19-005.00|30066||WASTEWATER|5|Lines of Credit|3-year Bank Loan|70000.00| 2022|Dubois|19|4|2040||NORTHEAST DUBOIS COUNTY SCHOOL CORPORATION|5|19-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Pension Bond|| 2022|Dubois|19|4|2100||SOUTHEAST DUBOIS COUNTY SCHOOL CORPORATION|5|19-009.00|0||Governmental Activities|14|Other - Long Term|Centralized Printing Common School Loan|| 2022|Dubois|19|4|2100||SOUTHEAST DUBOIS COUNTY SCHOOL CORPORATION|5|19-009.00|0||Governmental Activities|14|Other - Long Term|Chromebook Common School Loan|| 2022|Dubois|19|4|2110||SOUTHWEST DUBOIS COUNTY SCHOOL CORPORATION|5|19-008.00|0||Governmental Activities|1|General Obligation Bonds|Retirement/Severence Bonds|| 2022|Dubois|19|4|2110||SOUTHWEST DUBOIS COUNTY SCHOOL CORPORATION|5|19-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2010 Common School - Middle/High School Project|| 2022|Dubois|19|5|0043|2|DUBOIS COUNTY CONTRACTUAL LIBRARY|6|19-012.00|0||Governmental Activities|1|General Obligation Bonds|Refunding & Improvement 2020 - new money|165000.00|25000.00 2022|Dubois|19|5|0043|2|DUBOIS COUNTY CONTRACTUAL LIBRARY|6|19-012.00|0||Governmental Activities|1|General Obligation Bonds|Refunding & Improvement 2020 - refunding|1635000.00|285000.00 2022|Dubois|19|6|0025|2|PATOKA LAKE REG. WATER & WASTEWATER|20|19-025.00|29994|Provide water treatment and distribution services|Water|2|Revenue Bonds|2012 Series A Waterworks Refunding Revenue Bonds|145000.00|145000.00 2022|Dubois|19|6|0025|2|PATOKA LAKE REG. WATER & WASTEWATER|20|19-025.00|29994|Provide water treatment and distribution services|Water|2|Revenue Bonds|2012 Series B Waterworks Refunding Revenue Bonds|1975000.00|.00 2022|Dubois|19|6|0025|2|PATOKA LAKE REG. WATER & WASTEWATER|20|19-025.00|29994|Provide water treatment and distribution services|Water|2|Revenue Bonds|2013 Waterworks Revenue Bonds|.00|.00 2022|Dubois|19|6|0025|2|PATOKA LAKE REG. WATER & WASTEWATER|20|19-025.00|29994|Provide water treatment and distribution services|Water|2|Revenue Bonds|2014 Series A Waterwroks Revenue Bonds|1270000.00|415000.00 2022|Dubois|19|6|0025|2|PATOKA LAKE REG. WATER & WASTEWATER|20|19-025.00|29994|Provide water treatment and distribution services|Water|2|Revenue Bonds|2014 Series B Waterworks Revenue Bonds|.00|.00 2022|Dubois|19|6|0025|2|PATOKA LAKE REG. WATER & WASTEWATER|20|19-025.00|29994|Provide water treatment and distribution services|Water|2|Revenue Bonds|2019 Waterworks Refunding Revenue Bonds|23315000.00|610000.00 2022|Dubois|19|6|0025|2|PATOKA LAKE REG. WATER & WASTEWATER|20|19-025.00|29994|Provide water treatment and distribution services|Water|2|Revenue Bonds|2021 Waterworks Refunding Revenue Bonds|10745000.00|285000.00 2022|Dubois|19|6|0025|2|PATOKA LAKE REG. WATER & WASTEWATER|20|19-025.00|29994|Provide water treatment and distribution services|Water|2|Revenue Bonds|2021 Waterworks Refunding Revenue Bonds RD Guarantee|545000.00|30000.00 2022|Dubois|19|7|0080|2|IRELAND-MADISON TWP CONSERVANCY|27|19-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Construction of Sewer|214298.00|24100.00 2022|Dubois|19|8|0104|2|Huntingburg Redevelopment Authority|36|19-040.00|0||Governmental Activities|14|Other - Long Term|Huntingburg Redevelopment Authority - Economic Development Lease Rental Bonds of 2015|2160000.00|90000.00 2022|Elkhart|20|1|0000|2|ELKHART COUNTY|1|20-000.00|0||Governmental Activities|1|General Obligation Bonds|Huntington National Bank - Correctional Complex, Series 2014 ($12,335,000)|2690000.00|.00 2022|Elkhart|20|1|0000|2|ELKHART COUNTY|1|20-000.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Taxable Bonds, Series 2015 (Northeast Corridor TIF) ($1,675,000), BI #7019|1300000.00|35000.00 2022|Elkhart|20|1|0000|2|ELKHART COUNTY|1|20-000.00|0||Governmental Activities|1|General Obligation Bonds|Regions - Northwest Gateway BI #9233. Series 2018|890000.00|30000.00 2022|Elkhart|20|1|0000|2|ELKHART COUNTY|1|20-000.00|0||Governmental Activities|1|General Obligation Bonds|Regions Corrections Complex BI #6857, Series 2015|8850000.00|200000.00 2022|Elkhart|20|1|0000|2|ELKHART COUNTY|1|20-000.00|0||Governmental Activities|1|General Obligation Bonds|Regions Corrections Complex BI #7918, Series 2016|5000000.00|5000000.00 2022|Elkhart|20|1|0000|2|ELKHART COUNTY|1|20-000.00|0||Governmental Activities|1|General Obligation Bonds|Regions Corrections Complex BI #8710, Series 2017|8185000.00|810000.00 2022|Elkhart|20|1|0000|2|ELKHART COUNTY|1|20-000.00|0||Governmental Activities|1|General Obligation Bonds|Regions Criminal Justice Facility Bonds Series, 2020|35406363.45|.00 2022|Elkhart|20|1|0000|2|ELKHART COUNTY|1|20-000.00|0||Governmental Activities|2|Revenue Bonds|Regions New Combined Courthouse Project|44540000.00|.00 2022|Elkhart|20|2|0003|2|CLEVELAND TOWNSHIP|7|20-023.00|0||Governmental Activities|1|General Obligation Bonds|new fire station|2466065.00|295000.00 2022|Elkhart|20|2|0003|2|CLEVELAND TOWNSHIP|7|20-023.00|0||Governmental Activities|1|General Obligation Bonds|new Pierce Contender Rescue truck|842000.00|69209.08 2022|Elkhart|20|2|0005||CONCORD TOWNSHIP|7|20-025.00|0||Governmental Activities|1|General Obligation Bonds|0|| 2022|Elkhart|20|2|0005||CONCORD TOWNSHIP|7|20-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|0|| 2022|Elkhart|20|2|0005||CONCORD TOWNSHIP|7|20-025.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|0|| 2022|Elkhart|20|2|0005||CONCORD TOWNSHIP|7|20-025.00|0||Governmental Activities|14|Other - Long Term|0|| 2022|Elkhart|20|2|0005||CONCORD TOWNSHIP|7|20-025.00|0||Governmental Activities|2|Revenue Bonds|0|| 2022|Elkhart|20|2|0005||CONCORD TOWNSHIP|7|20-025.00|0||Governmental Activities|5|Lines of Credit|0|| 2022|Elkhart|20|2|0011|2|MIDDLEBURY TOWNSHIP|7|20-031.00|0||Governmental Activities|1|General Obligation Bonds|BUILDING LOAN|2100000.00|150000.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bond, Series 2017|4795000.00|290000.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|0||Governmental Activities|2|Revenue Bonds|Park District Refunding Bonds, Series 2019|4380000.00|555000.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|0||Governmental Activities|2|Revenue Bonds|Special Taxing District Refunding 2015 A|.00|.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|0||Governmental Activities|2|Revenue Bonds|Special Taxing District Refunding Bonds of 2012|.00|.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|0||Governmental Activities|2|Revenue Bonds|TIF 2015|6495000.00|410000.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|30071|PUBLIC WORKS & UTILITIES|WASTEWATER|2|Revenue Bonds|2010 Revenue Bonds Series A EPA Brownfield|227250.00|30300.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|30071|PUBLIC WORKS & UTILITIES|WASTEWATER|2|Revenue Bonds|2010 Revenue Bonds Series B EPA Brownfield|340875.00|45450.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|30071|PUBLIC WORKS & UTILITIES|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2021|4795000.00|560000.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|30071|PUBLIC WORKS & UTILITIES|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2021|31900000.00|596000.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|30071|PUBLIC WORKS & UTILITIES|WASTEWATER|2|Revenue Bonds|Sewage Works SRF Loan of 2009 Series A|.00|.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|30071|PUBLIC WORKS & UTILITIES|WASTEWATER|2|Revenue Bonds|Sewage Works SRF Loan of 2009 Series B|.00|.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|30071|PUBLIC WORKS & UTILITIES|WASTEWATER|2|Revenue Bonds|Sewage Works SRF Loan of 2009 Series D|.00|.00 2022|Elkhart|20|3|0112|2|ELKHART CIVIL CITY|2|20-001.00|30071|PUBLIC WORKS & UTILITIES|WASTEWATER|2|Revenue Bonds|Sewage Works SRF Loan of 2014|14084781.00|1049562.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATION BONDS OF 2021|2825000.00|315000.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|AVIATION MORTGAGE|121204.00|15766.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|0||Governmental Activities|2|Revenue Bonds|LEASE RENTAL REFUNDING BONDS OF 2015|3440000.00|300000.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT REF BONDS 2015|1255000.00|395000.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|30074|Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2020|17790000.00|1825000.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|30074|Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2010, Series B|237000.00|30000.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|30074|Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2010, Series C|397000.00|45000.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|30074|Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|22990000.00|1035000.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|30075|Water|WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2005|.00|.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|30075|Water|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2009|240411.00|240411.00 2022|Elkhart|20|3|0305|2|GOSHEN CIVIL CITY|2|20-002.00|30075|Water|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2016|4835000.00|315000.00 2022|Elkhart|20|3|0444|2|NAPPANEE CIVIL CITY|2|20-003.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds of 2015|870000.00|35000.00 2022|Elkhart|20|3|0444|2|NAPPANEE CIVIL CITY|2|20-003.00|30077|Utility|WASTEWATER|2|Revenue Bonds|Taxable Sewage Works Revenue and Refunding Revenue Bonds of 2016, Series A|8115000.00|179000.00 2022|Elkhart|20|3|0444|2|NAPPANEE CIVIL CITY|2|20-003.00|30077|Utility|WASTEWATER|2|Revenue Bonds|Taxable Sewage Works Revenue and Refunding Revenue Bonds of 2016, Series B|5722000.00|126000.00 2022|Elkhart|20|3|0444|2|NAPPANEE CIVIL CITY|2|20-003.00|30077|Utility|WASTEWATER|2|Revenue Bonds|Taxable Sewage Works Revenue and Refunding Revenue Bonds of 2016, Series C|1785000.00|40000.00 2022|Elkhart|20|3|0444|2|NAPPANEE CIVIL CITY|2|20-003.00|30078|Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2018|2093850.00|126900.00 2022|Elkhart|20|3|0444|2|NAPPANEE CIVIL CITY|2|20-003.00|30078|Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2020, Series A|1136000.00|50000.00 2022|Elkhart|20|3|0444|2|NAPPANEE CIVIL CITY|2|20-003.00|30078|Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2020, Series B|4290000.00|130000.00 2022|Elkhart|20|3|0599|2|BRISTOL CIVIL TOWN|3|20-004.00|0||Governmental Activities|1|General Obligation Bonds|Refinance the Town's outstanding loan for the municipal complex facility/Gen Rev Bonds of 2021|2082000.00|219000.00 2022|Elkhart|20|3|0599|2|BRISTOL CIVIL TOWN|3|20-004.00|30079|sewer|WASTEWATER|1|General Obligation Bonds|Sewer Works BAN|.00|.00 2022|Elkhart|20|3|0599|2|BRISTOL CIVIL TOWN|3|20-004.00|30080|water|WATER|1|General Obligation Bonds|Water Works BAN|.00|.00 2022|Elkhart|20|3|0599|2|BRISTOL CIVIL TOWN|3|20-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Major Moves Loan - Elkhart County loan|1212099.86|371987.58 2022|Elkhart|20|3|0599|2|BRISTOL CIVIL TOWN|3|20-004.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2021|7200000.00|.00 2022|Elkhart|20|3|0600|2|MIDDLEBURY CIVIL TOWN|3|20-005.00|0||Governmental Activities|1|General Obligation Bonds|Various Town improvements|1265000.00|150000.00 2022|Elkhart|20|3|0600|2|MIDDLEBURY CIVIL TOWN|3|20-005.00|30082|Water Services|WATER|10|Notes and Loans Payable - Long Term|Refund of water treatment plant|2753000.00|372000.00 2022|Elkhart|20|3|0600|2|MIDDLEBURY CIVIL TOWN|3|20-005.00|30081|Wastewater services|WASTEWATER|2|Revenue Bonds|Improvements to WWTP and Lift Stations|10577000.00|710000.00 2022|Elkhart|20|3|0601|2|MILLERSBURG CIVIL TOWN|3|20-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Town Hall and Police Station|213548.75| 2022|Elkhart|20|3|0602|2|WAKARUSA CIVIL TOWN|3|20-007.00|30085|Sewer Waste Service|WASTEWATER|2|Revenue Bonds|WASTEWATER BONDS - CSO PROJECT|670106.81|205515.00 2022|Elkhart|20|4|2155||FAIRFIELD COMMUNITY SCHOOL CORPORATION|5|20-011.00|0||Governmental Activities|1|General Obligation Bonds|2017 - New Paris Renovations|| 2022|Elkhart|20|4|2155||FAIRFIELD COMMUNITY SCHOOL CORPORATION|5|20-011.00|0||Governmental Activities|1|General Obligation Bonds|2019 - Various Maintenance Projects|| 2022|Elkhart|20|4|2155||FAIRFIELD COMMUNITY SCHOOL CORPORATION|5|20-011.00|0||Governmental Activities|1|General Obligation Bonds|2020 - Project 1 FJSHS|| 2022|Elkhart|20|4|2155||FAIRFIELD COMMUNITY SCHOOL CORPORATION|5|20-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2017 & 2019 - Common School Fund Loan|| 2022|Elkhart|20|4|2260||BAUGO COMMUNITY SCHOOL CORPORATION|5|20-008.00|0||Governmental Activities|1|General Obligation Bonds|2019 Facility Repairs,Equipment Purchases|| 2022|Elkhart|20|4|2260||BAUGO COMMUNITY SCHOOL CORPORATION|5|20-008.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Short Term financing for transportation and capital projects|| 2022|Elkhart|20|4|2270||CONCORD COMMUNITY SCHOOL CORPORATION|5|20-009.00|0||Governmental Activities|1|General Obligation Bonds|GOB of 2020|| 2022|Elkhart|20|4|2275||MIDDLEBURY COMMUNITY SCHOOL CORPORATION|5|20-013.00|0||Governmental Activities|1|General Obligation Bonds|2020 Go Bond - NHS Pool/Tech Infrastructure and Tech Refresh|| 2022|Elkhart|20|4|2275||MIDDLEBURY COMMUNITY SCHOOL CORPORATION|5|20-013.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO Bond - NHS Classroom Additions|| 2022|Elkhart|20|4|2285||WA-NEE COMMUNITY SCHOOL CORPORATION|5|20-014.00|0||Governmental Activities|1|General Obligation Bonds|Various Maintenance/Construction Projects, HVAC, Lighting, Parking Lots, Etc.|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|1|General Obligation Bonds|To fund the buyout of retirement benefits for certified and administrative staff.|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (A1969)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (A2846)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (A2887)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (A2904)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (A2939)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (A2982)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0004)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0042)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0084)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0097)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0141)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0186)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0191)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0226)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0263)|| 2022|Elkhart|20|4|2305||ELKHART COMMUNITY SCHOOL CORPORATION|5|20-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund loan to finance technology purchases (B0274)|| 2022|Elkhart|20|4|2315||GOSHEN COMMUNITY SCHOOL CORPORATION|5|20-012.00|0||Governmental Activities|1|General Obligation Bonds|GOB 2019|| 2022|Elkhart|20|4|2315||GOSHEN COMMUNITY SCHOOL CORPORATION|5|20-012.00|0||Governmental Activities|1|General Obligation Bonds|GOB 2021|| 2022|Elkhart|20|4|2315||GOSHEN COMMUNITY SCHOOL CORPORATION|5|20-012.00|0||Governmental Activities|1|General Obligation Bonds|GOB 2021B|| 2022|Elkhart|20|4|2315||GOSHEN COMMUNITY SCHOOL CORPORATION|5|20-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A1926|| 2022|Elkhart|20|4|2315||GOSHEN COMMUNITY SCHOOL CORPORATION|5|20-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2697|| 2022|Elkhart|20|4|2315||GOSHEN COMMUNITY SCHOOL CORPORATION|5|20-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2851|| 2022|Elkhart|20|4|2315||GOSHEN COMMUNITY SCHOOL CORPORATION|5|20-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2907|| 2022|Elkhart|20|4|2315||GOSHEN COMMUNITY SCHOOL CORPORATION|5|20-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2944|| 2022|Elkhart|20|5|0045|2|ELKHART PUBLIC LIBRARY|6|20-016.00|0||Governmental Activities|1|General Obligation Bonds|Branch Renovations 2020 - 2021|3267012.51|415000.00 2022|Elkhart|20|5|0045|2|ELKHART PUBLIC LIBRARY|6|20-016.00|0||Governmental Activities|1|General Obligation Bonds|Phase II Renovations Main Library|.00|.00 2022|Elkhart|20|6|0047|2|ELKHART CO REGIONAL SEWER DISTRICT|21|20-047.00|30271||Elkhart County Regional Sewer District|2|Revenue Bonds|Rural Development Infrastructure Construction|.00|.00 2022|Elkhart|20|6|0047|2|ELKHART CO REGIONAL SEWER DISTRICT|21|20-047.00|30271||Elkhart County Regional Sewer District|2|Revenue Bonds|Sewage Works Refunding|1142000.00|36000.00 2022|Fayette|21|1|0000|2|FAYETTE COUNTY|1|21-000.00|0||Governmental Activities|1|General Obligation Bonds|Courthouse Renovation and Addition, Series 2020|2890000.00|565000.00 2022|Fayette|21|3|0304|2|CONNERSVILLE CIVIL CITY|2|21-001.00|0||Governmental Activities|2|Revenue Bonds|2013 Bond to Construct Community Swimming Pool|217000.00|107000.00 2022|Fayette|21|3|0304|2|CONNERSVILLE CIVIL CITY|2|21-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2013|2135000.00|135000.00 2022|Fayette|21|3|0304|2|CONNERSVILLE CIVIL CITY|2|21-001.00|30089||STORM WATER|2|Revenue Bonds|Storm Water Revenue of 2022, Series A|12531000.00|.00 2022|Fayette|21|3|0304|2|CONNERSVILLE CIVIL CITY|2|21-001.00|30090||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2009, SRF Series A|2147000.00|233000.00 2022|Fayette|21|3|0304|2|CONNERSVILLE CIVIL CITY|2|21-001.00|30090||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2018|4754000.00|145000.00 2022|Fayette|21|3|0304|2|CONNERSVILLE CIVIL CITY|2|21-001.00|30090||WASTEWATER|2|Revenue Bonds|Swage Works Revenue Bonds of 2022|6320000.00|.00 2022|Fayette|21|3|0304|2|CONNERSVILLE CIVIL CITY|2|21-001.00|30091||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2013|1505000.00|490000.00 2022|Fayette|21|4|2395||FAYETTE COUNTY SCHOOL CORPORATION|5|21-011.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond of 2017|| 2022|Fayette|21|4|2395||FAYETTE COUNTY SCHOOL CORPORATION|5|21-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan|| 2022|Fayette|21|6|0015|2|EVERTON REGIONAL SEWER DISTRICT|21|21-015.00|30042|Wastewater Utility|Wastewater Utility|2|Revenue Bonds|Construction of collection system|1173305.77|67185.57 2022|Floyd|22|1|0000|2|FLOYD COUNTY|1|22-000.00|0||Governmental Activities|1|General Obligation Bonds|Bridge Bond|35000.00|35000.00 2022|Floyd|22|1|0000|2|FLOYD COUNTY|1|22-000.00|0||Governmental Activities|1|General Obligation Bonds|County Bridge Improvements Bonds Series 2015|1475000.00|90000.00 2022|Floyd|22|1|0000|2|FLOYD COUNTY|1|22-000.00|0||Governmental Activities|1|General Obligation Bonds|Parks Department Bond|875000.00|65000.00 2022|Floyd|22|1|0000|2|FLOYD COUNTY|1|22-000.00|0||Governmental Activities|1|General Obligation Bonds|Pineview Building Purchase|885000.00|75000.00 2022|Floyd|22|1|0000|2|FLOYD COUNTY|1|22-000.00|0||Governmental Activities|1|General Obligation Bonds|Road Improvement Bond Series 2014|2560000.00|230000.00 2022|Floyd|22|1|0000|2|FLOYD COUNTY|1|22-000.00|0||Governmental Activities|2|Revenue Bonds|Tax increment Revenue Bonds - 2018|615000.00|95000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Firehouse Charlestown Road|2720000.00|580000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Jeep Cherokee|43732.10|7842.97 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Series 2013, NAFS LLC (Firehouse Loan)|2093407.13|355341.05 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|30092|Sewer Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|Timothy Janson Real Estate Contract|750000.00|250000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|2|Revenue Bonds|NARC Installment Purchase Contract (Road Extension Project)|2660970.70|154548.21 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|2|Revenue Bonds|TIF Bonds Series 2015A Coyle Property|740000.00|45000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|2|Revenue Bonds|TIF Bonds Series 2015B Coyle Property|2430000.00|150000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|2|Revenue Bonds|TIF Refunding Bonds Series 2018 A|.00|.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|2|Revenue Bonds|TIF Refunding Bonds Series 2018 B|2175000.00|480000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|0||Governmental Activities|2|Revenue Bonds|TIF Refunding Bonds Series 2018 C|485000.00|155000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|30092|Sewer Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Bonds, Series 2012|3455000.00|295000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|30092|Sewer Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2010 (SRF)|3152000.00|427000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|30092|Sewer Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2014|4350000.00|4350000.00 2022|Floyd|22|3|0116|2|NEW ALBANY CIVIL CITY|2|22-001.00|30092|Sewer Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2016A|13500000.00|.00 2022|Floyd|22|3|0603|2|GEORGETOWN CIVIL TOWN|3|22-002.00|30095|Sewer Service|WASTEWATER|1|General Obligation Bonds|Sewer System|2793630.21|209208.00 2022|Floyd|22|3|0604|2|GREENVILLE CIVIL TOWN|3|22-003.00|29619|PROVIDE WATER SERVICE TO TOWN AND SURROUNDING AREA|GREENVILLE WATER UTILITY|2|Revenue Bonds|Water Tower Construction|804143.00|65000.00 2022|Floyd|22|4|2400||NEW ALBANY-FLOYD COUNTY CONSOLIDATED SCHOOLS|5|22-005.00|0||Governmental Activities|1|General Obligation Bonds|Purchase of land, building improvements, equipment|| 2022|Floyd|22|6|0807|2|NEW ALBANY FLOOD CONTROL|29|22-017.00|0||Governmental Activities|2|Revenue Bonds|District 234 Silver St. real estate|3449876.00|138231.00 2022|Floyd|22|6|0807|2|NEW ALBANY FLOOD CONTROL|29|22-017.00|0||Governmental Activities|2|Revenue Bonds|Ohio River Greenway Extension Parcels|1324273.00|59265.00 2022|Floyd|22|6|1050||FLOYD MEMORIAL HOSPITAL/HEALTH SERVICES|4|22-004.00|0||Governmental Activities|2|Revenue Bonds|2010 Issue|| 2022|Floyd|22|6|1050||FLOYD MEMORIAL HOSPITAL/HEALTH SERVICES|4|22-004.00|0||Governmental Activities|2|Revenue Bonds|2012 Issue|| 2022|Floyd|22|6|1181|2|LAFAYETTE TWP FIRE DISTRICT|18|22-022.00|0||Governmental Activities|1|General Obligation Bonds|To buy new response vehicles, fire apparatus, firefighting equipment, new firehouse addition and renovation|1025593.83|1088852.00 2022|Floyd|22|6|1182|2|NEW ALBANY TWP FIRE DISTRICT|18|22-023.00|0||Governmental Activities|1|General Obligation Bonds|Construction of new fire house|890000.00|120000.00 2022|Floyd|22|8|0005|2|Floyd County Redevelopment Authority|36|22-025.00|0||Governmental Activities|1|General Obligation Bonds|Novaparke Innovation and Technology Bond|9027568.15|353534.38 2022|Floyd|22|9|9320||COMMUNITY MONTESSO|32|22-012.00|0||Governmental Activities|2|Revenue Bonds|Constructing School Building|| 2022|Fountain|23|1|0000|2|FOUNTAIN COUNTY|1|23-000.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Bonds Interest payments|11837500.00|655000.00 2022|Fountain|23|3|0443|2|ATTICA CIVIL CITY|2|23-001.00|0||Governmental Activities|1|General Obligation Bonds|PARK UPGRADES|715000.00|65000.00 2022|Fountain|23|3|0443|2|ATTICA CIVIL CITY|2|23-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|PURCHASE OF STREET LIGHTS|.00| 2022|Fountain|23|3|0443|2|ATTICA CIVIL CITY|2|23-001.00|30098|wastewater disposal|WASTEWATER|2|Revenue Bonds|Debt Service Plus Debt Service Reserve-Municipal Sewer Works|3818000.00|205000.00 2022|Fountain|23|3|0443|2|ATTICA CIVIL CITY|2|23-001.00|30099||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2022A|4833000.00|44935.00 2022|Fountain|23|3|0605|2|HILLSBORO CIVIL TOWN|3|23-003.00|30103|Wastewater|WASTEWATER|1|General Obligation Bonds|SEWER BOND|327839.45|23070.74 2022|Fountain|23|3|0605|2|HILLSBORO CIVIL TOWN|3|23-003.00|30104|Water Utility|WATER|1|General Obligation Bonds|WATER UTILITY BOND|37000.00|12000.00 2022|Fountain|23|3|0606|2|KINGMAN CIVIL TOWN|3|23-004.00|30105||WASTEWATER UTILITY|2|Revenue Bonds|Wastewater System Improvements|777000.00|14000.00 2022|Fountain|23|3|0609|2|VEEDERSBURG CIVIL TOWN|3|23-007.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Bond Issue-Mill Street & Blight Clearance|.00|.00 2022|Fountain|23|3|0609|2|VEEDERSBURG CIVIL TOWN|3|23-007.00|30109|WATER|WATER|1|General Obligation Bonds|Water Utility Upgrade|.00|.00 2022|Fountain|23|3|0609|2|VEEDERSBURG CIVIL TOWN|3|23-007.00|30108|SEWER|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2022|7060000.00|150000.00 2022|Fountain|23|4|2435||ATTICA CONSOLIDATED SCHOOL CORPORATION|5|23-024.00|0||Governmental Activities|1|General Obligation Bonds|Bonds of 2021|| 2022|Fountain|23|4|2435||ATTICA CONSOLIDATED SCHOOL CORPORATION|5|23-024.00|0||Governmental Activities|1|General Obligation Bonds|Elementary|| 2022|Fountain|23|4|2435||ATTICA CONSOLIDATED SCHOOL CORPORATION|5|23-024.00|0||Governmental Activities|1|General Obligation Bonds|Elementary SKG Fund 201|| 2022|Fountain|23|4|2435||ATTICA CONSOLIDATED SCHOOL CORPORATION|5|23-024.00|0||Governmental Activities|1|General Obligation Bonds|Mortgage Bonds Series 2022|| 2022|Fountain|23|4|2435||ATTICA CONSOLIDATED SCHOOL CORPORATION|5|23-024.00|0||Governmental Activities|1|General Obligation Bonds|Q-Bond|| 2022|Fountain|23|4|2440||COVINGTON COMMUNITY SCHOOL CORPORATION|5|23-025.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond of 2018 - Building Improvement|| 2022|Fountain|23|4|2440||COVINGTON COMMUNITY SCHOOL CORPORATION|5|23-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Bldg Corp Lease Rental - Construction|| 2022|Fountain|23|4|2440||COVINGTON COMMUNITY SCHOOL CORPORATION|5|23-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Bldg Corp Lease Rental 2019 - Construction|| 2022|Fountain|23|4|2440||COVINGTON COMMUNITY SCHOOL CORPORATION|5|23-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan - Building Improvement|| 2022|Fountain|23|4|2455||SOUTHEAST FOUNTAIN SCHOOL CORPORATION|5|23-026.00|0||Governmental Activities|1|General Obligation Bonds|FCHS AIR CONDITIONING PROJECT|| 2022|Fountain|23|5|0300|2|ATTICA PUBLIC LIBRARY|6|23-009.00|0||Governmental Activities|1|General Obligation Bonds|Attica Public Library General Obligation Bonds of 2015|277723.25|94799.25 2022|Franklin|24|1|0000|2|FRANKLIN COUNTY|1|24-000.00|0||Governmental Activities|1|General Obligation Bonds|Govermment Center/Courthouse Refinance|655000.00|430000.00 2022|Franklin|24|1|0000|2|FRANKLIN COUNTY|1|24-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Jeff Meyers Ditch Repair|.00| 2022|Franklin|24|1|0000|2|FRANKLIN COUNTY|1|24-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|John Deere Financial|60864.43| 2022|Franklin|24|2|0010||RAY TOWNSHIP|7|24-015.00|0||Governmental Activities|1|General Obligation Bonds|Trustee office|| 2022|Franklin|24|3|0612|2|LAUREL CIVIL TOWN|3|24-003.00|30110|wastewater|WASTEWATER|2|Revenue Bonds|WWTP IMPROVEMENTS|272068.52|197000.00 2022|Franklin|24|3|0952|2|BROOKVILLE CIVIL TOWN|3|24-001.00|0||Governmental Activities|1|General Obligation Bonds|Municipal Facilities Project|1895000.00|80000.00 2022|Franklin|24|3|0952|2|BROOKVILLE CIVIL TOWN|3|24-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Brookville Pool Project|1848000.00|79000.00 2022|Franklin|24|3|0952|2|BROOKVILLE CIVIL TOWN|3|24-001.00|30116|Sewage Works|WASTEWATER|2|Revenue Bonds|improvements to sewer plant|325999.24|78000.00 2022|Franklin|24|4|2475||FRANKLIN COUNTY COMMUNITY SCHOOL CORPORATION|5|24-019.00|0||Governmental Activities|1|General Obligation Bonds|Ad Valorem Property Tax First Mortgage Bonds Series 2012; Mt. Carmel/Laurel School Geo-Thermal Project|| 2022|Franklin|24|4|2475||FRANKLIN COUNTY COMMUNITY SCHOOL CORPORATION|5|24-019.00|0||Governmental Activities|1|General Obligation Bonds|Franklin County Middle School Building Ad Valorem Property Tax First Mortgage Bonds 2015 BES|| 2022|Franklin|24|4|2475||FRANKLIN COUNTY COMMUNITY SCHOOL CORPORATION|5|24-019.00|0||Governmental Activities|1|General Obligation Bonds|Franklin County Middle School Building Ad Valorem Property Tax First Mortgage Bonds Series 2015 Refunding 2005 Bond Issue and Athletic Field Improvements|| 2022|Franklin|24|4|2475||FRANKLIN COUNTY COMMUNITY SCHOOL CORPORATION|5|24-019.00|0||Governmental Activities|1|General Obligation Bonds|Franklin County Middle School Building Ad Valorem Property Tax First Mortgage Bonds, Series 2020|| 2022|Franklin|24|4|2475||FRANKLIN COUNTY COMMUNITY SCHOOL CORPORATION|5|24-019.00|0||Governmental Activities|1|General Obligation Bonds|QZAB Update Technology at Franklin County High School|| 2022|Franklin|24|4|2475||FRANKLIN COUNTY COMMUNITY SCHOOL CORPORATION|5|24-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A0474 Brookville Middle School/Brookville Elementary School|| 2022|Franklin|24|4|2475||FRANKLIN COUNTY COMMUNITY SCHOOL CORPORATION|5|24-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan School Safety Advance Program|| 2022|Franklin|24|6|0022|2|BROOKVILLE LAKE REGIONAL WASTE DIST|21|24-022.00|30021|Maintain/Operate Wastewater Collection System|Brookville Lake Regional Waste District|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds Series 2012|435000.00|145000.00 2022|Franklin|24|6|0024|2|METAMORA REGIONAL SEWER DISTRICT|21|24-024.00|29995|Sewer Services|Metamora Regional Sewer District|1|General Obligation Bonds|Fund Buildings, Infrastructure, Construction|1001333.35|26000.00 2022|Fulton|25|1|0000|2|FULTON COUNTY|1|25-000.00|0||Governmental Activities|1|General Obligation Bonds|2016 GO Bond|.00|.00 2022|Fulton|25|1|0000|2|FULTON COUNTY|1|25-000.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO Bond|2295000.00|555000.00 2022|Fulton|25|1|0000|2|FULTON COUNTY|1|25-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Drainage Loan 9009 (#794 Minnow Creek)|.00|.00 2022|Fulton|25|1|0000|2|FULTON COUNTY|1|25-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Drainage Loan 9010 (#610 Julius Rowley)|16471.25|16471.25 2022|Fulton|25|1|0000|2|FULTON COUNTY|1|25-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Drainage Loan 9012 (#769 Eddy Creek)|7769.54|7769.54 2022|Fulton|25|1|0000|2|FULTON COUNTY|1|25-000.00|0||Governmental Activities|2|Revenue Bonds|EDIT Bond|673100.00|174990.00 2022|Fulton|25|3|0440|2|ROCHESTER CIVIL CITY|2|25-001.00|30118||WASTEWATER|2|Revenue Bonds|WWTP and Lift Station Improvements|7798457.00|346943.00 2022|Fulton|25|3|0440|2|ROCHESTER CIVIL CITY|2|25-001.00|30118||WASTEWATER|2|Revenue Bonds|WWTP and Lift Station series b|472576.00|21024.00 2022|Fulton|25|3|0440|2|ROCHESTER CIVIL CITY|2|25-001.00|30119||WATER|2|Revenue Bonds|waterworks Revenue Bonds 2021|1812113.75|140000.00 2022|Fulton|25|3|0615|2|AKRON CIVIL TOWN|3|25-002.00|29084||WASTEWATER|2|Revenue Bonds|2007 Sewer Expansion Project- Wells Fargo Bank|160000.00|50000.00 2022|Fulton|25|3|0615|2|AKRON CIVIL TOWN|3|25-002.00|29085||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bond of 2015|710000.00|50000.00 2022|Fulton|25|3|0616|2|FULTON CIVIL TOWN|3|25-003.00|29086|sewer for town serving homes and businesses|WASTEWATER|1|General Obligation Bonds|WASTEWATER SYSTEM|235295.77|12000.00 2022|Fulton|25|3|0617|2|KEWANNA CIVIL TOWN|3|25-004.00|29088|WATER|WATER|10|Notes and Loans Payable - Long Term|Improvements to the Waterworks|343000.00|19000.00 2022|Fulton|25|4|2645||ROCHESTER COMMUNITY SCHOOL CORPORATION|5|25-014.00|0||Governmental Activities|1|General Obligation Bonds|2010 QSCB Bonds|| 2022|Fulton|25|4|2645||ROCHESTER COMMUNITY SCHOOL CORPORATION|5|25-014.00|0||Governmental Activities|1|General Obligation Bonds|2011 QSCB Bonds|| 2022|Fulton|25|4|2645||ROCHESTER COMMUNITY SCHOOL CORPORATION|5|25-014.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO Bond|| 2022|Fulton|25|4|2650||CASTON SCHOOL CORPORATION|5|25-013.00|0||Governmental Activities|14|Other - Long Term|Ad Valorem Property Tax First Mortgage Bonds|| 2022|Fulton|25|5|0056|2|KEWANNA PUBLIC LIBRARY|6|25-017.00|0||Governmental Activities|1|General Obligation Bonds|building addition|485274.00|65500.00 2022|Fulton|25|5|0057|2|FULTON COUNTY PUBLIC LIBRARY|6|25-015.00|0||Governmental Activities|1|General Obligation Bonds|Building debt|820000.00|225000.00 2022|Fulton|25|7|0061|2|LAKE BRUCE CONSERVANCY DISTRICT|28|25-024.00|29089||Sewer|1|General Obligation Bonds|Sewer Construction USDA loan|402000.00|10000.00 2022|Fulton|25|7|0061|2|LAKE BRUCE CONSERVANCY DISTRICT|28|25-024.00|29089||Sewer|1|General Obligation Bonds|Sewer Construction USDA loan|1633000.00|40000.00 2022|Fulton|25|7|0062|2|NYONA - SOUTH MUD LAKE CONSERVANCY|28|25-025.00|0||Governmental Activities|2|Revenue Bonds|Sewage Works Revenue Bonds of 2006, Series A|778000.00|30000.00 2022|Fulton|25|7|0062|2|NYONA - SOUTH MUD LAKE CONSERVANCY|28|25-025.00|0||Governmental Activities|2|Revenue Bonds|Sewage Works Revenue Bonds of 2006, Series B|314000.00|12000.00 2022|Gibson|26|1|0000|2|GIBSON COUNTY|1|26-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|BLAIR STORMONT DRAINAGE LOAN (SRF)|63100.00|15000.00 2022|Gibson|26|1|0000|2|GIBSON COUNTY|1|26-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|COURTHOUSE HAVC / ELECTRICAL|453414.49|168000.00 2022|Gibson|26|1|0000|2|GIBSON COUNTY|1|26-000.00|0||Governmental Activities|2|Revenue Bonds|GIBSON COUNTY COAL|10893826.39|745000.00 2022|Gibson|26|1|0000|2|GIBSON COUNTY|1|26-000.00|0||Governmental Activities|2|Revenue Bonds|LEASE RENTAL REVENUE BONDS, SERIES 2022|23535000.00|.00 2022|Gibson|26|1|0000|2|GIBSON COUNTY|1|26-000.00|0||Governmental Activities|2|Revenue Bonds|OWENSVILLE NORTH EDA 2014|825000.00|.00 2022|Gibson|26|1|0000|2|GIBSON COUNTY|1|26-000.00|0||Governmental Activities|2|Revenue Bonds|TOYOTA PROJECT|.00|.00 2022|Gibson|26|1|0000|2|GIBSON COUNTY|1|26-000.00|0||Governmental Activities|2|Revenue Bonds|VUTEQ PROJECT|3541456.00|175000.00 2022|Gibson|26|2|0007|2|UNION TOWNSHIP|7|26-017.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|OLD NATIONAL BANK---NEW FIRE TRUCK|161786.05|60861.54 2022|Gibson|26|2|0010|2|WHITE RIVER TOWNSHIP|7|26-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|fire station|706958.50|48050.90 2022|Gibson|26|3|0415|2|PRINCETON CIVIL CITY|2|26-001.00|29090|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, 2020 Series A|8441000.00|179000.00 2022|Gibson|26|3|0415|2|PRINCETON CIVIL CITY|2|26-001.00|29090|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, 2020 Series B|1371000.00|29000.00 2022|Gibson|26|3|0415|2|PRINCETON CIVIL CITY|2|26-001.00|29090|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, 2021 Series C|493000.00|10000.00 2022|Gibson|26|3|0415|2|PRINCETON CIVIL CITY|2|26-001.00|29091|Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, 2010|1306000.00|150000.00 2022|Gibson|26|3|0451||OAKLAND CITY CIVIL CITY|2|26-006.00|29092|WASTEWATER UTILITY|WASTEWATER|2|Revenue Bonds|METER PROJECT 2014|| 2022|Gibson|26|3|0451||OAKLAND CITY CIVIL CITY|2|26-006.00|29092|WASTEWATER UTILITY|WASTEWATER|2|Revenue Bonds|WASTEWATER IMPROVEMENTS|| 2022|Gibson|26|3|0451||OAKLAND CITY CIVIL CITY|2|26-006.00|29093|WATER UTILITY|WATER|2|Revenue Bonds|METER PROJECT 2014|| 2022|Gibson|26|3|0451||OAKLAND CITY CIVIL CITY|2|26-006.00|29093|WATER UTILITY|WATER|2|Revenue Bonds|WATER IMPROVEMENTS|| 2022|Gibson|26|3|0451||OAKLAND CITY CIVIL CITY|2|26-006.00|29093|WATER UTILITY|WATER|2|Revenue Bonds|WATER IMPROVEMENTS 2012A|| 2022|Gibson|26|3|0451||OAKLAND CITY CIVIL CITY|2|26-006.00|29093|WATER UTILITY|WATER|2|Revenue Bonds|WATER IMPROVEMENTS 2012B|| 2022|Gibson|26|3|0618|0|FORT BRANCH CIVIL TOWN|3|26-002.00|29804|Storm Water Collections|STORMWATER|10|Notes and Loans Payable - Long Term|Storm Water Improvement Loan|147936.00|35855.00 2022|Gibson|26|3|0618|0|FORT BRANCH CIVIL TOWN|3|26-002.00|29094|sewer collections|WASTEWATER|2|Revenue Bonds|07 Rev Bonds Sewer Treatment Plant Expansion|1688000.00|260000.00 2022|Gibson|26|3|0618|0|FORT BRANCH CIVIL TOWN|3|26-002.00|29094|sewer collections|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds, Series 2019|322000.00|31000.00 2022|Gibson|26|3|0618|0|FORT BRANCH CIVIL TOWN|3|26-002.00|29094|sewer collections|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2019 Sewer Line rehab/Auger|895000.00|42000.00 2022|Gibson|26|3|0618|0|FORT BRANCH CIVIL TOWN|3|26-002.00|29095|Water Collections|WATER|2|Revenue Bonds|2015A Revenue Bonds Jr. Lien Automated Meter Reading, Wtr Plant Upgrades|336400.00|112400.00 2022|Gibson|26|3|0619|2|FRANCISCO CIVIL TOWN|3|26-003.00|29097|Francisco Water Department|WATER|11|Notes and Loans Payable - Short Term|Loan for Repairs to water tower|10217.93| 2022|Gibson|26|3|0619|2|FRANCISCO CIVIL TOWN|3|26-003.00|29096|Francisco Wastewater Department|SOLID WASTE|2|Revenue Bonds|Town of Francisco Wastewater Debt|926000.00|30000.00 2022|Gibson|26|3|0621|2|HAZLETON CIVIL TOWN|3|26-005.00|29100|sales|WATER|10|Notes and Loans Payable - Long Term|plant rehabilitation|68511.05|8952.20 2022|Gibson|26|3|0623|2|OWENSVILLE CIVIL TOWN|3|26-007.00|29101|Wastewater System|WASTEWATER|10|Notes and Loans Payable - Long Term|WASTEWATER TREATMENT FACILITY & UPGRADES|475580.51|70000.00 2022|Gibson|26|3|0623|2|OWENSVILLE CIVIL TOWN|3|26-007.00|29102|Water System|WATER|10|Notes and Loans Payable - Long Term|WATER LINE REPLACEMENTS & AUTO READ METERS|638375.00|54000.00 2022|Gibson|26|3|0624|2|PATOKA CIVIL TOWN|3|26-008.00|29103|sell water|WATER|1|General Obligation Bonds|dw19915201|.00|.00 2022|Gibson|26|3|0624|2|PATOKA CIVIL TOWN|3|26-008.00|29103|sell water|WATER|1|General Obligation Bonds|dw19915202|.00|.00 2022|Gibson|26|3|0624|2|PATOKA CIVIL TOWN|3|26-008.00|29103|sell water|WATER|1|General Obligation Bonds|electronic read meters|925000.00|90000.00 2022|Gibson|26|4|2725||EAST GIBSON SCHOOL CORPORATION|5|26-021.00|0||Governmental Activities|1|General Obligation Bonds|Common School|| 2022|Gibson|26|4|2725||EAST GIBSON SCHOOL CORPORATION|5|26-021.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds|| 2022|Gibson|26|4|2735||NORTH GIBSON SCHOOL CORPORATION|5|26-022.00|0||Governmental Activities|1|General Obligation Bonds|Amended Taxable General Obligation Pension Bonds of 2003|| 2022|Gibson|26|4|2765||SOUTH GIBSON SCHOOL CORPORATION|5|26-023.00|0||Governmental Activities|14|Other - Long Term|Refinance of bonds 07 & 08 for GSHS renovations|| 2022|Gibson|26|5|0273|2|FORT BRANCH-JOHNSON TOWNSHIP LIBRARY|6|26-026.00|0||Governmental Activities|5|Lines of Credit|Bridge loan for construction project, will be paid off with TIF revenue|574533.38| 2022|Gibson|26|5|0274|2|PRINCETON-PATOKA TOWNSHIP PUBLIC LIBRARY|6|26-025.00|0||Governmental Activities|1|General Obligation Bonds|Expansion|3957630.00|190000.00 2022|Gibson|26|6|0932|2|OWENSVILLE-MONTGOMERY TOWNSHIP FIRE|18|26-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|New Fire Station|1304000.00|25000.00 2022|Gibson|26|6|0932|2|OWENSVILLE-MONTGOMERY TOWNSHIP FIRE|18|26-031.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|New Fire Truck|131034.00| 2022|Grant|27|1|0000|2|GRANT COUNTY|1|27-000.00|0||Governmental Activities|1|General Obligation Bonds|2017 FACILITY IMPROVEMENT BOND|7625000.00|235000.00 2022|Grant|27|1|0000|2|GRANT COUNTY|1|27-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CENTRAL DISPATCH|.00|.00 2022|Grant|27|1|0000|2|GRANT COUNTY|1|27-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|COMPLEX ENERGY PROJECT|225099.60|225099.60 2022|Grant|27|2|0001|2|CENTER TOWNSHIP|7|27-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Toyne 2021 Fire Truck|310455.15|52907.84 2022|Grant|27|2|0007|2|MILL TOWNSHIP|7|27-017.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2018 Pierce Fire Truck|120234.00|79448.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|1|General Obligation Bonds|2016 Series B Bonds|505000.00|40000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|1|General Obligation Bonds|2016 Taxable Bonds, Series A|1465000.00|110000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|1|General Obligation Bonds|Park District Refunding Bonds of 2014|1460000.00|350000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District County Option Income Tax Revenue Refunding Bonds of 2014|2675000.00|305000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Aviation Loan|331543.00|36263.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds, 2013|2545000.00|320000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Taxable Tax Increment Revenue Bonds of 2005|100000.00|100000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bond, Series 2005B|.00|.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds fo 2019|3060000.00|175000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds Series A-1|9660000.00|395000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2008|6195000.00|415000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2011A|1705000.00|115000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2012|40000000.00|.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2013|445000.00|445000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2013|5080000.00|160000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2015|2625000.00|180000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series A-2|2380000.00|95000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|0||Governmental Activities|2|Revenue Bonds|Variable Rate Demand Economic Development Revenue Bond, Series 2005A|290000.00|290000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|29105||WASTEWATER|2|Revenue Bonds|Sewage Revenue Bond 2015|6530000.00|375000.00 2022|Grant|27|3|0114|2|MARION CIVIL CITY|2|27-002.00|29105||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond Series 2021|10545000.00|470000.00 2022|Grant|27|3|0422|2|GAS CITY CIVIL CITY|2|27-001.00|29108|WASTEWATER UTILITY|WASTEWATER|15|Other - Short Term|Bond Anticipation Note|2500000.00| 2022|Grant|27|3|0422|2|GAS CITY CIVIL CITY|2|27-001.00|0||Governmental Activities|2|Revenue Bonds|2020 Economic Development - Auditorium|14250000.00|1760000.00 2022|Grant|27|3|0422|2|GAS CITY CIVIL CITY|2|27-001.00|29107|ELECTRIC UTILITY|ELECTRIC|2|Revenue Bonds|Sub-Station - 2014 REFUNDING BONDS|483000.00|133000.00 2022|Grant|27|3|0422|2|GAS CITY CIVIL CITY|2|27-001.00|29108|WASTEWATER UTILITY|WASTEWATER|2|Revenue Bonds|2020 Sewage Refunding Revenue Bond (Refinance)|2145000.00|360000.00 2022|Grant|27|3|0422|2|GAS CITY CIVIL CITY|2|27-001.00|29109|WATER UTILITY|WATER|2|Revenue Bonds|Waterworks revenue bond of 2009|1845000.00|210000.00 2022|Grant|27|3|0626|2|FAIRMOUNT CIVIL TOWN|3|27-003.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|MVH DUMP TRUCK|.00|.00 2022|Grant|27|3|0626|2|FAIRMOUNT CIVIL TOWN|3|27-003.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|GENERAL OBLIGATION BOND|300100.00|133000.00 2022|Grant|27|3|0626|2|FAIRMOUNT CIVIL TOWN|3|27-003.00|29111|WATEWATER|WASTEWATER|14|Other - Long Term|SEWAGE BONDS 2014|4499600.00|100000.00 2022|Grant|27|3|0626|2|FAIRMOUNT CIVIL TOWN|3|27-003.00|29111|WATEWATER|WASTEWATER|14|Other - Long Term|SEWAGE BONDS 2017|3434000.00|68000.00 2022|Grant|27|3|0628|2|CITY OF JONESBORO|2|27-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|8267.90|7032.19 2022|Grant|27|3|0628|2|CITY OF JONESBORO|2|27-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Police Vehicle|.00|.00 2022|Grant|27|3|0628|2|CITY OF JONESBORO|2|27-005.00|29114|Waste Water Utility|JONESBORO WASTEWATER UTILITY|2|Revenue Bonds|Waste Water SRF 2014|1367000.00|107000.00 2022|Grant|27|3|0628|2|CITY OF JONESBORO|2|27-005.00|29115|Water Utility|JONESBORO WATER UTILITY|2|Revenue Bonds|Waterworks Revenue Bonds of 2016|7936.00|7936.00 2022|Grant|27|3|0628|2|CITY OF JONESBORO|2|27-005.00|29115|Water Utility|JONESBORO WATER UTILITY|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2005|385000.00|90000.00 2022|Grant|27|3|0630|2|SWAYZEE CIVIL TOWN|3|27-007.00|29806|Provide water to customers|Water|10|Notes and Loans Payable - Long Term|WATER TOWER|408000.00|399000.00 2022|Grant|27|3|0631|2|SWEETSER CIVIL TOWN|3|27-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Police Cruiser 2020 Tahoe|19100.19|6826.59 2022|Grant|27|3|0631|2|SWEETSER CIVIL TOWN|3|27-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Sewer Camera|23290.00|11960.00 2022|Grant|27|3|0631|2|SWEETSER CIVIL TOWN|3|27-008.00|29118|Waste water utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2013|1892000.00|151000.00 2022|Grant|27|3|0632|2|UPLAND CIVIL TOWN|3|27-009.00|29120|Water Utility|WATER|10|Notes and Loans Payable - Long Term|SRF Loan|866212.00|207000.00 2022|Grant|27|3|0632|2|UPLAND CIVIL TOWN|3|27-009.00|29119|Wastewater|WASTEWATER|11|Notes and Loans Payable - Short Term|Series 2021 BAN|614400.00| 2022|Grant|27|3|0633|2|VAN BUREN CIVIL TOWN|3|27-010.00|0||Governmental Activities|2|Revenue Bonds|Weaver Popcorn Expansion|238337.45|195000.00 2022|Grant|27|3|0633|2|VAN BUREN CIVIL TOWN|3|27-010.00|29122|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewer Expansion Project 92-01|764735.01|51066.25 2022|Grant|27|3|0633|2|VAN BUREN CIVIL TOWN|3|27-010.00|29122|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewer Expansion Project 92-03|180597.53|11322.49 2022|Grant|27|3|0633|2|VAN BUREN CIVIL TOWN|3|27-010.00|29123|Water Utility|WATER|2|Revenue Bonds|Water Plant Construction|.00|.00 2022|Grant|27|4|2815||EASTBROOK COMMUNITY SCHOOL CORPORATION|5|27-027.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2004 Common School Loan|| 2022|Grant|27|4|2825||MADISON-GRANT UNITED SCHOOL CORPORATION|5|27-028.00|0||Governmental Activities|1|General Obligation Bonds|Pension Debt Bonds|| 2022|Grant|27|4|2855||MISSISSINEWA COMMUNITY SCHOOL CORPORATION|5|27-026.00|0||Governmental Activities|1|General Obligation Bonds|HS Auxiliary Gym & NV Kitchen Expansion|| 2022|Grant|27|4|2855||MISSISSINEWA COMMUNITY SCHOOL CORPORATION|5|27-026.00|0||Governmental Activities|1|General Obligation Bonds|Renovation of RJ Baskett MIddle School|| 2022|Grant|27|4|2855||MISSISSINEWA COMMUNITY SCHOOL CORPORATION|5|27-026.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Elementary School Renovation|| 2022|Grant|27|4|2865||MARION COMMUNITY SCHOOL CORPORATION|5|27-025.00|0||Governmental Activities|1|General Obligation Bonds|2004 Amended Pension Bond|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2014|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Mortgage Bonds 2013|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #0585|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0577|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0593|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0599|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0606|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0611|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0614|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0620|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0621|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0623|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0626|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0802|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A0804|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A2924|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #A2960|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #B0020|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #B0064|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #B0114|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #B0160|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #B0206|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #C0013|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan #C0015|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund STAA Loan #2988|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Equipment Lease Purchase Agreement - Solar Project|| 2022|Grant|27|4|5625||OAK HILL UNITED SCHOOL CORPORATION|5|27-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Lease Rental Mortgage Bonds 2015|| 2022|Greene|28|1|0000|2|GREENE COUNTY|1|28-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Refunding Bonds, Series 2021|1365000.00|917592.00 2022|Greene|28|1|0000|2|GREENE COUNTY|1|28-000.00|0||Governmental Activities|2|Revenue Bonds|Rural Development Loan (UDWI)|.00|.00 2022|Greene|28|1|0000|2|GREENE COUNTY|1|28-000.00|0||Governmental Activities|2|Revenue Bonds|UDWI Revolving Loan|.00|.00 2022|Greene|28|2|0003||CENTER TOWNSHIP|7|28-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Equipment Debt|| 2022|Greene|28|2|0013|2|TAYLOR TOWNSHIP|7|28-032.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Station Lease|412655.00|46000.00 2022|Greene|28|3|0426|2|LINTON CIVIL CITY|2|28-002.00|29126|provide wastwater service to local customers|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue of 2018|2405000.00|120000.00 2022|Greene|28|3|0426|2|LINTON CIVIL CITY|2|28-002.00|29126|provide wastwater service to local customers|WASTEWATER|2|Revenue Bonds|WASTEWATER UTILITY 2013 SRF LOAN|2205000.00|181000.00 2022|Greene|28|3|0426|2|LINTON CIVIL CITY|2|28-002.00|29127|provides water to local customers|WATER|2|Revenue Bonds|WATER UTILITY 2007 REFUNDING BONDS|.00|.00 2022|Greene|28|3|0426|2|LINTON CIVIL CITY|2|28-002.00|29127|provides water to local customers|WATER|2|Revenue Bonds|WATER UTILITY 2014 SRF LOAN|716000.00|82000.00 2022|Greene|28|3|0461|2|JASONVILLE CIVIL CITY|2|28-001.00|0||Governmental Activities|14|Other - Long Term|FIRETRUCK|32562.00|22972.00 2022|Greene|28|3|0461|2|JASONVILLE CIVIL CITY|2|28-001.00|29129|Sewer Utility|WASTEWATER|2|Revenue Bonds|20022 SEWAGE WORKS REVENUE BONDS|318000.00|2000.00 2022|Greene|28|3|0461|2|JASONVILLE CIVIL CITY|2|28-001.00|29129|Sewer Utility|WASTEWATER|2|Revenue Bonds|wastewater plant improvements|589067.00|141000.00 2022|Greene|28|3|0461|2|JASONVILLE CIVIL CITY|2|28-001.00|29130|Water Utility|WATER|2|Revenue Bonds|2013 RD Bonds water plant improvements|921000.00|22000.00 2022|Greene|28|3|0461|2|JASONVILLE CIVIL CITY|2|28-001.00|29130|Water Utility|WATER|2|Revenue Bonds|2015 SRF Bonds chlorine booster station|529000.00|33000.00 2022|Greene|28|3|0461|2|JASONVILLE CIVIL CITY|2|28-001.00|29130|Water Utility|WATER|2|Revenue Bonds|2017 SRF Bonds new well field|1011000.00|50000.00 2022|Greene|28|3|0634|2|BLOOMFIELD CIVIL TOWN|3|28-003.00|29132||WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Treatment Plant & Lift Stations|344453.59|34658.89 2022|Greene|28|3|0635|2|LYONS CIVIL TOWN|3|28-004.00|29134|Water Utility|WATER|2|Revenue Bonds|Water improvements|2145000.00|65040.00 2022|Greene|28|3|0637|2|SWITZ CITY CIVIL TOWN|3|28-006.00|29136|wastewater|WASTEWATER|1|General Obligation Bonds|Wasterwater bonds|231836.00|20000.00 2022|Greene|28|3|0637|2|SWITZ CITY CIVIL TOWN|3|28-006.00|29137|water utility|WATER|1|General Obligation Bonds|Waterworks improvements|858000.00|10000.00 2022|Greene|28|3|0637|2|SWITZ CITY CIVIL TOWN|3|28-006.00|29137|water utility|WATER|1|General Obligation Bonds|Waterworks Improvements SRF|395000.00|25000.00 2022|Greene|28|3|0638|2|WORTHINGTON CIVIL TOWN|3|28-007.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck|189751.87| 2022|Greene|28|3|0638|2|WORTHINGTON CIVIL TOWN|3|28-007.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Police Car 1|43050.00| 2022|Greene|28|3|0638|2|WORTHINGTON CIVIL TOWN|3|28-007.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Police Car 2|43050.00| 2022|Greene|28|3|0638|2|WORTHINGTON CIVIL TOWN|3|28-007.00|29138|sewer/treatment plant|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2017|2220000.00|107000.00 2022|Greene|28|3|0638|2|WORTHINGTON CIVIL TOWN|3|28-007.00|29138|sewer/treatment plant|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2018|403000.00|50000.00 2022|Greene|28|4|2940||Eastern Greene Schools|5|28-011.00|0||Governmental Activities|1|General Obligation Bonds|Common School Loan 506|| 2022|Greene|28|4|2940||Eastern Greene Schools|5|28-011.00|0||Governmental Activities|1|General Obligation Bonds|Common School Loan 554|| 2022|Greene|28|4|2950||LINTON-STOCKTON SCHOOL CORPORATION|5|28-014.00|0||Governmental Activities|1|General Obligation Bonds|Outdoor site improvements|| 2022|Greene|28|4|2960||M.S.D. SHAKAMAK SCHOOL CORPORATION|5|28-009.00|0||Governmental Activities|1|General Obligation Bonds|Retirement/Severance|| 2022|Greene|28|4|2960||M.S.D. SHAKAMAK SCHOOL CORPORATION|5|28-009.00|0||Governmental Activities|14|Other - Long Term|Common School Fund Loan|| 2022|Greene|28|4|2980||WHITE RIVER VALLEY CONSOLIDATED SCHOOL CORPORATION|5|28-041.00|0||Governmental Activities|1|General Obligation Bonds|Qualified School Construction Bonds|| 2022|Greene|28|4|2980||WHITE RIVER VALLEY CONSOLIDATED SCHOOL CORPORATION|5|28-041.00|0||Governmental Activities|14|Other - Long Term|Holding Company-Public and Private (Construction Bonds)|| 2022|Greene|28|6|0045|2|GREENE COUNTY REGIONAL SEWER DISTRICT|21|28-045.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Loan from Greene County Economic Development Commission|10000.00|.00 2022|Greene|28|6|1050||GREENE COUNTY GENERAL HOSPITAL|4|28-008.00|0||Governmental Activities|2|Revenue Bonds|Construction|| 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|Acquisition and/or construction of a somestic viloence center (4603.0000.4818)|5650000.00|1495000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|Acquisition, construction and equipping of animal control building in the County. (4619 344)|.00|.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|Construction of certain local public improvements, including certain road improvements in te area (4596.4618)|8335000.00|455000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|Pays the costs of Pleasant Street Project and improvement/renovations of 4H Fairgrounds (4603.0000.4817)|19675000.00|605000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|Refunding of 2003 Clay Terrace Bonds (4596.4616 189)|1345000.00|545000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To pay the cost of construction of a new multi-span bridge (1171.0000.4816)|16720000.00|1050000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To refund 2002 146th Street Ramps Bond (4599.4614 187)|135000.00|155000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To refund 2005 & 2010 Village Park Bonds (4608.0000.4524)|7020000.00|390000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To refund 2005 and 2006 Thomson bonds, fund debt service reserve and repay pledged COIT to City of Carmel (4597.4309)|11375000.00|1215000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To refund 2011 and 2012 Bonds (4608.0000.4523)|9700000.00|1270000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To refund 2013 B, C and D Bonds (4603.0000.4815)|34010576.00|1935000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To refund Energy Savings Contract (4608.0000.4522)|6130000.00|755000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To refund outstanding First Mtg Bonds Series 2004 (4621)|7125000.00|1935000.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|1|General Obligation Bonds|To refund the 2002 Park Bond (4620 345)|.00|.00 2022|Hamilton|29|1|0000|2|HAMILTON COUNTY|1|29-000.00|0||Governmental Activities|2|Revenue Bonds|To fund necessary projects for promotion and encourage conventions as well as visitors and tourism (4601 150)|64665.98|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County General Obligation Bonds, Series 2020A|3305000.00|120000.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County General Obligation Bonds, Series 2020B|4030000.00|150000.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County General Obligation Bonds, Series 2022|5580000.00|220000.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019A|9580000.00|10000.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019B|4765858.85|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019C|2639928.20|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019D|4132416.05|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019E|2080859.95|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019F|3070003.05|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019G|4754500.50|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019H|3093925.75|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019I|1007995.10|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019J|1935990.20|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, General Obligation Bonds, Series 2019K|4444207.55|.00 2022|Hamilton|29|2|0002|2|CLAY TOWNSHIP|7|29-010.00|0||Governmental Activities|1|General Obligation Bonds|Clay Township of Hamilton County, Indiana, Genral Obligation Bonds, Series 2019L|2759928.20|.00 2022|Hamilton|29|2|0003||DELAWARE TOWNSHIP|7|29-011.00|0||Governmental Activities|1|General Obligation Bonds|Construction of Community Center|| 2022|Hamilton|29|2|0005|2|JACKSON TOWNSHIP|7|29-013.00|0||Governmental Activities|14|Other - Long Term|2017 Ford Ambulance|.00|.00 2022|Hamilton|29|2|0005|2|JACKSON TOWNSHIP|7|29-013.00|0||Governmental Activities|14|Other - Long Term|2022 Ferrar Pumper|716571.72|114231.03 2022|Hamilton|29|2|0008|2|WAYNE TOWNSHIP|7|29-016.00|0||Governmental Activities|1|General Obligation Bonds|Building Construction|1752396.00|143437.00 2022|Hamilton|29|2|0008|2|WAYNE TOWNSHIP|7|29-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Ambulance|244262.00|45738.00 2022|Hamilton|29|2|0009|2|WHITE RIVER TOWNSHIP|7|29-017.00|0||Governmental Activities|1|General Obligation Bonds|Refinance Fire Building Debt|110000.00|110000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016A|935000.00|53000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016B|838000.00|48000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016C|1258000.00|71000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016D|1057000.00|61000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016E|1232000.00|71000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016F|1216000.00|69000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016G|1057000.00|61000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016H|1216000.00|69000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016I|1099000.00|63000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016J|1166000.00|67000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016K|1074000.00|61000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016L|1066000.00|61000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|City of Carmel GO Bond Series 2016M|933000.00|53000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|1|General Obligation Bonds|Taxable Local Income Tax General Obligation Bonds, Series 2021 (Taxable LIT/PT Bonds)|10550000.00|.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2011 Installment Purchase Agreement, Series B|2333293.05|.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City of Carmel Monon & Main Installment Purchase Contract of 2017|3535056.70|180010.14 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|2|Revenue Bonds|2013 Illinois St Project Bond|4830000.00|265000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|2|Revenue Bonds|Carmel Municipal Facilities Building Corporation Lease Rental Revenue Bonds, Series 2021 (LIT/PT Bonds)|32380000.00|.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment District Taxable Bonds of 2016 (City Center II Projects)|16845000.00|710000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Taxable Economic Development Lease Rental Revenue Bonds 2018A|11815000.00|385000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Taxable Redevelopment District Bonds, Series 2021 (TIF/SBT Bonds)|21390000.00|2150000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|2|Revenue Bonds|County Option Income Tax Revenue Refunding Bonds of 2011 (Street department)|.00|.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds, Series 2004 A (Clarian Hospital) Illinois Street Project|865000.00|865000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29139|Waste Water|WASTEWATER|2|Revenue Bonds|2005 Wastewater Plant Expansion|2755000.00|643000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29139|Waste Water|WASTEWATER|2|Revenue Bonds|2009 Wastewater Expansion SRF|2351775.00|289678.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29139|Waste Water|WASTEWATER|2|Revenue Bonds|2020 Wastewater Revenue Bonds|15952000.00|1000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29139|Waste Water|WASTEWATER|2|Revenue Bonds|2021 Wastewater Refunding Rev|6650000.00|615000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29139|Waste Water|WASTEWATER|2|Revenue Bonds|2021 Wastewater Revenue Bonds|3055000.00|45000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29140|Water|WATER|2|Revenue Bonds|2008 Plant Expansion Cap Appreciation Bonds|20644479.30|.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29140|Water|WATER|2|Revenue Bonds|2012 Jr Waterworks Rev Bonds|13915000.00|880000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29140|Water|WATER|2|Revenue Bonds|2016 Waterworks Special Program Bonds|41525000.00|3660000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29140|Water|WATER|2|Revenue Bonds|2017 Jr Waterworks Refunding Revenue Bonds|10345000.00|564000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29140|Water|WATER|2|Revenue Bonds|2019 Waterworks Revenue Bond Anticipation Notes|17745000.00|.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29140|Water|WATER|2|Revenue Bonds|2021 Waterworks Revenue Bonds|4845000.00|250000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29778|Storm Water|STORM WATER|2|Revenue Bonds|City of Carmel Storm Water District Bonds, Series 2016|22601000.00|1286000.00 2022|Hamilton|29|3|0323|2|CARMEL CIVIL CITY|2|29-002.00|29778|Storm Water|STORM WATER|2|Revenue Bonds|City of Carmel Storm Water District Revenue Bonds, Series 2020|5420000.00|465000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|1|General Obligation Bonds|Building Corp Refunding Bonds 2014 (Fire St 5 & 6)|1345000.00|525000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|1|General Obligation Bonds|Building Corp Refunding Bonds 2014B( City Hall)|3515000.00|1380000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|1|General Obligation Bonds|Capital Projects & Pleasant St Projects Short-Term GO Bonds of 2022|9455000.00|9455000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|1|General Obligation Bonds|Capital Projects Short-Term GO Bonds of 2021|.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|1|General Obligation Bonds|Fire Station 7/Street Department Refunding Bonds of 2016|3750000.00|595000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|1|General Obligation Bonds|Noblesville Redevelopment District, Series 2021 (Nickel Plate)|662466.00|76881.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds of 2018 (Finch Creek Park)|6345000.00|340000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Redevelopment District BAN of 2022 (Pleasant St. BAN II)|8825000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Redevelopment District Bond Anticipation Notes of 2021 (Pleasant Street BANs)|.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Taxable Lease Rental BAN of 2022 (Innovation Mile)|10690000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Ad Valorem Property Tax Lease Rental Bonds of 2022 (Pleasant St)|44060000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Field Drive Bridge SR 19 project|.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|LIT Refunding Revenue Bonds 2019 (Refunded 2009 COIT Bonds)|1660000.00|265000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds 2014 (Cabela's)|850000.00|235000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds 2014 (Ivy Tech, PSB, Salt Barn)|4100000.00|635000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Annual Appropriation ED Revenue Bonds 2019 (Carter Jackson Project)|6870000.00|150000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Lease Rental Bonds of 2021 (Federal Hill Garage)|10000000.00|190000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Revenue Bonds of 2016 (Embassy Suites)|5055000.00|435000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Revenue Bonds of 2017 (BorgWarner)|5925000.00|255000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Revenue Bonds of 2021 (Federal Hill Project)|7200000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Revenue Bonds of 2021 (Lofts on Tenth)|2300000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Revenue Bonds of 2021 (Nexus Project)|8000000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Ec Dev Revenue Bonds of 2021 (Washington Business Park))|6800000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Eco Dev Revenue Bonds of 2022 (146th & River Road)|8915000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Eco Dev Revenue Bonds of 2022 (East River Project)|9920000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Eco Dev Revenue Bonds of 2022 (Justus)|1900000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Eco Dev Revenue Bonds of 2022 (WBP II)|6950000.00|.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable ED Revenue Bonds 2019 (Levinson Project)|16150000.00|665000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Redev Revenue Bonds of 2016 (BlueSky)|2875000.00|170000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|29141||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds 2015|10660000.00|1290000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|29141||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue and Refunding Bonds 2013|3295000.00|1110000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|29141||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2017|6385000.00|605000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|29141||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|13355000.00|100000.00 2022|Hamilton|29|3|0413|2|NOBLESVILLE CIVIL CITY|2|29-001.00|29141||WASTEWATER|2|Revenue Bonds|Sewages Works Revenue Bonds of 2021|10285000.00|265000.00 2022|Hamilton|29|3|0639|2|ARCADIA CIVIL TOWN|3|29-003.00|29143|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewer Separation|700920.00|52320.00 2022|Hamilton|29|3|0639|2|ARCADIA CIVIL TOWN|3|29-003.00|29144|Water Utility|WATER|2|Revenue Bonds|Distribution System|618982.50|60051.50 2022|Hamilton|29|3|0640|2|ATLANTA CIVIL TOWN|3|29-004.00|29147||WATER|1|General Obligation Bonds|Waterworks|133119.25|43906.00 2022|Hamilton|29|3|0640|2|ATLANTA CIVIL TOWN|3|29-004.00|29685||SEWER/STORM WATER CONSTRUCTION|1|General Obligation Bonds|Storm Water/Waste Water Construction|210000.00|37025.00 2022|Hamilton|29|3|0640|2|ATLANTA CIVIL TOWN|3|29-004.00|29147||WATER|10|Notes and Loans Payable - Long Term|Equipment Lease-Purchase|10927.00|860.00 2022|Hamilton|29|3|0640|2|ATLANTA CIVIL TOWN|3|29-004.00|29146||WASTEWATER|2|Revenue Bonds|Sewage Works Rev. Bond Series 2015 (SIL)|14167.14|16381.20 2022|Hamilton|29|3|0641|2|CICERO CIVIL TOWN|3|29-005.00|0||Governmental Activities|1|General Obligation Bonds||840000.00|55000.00 2022|Hamilton|29|3|0641|2|CICERO CIVIL TOWN|3|29-005.00|29148||WASTEWATER|2|Revenue Bonds|I & I Project|1615452.05|79377.00 2022|Hamilton|29|3|0641|2|CICERO CIVIL TOWN|3|29-005.00|29148||WASTEWATER|2|Revenue Bonds|Repair of Sewer Lines|920000.00|70000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds 2020B|4130000.00|100000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds 2021|.00|.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018A|3830000.00|35000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018B|380000.00|185000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018C Fire Station 91|5600000.00|825000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2022A|5070000.00|5070000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2022B|5070000.00|5070000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Refunding Bonds of 2021|2150000.00|125000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|GO 2007 - Ambassador House / Olio Fields Lights|560000.00|130000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|GO 2009A - Park Improvements|790000.00|120000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|GO 2011 - Geist Roads|2155000.00|220000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|GO 2012 - Refinance 2002 GO FS95 & BMV|.00|.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Revenue Bond Anticipation Notes, Series 2021|6460000.00|.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Revenue Bond Anticipation Notes, Series 2021B|15725000.00|.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Revenue Bonds Series 2020|10305000.00|430000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Revenue Bonds, Series 2019|12400000.00|545000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Revenue Bonds, Series 2021|7015000.00|295000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Revenue Refunding Bonds of 2020, Series A|3040000.00|1515000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Revenue Refunding Bonds of 2020, Series B|14190000.00|1475000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|RDA Lease Rental Revenue Bonds, Series 2018 Geist Park|9565000.00|465000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds, Series 2018 Fire Station 93|3140000.00|415000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Refunding District Bonds - Series 2017A1|9535000.00|605000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Refunding District Bonds - Series 2017B|4255000.00|270000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Refunding District Bonds - Series 2017C|2825000.00|205000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Taxable Economic Development Revenue Bond Anticipation Notes,|.00|.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Taxable Economic Development Revenue Bonds, Series 2016A (Downtown Projects)|15550000.00|970000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Taxable Economic Revenue Development Bonds, Series 2019B|15180000.00|90000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Taxable General Obligation Refunding Bonds, Series 2020A|5395000.00|720000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|Taxable Lease Rental Revenue Bond Anticipation Notes, Series 2021C|23350000.00|23350000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|THBC Lease Rental Bonds - 2018 Police Station|12800000.00|625000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|1|General Obligation Bonds|THBC Lease Rental Revenue Bonds 2022A (City Hall)|16195000.00|135000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|COIT Lease Rental Refunding - 2016 Rfding of 2005 Refinance 2000 Issue - YMCA|.00|.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|COIT Revenue Bonds, Series 2016 (Downtown Projects)|5590000.00|330000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bond Anticipation Notes, Series 2022|90000000.00|90000000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|Local Income Tax Revenue Refunding Bonds, 2019|2425000.00|335000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|RDA Lease Rental Revenue 2015 - 96th & Allisonville|8385000.00|565000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|RDA Lease Rental Revenue Bonds, Series 2016A - 116th St|8890000.00|590000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|RDA Lease Rental Revenue Bonds, Series 2016B - SR 37|8560000.00|515000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|RDA Lease Rental Revenue Refunding 2012 - Refund 2003 -116th/126th/paths|2035000.00|785000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bond Anticipation Notes, Series 2020A|.00|.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, 2018C (North Of North)|20855000.00|740000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Refunding Bonds, Series 2020 (Fishers Station)|13030000.00|740000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|Taxable Redevelopment District Refunding Bonds, Series 2020|4325000.00|325000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|THBC First Mortgate 2011 - Fire Stations 96 & 92|2200000.00|225000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|0||Governmental Activities|2|Revenue Bonds|THBC Lease Rental Revenue Bonds - Ampitheater|5685000.00|295000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|29150|Wastewater|WASTEWATER|2|Revenue Bonds|Sewer 2016 - Misc Sewer Projects|9655000.00|630000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|29150|Wastewater|WASTEWATER|2|Revenue Bonds|Sewer 2017 - Misc Sewer Projects|11950000.00|325000.00 2022|Hamilton|29|3|0642|2|FISHERS CIVIL CITY|2|29-006.00|29150|Wastewater|WASTEWATER|2|Revenue Bonds|Sewer 2021 - HSE Acqusition|86885000.00|1295000.00 2022|Hamilton|29|3|0643|2|SHERIDAN CIVIL TOWN|3|29-007.00|0||Governmental Activities|1|General Obligation Bonds|Pay for necessary Capital Expenditures involving the Equipping of Fire,, Police, Park & MVH|700000.00|35000.00 2022|Hamilton|29|3|0643|2|SHERIDAN CIVIL TOWN|3|29-007.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|POLICE BODY CAMERA 2021|1350.49| 2022|Hamilton|29|3|0643|2|SHERIDAN CIVIL TOWN|3|29-007.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|POLICE BODY CAMERAS|35847.90| 2022|Hamilton|29|3|0643|2|SHERIDAN CIVIL TOWN|3|29-007.00|0||Governmental Activities|2|Revenue Bonds|Redevelopmet District Tax Increment Revenue Bonds 2015|1040000.00|110000.00 2022|Hamilton|29|3|0643|2|SHERIDAN CIVIL TOWN|3|29-007.00|29792|Storm Water|Storm Water|2|Revenue Bonds|Stormwater District Revenue Bonds of 2018|2231000.00|39000.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds Series 2022 - Purchase/Lease of vehicles, equipment, & certain road projects|5815000.00|2810000.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2017 - Equipment purchases|.00|.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|1|General Obligation Bonds|General Obligaton Bonds, Series 2019 - Purchase/lease of vehicles, equipment & certain road projects|2300000.00|1130000.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|1|General Obligation Bonds|General Obligaton Bonds, Series 2020 - Purchase/lease of vehicles, equipment & certain road projects|3350000.00|1110000.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City of Westfield, Indiana 4.50% Senior Secured Note|22655853.62|775644.04 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Local Income Tax Bond Anticipation Notes of 2019 - Grand Junction Project|34990000.00|.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|2016 Tax Increment Bonds - Road improvements|3635000.00|185000.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|2017 Tax Increment Refunding Revenue Bonds - refunded 2009 Bonds|4070000.00|490000.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|2022 Taxable Economic Development Lease Rental Revenu Bonds (Union Sq.)|12250000.00|.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|Building Corporation Lease Rental Bonds, Series 2022 A&B (Fire Station Bonds)|13850000.00|.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2012B - Road Project|1090000.00|70000.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2021A (Wheeler)|4175295.82|.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2022B (Wheeler)|2750000.00|.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|Taxable ED Revenue Bonds, Series 2020 (Spring Mill Centre Project) - Developer Bonds|1500000.00|.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|0||Governmental Activities|2|Revenue Bonds|Taxable ED Tax Increment Revenue Bonds, Series 2020 (SEP Project) - Developer Bonds|3350000.00|.00 2022|Hamilton|29|3|0644|2|WESTFIELD CIVIL CITY|2|29-008.00|29799||Stormwater|2|Revenue Bonds|Storm Water District Revenue Bonds of 2017|1685000.00|320000.00 2022|Hamilton|29|4|3005||HAMILTON SOUTHEASTERN SCHOOL CORPORATION|5|29-022.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2019|| 2022|Hamilton|29|4|3005||HAMILTON SOUTHEASTERN SCHOOL CORPORATION|5|29-022.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2021|| 2022|Hamilton|29|4|3005||HAMILTON SOUTHEASTERN SCHOOL CORPORATION|5|29-022.00|0||Governmental Activities|1|General Obligation Bonds|Genral Obligation Bonds of 2017B|| 2022|Hamilton|29|4|3005||HAMILTON SOUTHEASTERN SCHOOL CORPORATION|5|29-022.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds|| 2022|Hamilton|29|4|3025||HAMILTON HEIGHTS SCHOOL CORPORATION|5|29-021.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond|| 2022|Hamilton|29|4|3025||HAMILTON HEIGHTS SCHOOL CORPORATION|5|29-021.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2890 Technology|| 2022|Hamilton|29|4|3025||HAMILTON HEIGHTS SCHOOL CORPORATION|5|29-021.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2910 Technology|| 2022|Hamilton|29|4|3030||WESTFIELD-WASHINGTON SCHOOL CORPORATION|5|29-023.00|0||Governmental Activities|1|General Obligation Bonds|2018 GO-Renovations and improvements throughout the district|| 2022|Hamilton|29|4|3030||WESTFIELD-WASHINGTON SCHOOL CORPORATION|5|29-023.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO-Renovations and improvements throughout the district|| 2022|Hamilton|29|4|3030||WESTFIELD-WASHINGTON SCHOOL CORPORATION|5|29-023.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO-Renovations and improvements throughout the district|| 2022|Hamilton|29|4|3055||SHERIDAN COMMUNITY SCHOOLS|5|29-018.00|0||Governmental Activities|1|General Obligation Bonds|First Mortage Baonds Series 2008/Refinance 2015|| 2022|Hamilton|29|4|3055||SHERIDAN COMMUNITY SCHOOLS|5|29-018.00|0||Governmental Activities|1|General Obligation Bonds|First Mortage Bonds, Series 2021|| 2022|Hamilton|29|4|3055||SHERIDAN COMMUNITY SCHOOLS|5|29-018.00|0||Governmental Activities|1|General Obligation Bonds|First Mortage Bonds, Series 2022|| 2022|Hamilton|29|4|3055||SHERIDAN COMMUNITY SCHOOLS|5|29-018.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond, Series 2005|| 2022|Hamilton|29|4|3055||SHERIDAN COMMUNITY SCHOOLS|5|29-018.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Pension Bond 2006|| 2022|Hamilton|29|4|3055||SHERIDAN COMMUNITY SCHOOLS|5|29-018.00|0||Governmental Activities|1|General Obligation Bonds|QZAB|| 2022|Hamilton|29|4|3060||CARMEL-CLAY SCHOOL CORPORATION|5|29-020.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds, Series 2019|| 2022|Hamilton|29|4|3060||CARMEL-CLAY SCHOOL CORPORATION|5|29-020.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds, Series 2021|| 2022|Hamilton|29|4|3070||NOBLESVILLE SCHOOL CORPORATION|5|29-019.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2019|| 2022|Hamilton|29|4|3070||NOBLESVILLE SCHOOL CORPORATION|5|29-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan -A2882|| 2022|Hamilton|29|4|3070||NOBLESVILLE SCHOOL CORPORATION|5|29-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan -A2921|| 2022|Hamilton|29|4|3070||NOBLESVILLE SCHOOL CORPORATION|5|29-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan -B0018|| 2022|Hamilton|29|5|0075|2|HAMILTON NORTH PUBLIC LIBRARY|6|29-030.00|0||Governmental Activities|1|General Obligation Bonds|Expansion and Renovation Upgrade of Cicero Building|2380000.00|50000.00 2022|Hamilton|29|5|0075|2|HAMILTON NORTH PUBLIC LIBRARY|6|29-030.00|0||Governmental Activities|1|General Obligation Bonds|Maintenance on Cicero & Atlanta Buildings|800000.00|120000.00 2022|Hamilton|29|5|0076|2|CARMEL-CLAY PUBLIC LIBRARY|6|29-027.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2020|26235000.00|1545000.00 2022|Hamilton|29|5|0077|2|HAMILTON EAST PUBLIC LIBRARY|6|29-026.00|0||Governmental Activities|1|General Obligation Bonds|Improvements Renovations to Noblesville and Fishers|7720000.00|755000.00 2022|Hamilton|29|5|0077|2|HAMILTON EAST PUBLIC LIBRARY|6|29-026.00|0||Governmental Activities|1|General Obligation Bonds|Improvements Renovations to Noblesville and Fishers|24270000.00|605000.00 2022|Hamilton|29|5|0077|2|HAMILTON EAST PUBLIC LIBRARY|6|29-026.00|0||Governmental Activities|14|Other - Long Term|Ad Valorem Debt Service|1040000.00|1040000.00 2022|Hamilton|29|5|0079|2|WESTFIELD PUBLIC LIBRARY|6|29-029.00|0||Governmental Activities|1|General Obligation Bonds|Paying the costs of the New Construction of the Library Building|16430000.00|415000.00 2022|Hamilton|29|5|0079|2|WESTFIELD PUBLIC LIBRARY|6|29-029.00|0||Governmental Activities|1|General Obligation Bonds|Paying the costs of the renovation and construction of all impreovements of the Library|305000.00|305000.00 2022|Hamilton|29|5|0079|2|WESTFIELD PUBLIC LIBRARY|6|29-029.00|0||Governmental Activities|1|General Obligation Bonds|Paying the costs of the renovation and construction of all improvements to the Library|100000.00|100000.00 2022|Hamilton|29|6|0035|2|TriCo Regional Sewer Utility|21|29-035.00|29996||Wastewater|2|Revenue Bonds|2020 Plant Expansion|20550000.00|850000.00 2022|Hamilton|29|8|0001|2|Westfield Redevelopment Authority|36|29-031.00|0||Governmental Activities|2|Revenue Bonds|2016 COIT Lease Rental Bonds - redeemed 2011/2012 BAN's & land acquisition|22595000.00|1380000.00 2022|Hamilton|29|8|0001|2|Westfield Redevelopment Authority|36|29-031.00|0||Governmental Activities|2|Revenue Bonds|2018 LIT Lease Rental Bonds - redeemed 2013 BAN's|22895000.00|925000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|2005 Performing Arts Center Redevelopment Authority|16996628.00|1926494.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|2012B Lease Rental Multipurpose Redevelopment Authority|13820000.00|7750000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|2014 City of Carmel (IN) Redevelopment Authority COIT Lease Rental Revenue Bonds Series 2014B|22545000.00|4595000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|Ad Valorem Property Tax Lease Rental Bond, Series 2021|54225000.00|.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel (Indiana) Redevelopment Commission Lease Rental Revenue Refunding Bonds of 2011 - Refi 2004 Road Bond West Clay|2680000.00|2680000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Ad Valorem Property Tax Lease Rental Bonds, Series 2022|62450000.00|2150000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Lease Rental Bonds, Series 2016A (Public Infrastructure)|125342000.00|3663000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Lease Rental Bonds, Series 2016B (Economic Development Projects)|7920000.00|858000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Lease Rental Bonds, Series 2017B-1|31045000.00|415000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Lease Rental Bonds, Series 2017B-2|22745000.00|345000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Lease Rental Bonds, Series 2019A-1 (LIT/SBT)|5955000.00|1235000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Lease Rental Bonds, Series 2019A-2 (TIF/SBT)|6515000.00|435000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Lease Rental Refunding Bonds, Series 2016C (Energy Center)|11450000.00|685000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority LIT Lease Rental Refunding Bonds, Series 2017 Private Placement|17165000.00|1850000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Taxable Lease Rental Bonds, Series 2016D (Midtown Phase 1A Projects)|9385000.00|395000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Taxable Lease Rental Bonds, Series 2017A (Midtown South Project)|6850000.00|265000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Taxable Lease Rental Bonds, Series 2017C-1|405000.00|90000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|City of Carmel Redevelopment Authority Taxable Lease Rental Bonds, Series 2017C-2|13205000.00|885000.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|Taxable Lease Rental Revenue Refunding Bonds, Series 2020A|125195000.00|.00 2022|Hamilton|29|8|0023|2|CARMEL REDEVELOPMENT AUTHORITY|36|29-047.00|0||Governmental Activities|2|Revenue Bonds|Taxable Lease Rental Revenue Refunding Bonds, Series 2020B|60285000.00|830000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|1|General Obligation Bonds|Ec Development Refunding Bonds 2013 Little Chicago Road|.00|.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Ec Dev Lease Rental Bonds of 2016 (Stoney Creek)|2975000.00|365000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Ec Dev Lease Rental Refunding Bonds of 2015 (Hazel Dell Rd)|11575000.00|1670000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Ec Dev Refunding Bonds 2014 Series B (Hamilton Town Center)|12055000.00|1125000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Ec Development Lease Rental Refunding Bonds of 2012 Series A|.00|.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Ec Development Lease Rental Refunding Bonds of 2012 Series B|.00|.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Lease Rental Refund Bonds of 2020 (146th St)|22480000.00|2795000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Lease Bond 2010 Union Chapel Road Phase III|.00|.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Bonds of 2020 (Olio Rd)|4155000.00|195000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Refunding Bond 2010|.00|.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Refunding Bonds of 2009 Stoney Creek TIF|.00|.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Refunding Bonds of 2016 (SMC Project)|7180000.00|775000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Refunding Bonds of 2016 (Union Chapel Road)|7300000.00|975000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Refunding Bonds of 2022|13565000.00|3005000.00 2022|Hamilton|29|8|0041|2|Noblesville Redevelopment Authority|36|29-041.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Lease Rental Bonds of 2015 (Federal Hill)|4860000.00|195000.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2022A|1250000.00|120000.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2022B|5575000.00|.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2011|.00|.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds of 2019|3960000.00|550000.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds of 2021|5575000.00|525000.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds of 2020 (HRH Project)|22100000.00|.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds of 2020 (Ninestar Project)|3700000.00|.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2022 (HRH Project)|8500000.00|.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|2|Revenue Bonds|Redevlopment District Refunding Bonds of 2017|6235000.00|740000.00 2022|Hancock|30|1|0000|2|HANCOCK COUNTY|1|30-000.00|0||Governmental Activities|2|Revenue Bonds|Revenue Bond of 2011 Purchase of Enhanced 911 AT & T|.00|.00 2022|Hancock|30|2|0002|2|BRANDYWINE TOWNSHIP|7|30-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|107385.48|44820.20 2022|Hancock|30|2|0008|2|SUGAR CREEK TOWNSHIP|7|30-014.00|0||Governmental Activities|1|General Obligation Bonds|Fire Protection General Obligation Bonds, Series 2020 A|1090000.00|280000.00 2022|Hancock|30|2|0009|2|VERNON TOWNSHIP|7|30-015.00|0||Governmental Activities|1|General Obligation Bonds|2019 Ambulance|.00|.00 2022|Hancock|30|2|0009|2|VERNON TOWNSHIP|7|30-015.00|0||Governmental Activities|1|General Obligation Bonds|2021 Sparton Top Mount Pumpers|848176.00|188581.00 2022|Hancock|30|2|0009|2|VERNON TOWNSHIP|7|30-015.00|0||Governmental Activities|2|Revenue Bonds|Fire Station Construction|2616000.00|456000.00 2022|Hancock|30|2|0009|2|VERNON TOWNSHIP|7|30-015.00|0||Governmental Activities|2|Revenue Bonds|Vernon Twp Buliding Corp - Series 2021|7120000.00|922000.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds of 2016 - Fire Station expansion|2245000.00|235000.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds of 2017 - splash pad|1365000.00|185000.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds of 2018 - pool renovation|2695000.00|190000.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|29155||WASTEWATER|14|Other - Long Term|Sewage Works Bond Anticipation Notes, Series 2021|.00|.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|29155||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond 2014|8820000.00|530000.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|29155||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds Series 2022A|70308000.00|.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|29155||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds Seroes 2022B|5692000.00|.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|29156||WATER|2|Revenue Bonds|Waterworks Ref Rev Bond of 2015, Series B Ameriana|677000.00|332000.00 2022|Hancock|30|3|0400|2|GREENFIELD CIVIL CITY|2|30-001.00|29156||WATER|2|Revenue Bonds|Waterworks Ref Rev Bond of 2015, Series B Greenfield Bank|613045.00|293000.00 2022|Hancock|30|3|0645|2|FORTVILLE CIVIL TOWN|3|30-002.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bond|590000.00|100000.00 2022|Hancock|30|3|0645|2|FORTVILLE CIVIL TOWN|3|30-002.00|0||Governmental Activities|1|General Obligation Bonds|Bond Antipication Note - MPO Road Constuction Project|730222.70|730222.70 2022|Hancock|30|3|0645|2|FORTVILLE CIVIL TOWN|3|30-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2021 Lease & Rental Bonds|2710000.00|165000.00 2022|Hancock|30|3|0645|2|FORTVILLE CIVIL TOWN|3|30-002.00|29158|The Town has a wastewater utility.|WASTEWATER|2|Revenue Bonds|SEWAGE WORKS IMPROVEMENTS 2005|415000.00|100000.00 2022|Hancock|30|3|0645|2|FORTVILLE CIVIL TOWN|3|30-002.00|29158|The Town has a wastewater utility.|WASTEWATER|2|Revenue Bonds|SEWAGE WORKS IMPROVEMENTS REVENUE A 2004|465000.00|150000.00 2022|Hancock|30|3|0645|2|FORTVILLE CIVIL TOWN|3|30-002.00|29158|The Town has a wastewater utility.|WASTEWATER|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS 2012|1845000.00|290000.00 2022|Hancock|30|3|0645|2|FORTVILLE CIVIL TOWN|3|30-002.00|29159|The Town has a water utility.|WATER|2|Revenue Bonds|2021 WATER Bond|10660000.00|.00 2022|Hancock|30|3|0645|2|FORTVILLE CIVIL TOWN|3|30-002.00|29159|The Town has a water utility.|WATER|2|Revenue Bonds|WATER TOWER AT HIGH SCHOOL 2009|.00|.00 2022|Hancock|30|3|0646|2|NEW PALESTINE CIVIL TOWN|3|30-003.00|29160|SEWER/STORMWATER|WASTEWATER UTILITY|14|Other - Long Term|2020 WW Bond Anticipation Note|.00|.00 2022|Hancock|30|3|0646|2|NEW PALESTINE CIVIL TOWN|3|30-003.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bond of 2020 (Wellness Project)|7200000.00|.00 2022|Hancock|30|3|0646|2|NEW PALESTINE CIVIL TOWN|3|30-003.00|29160|SEWER/STORMWATER|WASTEWATER UTILITY|2|Revenue Bonds|2017 WW SRF Bonds - Wastewater Plant Expansion|2939532.00|160000.00 2022|Hancock|30|3|0647|2|SHIRLEY CIVIL TOWN|3|30-004.00|29161|provides wastewater services and treatment for town|WASTEWATER UTILITY|10|Notes and Loans Payable - Long Term|SRF Wastewater 2018|744000.00|12000.00 2022|Hancock|30|3|0966|2|MCCORDSVILLE CIVIL TOWN|3|30-023.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond, Series 2022|1773500.00|334000.00 2022|Hancock|30|3|0966|2|MCCORDSVILLE CIVIL TOWN|3|30-023.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds (HRH Project) 2014|1767000.00|77000.00 2022|Hancock|30|3|0966|2|MCCORDSVILLE CIVIL TOWN|3|30-023.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bons (Rebar) 2022|6015000.00|.00 2022|Hancock|30|3|0966|2|MCCORDSVILLE CIVIL TOWN|3|30-023.00|30045|Wastewater Treatment Plant|WWTP|2|Revenue Bonds|Wastewater Treatment Plant Expansion|5345000.00|215000.00 2022|Hancock|30|4|3115||SOUTHERN HANCOCK COUNTY COMMUNITY SCHOOL|5|30-019.00|0||Governmental Activities|1|General Obligation Bonds|Buses, Building Maintenance & Repairs|| 2022|Hancock|30|4|3125||GREENFIELD CENTRAL COMMUNITY SCHOOL CORPORATION|5|30-017.00|0||Governmental Activities|1|General Obligation Bonds|2020|| 2022|Hancock|30|4|3125||GREENFIELD CENTRAL COMMUNITY SCHOOL CORPORATION|5|30-017.00|0||Governmental Activities|1|General Obligation Bonds|QSCB|| 2022|Hancock|30|4|3135||MT. VERNON COMMUNITY SCHOOL CORPORATION|5|30-018.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2019|| 2022|Hancock|30|4|3135||MT. VERNON COMMUNITY SCHOOL CORPORATION|5|30-018.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2021|| 2022|Hancock|30|4|3135||MT. VERNON COMMUNITY SCHOOL CORPORATION|5|30-018.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Pension Bonds of 2006|| 2022|Hancock|30|4|3145||EASTERN HANCOCK COUNTY COMMUNITY SCHOOL|5|30-016.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2019|| 2022|Hancock|30|5|0081|2|HANCOCK COUNTY PUBLIC LIBRARY|6|30-022.00|0||Governmental Activities|2|Revenue Bonds|Build Main Library Building|415000.00|415000.00 2022|Hancock|30|5|0081|2|HANCOCK COUNTY PUBLIC LIBRARY|6|30-022.00|0||Governmental Activities|2|Revenue Bonds|Sugar Creek Branch Building|4330000.00|200000.00 2022|Harrison|31|3|0650|2|CORYDON CIVIL TOWN|3|31-001.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds, Series 2017|455000.00|80000.00 2022|Harrison|31|3|0650|2|CORYDON CIVIL TOWN|3|31-001.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Redevelopment District Bonds, Series 2017|420000.00|80000.00 2022|Harrison|31|3|0650|2|CORYDON CIVIL TOWN|3|31-001.00|29164||WASTEWATER|2|Revenue Bonds|Sewage Works, Series 2017|940000.00|50000.00 2022|Harrison|31|3|0650|2|CORYDON CIVIL TOWN|3|31-001.00|29164||WASTEWATER|2|Revenue Bonds|Sewage Works, Series 2019|5490000.00|260000.00 2022|Harrison|31|3|0650|2|CORYDON CIVIL TOWN|3|31-001.00|29165||WATER|2|Revenue Bonds|Water Works, Series 2019|3840000.00|175000.00 2022|Harrison|31|3|0652||ELIZABETH CIVIL TOWN|3|31-003.00|0||Governmental Activities|1|General Obligation Bonds|water utility bond debt|| 2022|Harrison|31|3|0654|2|LANESVILLE CIVIL TOWN|3|31-005.00|29169|yes|WATER|1|General Obligation Bonds|Refinanced with SRF Waterworks Bonds|1256497.73|51999.96 2022|Harrison|31|3|0658|2|PALMYRA CIVIL TOWN|3|31-009.00|29678|Water Utility|Water Utility|2|Revenue Bonds|2003 STATE REVOLVING FUND LOAN - WATER TOWER|110000.00|110000.00 2022|Harrison|31|3|0658|2|PALMYRA CIVIL TOWN|3|31-009.00|29679|Wastewater Utility|Wastewater Utility|2|Revenue Bonds|2002 RURAL DEVELOPMENT LOAN - WWTP EXPANSION|398400.00|12000.00 2022|Harrison|31|4|3160||LANESVILLE SCHOOL CORPORATION|5|31-028.00|0||Governmental Activities|1|General Obligation Bonds|First Mortgage Refunding Bonds|| 2022|Harrison|31|4|3160||LANESVILLE SCHOOL CORPORATION|5|31-028.00|0||Governmental Activities|1|General Obligation Bonds|Qualified School Construction Bonds|| 2022|Harrison|31|4|3180||NORTH HARRISON COMMUNITY SCHOOL CORPORATION|5|31-011.00|0||Governmental Activities|1|General Obligation Bonds|Physical Education Facility|| 2022|Harrison|31|6|0034|2|HARRISON CO REGIONAL SEWER DISTRICT|21|31-034.00|29997||Harrison County Regional Sewer Diatrist|10|Notes and Loans Payable - Long Term|Pay for new effluent main|225100.00|49800.00 2022|Harrison|31|6|0341|2|Harrison Township Fire Protection District|18|31-036.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|New Truck|805103.61|151618.32 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|1|General Obligation Bonds|2021 GOB|4920000.00|1370000.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|1|General Obligation Bonds|Series 2016 Work Release Center|1985000.00|450000.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|2|Revenue Bonds|70 West Commerce TIF Series 2013A|.00|.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|2|Revenue Bonds|70 West Commerce TIF Series 2013B|.00|.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|2|Revenue Bonds|Gateway Park Project|7500000.00|.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|2|Revenue Bonds|Heartland Crossing TIF Series 2015|.00|.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|2|Revenue Bonds|Series 2021 70 West|20230000.00|680000.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|2|Revenue Bonds|Transportation Series 2012|.00|.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|2|Revenue Bonds|Transportation Series 2017|3580000.00|255000.00 2022|Hendricks|32|1|0000|2|HENDRICKS COUNTY|1|32-000.00|0||Governmental Activities|2|Revenue Bonds|Westpoint TIF|3910000.00|.00 2022|Hendricks|32|2|0002||CENTER TOWNSHIP|7|32-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|To Purchase Fire Equipment|| 2022|Hendricks|32|2|0010|2|MIDDLE TOWNSHIP|7|32-020.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Tanker 111|262927.37| 2022|Hendricks|32|2|0012|2|WASHINGTON TOWNSHIP|7|32-022.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Refunding Bonds 2013|.00|.00 2022|Hendricks|32|2|0012|2|WASHINGTON TOWNSHIP|7|32-022.00|0||Governmental Activities|1|General Obligation Bonds|Park District Refunding, Series 2014|.00|.00 2022|Hendricks|32|2|0012|2|WASHINGTON TOWNSHIP|7|32-022.00|0||Governmental Activities|14|Other - Long Term|Murphy Park Bond - Series 2021|14731000.00|1287000.00 2022|Hendricks|32|2|0012|2|WASHINGTON TOWNSHIP|7|32-022.00|0||Governmental Activities|14|Other - Long Term|Station 144 Bond - Series 2020|4173000.00|417000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|1|General Obligation Bonds|2015 GO Bond-Mixed Use Development|655000.00|210000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|1|General Obligation Bonds|2016 GO Bond-WWTP|835000.00|205000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|1|General Obligation Bonds|2017 GO Bond-Infrastructure Improvements|935000.00|145000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|1|General Obligation Bonds|2018 GO Bond - Road Improvements|1935000.00|290000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond - Street, Intersection, Sewer and HVAC improvements|2185000.00|510000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO Bond - Street & Infrastructure|1985000.00|990000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|1|General Obligation Bonds|2022 GO Bond: Public Infrastructure|4400000.00|1020000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Grant Purchase Agreement - The Arbuckle Commons Parking Garage|6985000.00|25000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Installment Purchase Contract - Union Green Parking Garage|4174023.00|140317.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|2|Revenue Bonds|2022 Redevelop Dist. Bond Raceway Blvd. Project|2600000.00|125000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|2|Revenue Bonds|Econ Redev. Special Revenue Tax Bonds Series 2013A $2,580,000 at Wynne Farms|1585000.00|125000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|2|Revenue Bonds|Park District Bond 2019|4370000.00|65000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds, Series 2018 - Wynne Farms|2620000.00|165000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds of 2016 HRH|1805000.00|120000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29170|Ground water control|STORM WATER|2|Revenue Bonds|Brownsburg Municipal Sewage Works Refunding Revenue Bond 2019|3105000.00|285000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29171|Sewage treatment|WASTEWATER|2|Revenue Bonds|\tBrownsburg Municipal Sewage Works Revenue Bonds, Series 2016|13338000.00|134000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29171|Sewage treatment|WASTEWATER|2|Revenue Bonds|2022 Sewage Works Refunding and Revenue Bonds|6295000.00|880000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29171|Sewage treatment|WASTEWATER|2|Revenue Bonds|Brownsburg Municipal Sewage Works Revenue Bonds, Series 2009 A (CSO)|.00|.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29171|Sewage treatment|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2021 Series A|1697000.00|74000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29171|Sewage treatment|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds Series 2021B|2011000.00|5000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29172|Water treatment|WATER|2|Revenue Bonds|Waterworks Revenue Bonds for $2,000,000 Series 2003|150000.00|150000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29172|Water treatment|WATER|2|Revenue Bonds|Waterworks Revenue Bonds for $4,750,000 Series 2011A|3120000.00|167000.00 2022|Hendricks|32|3|0502|2|BROWNSBURG CIVIL TOWN|3|32-002.00|29172|Water treatment|WATER|2|Revenue Bonds|Waterworks Revenue Bonds for $987,000 Series 2012B|370000.00|36000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2021|4365000.00|1230000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Refunding Bonds, Series 2021|1740000.00|265000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds - 2018 - Park and Roadway Projects|5795000.00|785000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Promissory Note 2020 Hochreiter Land Purchase|601757.78|67617.50 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|14|Other - Long Term|AD VALOREM PROPERTY TAX LEASE RENTAL BONDS, SERIES 2016A|5145000.00|550000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|14|Other - Long Term|AD VALOREM PROPERTY TAX LEASE RENTAL BONDS, SERIES 2016B|3235000.00|.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|14|Other - Long Term|Build Operate Transfer 2018 (Parking Facility)|6806000.00|206000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|LEASE RENTAL REVENUE BONDS OF 2015, SERIES A (US 40 PROJECT)|12310000.00|350000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds of 2015, Series D (Ronald Reagan Project)|9430000.00|260000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds of 2020, Series A (MADE@Plainfield Project)|30730000.00|1445000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds of 2021, Series A (Government Center Project)|21175000.00|945000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Refunding Bonds, Series 2014 (High School Road Project)|2860000.00|1105000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Plainfield Redevelopment Authority Lease Rental Revenue Bonds of 2015, Series C|10095000.00|440000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|PLAINFIELD REDEVELOPMENT AUTHORITY LEASE RENTAL REVENUE BONDS OF 2016|6675000.00|1020000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District bonds of 2015 (SR 267 Project)|2495000.00|110000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds of 2019|5940000.00|120000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Taxable Tax Increment Rev Bonds 2019|3830000.00|265000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Taxable Lease Rental Refunding Revenue Bonds of 2021, Series B (Ronald Reagan Corridor Project)|17835000.00|1140000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|TAXABLE LEASE RENTAL REVENUE BONDS OF 2015, SERIES B (METROPOLIS PROJECT)|4500000.00|555000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Taxable Lease Rental Revenue Bonds of 2022, Series A (Performing and Fine Arts Center Project)|21955000.00|280000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Taxable Lease Rental Revenue Bonds of 2022, Series B (Performing and Fine Arts Center Project)|4885000.00|95000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|0||Governmental Activities|2|Revenue Bonds|Taxable Lease Rental Revenue Bonds of 2022, Series C (Hobbs Station Project)|21370000.00|.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|29174|Waste Water Revenue|WASTEWATER|2|Revenue Bonds|PLAINFIELD SEWAGE WORKS REVENUE BONDS, SERIES 2011A|1562000.00|174000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|29174|Waste Water Revenue|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2017 (After Partial Redemption)|3760000.00|240000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|29174|Waste Water Revenue|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2020, Series B|5830000.00|390000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|29174|Waste Water Revenue|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2015|17925000.00|810000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|29174|Waste Water Revenue|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020, Series A|14830000.00|.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|29174|Waste Water Revenue|WASTEWATER|2|Revenue Bonds|Sewer Infrastructure Sewage Works RRB of 2012|3120000.00|985000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|29175|Water Revenue|WATER|2|Revenue Bonds|Plainfield Waterworks Utility Revenue Bonds of 2009|1142000.00|145000.00 2022|Hendricks|32|3|0503|2|PLAINFIELD CIVIL TOWN|3|32-009.00|29175|Water Revenue|WATER|2|Revenue Bonds|Water Infrastructure Waterworks Revunue Bonds of 2013|535000.00|535000.00 2022|Hendricks|32|3|0660|2|CLAYTON CIVIL TOWN|3|32-003.00|29176|Sewer|WASTEWATER|1|General Obligation Bonds|Sewage Works Revenue Bonds, Series 2021B|820000.00|16000.00 2022|Hendricks|32|3|0660|2|CLAYTON CIVIL TOWN|3|32-003.00|29176|Sewer|WASTEWATER|10|Notes and Loans Payable - Long Term|Sewage Works revenue bonds, Series 2021A|639000.00|30000.00 2022|Hendricks|32|3|0660|2|CLAYTON CIVIL TOWN|3|32-003.00|29176|Sewer|WASTEWATER|11|Notes and Loans Payable - Short Term|Sewage Works BAN, Series 2020|.00| 2022|Hendricks|32|3|0662|2|DANVILLE CIVIL TOWN|3|32-005.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2020|154000.00|154000.00 2022|Hendricks|32|3|0662|2|DANVILLE CIVIL TOWN|3|32-005.00|0||Governmental Activities|1|General Obligation Bonds|PARK BONDS 2014|1062000.00|144000.00 2022|Hendricks|32|3|0662|2|DANVILLE CIVIL TOWN|3|32-005.00|0||Governmental Activities|1|General Obligation Bonds|PUBLIC WORKS/COMMUNICATION EQUIPMENT 2014|152000.00|152000.00 2022|Hendricks|32|3|0662|2|DANVILLE CIVIL TOWN|3|32-005.00|29179||WASTEWATER|2|Revenue Bonds|Sewage Works Bond Anticipation Notes, Series 2020|6000000.00|.00 2022|Hendricks|32|3|0662|2|DANVILLE CIVIL TOWN|3|32-005.00|29179||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Refunding Bonds Series 2015 A|2158100.00|2158100.00 2022|Hendricks|32|3|0662|2|DANVILLE CIVIL TOWN|3|32-005.00|29180||WATER|2|Revenue Bonds|Waterworks Bond Anticipation Notes, Series 2021|1810000.00|.00 2022|Hendricks|32|3|0662|2|DANVILLE CIVIL TOWN|3|32-005.00|29180||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2017|174000.00|174000.00 2022|Hendricks|32|3|0663|2|LIZTON CIVIL TOWN|3|32-006.00|29181||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2011|66000.00|32000.00 2022|Hendricks|32|3|0663|2|LIZTON CIVIL TOWN|3|32-006.00|29181||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 1998|718000.00|32000.00 2022|Hendricks|32|3|0663|2|LIZTON CIVIL TOWN|3|32-006.00|29181||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2003|33000.00|16000.00 2022|Hendricks|32|3|0664|2|NORTH SALEM CIVIL TOWN|3|32-007.00|29184||WATER|2|Revenue Bonds|2020 SRF DRINKING WATER PROJECTG|505879.99|29439.96 2022|Hendricks|32|3|0665|2|PITTSBORO CIVIL TOWN|3|32-008.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2021|204000.00|204000.00 2022|Hendricks|32|3|0665|2|PITTSBORO CIVIL TOWN|3|32-008.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2022|430000.00|210000.00 2022|Hendricks|32|3|0665|2|PITTSBORO CIVIL TOWN|3|32-008.00|0||Governmental Activities|2|Revenue Bonds|Indiana Economic Development Bonds, Series 2018 (Fleece Performance Project)|1630000.00|45000.00 2022|Hendricks|32|3|0665|2|PITTSBORO CIVIL TOWN|3|32-008.00|29188|operate and maintain the WWTP|WASTEWATER|2|Revenue Bonds|Wastewater Refunding Bond, Series 2013A|.00|.00 2022|Hendricks|32|3|0665|2|PITTSBORO CIVIL TOWN|3|32-008.00|29189|maintain water lines and services. purchase water from citizens energy to be sold to customers|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2019|6122000.00|204000.00 2022|Hendricks|32|3|0666|2|STILESVILLE CIVIL TOWN|3|32-010.00|29191|wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 1997 for Sewer Utility|304350.00|31550.00 2022|Hendricks|32|3|0969|2|AVON CIVIL TOWN|3|32-044.00|0||Governmental Activities|1|General Obligation Bonds|2016 GO Refunding Bonds|1340000.00|230000.00 2022|Hendricks|32|3|0969|2|AVON CIVIL TOWN|3|32-044.00|0||Governmental Activities|2|Revenue Bonds|2014 Avon Municipal Facilities Corp. First Mort. Refunding|545000.00|130000.00 2022|Hendricks|32|3|0969|2|AVON CIVIL TOWN|3|32-044.00|0||Governmental Activities|2|Revenue Bonds|2014 Avon Redevelopment District|2920000.00|400000.00 2022|Hendricks|32|3|0969|2|AVON CIVIL TOWN|3|32-044.00|0||Governmental Activities|2|Revenue Bonds|2016 EDIT Revenue Bonds|2365000.00|235000.00 2022|Hendricks|32|3|0969|2|AVON CIVIL TOWN|3|32-044.00|0||Governmental Activities|2|Revenue Bonds|2020 Avon Redevelopment District Econ Development Bonds|8950000.00|600000.00 2022|Hendricks|32|4|3295||NORTHWEST HENDRICKS SCHOOL CORPORATION|5|32-028.00|0||Governmental Activities|1|General Obligation Bonds|2009 School Construction Bonds|| 2022|Hendricks|32|4|3295||NORTHWEST HENDRICKS SCHOOL CORPORATION|5|32-028.00|0||Governmental Activities|1|General Obligation Bonds|2019 General Obligation Bond|| 2022|Hendricks|32|4|3295||NORTHWEST HENDRICKS SCHOOL CORPORATION|5|32-028.00|0||Governmental Activities|1|General Obligation Bonds|2021 General Obligation Bond|| 2022|Hendricks|32|4|3295||NORTHWEST HENDRICKS SCHOOL CORPORATION|5|32-028.00|0||Governmental Activities|1|General Obligation Bonds|Common School Loans|| 2022|Hendricks|32|4|3305||BROWNSBURG COMMUNITY SCHOOL CORPORATION|5|32-024.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018|| 2022|Hendricks|32|4|3305||BROWNSBURG COMMUNITY SCHOOL CORPORATION|5|32-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan - A0601|| 2022|Hendricks|32|4|3305||BROWNSBURG COMMUNITY SCHOOL CORPORATION|5|32-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan - A0609|| 2022|Hendricks|32|4|3305||BROWNSBURG COMMUNITY SCHOOL CORPORATION|5|32-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Qualified School Construction Bond, 2009|| 2022|Hendricks|32|4|3305||BROWNSBURG COMMUNITY SCHOOL CORPORATION|5|32-024.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Tax Anticipation Warrants to aid in Debt Service Cash Flow|| 2022|Hendricks|32|4|3315||AVON COMMUNITY SCHOOL CORPORATION|5|32-023.00|0||Governmental Activities|1|General Obligation Bonds|2015 Pension Bond - eliminate unfunded liability|| 2022|Hendricks|32|4|3315||AVON COMMUNITY SCHOOL CORPORATION|5|32-023.00|0||Governmental Activities|1|General Obligation Bonds|Avon 2020 GO Bond|| 2022|Hendricks|32|4|3315||AVON COMMUNITY SCHOOL CORPORATION|5|32-023.00|0||Governmental Activities|1|General Obligation Bonds|Avon 2021 GO Bond|| 2022|Hendricks|32|4|3315||AVON COMMUNITY SCHOOL CORPORATION|5|32-023.00|0||Governmental Activities|1|General Obligation Bonds|Recovery Zone Econmic Developmt Bond - additional intermed classrms|| 2022|Hendricks|32|4|3315||AVON COMMUNITY SCHOOL CORPORATION|5|32-023.00|0||Governmental Activities|1|General Obligation Bonds|School Severance Bond 2012 - eliminate unfunded liability|| 2022|Hendricks|32|4|3325||DANVILLE COMMUNITY SCHOOL CORPORATION|5|32-025.00|0||Governmental Activities|1|General Obligation Bonds|2021 General Obligation Bond|| 2022|Hendricks|32|4|3325||DANVILLE COMMUNITY SCHOOL CORPORATION|5|32-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan A1920|| 2022|Hendricks|32|4|3325||DANVILLE COMMUNITY SCHOOL CORPORATION|5|32-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan A2396|| 2022|Hendricks|32|4|3325||DANVILLE COMMUNITY SCHOOL CORPORATION|5|32-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan A2843|| 2022|Hendricks|32|4|3325||DANVILLE COMMUNITY SCHOOL CORPORATION|5|32-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan B0039|| 2022|Hendricks|32|4|3325||DANVILLE COMMUNITY SCHOOL CORPORATION|5|32-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan B0139|| 2022|Hendricks|32|4|3325||DANVILLE COMMUNITY SCHOOL CORPORATION|5|32-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan B0225|| 2022|Hendricks|32|4|3330||PLAINFIELD COMMUNITY SCHOOL CORPORATION|5|32-027.00|0||Governmental Activities|1|General Obligation Bonds|2003 Pension Bonds|| 2022|Hendricks|32|4|3330||PLAINFIELD COMMUNITY SCHOOL CORPORATION|5|32-027.00|0||Governmental Activities|1|General Obligation Bonds|2016 GO Bonds|| 2022|Hendricks|32|4|3330||PLAINFIELD COMMUNITY SCHOOL CORPORATION|5|32-027.00|0||Governmental Activities|1|General Obligation Bonds|2017 GO Bonds|| 2022|Hendricks|32|4|3330||PLAINFIELD COMMUNITY SCHOOL CORPORATION|5|32-027.00|0||Governmental Activities|1|General Obligation Bonds|2018 GO Bonds|| 2022|Hendricks|32|4|3330||PLAINFIELD COMMUNITY SCHOOL CORPORATION|5|32-027.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bonds|| 2022|Hendricks|32|4|3330||PLAINFIELD COMMUNITY SCHOOL CORPORATION|5|32-027.00|0||Governmental Activities|1|General Obligation Bonds|2022 GO Bonds|| 2022|Hendricks|32|4|3330||PLAINFIELD COMMUNITY SCHOOL CORPORATION|5|32-027.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|2021 Advance Fund Tax Anticipation Warrant|| 2022|Hendricks|32|4|3330||PLAINFIELD COMMUNITY SCHOOL CORPORATION|5|32-027.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|2022 Advance Fund Tax Anticipation Warrant|| 2022|Hendricks|32|4|3335||MILL CREEK COMMUNITY SCHOOL CORPORATION|5|32-026.00|0||Governmental Activities|1|General Obligation Bonds|renovations to existing schools|| 2022|Hendricks|32|4|3335||MILL CREEK COMMUNITY SCHOOL CORPORATION|5|32-026.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan - A0531|| 2022|Hendricks|32|4|3335||MILL CREEK COMMUNITY SCHOOL CORPORATION|5|32-026.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan - A2741|| 2022|Hendricks|32|5|0083|2|AVON-WASHINGTON TOWNSHIP PUBLIC LIBRARY|6|32-033.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|2560000.00|450000.00 2022|Hendricks|32|5|0084|2|BROWNSBURG PUBLIC LIBRARY|6|32-034.00|0||Governmental Activities|1|General Obligation Bonds|2018 Renovation & Improvements|3715000.00|280000.00 2022|Hendricks|32|5|0085||CLAYTON PUBLIC LIBRARY|6|32-035.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond|| 2022|Hendricks|32|5|0086||COATESVILLE-CLAY TOWNSHIP PUBLIC LIBRARY|6|32-036.00|0||Governmental Activities|1|General Obligation Bonds|First National Bank|| 2022|Hendricks|32|5|0087|2|DANVILLE PUBLIC LIBRARY|6|32-037.00|0||Governmental Activities|1|General Obligation Bonds|Site improvements and real estate purchase|960000.00|200000.00 2022|Hendricks|32|5|0088|2|PLAINFIELD - GUILFORD TWP PUBLIC LIBRARY|6|32-038.00|0||Governmental Activities|1|General Obligation Bonds|Building construction and renovation|3515000.00|555000.00 2022|Hendricks|32|7|0077|2|WEST CENTRAL CONSERVANCY DISTRICT|27|32-042.00|30048|Wastewater|Wastewater|2|Revenue Bonds|Sewage Works Revenue and Refundig Bonds of 2021|39510000.00|1530000.00 2022|Hendricks|32|7|0097|2|AMO-COATESVILLE CONSERVANCY DISTRICT|27|32-040.00|30032|wastewater|wastewater|2|Revenue Bonds|Treatment Plant and Wastewater System Improvement|915006.80|49000.00 2022|Hendricks|32|7|0327|2|JE-TO LAKE CONSERVANCY DISTRICT|28|32-049.00|0||Governmental Activities|1|General Obligation Bonds|Rural Development Bonds of 2014|292060.00|7000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATION BONDS OF 2019|125000.00|125000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATION BONDS OF 2022|5815000.00|705000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2019 DRAIN RECONSTRUCTION LOAN|37497.00|18427.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|14|Other - Long Term|GENERAL REVENUE BONDS OF 2022|3390000.00|.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|ECONOMIC DEVELOPMENT REVENUE BOND SERIES 2014/BOARSHEAD|10805000.00|650000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|ECONOMIC DEVELOPMENT REVENUE BOND SERIES 2022/BOARSHEAD|18730000.00|.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|FOOD & BEVERAGE TAX REVENUE & REFUNDING BONDS 2012|425000.00|280000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|FOOD & BEVERAGE TAX REVENUE BONDS 2015|1595000.00|.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAX INCREMENT REFUNDING REVENUE BONDS OF 2020|1495000.00|130000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAX INCREMENT REFUNDING REVENUE BONDS, SERIES 2020A|175000.00|120000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAXABLE TAX INCREMENT REFUNDING REVENUE BONDS, SERIES 2020B|445000.00|40000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAXABLE TAX INCREMENT REFUNDING REVENUE BONDS, SERIES 2020C|1035000.00|10000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAXABLE TAX INCREMENT REVENUE BONDS OF 2020, SERIES A|2845000.00|55000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAXABLE TAX INCREMENT REVENUE BONDS OF 2020, SERIES B|1685000.00|40000.00 2022|Henry|33|1|0000|2|HENRY COUNTY|1|33-000.00|0||Governmental Activities|2|Revenue Bonds|TAX-EXEMPT REDEVOPMENT DISTRICT TAX INCREMENT REVENUE BONDS, SERIES 2021|1005000.00|60000.00 2022|Henry|33|2|0003|2|FALL CREEK TOWNSHIP|7|33-018.00|0||Governmental Activities|1|General Obligation Bonds|Fire Equipment|145000.00|55000.00 2022|Henry|33|2|0013||WAYNE TOWNSHIP|7|33-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Building payment|| 2022|Henry|33|2|0013||WAYNE TOWNSHIP|7|33-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire truck lease|| 2022|Henry|33|3|0203|2|NEW CASTLE CIVIL CITY|2|33-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds 2006|.00|.00 2022|Henry|33|3|0203|2|NEW CASTLE CIVIL CITY|2|33-001.00|29193|Utility|WASTEWATER|1|General Obligation Bonds|Sewage Works Revenue Bonds, Series 2017B|16009280.00|50000.00 2022|Henry|33|3|0203|2|NEW CASTLE CIVIL CITY|2|33-001.00|0||Governmental Activities|2|Revenue Bonds|2010 RDC Indiana Ave TIF|197083.90|.00 2022|Henry|33|3|0203|2|NEW CASTLE CIVIL CITY|2|33-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment 1400 Plaza Project|1774835.60|.00 2022|Henry|33|3|0203|2|NEW CASTLE CIVIL CITY|2|33-001.00|29193|Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2006|599356.00|.00 2022|Henry|33|3|0203|2|NEW CASTLE CIVIL CITY|2|33-001.00|29193|Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2014A|5937918.39|560000.00 2022|Henry|33|3|0203|2|NEW CASTLE CIVIL CITY|2|33-001.00|29193|Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2017A|3070020.00|704960.00 2022|Henry|33|3|0203|2|NEW CASTLE CIVIL CITY|2|33-001.00|29193|Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2018|1280000.00|.00 2022|Henry|33|3|0671|2|KENNARD CIVIL TOWN|3|33-006.00|29196|SEWAGE UTILITY|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond 2013a|575406.25|12000.00 2022|Henry|33|3|0671|2|KENNARD CIVIL TOWN|3|33-006.00|29196|SEWAGE UTILITY|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond 2013c|77662.50|7000.00 2022|Henry|33|3|0671|2|KENNARD CIVIL TOWN|3|33-006.00|29196|SEWAGE UTILITY|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond 2013c-2|270237.50|2000.00 2022|Henry|33|3|0672|2|KNIGHTSTOWN CIVIL TOWN|3|33-007.00|29198|Provide wastewater services to Town of Knightstown residents.|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds Series A|5109000.00|94000.00 2022|Henry|33|3|0672|2|KNIGHTSTOWN CIVIL TOWN|3|33-007.00|29198|Provide wastewater services to Town of Knightstown residents.|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds Series B|1571000.00|29000.00 2022|Henry|33|3|0673|2|LEWISVILLE CIVIL TOWN|3|33-008.00|29716|MUNICPAL WATER UTILITY|WATER UTILITY|11|Notes and Loans Payable - Short Term|WATER REPAIRS|42362.47| 2022|Henry|33|3|0674|2|MIDDLETOWN CIVIL TOWN|3|33-009.00|29202|provides wastewater service to local residents|WASTEWATER|10|Notes and Loans Payable - Long Term|Stormwater and Sanitary Sewer Seperation|1838000.00|131000.00 2022|Henry|33|3|0674|2|MIDDLETOWN CIVIL TOWN|3|33-009.00|29203||WATER|10|Notes and Loans Payable - Long Term|New Water Plant|1800000.00|113000.00 2022|Henry|33|3|0676|2|MOUNT SUMMIT CIVIL TOWN|3|33-011.00|30296|SALE OF WATER TO CUSTOMERS|MT. SUMMIT WATER UTILITY|2|Revenue Bonds|State Revolving Fund Loan Program - water utility|.00|.00 2022|Henry|33|3|0677|2|SPICELAND CIVIL TOWN|3|33-012.00|29204|Electric transmission|ELECTRIC|2|Revenue Bonds|Electric Acquisition|1345000.00|110000.00 2022|Henry|33|3|0677|2|SPICELAND CIVIL TOWN|3|33-012.00|29205|Water distribution|WATER|2|Revenue Bonds|Infastructure and water tower|.00|.00 2022|Henry|33|3|0678|0|SPRINGPORT CIVIL TOWN|3|33-013.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|USDA|| 2022|Henry|33|4|3405||BLUE RIVER VALLEY SCHOOL CORPORATION|5|33-029.00|0||Governmental Activities|1|General Obligation Bonds|Building Improvement Project|| 2022|Henry|33|4|3405||BLUE RIVER VALLEY SCHOOL CORPORATION|5|33-029.00|0||Governmental Activities|1|General Obligation Bonds|Building Renovation Project|| 2022|Henry|33|4|3415||SOUTH HENRY SCHOOL CORPORATION|5|33-033.00|0||Governmental Activities|1|General Obligation Bonds|2015 General Obligation Bond|| 2022|Henry|33|4|3415||SOUTH HENRY SCHOOL CORPORATION|5|33-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2021 Equipment Loan with US Bancorp|| 2022|Henry|33|4|3415||SOUTH HENRY SCHOOL CORPORATION|5|33-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Bus Loan with US Bancorp|| 2022|Henry|33|4|3415||SOUTH HENRY SCHOOL CORPORATION|5|33-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Chromebook Loan with US Bancorp|| 2022|Henry|33|4|3415||SOUTH HENRY SCHOOL CORPORATION|5|33-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Henry|33|4|3415||SOUTH HENRY SCHOOL CORPORATION|5|33-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Holding Co, - Public & Private|| 2022|Henry|33|4|3415||SOUTH HENRY SCHOOL CORPORATION|5|33-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|QSCB Loan|| 2022|Henry|33|4|3415||SOUTH HENRY SCHOOL CORPORATION|5|33-033.00|0||Governmental Activities|14|Other - Long Term|Retirement/Severance Bond|| 2022|Henry|33|4|3435||SHENANDOAH SCHOOL CORPORATION|5|33-032.00|0||Governmental Activities|1|General Obligation Bonds|All DLGF Approved Debt|| 2022|Henry|33|4|3445||NEW CASTLE COMMUNITY SCHOOL CORPORATION|5|33-031.00|0||Governmental Activities|1|General Obligation Bonds|2019 Bonds|| 2022|Henry|33|4|3455||CHARLES A BEARD MEMORIAL SCHOOL CORPORATION|5|33-030.00|0||Governmental Activities|1|General Obligation Bonds|2019 General Obligation Bonds|| 2022|Henry|33|4|3455||CHARLES A BEARD MEMORIAL SCHOOL CORPORATION|5|33-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF A0471|| 2022|Henry|33|4|3455||CHARLES A BEARD MEMORIAL SCHOOL CORPORATION|5|33-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF A0488|| 2022|Henry|33|4|3455||CHARLES A BEARD MEMORIAL SCHOOL CORPORATION|5|33-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF A0501|| 2022|Henry|33|5|0293|2|NEW CASTLE-HENRY COUNTY PUBLIC LIBRARY|6|33-036.00|0||Governmental Activities|1|General Obligation Bonds|Library Bond Series 2022 - Building Lease|7000000.00|492568.00 2022|Henry|33|5|0293|2|NEW CASTLE-HENRY COUNTY PUBLIC LIBRARY|6|33-036.00|0||Governmental Activities|1|General Obligation Bonds|Libray Bond Series 2012 - Building Lease|1235000.00|848000.00 2022|Henry|33|6|0043|2|SUMMIT SPRINGS REGIONAL WASTEWATER|21|33-043.00|0||Governmental Activities|1|General Obligation Bonds|FMHA|1250983.45|47580.00 2022|Henry|33|6|0043|2|SUMMIT SPRINGS REGIONAL WASTEWATER|21|33-043.00|29720|Wastewater Treatment|Summit Springs Regional Waste District|1|General Obligation Bonds|FMHA|1250983.45|47580.00 2022|Henry|33|6|0045|2|SOUTH HENRY REGIONAL WASTE DISTRICT|21|33-045.00|30442||Wastewater|1|General Obligation Bonds|SHRWD Sinking Fund|1412000.00|135000.00 2022|Henry|33|6|1150||HENRY COUNTY MEMORIAL HOSPITAL|4|33-039.00|0||Governmental Activities|2|Revenue Bonds|2015 Bond Issue|| 2022|Howard|34|1|0000|2|HOWARD COUNTY|1|34-000.00|0||Governmental Activities|1|General Obligation Bonds|Kitty Run Drain|723700.00|70700.00 2022|Howard|34|1|0000|2|HOWARD COUNTY|1|34-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A. Vonderahe Drain Reconstruction|54433.99|9944.37 2022|Howard|34|1|0000|2|HOWARD COUNTY|1|34-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|John Ratcliff Drain Reconstruction|.00|.00 2022|Howard|34|1|0000|2|HOWARD COUNTY|1|34-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Kirkendall 123 Drain Reconstruction|215017.24|47195.85 2022|Howard|34|1|0000|2|HOWARD COUNTY|1|34-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|L. McFann Drain Reconstruction|140047.18|33974.11 2022|Howard|34|1|0000|2|HOWARD COUNTY|1|34-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Marion Monroe Drain Reconstruction|284271.00|38759.20 2022|Howard|34|2|0010|2|TAYLOR TOWNSHIP|7|34-013.00|0||Governmental Activities|14|Other - Long Term|Fire Truck Loan|394773.36|112320.64 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|29383|Provide sewer and storm water service|WASTEWATER|14|Other - Long Term|2021 SRF Loan|20506934.00|705000.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|2021 Economic Development Bond (Repla TIF2 2016A)|3255000.00|290000.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|2022A Fusion-Taxable TIF|8197000.00|.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|2022B Fusion-Tax Eempt TIF|4923000.00|.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|2022C Fusion-Special Benefit tax TIF|15004000.00|.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|EDIT 2015 Rev Bond-YMCA|1495000.00|.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|EDIT 2016 Rev Bond Series B - 306 Riverfront Apartment|3690000.00|225000.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|LIT 2020 Rev Bond-Championship Park|8235000.00|330000.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|TIF 2019 Rev Bond Series A Sycamore/Apperson Way Apartment|3000000.00|.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|TIF8 2020 Rev Bond-MACY Apartment Projects|2000000.00|50000.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|0||Governmental Activities|2|Revenue Bonds|TIF9 2020 Rev Bond-HENKE Development Group Project|2000000.00|.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|29383|Provide sewer and storm water service|WASTEWATER|2|Revenue Bonds|2022 SRF Construction Loan|20024000.00|137748.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|29383|Provide sewer and storm water service|WASTEWATER|2|Revenue Bonds|WWU 2012 Refunding Bond (Retired SRF i and SRFII bond)|.00|.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|29383|Provide sewer and storm water service|WASTEWATER|2|Revenue Bonds|WWU 2014 Refunding (retired WWU 2005 Revenue Bond)|3545000.00|850000.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|29383|Provide sewer and storm water service|WASTEWATER|2|Revenue Bonds|WWU 2016 Refunding Bond (retired WWU 2008 Rev Bond)|2175000.00|285000.00 2022|Howard|34|3|0110|2|KOKOMO CIVIL CITY|2|34-001.00|29383|Provide sewer and storm water service|WASTEWATER|2|Revenue Bonds|WWU 2017 Revenue Bond|20610000.00|180000.00 2022|Howard|34|3|0681|2|GREENTOWN CIVIL TOWN|3|34-002.00|29384|WASTEWATER|WASTEWATER|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS OF 2012|4179000.00|247000.00 2022|Howard|34|3|0681|2|GREENTOWN CIVIL TOWN|3|34-002.00|29384|WASTEWATER|WASTEWATER|2|Revenue Bonds|WASTEWATER REFUNDING BONDS OF 2015|670000.00|120000.00 2022|Howard|34|3|0681|2|GREENTOWN CIVIL TOWN|3|34-002.00|29385|WATER|WATER|2|Revenue Bonds|WATERWORKS REFUNDING BONDS OF 2015|275000.00|140000.00 2022|Howard|34|3|0681|2|GREENTOWN CIVIL TOWN|3|34-002.00|29385|WATER|WATER|2|Revenue Bonds|WATERWORKS REVENUE BONDS OF 2017|1155000.00|1000.00 2022|Howard|34|3|0681|2|GREENTOWN CIVIL TOWN|3|34-002.00|29703|STORM WATER|STORM WATER|2|Revenue Bonds|SEWAGE WORKS BOND ANTICIPATION NOTE, SERIES 2018|.00|.00 2022|Howard|34|3|0681|2|GREENTOWN CIVIL TOWN|3|34-002.00|29703|STORM WATER|STORM WATER|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS SERIES 2019|3691000.00|69000.00 2022|Howard|34|3|0682|2|RUSSIAVILLE CIVIL TOWN|3|34-003.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2019 Dodge Chargeer|.00| 2022|Howard|34|3|0682|2|RUSSIAVILLE CIVIL TOWN|3|34-003.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2021 Dodge Durango|36521.76| 2022|Howard|34|3|0682|2|RUSSIAVILLE CIVIL TOWN|3|34-003.00|29386|Town operates and maintains its wastewater plant|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds Series 2012C|761000.00|75000.00 2022|Howard|34|3|0682|2|RUSSIAVILLE CIVIL TOWN|3|34-003.00|29386|Town operates and maintains its wastewater plant|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2018|285000.00|1000.00 2022|Howard|34|3|0682|2|RUSSIAVILLE CIVIL TOWN|3|34-003.00|29386|Town operates and maintains its wastewater plant|WASTEWATER|2|Revenue Bonds|Special Program Bonds Series 2015A Refinding|35000.00|.00 2022|Howard|34|4|3460||TAYLOR COMMUNITY SCHOOL CORPORATION|5|34-019.00|0||Governmental Activities|1|General Obligation Bonds|Capital Expenditures|| 2022|Howard|34|4|3460||TAYLOR COMMUNITY SCHOOL CORPORATION|5|34-019.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loans - Technology|| 2022|Howard|34|4|3470||NORTHWESTERN SCHOOL CORPORATION|5|34-015.00|0||Governmental Activities|1|General Obligation Bonds|Retirement/Severance Bond|| 2022|Howard|34|4|3470||NORTHWESTERN SCHOOL CORPORATION|5|34-015.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loans|| 2022|Howard|34|4|3480||EASTERN HOWARD COMMUNITY SCHOOL CORPORATION|5|34-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan - A1922|| 2022|Howard|34|4|3480||EASTERN HOWARD COMMUNITY SCHOOL CORPORATION|5|34-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan - A2098|| 2022|Howard|34|4|3480||EASTERN HOWARD COMMUNITY SCHOOL CORPORATION|5|34-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan - A2845|| 2022|Howard|34|4|3480||EASTERN HOWARD COMMUNITY SCHOOL CORPORATION|5|34-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan - B0003|| 2022|Howard|34|4|3480||EASTERN HOWARD COMMUNITY SCHOOL CORPORATION|5|34-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan - C0021|| 2022|Howard|34|4|3480||EASTERN HOWARD COMMUNITY SCHOOL CORPORATION|5|34-016.00|0||Governmental Activities|14|Other - Long Term|SCHOOL SEVERANCE BONDS SERIES 2012|| 2022|Howard|34|4|3490||WESTERN SCHOOL CORPORATION|5|34-017.00|0||Governmental Activities|1|General Obligation Bonds|HVAC Repairs & Facility Improvements at school corp facilities. 2021 GO|| 2022|Howard|34|4|3490||WESTERN SCHOOL CORPORATION|5|34-017.00|0||Governmental Activities|1|General Obligation Bonds|LED Lighting fixtures and related equipment, certain renovation and facility improvements and equipping projects at one or more existing outdoor physical educ/extra curricular facilities and fields, repair, restore, resurface certain parking lots, interior renovations, and other misc facility improvements. GO 2019|| 2022|Howard|34|4|3500||Kokomo School Corporation|5|34-018.00|0||Governmental Activities|1|General Obligation Bonds|2006 Pension Bonds|| 2022|Howard|34|4|3500||Kokomo School Corporation|5|34-018.00|0||Governmental Activities|1|General Obligation Bonds|2016 GOB--KHS, general maintenance, roofing, technology|| 2022|Howard|34|4|3500||Kokomo School Corporation|5|34-018.00|0||Governmental Activities|1|General Obligation Bonds|2019 GOB-KHS, Pettit Park, Sycamore|| 2022|Howard|34|4|3500||Kokomo School Corporation|5|34-018.00|0||Governmental Activities|1|General Obligation Bonds|2020A GOB - technology and roofing|| 2022|Howard|34|4|3500||Kokomo School Corporation|5|34-018.00|0||Governmental Activities|1|General Obligation Bonds|2020B GOB - Prior project reimbursements|| 2022|Howard|34|4|3500||Kokomo School Corporation|5|34-018.00|0||Governmental Activities|1|General Obligation Bonds|2021 GOB-roofing, solar technology, busses, maintenance|| 2022|Howard|34|6|0031|2|TAYLOR REGIONAL SEWER DISTRICT|21|34-031.00|0||Governmental Activities|1|General Obligation Bonds|State Revolving Fund - CWSRF Traditional Loan|2446068.00|2031515.00 2022|Huntington|35|1|0000|2|HUNTINGTON COUNTY|1|35-000.00|0||Governmental Activities|1|General Obligation Bonds|Courthouse Renovation|4665000.00|255000.00 2022|Huntington|35|1|0000|2|HUNTINGTON COUNTY|1|35-000.00|0||Governmental Activities|1|General Obligation Bonds|O'Donnell Center|1950000.00|80000.00 2022|Huntington|35|2|0001|2|CLEAR CREEK TOWNSHIP|7|35-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase new fire truck|22081.15|42320.00 2022|Huntington|35|2|0010|2|UNION TOWNSHIP|7|35-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|55657.93|13587.80 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|0||Governmental Activities|1|General Obligation Bonds|2015B TIF BOND RDC Old 24 proj|3379000.00|408000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|0||Governmental Activities|1|General Obligation Bonds|2017 GO Landfill bond|1655000.00|90000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|0||Governmental Activities|1|General Obligation Bonds|2017 GO RDC bond|1655000.00|90000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|0||Governmental Activities|1|General Obligation Bonds|2020 Storm Water Bond|4630000.00|215000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|0||Governmental Activities|1|General Obligation Bonds|Cinergy Metronet TIF|1009000.00|61000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|0||Governmental Activities|1|General Obligation Bonds|Kroger TIF|119478.00|47458.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|29387|sewer operating|WASTEWATER|10|Notes and Loans Payable - Long Term|2017 sewer bond|8951000.00|447000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|29387|sewer operating|WASTEWATER|10|Notes and Loans Payable - Long Term|sewer separation SRF 2008|.00|.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|29387|sewer operating|WASTEWATER|10|Notes and Loans Payable - Long Term|sewer separation SRF 2013 Frederick Street|4239000.00|357000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|29387|sewer operating|WASTEWATER|10|Notes and Loans Payable - Long Term|sewer separation SRF 2013b Rabbit Run|9635000.00|640000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|29387|sewer operating|WASTEWATER|10|Notes and Loans Payable - Long Term|WPC plant improvement SRF 2011|11360000.00|1538000.00 2022|Huntington|35|3|0307|2|HUNTINGTON CIVIL CITY|2|35-001.00|29388|water operating|WATER|10|Notes and Loans Payable - Long Term|2011 Water SRF refinanced 2021|5535000.00|480000.00 2022|Huntington|35|3|0683|2|ANDREWS CIVIL TOWN|3|35-002.00|29389|Wastewater service for all residents|WASTEWATER|1|General Obligation Bonds|Muncipal Sewer Works|2727922.00|212930.00 2022|Huntington|35|3|0683|2|ANDREWS CIVIL TOWN|3|35-002.00|29389|Wastewater service for all residents|WASTEWATER|11|Notes and Loans Payable - Short Term|TOWN GARAGE|26767.00| 2022|Huntington|35|3|0683|2|ANDREWS CIVIL TOWN|3|35-002.00|29390|Water service for all residents|WATER|11|Notes and Loans Payable - Short Term|TOWN GARAGE|26767.00| 2022|Huntington|35|3|0684|2|MARKLE CIVIL TOWN|3|35-003.00|0||Governmental Activities|2|Revenue Bonds|TIF Infrastructure Industrial Park|669024.37|125000.00 2022|Huntington|35|3|0685|2|MOUNT ETNA CIVIL TOWN|3|35-004.00|29393|Sanitary System|WASTEWATER|1|General Obligation Bonds|SRF|752996.00|682656.00 2022|Huntington|35|3|0686|2|ROANOKE CIVIL TOWN|3|35-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|FIRE LADDER TRUCK|185177.00|26531.00 2022|Huntington|35|3|0686|2|ROANOKE CIVIL TOWN|3|35-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|FIRE TRUCK|146211.00|72309.00 2022|Huntington|35|3|0686|2|ROANOKE CIVIL TOWN|3|35-005.00|29396||WATER|2|Revenue Bonds|Waterworks Revenue Bonds / 2014|1405000.00|80000.00 2022|Huntington|35|3|0687|2|WARREN CIVIL TOWN|3|35-006.00|29400||WATER|10|Notes and Loans Payable - Long Term|WATER SYSTEM UPGRADE|1315000.00|56000.00 2022|Huntington|35|3|0687|2|WARREN CIVIL TOWN|3|35-006.00|29399||WASTEWATER|2|Revenue Bonds|WW Plant/System 2002|1615000.00|90000.00 2022|Huntington|35|4|3625||HUNTINGTON COUNTY COMMUNITY SCHOOL CORPORATION|5|35-019.00|0||Governmental Activities|1|General Obligation Bonds|2020 GOB|| 2022|Huntington|35|4|3625||HUNTINGTON COUNTY COMMUNITY SCHOOL CORPORATION|5|35-019.00|0||Governmental Activities|1|General Obligation Bonds|Mortgage Bonds of 2018|| 2022|Huntington|35|4|3625||HUNTINGTON COUNTY COMMUNITY SCHOOL CORPORATION|5|35-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan|| 2022|Huntington|35|6|0028|2|BIPPUS REGIONAL SEWER DISTRICT|21|35-028.00|29706|Collection and Treatment of Sewage|Bippus Regional Sewer District Sewer|1|General Obligation Bonds|Sewage Rev Bond|193100.00|7800.00 2022|Huntington|35|6|0031|2|NORWOOD REG WATER SEWER DISTRICT|20|35-031.00|29673|Water|WATER UTILITY|1|General Obligation Bonds|WATER BONDS PAYABLE|1398000.00|35000.00 2022|Huntington|35|6|0031|2|NORWOOD REG WATER SEWER DISTRICT|20|35-031.00|29674|Sewage|WASTEWATER UTILITY|1|General Obligation Bonds|SEWER BONDS PAYABLE|1806000.00|45000.00 2022|Huntington|35|6|0032|2|DAWN LAKES REGIONAL SEWER DISTRICT|21|35-032.00|0||Governmental Activities|2|Revenue Bonds|Building of sewage plant|198000.00|16000.00 2022|Huntington|35|6|0033|2|RURAL HUNTINGTON REG WATER SEWER|20|35-033.00|30001|Wastewater|Wastewater|1|General Obligation Bonds|Wastewater Bonds Payable|1169000.00|22000.00 2022|Jackson|36|1|0000|2|JACKSON COUNTY|1|36-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligatioin Bond Series 2016 B- HVAC|.00|.00 2022|Jackson|36|1|0000|2|JACKSON COUNTY|1|36-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond Series 2019|260000.00|260000.00 2022|Jackson|36|1|0000|2|JACKSON COUNTY|1|36-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond Series 2022|3519000.00|510000.00 2022|Jackson|36|3|0314|2|SEYMOUR CIVIL CITY|2|36-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Revenue Bonds of 2010|.00|.00 2022|Jackson|36|3|0314|2|SEYMOUR CIVIL CITY|2|36-001.00|0||Governmental Activities|1|General Obligation Bonds|Seymour General Obligation Bonds 2020|910000.00|910000.00 2022|Jackson|36|3|0314|2|SEYMOUR CIVIL CITY|2|36-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bond 2019|1790000.00|80000.00 2022|Jackson|36|3|0314|2|SEYMOUR CIVIL CITY|2|36-001.00|29786|Water Polution Control Facility & Office|SMSU Operating|2|Revenue Bonds|Sewage Works Revenue Bonds of 2015|12720000.00|730000.00 2022|Jackson|36|3|0314|2|SEYMOUR CIVIL CITY|2|36-001.00|29786|Water Polution Control Facility & Office|SMSU Operating|2|Revenue Bonds|Sewage Works Revenue Refunding Bonds - Series 2021|7700000.00|855000.00 2022|Jackson|36|3|0314|2|SEYMOUR CIVIL CITY|2|36-001.00|29786|Water Polution Control Facility & Office|SMSU Operating|2|Revenue Bonds|Seymour Sewage Works Revenue Bonds Series 2017|3000000.00|.00 2022|Jackson|36|3|0688|2|BROWNSTOWN CIVIL TOWN|3|36-002.00|0||Governmental Activities|1|General Obligation Bonds|Debt Service -- Pool|.00|.00 2022|Jackson|36|3|0688|2|BROWNSTOWN CIVIL TOWN|3|36-002.00|0||Governmental Activities|1|General Obligation Bonds|General Improvement Bond, Series 2021|369000.00|38000.00 2022|Jackson|36|3|0688|2|BROWNSTOWN CIVIL TOWN|3|36-002.00|29404|Brownstown Sewage Works|WASTEWATER|1|General Obligation Bonds|Wastewater Sewage Plant -- Series 2013 Refunding Bonds|.00|.00 2022|Jackson|36|3|0688|2|BROWNSTOWN CIVIL TOWN|3|36-002.00|29404|Brownstown Sewage Works|WASTEWATER|14|Other - Long Term|SRF Loan - Wastewater Improvement|8811000.00|341000.00 2022|Jackson|36|3|0689|2|CROTHERSVILLE CIVIL TOWN|3|36-003.00|29405|Sanitary Sewer Operation|SEWER|2|Revenue Bonds|Sewer Utility Improvement|1634000.00|66000.00 2022|Jackson|36|3|0690|2|MEDORA CIVIL TOWN|3|36-004.00|29408|Water|WATER|2|Revenue Bonds|Sewer Project|133000.00|9000.00 2022|Jackson|36|4|3640||MEDORA COMMUNITY SCHOOL CORPORATION|5|36-025.00|0||Governmental Activities|1|General Obligation Bonds|Pension Debt|| 2022|Jackson|36|4|3640||MEDORA COMMUNITY SCHOOL CORPORATION|5|36-025.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|QZAB|| 2022|Jackson|36|4|3675||SEYMOUR COMMUNITY SCHOOL CORPORATION|5|36-007.00|0||Governmental Activities|1|General Obligation Bonds|Construction & Renovation|| 2022|Jackson|36|4|3675||SEYMOUR COMMUNITY SCHOOL CORPORATION|5|36-007.00|0||Governmental Activities|1|General Obligation Bonds|Retirement & Severance|| 2022|Jackson|36|4|3710||CROTHERSVILLE COMMUNITY SCHOOL CORPORATION|5|36-008.00|0||Governmental Activities|1|General Obligation Bonds|Building Project|| 2022|Jackson|36|4|3710||CROTHERSVILLE COMMUNITY SCHOOL CORPORATION|5|36-008.00|0||Governmental Activities|1|General Obligation Bonds|Retirement Severance Bond|| 2022|Jackson|36|6|0024|2|JACKSON CO REGIONAL SEWAGE DISTRICT|21|36-024.00|30002|Sewage|Wastewater|1|General Obligation Bonds|2011 Construction Bonds|151000.00|3000.00 2022|Jackson|36|6|0339|2|Vernon Township Fire Protection District|18|36-040.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Tanker Truck Purchase|207039.00| 2022|Jackson|36|6|1083|2|DRIFTWOOD TOWNSHIP FIRE PROTECTION DISTRICT|18|36-038.00|0||Governmental Activities|1|General Obligation Bonds|fire truck replacement|46000.00|46000.00 2022|Jackson|36|6|1084|2|BROWNSTOWN FIRE PROTECTION DISTRICT|18|36-032.00|0||Governmental Activities|1|General Obligation Bonds|Fire Equipment - Bond 2022 Series|500000.00|43000.00 2022|Jackson|36|6|1087|2|OWEN SALT CREEK FIRE PROTECTION DISTRICT|18|36-035.00|0||Governmental Activities|1|General Obligation Bonds|Fire Apparatus & Other Equipment Financing|.00|.00 2022|Jackson|36|6|1087|2|OWEN SALT CREEK FIRE PROTECTION DISTRICT|18|36-035.00|0||Governmental Activities|1|General Obligation Bonds|Tanker Truck & Related Equipment|420000.00|60000.00 2022|Jackson|36|6|1150||JACKSON CO SCHNECK MEMORIAL HOSPITAL|4|36-005.00|0||Governmental Activities|2|Revenue Bonds|Capital financing|| 2022|Jasper|37|1|0000|2|JASPER COUNTY|1|37-000.00|0||Governmental Activities|1|General Obligation Bonds|Kankakee river Project|360000.00|.00 2022|Jasper|37|1|0000|2|JASPER COUNTY|1|37-000.00|0||Governmental Activities|1|General Obligation Bonds|Solar Project|1843784.00|45000.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|0||Governmental Activities|1|General Obligation Bonds|2008 Melville Street Project|530000.00|85000.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29410|Municipally Owned Wastewater Utilitiy|WASTEWATER|11|Notes and Loans Payable - Short Term|2022 IBB BAN - USDA RD Project|3639000.00| 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29409|Municipally Owned Electric Utility|ELECTRIC|2|Revenue Bonds|2012 Electric Revenue Bonds|625000.00|625000.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29409|Municipally Owned Electric Utility|ELECTRIC|2|Revenue Bonds|2017 Electric Refunding Revenue Bonds|3805000.00|110000.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29409|Municipally Owned Electric Utility|ELECTRIC|2|Revenue Bonds|2017 Electric Revenue Bond|1795000.00|240000.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29410|Municipally Owned Wastewater Utilitiy|WASTEWATER|2|Revenue Bonds|2016 High Rate Treatment Plant|4872667.00|105713.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29410|Municipally Owned Wastewater Utilitiy|WASTEWATER|2|Revenue Bonds|2016 Refunding Revenue Bonds|2186290.00|273747.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29410|Municipally Owned Wastewater Utilitiy|WASTEWATER|2|Revenue Bonds|2022 USDA RD Revnue Bonds|3450762.00|68040.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29411|Municipally Owned Water Utility|WATER|2|Revenue Bonds|2001 Houston Water Project|.00|.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29411|Municipally Owned Water Utility|WATER|2|Revenue Bonds|2011 JR Water Tower Bond|.00|.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29411|Municipally Owned Water Utility|WATER|2|Revenue Bonds|2011 Water Plant Upgrade|2590000.00|240000.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29411|Municipally Owned Water Utility|WATER|2|Revenue Bonds|2017 Water Bonds Water Well #8 Trans Main|2145000.00|15000.00 2022|Jasper|37|3|0437|2|RENSSELAER CIVIL CITY|2|37-001.00|29412|Municipally Owned Gas Utility|GAS|2|Revenue Bonds|Gas High Pressure Main|3040000.00|140000.00 2022|Jasper|37|3|0691|2|DEMOTTE CIVIL TOWN|3|37-004.00|0||Governmental Activities|14|Other - Long Term|Ad Valorem Tax First Mortgage Refunding Bonds, Series 2020|1105000.00|120000.00 2022|Jasper|37|3|0691|2|DEMOTTE CIVIL TOWN|3|37-004.00|29767|Wastewater|Waste Water|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds, Series 2014|.00|.00 2022|Jasper|37|3|0691|2|DEMOTTE CIVIL TOWN|3|37-004.00|29767|Wastewater|Waste Water|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2021|6431000.00|132000.00 2022|Jasper|37|3|0692|2|REMINGTON CIVIL TOWN|3|37-002.00|0||Governmental Activities|2|Revenue Bonds|Tif Revenue Bonds- -Water/Sewer Line Extensions & New Water Tower|630000.00|245000.00 2022|Jasper|37|3|0692|2|REMINGTON CIVIL TOWN|3|37-002.00|29413|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Bond Anticipation Note Series 2020|417000.00|163000.00 2022|Jasper|37|3|0692|2|REMINGTON CIVIL TOWN|3|37-002.00|29414|Water Utility|WATER|2|Revenue Bonds|Water Revenue Bond Series 2015 (SRF)|4213000.00|253000.00 2022|Jasper|37|4|3785||KANKAKEE VALLEY SCHOOL CORPORATION|5|37-018.00|0||Governmental Activities|1|General Obligation Bonds|KV High School Outdoor Facilities|| 2022|Jasper|37|4|3815||RENSSELAER CENTRAL SCHOOL CORPORATION|5|37-019.00|0||Governmental Activities|14|Other - Long Term|COMMON SCHOOL - BO247|| 2022|Jasper|37|4|3815||RENSSELAER CENTRAL SCHOOL CORPORATION|5|37-019.00|0||Governmental Activities|14|Other - Long Term|MULIT-SCHOOL 2021|| 2022|Jasper|37|4|3815||RENSSELAER CENTRAL SCHOOL CORPORATION|5|37-019.00|0||Governmental Activities|14|Other - Long Term|MULTI-SCHOOL 2019|| 2022|Jasper|37|4|3815||RENSSELAER CENTRAL SCHOOL CORPORATION|5|37-019.00|0||Governmental Activities|14|Other - Long Term|PRIMARY SCHOOL - 2021|| 2022|Jasper|37|4|3815||RENSSELAER CENTRAL SCHOOL CORPORATION|5|37-019.00|0||Governmental Activities|14|Other - Long Term|RENOVATE AND IMPROVE RCMS & RCHS - 2015|| 2022|Jasper|37|6|0027|2|NORTHWEST JASPER REG WATER DISTRICT|22|37-027.00|30003|Water Utility|Water|2|Revenue Bonds|Public Water Supply Bond B|2653000.00|59000.00 2022|Jasper|37|6|0027|2|NORTHWEST JASPER REG WATER DISTRICT|22|37-027.00|30003|Water Utility|Water|2|Revenue Bonds|Public Water Supply Bond C|168000.00|4000.00 2022|Jasper|37|6|0027|2|NORTHWEST JASPER REG WATER DISTRICT|22|37-027.00|30003|Water Utility|Water|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2020|5625000.00|130000.00 2022|Jasper|37|6|0027|2|NORTHWEST JASPER REG WATER DISTRICT|22|37-027.00|30003|Water Utility|Water|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2021A (SRF)|2578000.00|110000.00 2022|Jasper|37|6|0027|2|NORTHWEST JASPER REG WATER DISTRICT|22|37-027.00|30003|Water Utility|Water|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2021B (SRF)|3433000.00|14000.00 2022|Jasper|37|6|0328|2|Jasper County Airport Authority|25|37-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Seller financed mortgage for the acquisition of real estate|212125.39|212125.39 2022|Jay|38|1|0000|2|JAY COUNTY|1|38-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2018 Purchase of New Excavator for Surveyor|30285.00|19574.00 2022|Jay|38|1|0000|2|JAY COUNTY|1|38-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Purchase of New Dozer for Surveyor|99041.00|31968.00 2022|Jay|38|3|0417|2|PORTLAND CIVIL CITY|2|38-002.00|0||Governmental Activities|1|General Obligation Bonds|Portland Park & Recreation Bonds-2010|960000.00|100000.00 2022|Jay|38|3|0417|2|PORTLAND CIVIL CITY|2|38-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|FIRE TRUCK|602833.74|94627.31 2022|Jay|38|3|0417|2|PORTLAND CIVIL CITY|2|38-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|TRASH TRUCK|26647.00|26647.00 2022|Jay|38|3|0417|2|PORTLAND CIVIL CITY|2|38-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|WHEEL LOADER|77171.74|25171.59 2022|Jay|38|3|0417|2|PORTLAND CIVIL CITY|2|38-002.00|0||Governmental Activities|2|Revenue Bonds|TIF Increment Revenue Bonds, Series 2007A|865000.00|130000.00 2022|Jay|38|3|0417|2|PORTLAND CIVIL CITY|2|38-002.00|29415|Public Utility|WASTEWATER|2|Revenue Bonds|2017 Sewage Bond|2352000.00|131000.00 2022|Jay|38|3|0417|2|PORTLAND CIVIL CITY|2|38-002.00|29415|Public Utility|WASTEWATER|2|Revenue Bonds|Sewage Revenue Bonds Series A|1964000.00|174000.00 2022|Jay|38|3|0417|2|PORTLAND CIVIL CITY|2|38-002.00|29415|Public Utility|WASTEWATER|2|Revenue Bonds|Sewage Revenue Bonds Series B|2295000.00|193000.00 2022|Jay|38|3|0450|2|DUNKIRK CIVIL CITY|2|38-001.00|29417|Wastewater|WASTEWATER|2|Revenue Bonds|2012 Municipal Sewage Works|3348790.00|245000.00 2022|Jay|38|3|0450|2|DUNKIRK CIVIL CITY|2|38-001.00|29418|Water|WATER|2|Revenue Bonds|2000 Municipal Water Utility|.00|.00 2022|Jay|38|3|0450|2|DUNKIRK CIVIL CITY|2|38-001.00|29418|Water|WATER|2|Revenue Bonds|2010 Municipal Water Utility|1874668.00|125332.00 2022|Jay|38|3|0694|2|BRYANT CIVIL TOWN|3|38-003.00|29419|sewage Utility|WASTEWATER|11|Notes and Loans Payable - Short Term|Sewage Plant|60000.00| 2022|Jay|38|3|0695||PENNVILLE CIVIL TOWN|3|38-004.00|29421||WATER|2|Revenue Bonds|Water Bond|| 2022|Jay|38|3|0696|2|REDKEY CIVIL TOWN|3|38-005.00|29422|Wastewater|WASTEWATER|1|General Obligation Bonds|WWTP and Sewer Separation Project|3371676.62|80000.00 2022|Jay|38|3|0696|2|REDKEY CIVIL TOWN|3|38-005.00|29423|Water|WATER|1|General Obligation Bonds|Waterworks Revenue Bonds|1196845.00|25000.00 2022|Jay|38|3|0697|2|SALAMONIA CIVIL TOWN|3|38-006.00|30033|Operating|Wastewater Utility|2|Revenue Bonds|Wastewater Utility|86000.00|4000.00 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A0578|| 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2854|| 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan Tech|| 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Safety Loan S0003|| 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Energy Savings Loan HVAC EE, RK, WL 2011|| 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|School Bus Loan 2018|| 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|School Bus Loan 2019|| 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|School Bus Loan 2021|| 2022|Jay|38|4|3945||JAY COUNTY SCHOOL CORPORATION|5|38-019.00|0||Governmental Activities|14|Other - Long Term|Pension Bonds|| 2022|Jay|38|6|0027|2|JAY COUNTY REGIONAL SEWER DISTRICT|21|38-027.00|29621|Wastewater|Wastewater|2|Revenue Bonds|Sewer Bonds|515000.00|12000.00 2022|Jefferson|39|1|0000|2|JEFFERSON COUNTY|1|39-000.00|0||Governmental Activities|1|General Obligation Bonds|Jail Construction|31838103.69|31838103.69 2022|Jefferson|39|3|0316|2|MADISON CIVIL CITY|2|39-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Redevelopment Authority Lease Revenue; Series 2022 Crystal Beach|4900000.00|.00 2022|Jefferson|39|3|0316|2|MADISON CIVIL CITY|2|39-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Taxable Econ Dev Tax Increment Revenu Bonds Series 2019A Riverton|3912142.50|.00 2022|Jefferson|39|3|0316|2|MADISON CIVIL CITY|2|39-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Taxable Econ Dev Tax Increment Revenue Bonds Series 2022 Madison Plaza|4501152.00|422602.00 2022|Jefferson|39|3|0316|2|MADISON CIVIL CITY|2|39-001.00|29424|Wastewater|WASTEWATER|10|Notes and Loans Payable - Long Term|2015 Series B-2 SRF Bond|1860039.00|162656.00 2022|Jefferson|39|3|0316|2|MADISON CIVIL CITY|2|39-001.00|29424|Wastewater|WASTEWATER|10|Notes and Loans Payable - Long Term|2015 Series C SRF Bond|9529222.00|783434.00 2022|Jefferson|39|3|0316|2|MADISON CIVIL CITY|2|39-001.00|29424|Wastewater|WASTEWATER|10|Notes and Loans Payable - Long Term|2017 State Revolving Loan Series B (Note 1)|9175398.30|726916.00 2022|Jefferson|39|3|0316|2|MADISON CIVIL CITY|2|39-001.00|29425|Water|WATER|10|Notes and Loans Payable - Long Term|City of Madison Waterworks Series 2022 Water Project|12000000.00|109990.00 2022|Jefferson|39|3|0700|2|HANOVER CIVIL TOWN|3|39-003.00|29427|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2022|6428974.00|6428974.00 2022|Jefferson|39|3|0700|2|HANOVER CIVIL TOWN|3|39-003.00|29427|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewer Plant Improvement 2003|106119.75|106109.65 2022|Jefferson|39|4|3995||MADISON CONSOLIDATED SCHOOL CORPORATION|5|39-015.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO BOND|| 2022|Jefferson|39|4|3995||MADISON CONSOLIDATED SCHOOL CORPORATION|5|39-015.00|0||Governmental Activities|1|General Obligation Bonds|HS GYM|| 2022|Jefferson|39|4|4000||SOUTHWESTERN JEFFERSON CONSOLIDATED SCHOOLS|5|39-016.00|0||Governmental Activities|14|Other - Long Term|Common School Loan #A0478|| 2022|Jefferson|39|4|4000||SOUTHWESTERN JEFFERSON CONSOLIDATED SCHOOLS|5|39-016.00|0||Governmental Activities|15|Other - Short Term|Common School Loan #B0028|| 2022|Jefferson|39|4|4000||SOUTHWESTERN JEFFERSON CONSOLIDATED SCHOOLS|5|39-016.00|0||Governmental Activities|15|Other - Short Term|Common School Loan #B0173|| 2022|Jefferson|39|4|4000||SOUTHWESTERN JEFFERSON CONSOLIDATED SCHOOLS|5|39-016.00|0||Governmental Activities|15|Other - Short Term|Common School Loan #B0212|| 2022|Jefferson|39|6|0021|2|TELEGRAPH HILL AND RYKERS RIDGE REG SEW|21|39-021.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|PASE 1 & 2 PROJECT USDA|270000.00|11000.00 2022|Jefferson|39|6|0021|2|TELEGRAPH HILL AND RYKERS RIDGE REG SEW|21|39-021.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|PHASE 3 SRF LOAN|.00|.00 2022|Jefferson|39|6|0023||CITY OF MADISON PORT AUTHORITY|15|39-023.00|30277|Hauling freight|Madison Railroad|10|Notes and Loans Payable - Long Term|Bridge Replacement|| 2022|Jennings|40|1|0000|2|JENNINGS COUNTY|1|40-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond, Series 2016|.00|.00 2022|Jennings|40|1|0000|2|JENNINGS COUNTY|1|40-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond, Series 2020|956108.10|320000.00 2022|Jennings|40|1|0000|2|JENNINGS COUNTY|1|40-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Solar Project|1379349.75|35000.00 2022|Jennings|40|1|0000|2|JENNINGS COUNTY|1|40-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2 2019 Dump Trucks|70479.50| 2022|Jennings|40|1|0000|2|JENNINGS COUNTY|1|40-000.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bonds, Series 2013|375093.94|13085.00 2022|Jennings|40|2|0011||VERNON TOWNSHIP|7|40-013.00|0||Governmental Activities|1|General Obligation Bonds|Land Purchase|| 2022|Jennings|40|3|0441|2|NORTH VERNON CIVIL CITY|2|40-001.00|0||Governmental Activities|1|General Obligation Bonds|Guaranteed Savings Bond of 2017 $5,399,000|3942012.82|304801.50 2022|Jennings|40|3|0441|2|NORTH VERNON CIVIL CITY|2|40-001.00|0||Governmental Activities|1|General Obligation Bonds|NV Building Corporation 2018 $6,700,000|5870000.00|255000.00 2022|Jennings|40|3|0441|2|NORTH VERNON CIVIL CITY|2|40-001.00|0||Governmental Activities|1|General Obligation Bonds|NV Redevelopment Authority 2013 $7,835,000.00|1605000.00|790000.00 2022|Jennings|40|3|0441|2|NORTH VERNON CIVIL CITY|2|40-001.00|0||Governmental Activities|1|General Obligation Bonds|NVRA Revenue Bonds of 2020|7397332.00|275000.00 2022|Jennings|40|3|0441|2|NORTH VERNON CIVIL CITY|2|40-001.00|29431|Sewer Operation|WASTEWATER|2|Revenue Bonds|2015 & 2016 SRF Sewer Revenue Bonds|6450749.00|16999.98 2022|Jennings|40|3|0441|2|NORTH VERNON CIVIL CITY|2|40-001.00|29431|Sewer Operation|WASTEWATER|2|Revenue Bonds|2016 Wastwater Refunding Revenue|1416666.37|469166.70 2022|Jennings|40|3|0441|2|NORTH VERNON CIVIL CITY|2|40-001.00|29431|Sewer Operation|WASTEWATER|2|Revenue Bonds|2018 Sewer Revenue Bonds|3504837.30|185666.67 2022|Jennings|40|3|0441|2|NORTH VERNON CIVIL CITY|2|40-001.00|29432|Water Dept Operation|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2005 $2,500,000|295000.00|190000.00 2022|Jennings|40|3|0701|2|VERNON CIVIL TOWN|3|40-002.00|29434|we buy water from NV and sell to our customers|WATER|2|Revenue Bonds|Water Revenue Bonds|245350.00|19000.00 2022|Jennings|40|4|4015||JENNINGS COUNTY SCHOOL CORPORATION|5|40-014.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan for Technology|| 2022|Jennings|40|4|4015||JENNINGS COUNTY SCHOOL CORPORATION|5|40-014.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loans for Technology|| 2022|Jennings|40|5|0110|2|JENNINGS COUNTY PUBLIC LIBRARY|6|40-015.00|0||Governmental Activities|1|General Obligation Bonds|Energy Savings Obligation Bond|421290.00|50000.00 2022|Jennings|40|6|0019|2|JENNINGS NW REG UTILITIES DIST - WA|20|40-019.00|29677|Water|Water Utility|1|General Obligation Bonds|Water & Wastewater Bonds|600000.00|157220.00 2022|Jennings|40|6|0021|2|CAMPBELL TWP REGIONAL SEWER DISTRIC|21|40-021.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|sewersystems installation|762432.00|47467.50 2022|Jennings|40|6|0023|2|Hayden Wastewater Utility Rural Sewer District|21|40-023.00|30294|Rural Wastewater Utility|Hayden Wastewater Utility, Regional Sewer District|1|General Obligation Bonds|Initial construction of wastewater infrastructure|921000.00|21000.00 2022|Johnson|41|1|0000|2|JOHNSON COUNTY|1|41-000.00|0||Governmental Activities|1|General Obligation Bonds|GOB 2019 A: To acquire vehicles and acquire/install/improve/renovate certain projects|735000.00|735000.00 2022|Johnson|41|1|0000|2|JOHNSON COUNTY|1|41-000.00|0||Governmental Activities|1|General Obligation Bonds|GOB 2020 A: To acquire vehicles and acquire/install/complete/improve/renovate certain projects|.00|.00 2022|Johnson|41|1|0000|2|JOHNSON COUNTY|1|41-000.00|0||Governmental Activities|1|General Obligation Bonds|GOB 2021 A: To acquire vehicles and acquire/install/improve/renovate certain projects|1835000.00|1835000.00 2022|Johnson|41|1|0000|2|JOHNSON COUNTY|1|41-000.00|0||Governmental Activities|1|General Obligation Bonds|GOB 2022: To acquire/install certain equipment and complete/improve/renovate certain projects|4600000.00|4600000.00 2022|Johnson|41|1|0000|2|JOHNSON COUNTY|1|41-000.00|0||Governmental Activities|2|Revenue Bonds|Local Income Tax Revenue Bonds Series 2020 A: To acquire/construct/install/rehabilitate/equip certain correctional & rehab facilities|13050000.00|5095000.00 2022|Johnson|41|3|0317|2|FRANKLIN CIVIL CITY|2|41-001.00|0||Governmental Activities|1|General Obligation Bonds|2012 Park Construction Bond|1195855.00|251845.00 2022|Johnson|41|3|0317|2|FRANKLIN CIVIL CITY|2|41-001.00|0||Governmental Activities|1|General Obligation Bonds|2020 General Obligation Refunding Bonds|1435000.00|185000.00 2022|Johnson|41|3|0317|2|FRANKLIN CIVIL CITY|2|41-001.00|0||Governmental Activities|2|Revenue Bonds|RDA Lease Rental Rev Bonds 2019|8365000.00|240000.00 2022|Johnson|41|3|0317|2|FRANKLIN CIVIL CITY|2|41-001.00|0||Governmental Activities|2|Revenue Bonds|RDC Tax Increment Revenue Bonds|9120000.00|1110000.00 2022|Johnson|41|3|0317|2|FRANKLIN CIVIL CITY|2|41-001.00|29436||WASTEWATER|2|Revenue Bonds|2013 Sewage Works Refunding Bonds|.00|.00 2022|Johnson|41|3|0317|2|FRANKLIN CIVIL CITY|2|41-001.00|29436||WASTEWATER|2|Revenue Bonds|2020 Sewage Works Refunding Bonds|4905000.00|200000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|1|General Obligation Bonds|2015 Fire GO Bonds|400000.00|155000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|1|General Obligation Bonds|2015 Parks Refunding Bonds|1505000.00|105000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO BONDS|6860000.00|1490000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|1|General Obligation Bonds|2022 General Obligation Bonds|4363000.00|4363000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2012, Series A|105000.00|105000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2012, Series B|.00|.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2020|3905000.00|1100000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|14|Other - Long Term|Redevelopment District Tax Increment Revenue Bond Anticipation Note of 2021 (523 S Madison Project)|13490000.00|.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|2017 LIT Bonds|485000.00|320000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|2022 Worthsville Bonds|8885000.00|620000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds of 2021|12869000.00|.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2013, Series A|10620000.00|1820000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2013, Series B|2130000.00|365000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2013, Series C1|2130000.00|365000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2013, Series C2|4040000.00|690000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2018, ES|3325000.00|565000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2019, ES EDA|1235000.00|115000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2019, ES Series A|10519000.00|1824000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2019, ES Series B|1378000.00|238000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2020, Central Series B|5145000.00|495000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Bonds of 2020, Fry Series A|2870000.00|240000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|29438|Sanitary Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2018, Series A|.00|.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|29438|Sanitary Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2014|5185000.00|350000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|29438|Sanitary Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2018, Series B|2633000.00|1306000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|29438|Sanitary Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2018, Series C|26868000.00|578000.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|29438|Sanitary Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|34492284.00|696040.00 2022|Johnson|41|3|0318|2|GREENWOOD CIVIL CITY|2|41-002.00|29705|Stormwater Utilty|STORMWATER|2|Revenue Bonds|Stormwater District Revenue Bond, Series 2022|3895000.00|223000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds Series 2021|2550000.00|105000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 Freightliner SEW 9972850|283633.11| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 Tesla PD 9972869|4892.30| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2021 Tesla PD (2 Vehicles) 73433|42784.21| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|14|Other - Long Term|Street Negotiable Improvement Notes sereis 2015|570000.00|180000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|2|Revenue Bonds|Park District Bonds of 2022|3310000.00|50000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|2|Revenue Bonds|TOB Redevelop[ment District Taxable Bonds of 2022|2225000.00|205000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|29737|Water Works|Bargersville Municipal Water Utility|2|Revenue Bonds|Water Works Refunding Revenue Bond 2014|840000.00|840000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|29737|Water Works|Bargersville Municipal Water Utility|2|Revenue Bonds|Water Works Revenue Bond Series 2011A (WT Plant # 2)|8675000.00|200000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|29738|Sewer|Bargersville Municipal Sewage Works|2|Revenue Bonds|Sewage Works Revenue Bond Series 2018|9327000.00|204000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|29738|Sewer|Bargersville Municipal Sewage Works|2|Revenue Bonds|Sewage Works Revenue Bonds of 2021|7235000.00|305000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|29738|Sewer|Bargersville Municipal Sewage Works|2|Revenue Bonds|Sewage Works Revenue Bonds Series 2007 (Tremont)|71779.04|35000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|29738|Sewer|Bargersville Municipal Sewage Works|2|Revenue Bonds|Waste Water Bond 2012 (refinance unpaid Principal Balance)|1354287.00|285165.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|29739|Electric Trans & Distr|Bargersville Municipal Electric Utility|2|Revenue Bonds|Electri Utility Revenue Bonds of 2021|2725000.00|160000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|29740|Storm & Drainage|Bargersville Municipal Storm Water Utility|2|Revenue Bonds|Storm Water Refunding Revenue Bonds of 2021|1625000.00|70000.00 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|5|Lines of Credit|v2022-06 PD ffb4001|40129.81| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|5|Lines of Credit|v2022-07 PD ffb4006|51951.21| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|5|Lines of Credit|v2023-02 PD ffb4007|55705.00| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|5|Lines of Credit|v2023-03 PD ffb4008|55705.00| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|5|Lines of Credit|v45-22 SEW ffb4044|63296.60| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|5|Lines of Credit|v60-22 WTR ffb4002|42380.35| 2022|Johnson|41|3|0702|2|BARGERSVILLE CIVIL TOWN|3|41-003.00|0||Governmental Activities|6|Claims and Judgments|v25-22 DEV ffb4003|44219.90| 2022|Johnson|41|3|0703|2|EDINBURGH CIVIL TOWN|3|41-004.00|29440|Town Wastewater Utiltiy|WASTEWATER|2|Revenue Bonds|2015 Wastewater Refunding Bonds|715000.00|465000.00 2022|Johnson|41|3|0703|2|EDINBURGH CIVIL TOWN|3|41-004.00|29441|Town Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2016|1350000.00|325000.00 2022|Johnson|41|3|0703|2|EDINBURGH CIVIL TOWN|3|41-004.00|29441|Town Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2022|6450000.00|1000.00 2022|Johnson|41|3|0704|2|NEW WHITELAND CIVIL TOWN|3|41-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Fire Engine 20 years|179482.01|20866.75 2022|Johnson|41|3|0704|2|NEW WHITELAND CIVIL TOWN|3|41-005.00|29443||WASTEWATER|14|Other - Long Term|SRF Loan 20 years|2119175.04|154440.00 2022|Johnson|41|3|0705|2|PRINCES LAKES CIVIL TOWN|3|41-006.00|29444|Wastewater facility|WASTEWATER|1|General Obligation Bonds|2012A Wastewater Improvements and or Installation|845000.00|275000.00 2022|Johnson|41|3|0705|2|PRINCES LAKES CIVIL TOWN|3|41-006.00|29444|Wastewater facility|WASTEWATER|1|General Obligation Bonds|2012B Wastewater Improvements and or Installation|2305000.00|.00 2022|Johnson|41|3|0705|2|PRINCES LAKES CIVIL TOWN|3|41-006.00|29444|Wastewater facility|WASTEWATER|1|General Obligation Bonds|2018|687000.00|1000.00 2022|Johnson|41|3|0705|2|PRINCES LAKES CIVIL TOWN|3|41-006.00|29445|Water facility|WATER|1|General Obligation Bonds|Waterworks Improvements|4061445.00|181425.00 2022|Johnson|41|3|0705|2|PRINCES LAKES CIVIL TOWN|3|41-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Purchase new dump truck|44392.65| 2022|Johnson|41|3|0706|2|TRAFALGAR CIVIL TOWN|3|41-007.00|0||Governmental Activities|1|General Obligation Bonds|Trafalgar Municpial Facilities Buildings Corporation First Mortgage Bonds, Series 2010|280000.00|4650.00 2022|Johnson|41|3|0706|2|TRAFALGAR CIVIL TOWN|3|41-007.00|30283|Water Utility|Water Utility|10|Notes and Loans Payable - Long Term|2018 Water Works|203738.92|20099.30 2022|Johnson|41|3|0706|2|TRAFALGAR CIVIL TOWN|3|41-007.00|30285|Sewer / Wastewater Utility|Wastewater Utility|2|Revenue Bonds|Sewage Works Revene Bonds, Series 2022|4095000.00|106000.00 2022|Johnson|41|3|0707|2|WHITELAND CIVIL TOWN|3|41-008.00|29448|wastewater utility|WASTEWATER|1|General Obligation Bonds|sewer works revenue bonds, series 2013 and 2013B|347551.25|375000.00 2022|Johnson|41|3|0707|2|WHITELAND CIVIL TOWN|3|41-008.00|29449|water utility|WATER|1|General Obligation Bonds|water works revenue bonds|182172.00|100000.00 2022|Johnson|41|4|4145||CLARK-PLEASANT COMMUNITY SCHOOL CORPORATION|5|41-020.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond - Stadium Project|| 2022|Johnson|41|4|4145||CLARK-PLEASANT COMMUNITY SCHOOL CORPORATION|5|41-020.00|0||Governmental Activities|1|General Obligation Bonds|Qualified School Construction Bond (Stimulus)|| 2022|Johnson|41|4|4145||CLARK-PLEASANT COMMUNITY SCHOOL CORPORATION|5|41-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Public and Private Loans|| 2022|Johnson|41|4|4205||CENTER GROVE COMMUNITY SCHOOL CORPORATION|5|41-018.00|0||Governmental Activities|1|General Obligation Bonds|2019A Go Bond|| 2022|Johnson|41|4|4205||CENTER GROVE COMMUNITY SCHOOL CORPORATION|5|41-018.00|0||Governmental Activities|1|General Obligation Bonds|2019B Go Bond|| 2022|Johnson|41|4|4205||CENTER GROVE COMMUNITY SCHOOL CORPORATION|5|41-018.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond|| 2022|Johnson|41|4|4205||CENTER GROVE COMMUNITY SCHOOL CORPORATION|5|41-018.00|0||Governmental Activities|1|General Obligation Bonds|2021A Go Bond|| 2022|Johnson|41|4|4205||CENTER GROVE COMMUNITY SCHOOL CORPORATION|5|41-018.00|0||Governmental Activities|1|General Obligation Bonds|2021B Go Bond|| 2022|Johnson|41|4|4215||EDINBURGH COMMUNITY SCHOOL CORPORATION|5|41-021.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds of 2021|| 2022|Johnson|41|4|4215||EDINBURGH COMMUNITY SCHOOL CORPORATION|5|41-021.00|0||Governmental Activities|1|General Obligation Bonds|GO Pension Bonds of 2012B|| 2022|Johnson|41|4|4225||FRANKLIN COMMUNITY SCHOOL CORPORATION|5|41-022.00|0||Governmental Activities|1|General Obligation Bonds|2016 GO Bond - Capital Improvements|| 2022|Johnson|41|4|4225||FRANKLIN COMMUNITY SCHOOL CORPORATION|5|41-022.00|0||Governmental Activities|1|General Obligation Bonds|2018 GO Bond - Capital Improvements|| 2022|Johnson|41|4|4225||FRANKLIN COMMUNITY SCHOOL CORPORATION|5|41-022.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO BOND - CAPITAL IMPROVEMENTS|| 2022|Johnson|41|4|4255||NINEVEH-HENSLEY-JACKSON UNITED SCHOOL CORPORATION|5|41-019.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2019|| 2022|Johnson|41|4|4255||NINEVEH-HENSLEY-JACKSON UNITED SCHOOL CORPORATION|5|41-019.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020|| 2022|Johnson|41|5|0112|2|GREENWOOD PUBLIC LIBRARY|6|41-029.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds Series 2020|3360000.00|380000.00 2022|Johnson|41|5|0113|2|JOHNSON COUNTY PUBLIC LIBRARY|6|41-027.00|0||Governmental Activities|1|General Obligation Bonds|Construction of new library branch in Whiteland, Indiana|6330000.00|1215000.00 2022|Johnson|41|6|0974|2|AMITY FIRE PROTECTION|18|41-035.00|0||Governmental Activities|1|General Obligation Bonds|Rescue Truck Purchased in 2018|.00|.00 2022|Johnson|41|6|0991|2|NEEDHAM FIRE PROTECTION DISTRICT|18|41-043.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|air packs for use by Needham Fire Department|43855.96| 2022|Johnson|41|6|1028|2|BARGERSVILLE FIRE PROTECTION|18|41-041.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|.00|.00 2022|Johnson|41|6|1028|2|BARGERSVILLE FIRE PROTECTION|18|41-041.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2021|870000.00|280000.00 2022|Johnson|41|6|1028|2|BARGERSVILLE FIRE PROTECTION|18|41-041.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2022|2075000.00|285000.00 2022|Johnson|41|6|1030|2|HENSLEY FIRE PROTECTION|18|41-046.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Building|1132540.86|101927.86 2022|Johnson|41|7|0012|2|WHITE LAKE CONSERVANCY DISTRICT|28|41-039.00|0||Governmental Activities|1|General Obligation Bonds|Lake - spillway - SRF Loan|106400.00|20200.00 2022|Johnson|41|7|0012|2|WHITE LAKE CONSERVANCY DISTRICT|28|41-039.00|0||Governmental Activities|1|General Obligation Bonds|Lake Dam Repair Project|.00|.00 2022|Johnson|41|7|0079|2|NORTHEAST LAKE CONSERVANCY DISTRICT|28|41-047.00|0||Governmental Activities|1|General Obligation Bonds|Dam Repair Project|121476.27|8792.00 2022|Johnson|41|7|0100|2|NORTH LAKE CONSERVANCY DISTRICT|28|41-048.00|0||Governmental Activities|1|General Obligation Bonds|Dam|356781.89|61251.80 2022|Johnson|41|8|0032|2|Franklin Redevelopment Authority|36|41-032.00|0||Governmental Activities|2|Revenue Bonds|CONSTRUCTION OF AMPHITHEATER|8009000.00|587000.00 2022|Knox|42|1|0000|0|KNOX COUNTY|1|42-000.00|0||Governmental Activities|2|Revenue Bonds|2015 TAXABLE ECONOMIC DEVELOPMENT - DUKE ENERGY PROJECT|25330000.00|985000.00 2022|Knox|42|2|0003|2|HARRISON TOWNSHIP|7|42-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|472633.95|113369.57 2022|Knox|42|2|0005|2|PALMYRA TOWNSHIP|7|42-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck|159642.09| 2022|Knox|42|2|0007|2|VIGO TOWNSHIP|7|42-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck Loan|24877.07|.00 2022|Knox|42|2|0010|2|WIDNER TOWNSHIP|7|42-027.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Purchase of Tanker Truck|86483.16|42165.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds Series 2021A|1000000.00|503512.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds Series 2021 B|975000.00|245735.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|30338|Vincennes Water Utilities|Water Department|1|General Obligation Bonds|2003 SRF|314909.86|300023.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|30338|Vincennes Water Utilities|Water Department|1|General Obligation Bonds|2016 Construction Bonds|6102800.00|300000.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|30338|Vincennes Water Utilities|Water Department|1|General Obligation Bonds|2018 Bonds|3998326.25|145000.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|30338|Vincennes Water Utilities|Water Department|1|General Obligation Bonds|2021 Bonds|8835802.50|20000.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|30339|Vincennes Water Utilities - Wastewater|Sewer Department|1|General Obligation Bonds|2015 Bonds|3009013.00|1910000.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|30339|Vincennes Water Utilities - Wastewater|Sewer Department|1|General Obligation Bonds|2016 Construction Bonds|5619600.00|.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|30339|Vincennes Water Utilities - Wastewater|Sewer Department|1|General Obligation Bonds|2018 Bonds|4237950.00|145000.00 2022|Knox|42|3|0300|0|VINCENNES CIVIL CITY|2|42-002.00|0||Governmental Activities|2|Revenue Bonds|Vincennes Redevelopment Commission Tax Increment Revenue Bonds 2018|3945000.00|687285.00 2022|Knox|42|3|0448|2|BICKNELL CIVIL CITY|2|42-001.00|29450||WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Treatment Plant|1273227.00|241840.00 2022|Knox|42|3|0448|2|BICKNELL CIVIL CITY|2|42-001.00|29451||WATER|10|Notes and Loans Payable - Long Term|Water Plant 2nd Filter|43624.89|10421.07 2022|Knox|42|3|0708||BRUCEVILLE CIVIL TOWN|3|42-003.00|29452|Wastewater|BRUCEVILLE WASTEWATER UTILITY|1|General Obligation Bonds|Sewer Construction|| 2022|Knox|42|3|0708||BRUCEVILLE CIVIL TOWN|3|42-003.00|29453|Water|BRUCEVILLE WATER UTILITY|2|Revenue Bonds|Water Utility Improvements|| 2022|Knox|42|3|0709|2|DECKER CIVIL TOWN|3|42-004.00|29454||WATER|10|Notes and Loans Payable - Long Term|water wells|111661.62|13092.00 2022|Knox|42|3|0710|2|EDWARDSPORT CIVIL TOWN|3|42-009.00|29455|Public water utility|Edwardsport Water Utility|2|Revenue Bonds|Water Treatment Plant|97000.00|26000.00 2022|Knox|42|3|0711|2|MONROE CITY CIVIL TOWN|3|42-005.00|29456||WASTEWATER|1|General Obligation Bonds|Sewage Works Construction|453000.00|10000.00 2022|Knox|42|3|0711|2|MONROE CITY CIVIL TOWN|3|42-005.00|29456||WASTEWATER|1|General Obligation Bonds|Sewage Works Construction|1537000.00|30000.00 2022|Knox|42|3|0711|2|MONROE CITY CIVIL TOWN|3|42-005.00|29457||WATER|1|General Obligation Bonds|Water Works Construction|741000.00|14000.00 2022|Knox|42|3|0711|2|MONROE CITY CIVIL TOWN|3|42-005.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|CCMG|23619.16| 2022|Knox|42|3|0711|2|MONROE CITY CIVIL TOWN|3|42-005.00|29456||WASTEWATER|11|Notes and Loans Payable - Short Term|Purchase Lawn Mower|2469.95| 2022|Knox|42|3|0711|2|MONROE CITY CIVIL TOWN|3|42-005.00|29456||WASTEWATER|11|Notes and Loans Payable - Short Term|Purchase Polaris Ranger|2047.42| 2022|Knox|42|3|0711|2|MONROE CITY CIVIL TOWN|3|42-005.00|29457||WATER|11|Notes and Loans Payable - Short Term|Purchase of Lawn Mower|2469.95| 2022|Knox|42|3|0711|2|MONROE CITY CIVIL TOWN|3|42-005.00|29457||WATER|11|Notes and Loans Payable - Short Term|Purchase of Polaris Ranger|2047.43| 2022|Knox|42|3|0712|2|OAKTOWN CIVIL TOWN|3|42-006.00|29458|collect fees for waste disposal|WASTEWATER|1|General Obligation Bonds|SEWER SYSTEM|566694.00|35000.00 2022|Knox|42|3|0712|2|OAKTOWN CIVIL TOWN|3|42-006.00|29459|collect fees for water useage|WATER|1|General Obligation Bonds|WATER SYSTEM IMPROVEMENTS|654640.00|40000.00 2022|Knox|42|3|0713|2|SANDBORN CIVIL TOWN|3|42-007.00|29460|Wastewater|WASTEWATER|2|Revenue Bonds|Sewer Plant Bonds|1219628.31|31000.00 2022|Knox|42|3|0714|0|WHEATLAND CIVIL TOWN|3|42-008.00|29462|Supplies water to town of Wheatland|Wheatland Water Dept.|10|Notes and Loans Payable - Long Term|Drill Well #6|.00|.00 2022|Knox|42|3|0714|0|WHEATLAND CIVIL TOWN|3|42-008.00|29462|Supplies water to town of Wheatland|Wheatland Water Dept.|2|Revenue Bonds|2022 A Waterworks Revenue Bond|1394000.00|.00 2022|Knox|42|3|0714|0|WHEATLAND CIVIL TOWN|3|42-008.00|29462|Supplies water to town of Wheatland|Wheatland Water Dept.|2|Revenue Bonds|2022 B Waterworks Revenue Bond|40553.00|11835.00 2022|Knox|42|4|4325||SOUTH KNOX SCHOOL CORPORATION|5|42-012.00|0||Governmental Activities|1|General Obligation Bonds|Qualified School Construction Bonds of 2009|| 2022|Knox|42|4|4335||VINCENNES COMMUNITY SCHOOL CORPORATION|5|42-013.00|0||Governmental Activities|1|General Obligation Bonds|Renovation Improvement of Facilities|| 2022|Knox|42|6|0039|2|FREELANDVILLE REGIONAL SEWER DISTRICT|21|42-039.00|30343|Regional Sewer District|Freelandville Regional Sewer District|10|Notes and Loans Payable - Long Term|Construction of Freelandville Regional Sewer System|1514701.70|62095.57 2022|Knox|42|6|0936|2|VINCENNES TOWNSHIP FIRE|18|42-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2015 Fire Apparatus Loan|.00|.00 2022|Knox|42|6|0936|2|VINCENNES TOWNSHIP FIRE|18|42-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2018 Fire Apparatus Loan|427087.00|166537.00 2022|Knox|42|6|0936|2|VINCENNES TOWNSHIP FIRE|18|42-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2021 Fire Apparatus Loan|650277.00|155665.00 2022|Knox|42|6|0954|2|JOHNSON TOWNSHIP COMMUNITY FIRE|18|42-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2017 Fire Truck Loan|53640.00|35485.00 2022|Knox|42|6|1056|2|KNOX COUNTY SOLID WASTE MANAGEMENT DISTRICT|16|42-037.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Mortgage Loan|179123.49|10436.69 2022|Knox|42|7|0013|2|BREVOORT LEVEE CONSERVANCY DISTRICT|28|42-036.00|0||Governmental Activities|1|General Obligation Bonds|lLevee Improvements|140021.00|28950.00 2022|Kosciusko|43|1|0000|2|KOSCIUSKO COUNTY|1|43-000.00|0||Governmental Activities|1|General Obligation Bonds|Louis Dreyfus TIF|1665000.00|475000.00 2022|Kosciusko|43|1|0000|2|KOSCIUSKO COUNTY|1|43-000.00|0||Governmental Activities|1|General Obligation Bonds|TruPointe TIF|1123000.00|115400.00 2022|Kosciusko|43|2|0005||JACKSON TOWNSHIP|7|43-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2012 Fire Truck|| 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2016|1950000.00|185000.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Rev Bonds Series 2012|765000.00|90000.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Rev Bonds Series 2013|1385000.00|230000.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Rev Bonds Series 2013A|535000.00|90000.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Rev Bonds Series 2022 Marketplace|1711000.00|.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Special Taxing District Series 2015 Winona PVD III|655000.00|25000.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|29463||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Bonds 2021|2530000.00|245000.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|29463||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2013|.00|.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|29463||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2017|8692000.00|204000.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|29463||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2018|31626000.00|320000.00 2022|Kosciusko|43|3|0414|2|WARSAW CIVIL CITY|2|43-001.00|29463||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2022|.00|351000.00 2022|Kosciusko|43|3|0717|2|ETNA GREEN CIVIL TOWN|3|43-004.00|29468|Provide wastewater service|WASTEWATER|2|Revenue Bonds|SEWAGE WORKS REFUNDING REVENUE BONDS OF 2016|510069.34|30343.24 2022|Kosciusko|43|3|0718||LEESBURG CIVIL TOWN|3|43-005.00|29470|public sewer system|WASTEWATER|2|Revenue Bonds|construction of sewer system|| 2022|Kosciusko|43|3|0719|2|MENTONE CIVIL TOWN|3|43-006.00|29471|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Wastewater Improvements|540000.00|60000.00 2022|Kosciusko|43|3|0720|2|MILFORD CIVIL TOWN|3|43-007.00|29473|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Bond|1070000.00|130000.00 2022|Kosciusko|43|3|0721|2|NORTH WEBSTER CIVIL TOWN|3|43-008.00|29475|wastewater|WASTEWATER|2|Revenue Bonds|Sewage Bond|.00|.00 2022|Kosciusko|43|3|0721|2|NORTH WEBSTER CIVIL TOWN|3|43-008.00|29475|wastewater|WASTEWATER|2|Revenue Bonds|Sewage Bond|2956000.00|207000.00 2022|Kosciusko|43|3|0722|2|PIERCETON CIVIL TOWN|3|43-009.00|29476|sewer|WASTEWATER|2|Revenue Bonds|revenue refunding and improvement bonds of 2015|2235000.00|100000.00 2022|Kosciusko|43|3|0723||SIDNEY CIVIL TOWN|3|43-010.00|29478|Sewer|WASTEWATER|2|Revenue Bonds|Wastewater Improvements|| 2022|Kosciusko|43|3|0724|2|SILVER LAKE CIVIL TOWN|3|43-011.00|29479||WASTEWATER|10|Notes and Loans Payable - Long Term|Bank of New York Mellon|363000.00|19000.00 2022|Kosciusko|43|3|0724|2|SILVER LAKE CIVIL TOWN|3|43-011.00|29480||WATER|10|Notes and Loans Payable - Long Term|lCedar Rapids Bank & Trust|482500.76|58299.69 2022|Kosciusko|43|3|0725|2|SYRACUSE CIVIL TOWN|3|43-012.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|NEW ATHLETIC FIELD|2850000.00| 2022|Kosciusko|43|3|0725|2|SYRACUSE CIVIL TOWN|3|43-012.00|0||Governmental Activities|2|Revenue Bonds|Community Center Lease|.00|.00 2022|Kosciusko|43|3|0725|2|SYRACUSE CIVIL TOWN|3|43-012.00|29481||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond Series 2015|2125000.00|204434.38 2022|Kosciusko|43|3|0725|2|SYRACUSE CIVIL TOWN|3|43-012.00|29481||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond Series 2018|445000.00|84719.00 2022|Kosciusko|43|3|0725|2|SYRACUSE CIVIL TOWN|3|43-012.00|29482||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2016|1320000.00|397496.00 2022|Kosciusko|43|3|0725|2|SYRACUSE CIVIL TOWN|3|43-012.00|29483||SYRACUSE FOREST PARK DEBT SERVICE|2|Revenue Bonds|Forest Park Sewage Extension Bonds 2008|120083.00|20333.57 2022|Kosciusko|43|3|0726|2|WINONA LAKE CIVIL TOWN|3|43-013.00|0||Governmental Activities|2|Revenue Bonds|Ice Rink and Multi-Purpose Pavilion|4607000.00|403000.00 2022|Kosciusko|43|3|0726|2|WINONA LAKE CIVIL TOWN|3|43-013.00|0||Governmental Activities|2|Revenue Bonds|Various Municipal Improvements|1025000.00|115000.00 2022|Kosciusko|43|4|4345||WAWASEE COMMUNITY SCHOOL CORPORATION|5|43-016.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond of 2013|| 2022|Kosciusko|43|4|4345||WAWASEE COMMUNITY SCHOOL CORPORATION|5|43-016.00|0||Governmental Activities|1|General Obligation Bonds|Renovation of heating and air mechanical systems at Wawasee Qualified School Construction Bond (QSCB) Middle School|| 2022|Kosciusko|43|4|4345||WAWASEE COMMUNITY SCHOOL CORPORATION|5|43-016.00|0||Governmental Activities|1|General Obligation Bonds|Renovations and improvement of facilities 2019 GO Bond|| 2022|Kosciusko|43|4|4345||WAWASEE COMMUNITY SCHOOL CORPORATION|5|43-016.00|0||Governmental Activities|1|General Obligation Bonds|Renovations and Improvements of Facilities 2020 GO Bond|| 2022|Kosciusko|43|4|4345||WAWASEE COMMUNITY SCHOOL CORPORATION|5|43-016.00|0||Governmental Activities|1|General Obligation Bonds|Renovations and Improvements of Facilities 2021 GO Bond|| 2022|Kosciusko|43|4|4415||WARSAW COMMUNITY SCHOOL CORPORATION|5|43-015.00|0||Governmental Activities|1|General Obligation Bonds|2009 QSCB|| 2022|Kosciusko|43|4|4415||WARSAW COMMUNITY SCHOOL CORPORATION|5|43-015.00|0||Governmental Activities|1|General Obligation Bonds|2010 QSCB|| 2022|Kosciusko|43|4|4415||WARSAW COMMUNITY SCHOOL CORPORATION|5|43-015.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2016|| 2022|Kosciusko|43|4|4415||WARSAW COMMUNITY SCHOOL CORPORATION|5|43-015.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2018|| 2022|Kosciusko|43|4|4415||WARSAW COMMUNITY SCHOOL CORPORATION|5|43-015.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2019|| 2022|Kosciusko|43|4|4415||WARSAW COMMUNITY SCHOOL CORPORATION|5|43-015.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2020|| 2022|Kosciusko|43|4|4445||TIPPECANOE VALLEY SCHOOL CORPORATION|5|43-014.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan|| 2022|Kosciusko|43|4|4455||WHITKO COMMUNITY SCHOOL CORPORATION|5|43-017.00|0||Governmental Activities|1|General Obligation Bonds|Whitko Schools - 2021 GOB|| 2022|Kosciusko|43|5|0268|2|BELL MEMORIAL PUBLIC LIBRARY|6|43-018.00|0||Governmental Activities|1|General Obligation Bonds|building|41917.50|45000.00 2022|Kosciusko|43|5|0268|2|BELL MEMORIAL PUBLIC LIBRARY|6|43-018.00|0||Governmental Activities|1|General Obligation Bonds|Equipment and facility maintenance|477219.44|30000.00 2022|Kosciusko|43|5|0303|2|NORTH WEBSTER COMMUNITY PUBLIC LIBRARY|6|43-020.00|0||Governmental Activities|1|General Obligation Bonds|New Library Buildinhg|3920000.00|190000.00 2022|Kosciusko|43|6|0048|2|Tippecanoe and Chapman Lakes Regional Sewer District|21|43-048.00|30308|Sewage Construction|Sewage Construction|10|Notes and Loans Payable - Long Term|Forgoveable Ban of 2022|2700000.00|.00 2022|Kosciusko|43|6|0048|2|Tippecanoe and Chapman Lakes Regional Sewer District|21|43-048.00|30308|Sewage Construction|Sewage Construction|10|Notes and Loans Payable - Long Term|Indiana Bond Bank Ban- Sewage Works|24968000.00|.00 2022|Kosciusko|43|6|0048|2|Tippecanoe and Chapman Lakes Regional Sewer District|21|43-048.00|30308|Sewage Construction|Sewage Construction|10|Notes and Loans Payable - Long Term|Sewage Works BAN of 2020|.00|.00 2022|Kosciusko|43|6|0048|2|Tippecanoe and Chapman Lakes Regional Sewer District|21|43-048.00|30487|Bond and Interest|Sewage Bond and Interest|2|Revenue Bonds|Taxable Sewage Works Revenue Bonds of 2022|12227000.00|179000.00 2022|Kosciusko|43|6|0049|2|TURKEY CREEK REGIONAL SEWER DISTRIC|20|43-049.00|30005||Wastewater|2|Revenue Bonds|Revenue Bond-2015|3410000.00|220000.00 2022|Kosciusko|43|6|0049|2|TURKEY CREEK REGIONAL SEWER DISTRIC|20|43-049.00|30005||Wastewater|2|Revenue Bonds|Revenue Bond-2018|3205000.00|135000.00 2022|Kosciusko|43|6|0049|2|TURKEY CREEK REGIONAL SEWER DISTRIC|20|43-049.00|30005||Wastewater|2|Revenue Bonds|Revenue Bond-2021|5935000.00|.00 2022|Kosciusko|43|6|0054|2|LAKELAND REGIONAL SEWER DISTRICT|21|43-054.00|30031|Wastewater|Wastewater|2|Revenue Bonds|Revenue Bonds of 2016|18230084.00|354000.00 2022|LaGrange|44|3|0727|2|LAGRANGE CIVIL TOWN|3|44-001.00|29485||WASTEWATER|1|General Obligation Bonds|WASTEWATER PLANT EXPANSION|1851000.00|79000.00 2022|LaGrange|44|3|0727|2|LAGRANGE CIVIL TOWN|3|44-001.00|29486||WATER|1|General Obligation Bonds|WATER TREATMENT PLANT CONSTRUCTION|7088000.00|291000.00 2022|LaGrange|44|3|0728||SHIPSHEWANA CIVIL TOWN|3|44-002.00|0||Governmental Activities|1|General Obligation Bonds|Storm Water District Bonds of 2004|| 2022|LaGrange|44|3|0729|2|TOPEKA CIVIL TOWN|3|44-003.00|0||Governmental Activities|2|Revenue Bonds|2015 Redevelopment District Tax Increment Revenue Bonds|3555000.00|270000.00 2022|LaGrange|44|3|0729|2|TOPEKA CIVIL TOWN|3|44-003.00|29491|Topeka Water Company - serves nearly 400 customers|WATER|2|Revenue Bonds|2021 Water Treatment Plant Update|3602000.00|161000.00 2022|LaGrange|44|4|4515||PRAIRIE HEIGHTS COMMUNITY SCHOOL CORPORATION|5|44-017.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2019|| 2022|LaGrange|44|4|4525||WESTVIEW SCHOOL CORPORATION|5|44-018.00|0||Governmental Activities|1|General Obligation Bonds|Purchase of Energy Saving Equipment and Roof Replacement|| 2022|LaGrange|44|4|4525||WESTVIEW SCHOOL CORPORATION|5|44-018.00|0||Governmental Activities|1|General Obligation Bonds|Qualified School Construction Bond|| 2022|LaGrange|44|4|4525||WESTVIEW SCHOOL CORPORATION|5|44-018.00|0||Governmental Activities|1|General Obligation Bonds|School Pension-Severance, Taxable Program|| 2022|LaGrange|44|4|4535||LAKELAND SCHOOL CORPORATION|5|44-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan|| 2022|LaGrange|44|5|0122|2|LAGRANGE COUNTY PUBLIC LIBRARY|6|44-019.00|0||Governmental Activities|1|General Obligation Bonds|Series 2017 Refunding Bonds|3520000.00|465000.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Region A 2016 Refunding Revenue Bonds|3740000.00|135000.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Region C 2018 Taxable Revenue Bonds - Series A|7521750.00|429900.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Region C 2018 Taxable Revenue Bonds - Series B|2587250.00|83500.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Region C Taxable Revenue Bonds of 2022|2323000.00|.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Region D 2015 Refunding Revenue Bonds|706000.00|42000.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Revenue Bonds of 2020, Series A|3058000.00|1000.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Revenue Bonds of 2020, Series B|1677000.00|1000.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Revenue Bonds of 2020, Series C|2788000.00|125000.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|0||Governmental Activities|2|Revenue Bonds|Taxable Revenue Bonds of 2020, Service Area A|8620000.00|525000.00 2022|LaGrange|44|6|0021|2|LAGRANGE CO REGIONAL SEWER DISTRICT|21|44-021.00|29713|LaGrange Co. Regional Water District|Regional Water District|2|Revenue Bonds|Fawn River 2017 Revenue Bonds|3326000.00|193000.00 2022|LaGrange|44|8|0023|2|Shipshewana Redevelopment Authority|36|44-023.00|0||Governmental Activities|2|Revenue Bonds|2015 RDA Bonds|125000.00|.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2015A|4620000.00|1270000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2015B|2690000.00|740000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2015C|505000.00|505000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2017A|6960000.00|1205000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|3555000.00|1405000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|Highway Improvements|300000.00|300000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|Judgment Bond 2019|2265000.00|890000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|Lake County IN General Obligation Bonds Series 2014B|3275000.00|1285000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|LC Parks Refunding Bonds Series 2014|6905000.00|1050000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|LC Parks Refunding Bonds Series 2021|6755000.00|1055000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bond of 2016|8650000.00|880000.00 2022|Lake|45|1|0000|2|LAKE COUNTY|1|45-000.00|0||Governmental Activities|1|General Obligation Bonds|Public Safety Tax Bonds-Series 2014A|10970000.00|1320000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Econ Dev. Revenue Bonds, Series 1996 (Madison Ave. Townhomes)|626441.00|140100.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Econ Dev. Revenue Bonds, Series 2003 (Lancaster Apartments)|765000.00|225000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Econ Dev. Revenue Bonds, Series 2004B (25th & Grant Project)|3353287.00|418135.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Econ Dev. Revenue Bonds, Series 2007 (Rolling Plains Project)|755000.00|72000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Econ Dev. Revenue Bonds, Series 2007 A, B& C (Dalton Arms Project)|1630000.00|320000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Econ Dev. Revenue Bonds, Series 2013 (Kirk Yard Project)|7100000.00|530000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Econ Dev. Revenue Bonds, Series 2014 (504 Broadway)|.00|.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|HUD Section 108 Loan- Fire Station-2019|2888000.00|181000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|HUD Section 108 Loan-Hudson Campbell-2019|1990000.00|210000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Local Wheel Revenue Bonds of 2017|385000.00|385000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Redevelop. Tax Increment Revenue Bonds, Series 2019A (USS Project)|94608027.00|2350225.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Redevelop. Tax Increment Revenue Bonds, Series 2019B (USS Project)|18400000.00|800000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|0||Governmental Activities|2|Revenue Bonds|Special Tax Revenue Bonds, Series 2016|4930000.00|1370000.00 2022|Lake|45|3|0101|2|GARY CIVIL CITY|2|45-003.00|29495|Waste water treatment|GSD|2|Revenue Bonds|Sanitary District Refunding Revenue Bonds, Series 2020A|21295000.00|1910000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|1|General Obligation Bonds|City of Hammond, IN General Obligation Park Bonds, Series 2014|2075000.00|805000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|1|General Obligation Bonds|City of Hammond, Indiana Park District Bond Bank, Series 2018 A|5360700.00|1040635.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|29496||SANITARY DISTRICT|1|General Obligation Bonds|Series 2013A|32410000.00|2725000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|29496||SANITARY DISTRICT|1|General Obligation Bonds|Special Taxing District Bond Series 2018C|10155000.00|430000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|29496||SANITARY DISTRICT|1|General Obligation Bonds|Special Taxing District Refunding Bond Series 2014|.00|.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|29496||SANITARY DISTRICT|1|General Obligation Bonds|Special Taxing District Refunding Bond Series 2018A|12355000.00|1840000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|29496||SANITARY DISTRICT|1|General Obligation Bonds|Special Taxing District Refunding Bond Series 2021A|2180000.00|605000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City of Hammond, IN 2019 - HUD Section 108 Loan (Sportsplex)|6748815.00|432588.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City of Hammond, IN Annual Appropriation Note, Series 2018 (Energy Savings Project Phase 2)|2759685.00|197244.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City of Hammond, IN Annual Appropriation Note, Series 2021 (Guaranteed Energy Savings Phase 3)|12935308.49|487094.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City of Hammond, IN Annual Appropriation Notes, Series 2017 (Energy Savings Project Phase 1)|11657547.50|870000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Hammond Fire Station 8 Loan|2868904.00|152842.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|14|Other - Long Term|City of Hammond, IN Redevelopment Commission Installment Purchase Contract|5144302.76|239378.68 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, IN Economic Development Revenue Bonds, Series 2013 (Munster Steel Project)|1487100.00|90000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, IN Economic Development Revenue Bonds, Series 2014 (Marina District Project)|2860500.00|120000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, IN Tax Increment Revenue Refunding Bonds, Series 2017 (Potash Project)|1338631.25|925000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, Indiana Economic Development Revenue Bonds, Series 2018A (Gateway Projects)|5124250.00|155000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, Indiana Economic Development Revenue Bonds. Series 2018B (Lear Seating Project)|3824537.48|.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, Indiana Economic Development Revenue Refunding Bonds, Series 2016A|7410375.00|210000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, Indiana Economic Development Revenue Refunding Bonds, Series 2016B|572510.15|515000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, Indiana Taxable Economic Development Revenue Bonds, Series 2019 (Data Center)|7449400.00|.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|City of Hammond, Indiana Taxable Economic Development Revenue Bonds, Series 2021A (415 Sibley 3 Corners Project)|2910000.00|.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|HLPIBB, Taxable Bond Bank Refunding Bonds, Series 2021B (Water Refunding)|17099458.00|1955000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2007 (Cabela's)|5220358.18|.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|29497||WATER UTILITY|2|Revenue Bonds|Hammond 2018B Public Improvement Bond|5925000.00|445000.00 2022|Lake|45|3|0104|0|HAMMOND CIVIL CITY|2|45-004.00|29497||WATER UTILITY|2|Revenue Bonds|Waterworks District Revenue Bonds, Series 2022|17145000.00|490000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Bonds, Series 2020 (Chrome LLC Project)|1620000.00|45000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Tax Increment Financing Bonds, 1999 USG Project|.00|.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bond, Series 2007A Riley Plaza Project|745000.00|110000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2015 (Hoist LIft Mfg.)|1880000.00|270000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29498||SANITARY DISTRICT|2|Revenue Bonds|Sanitary District Revenue Bond Anticipation Notes of 2020 to Finance Construction and Non-Construction Costs|.00|.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29498||SANITARY DISTRICT|2|Revenue Bonds|Sanitary District Revenue Bonds, Series 2015 Improvements to Wastewater Plant|9605000.00|595000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29498||SANITARY DISTRICT|2|Revenue Bonds|Sanitary District Revenue Bonds, Series 2022 to payoff 2020 Bond Anticipation Notes and pay costs of issuance|7945000.00|.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29499||WATER|2|Revenue Bonds|State Revolving Fund (SRF) Loan 2002 Water Utility Improvements|130000.00|130000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29499||WATER|2|Revenue Bonds|State Revolving Fund (SRF) Loan 2006 New Water Filtration Plant|5615000.00|1025000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29499||WATER|2|Revenue Bonds|State Revolving Fund (SRF) Loan 2009 New Water Filtration Plant|11765000.00|1545000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29499||WATER|2|Revenue Bonds|State Revolving Fund (SRF) Loan 2017 Meter Replacement, Modeling Software, Engineering Costs|3844000.00|2000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29499||WATER|2|Revenue Bonds|State Revolving Fund (SRF) Loan 2018A Lead Replacement Costs, Bond Issuance Costs|3068000.00|16000.00 2022|Lake|45|3|0108|2|EAST CHICAGO CIVIL CITY|2|45-002.00|29499||WATER|2|Revenue Bonds|State Revolving Fund (SRF) Loan 2018B Two Water Storage Tanks, Meter Installation, Fire Hydrants, Water Filling Station|10935000.00|60000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|1|General Obligation Bonds|2009 Redevelopment Bond: 61st Ave. Series B (Fund 3341)|520000.00|110000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|1|General Obligation Bonds|2010 Redevelopment Bond: 61st Ave RZ Series B (Fund 3342)|1240000.00|265000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|1|General Obligation Bonds|2016 Redevelopment Refunding Bond: 61st Ave (Fund 3340)|1475000.00|310000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|1|General Obligation Bonds|2017 Park District Bond (Fund 3330)|700000.00|700000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond: Lease payoffs: Series 2020B (Fund 3324)|2835000.00|10000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|1|General Obligation Bonds|2020 Taxable GO Bond: Series 2020A (Fund 3324)|1935000.00|190000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|1|General Obligation Bonds|2022 City Community Funding Resource Bond (Fund 3325)|5815000.00|250000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|14|Other - Long Term|2022 RDC Community Funding Resource Bond (Fund 3343)|5815000.00|250000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|0||Governmental Activities|2|Revenue Bonds|2022 Redevelopment Tax Incrmnt Bond:Albanese (Fund4455)|11176000.00|30000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|29501|Storm Water Utility|STORM WATER|2|Revenue Bonds|2018 Storm Water Management District Bond|13060000.00|655000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|29502||WASTEWATER|2|Revenue Bonds|2012 HSD Sanitary Sewage Revenue Bonds (SRF)|2376000.00|200000.00 2022|Lake|45|3|0202|2|HOBART CIVIL CITY|2|45-006.00|29502||WASTEWATER|2|Revenue Bonds|2022 Sanitary District Bonds (SRF)|46065000.00|2000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|1|General Obligation Bonds|2008 Gen Obligation Bond-Road Improvements|165000.00|165000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|1|General Obligation Bonds|2019 General Obligation Bonds - road improvemenets|1420000.00|240000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|1|General Obligation Bonds|2020 General Obligation Bonds|1660000.00|240000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|1|General Obligation Bonds|2021 General Obligation Bonds|3660000.00|190000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|1|General Obligation Bonds|2022 General Obligation Bonds|3000000.00|.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2018 Redevelopment District Bond Anticipation Note of 2018|4800000.00|4800000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|2|Revenue Bonds|2007 TIF Redevelopment Bond-Property Purchase|310000.00|310000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|2|Revenue Bonds|2015 TIF Redevelopment Bond|3630000.00|230000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|2|Revenue Bonds|2020 Local Income Tax Bonds|4240000.00|270000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2019A|15000000.00|100000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2021B|10500000.00|.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29503|Stormwater Utility|STORM WATER|2|Revenue Bonds|2019 Sewage Works Refunding Revenue Bonds - Sewage & Stormwater Improvements|1630000.00|210000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29504|Wastewater Utility|WASTEWATER|2|Revenue Bonds|2011 SRF Loan/Line of Credit-Wastewater & Stormwater Improvements|950000.00|110000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29504|Wastewater Utility|WASTEWATER|2|Revenue Bonds|2013 SRF Loan/Line of Credit-Wastewater & Stormwater Improvements|815000.00|85000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29504|Wastewater Utility|WASTEWATER|2|Revenue Bonds|2015 SRF Loan/Line of Credit - Wastewater & Stormwater Improvements|3205000.00|240000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29504|Wastewater Utility|WASTEWATER|2|Revenue Bonds|2016 Sewage Works Refunding Revenue Bond-Refund 2006 Issue|990000.00|240000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29504|Wastewater Utility|WASTEWATER|2|Revenue Bonds|2017 SRF Loan/Line of Credit - Wastewater Improvmenets|5210000.00|320000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29505|Water Utility|WATER|2|Revenue Bonds|2014 Waterworks Revenue Bond|1390000.00|190000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29505|Water Utility|WATER|2|Revenue Bonds|2018 Waterworks Revenue Bonds, Series 2018A|6650000.00|360000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29505|Water Utility|WATER|2|Revenue Bonds|2018 Waterworks Revenue Bonds, Series 2018B|1153800.00|131200.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29505|Water Utility|WATER|2|Revenue Bonds|2019 Waterworks Revenue Bonds, Series 2019A|5040000.00|250000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29505|Water Utility|WATER|2|Revenue Bonds|2019 Waterworks Revenue Bonds, Series 2019B|932700.00|99550.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29505|Water Utility|WATER|2|Revenue Bonds|2020 Waterworks Revenue Bonds, Series 2020A|5155000.00|230000.00 2022|Lake|45|3|0321|0|CROWN POINT CIVIL CITY|2|45-001.00|29505|Water Utility|WATER|2|Revenue Bonds|2020 Waterworks Revenue Bonds, Series 2020B|1037700.00|101950.00 2022|Lake|45|3|0322|2|WHITING CIVIL CITY|2|45-005.00|0||Governmental Activities|1|General Obligation Bonds|2013 Civil City Bond|935000.00|75000.00 2022|Lake|45|3|0322|2|WHITING CIVIL CITY|2|45-005.00|0||Governmental Activities|1|General Obligation Bonds|2014 Civil City Bond|895000.00|70000.00 2022|Lake|45|3|0322|2|WHITING CIVIL CITY|2|45-005.00|0||Governmental Activities|1|General Obligation Bonds|2014 Sanitary District|4665000.00|375000.00 2022|Lake|45|3|0322|2|WHITING CIVIL CITY|2|45-005.00|0||Governmental Activities|1|General Obligation Bonds|2014 Series A Sanitary District|1000000.00|80000.00 2022|Lake|45|3|0322|2|WHITING CIVIL CITY|2|45-005.00|29506|Sewer|SEWER|14|Other - Long Term|Hammond Sanitary District Capital|556014.00|30192.00 2022|Lake|45|3|0322|2|WHITING CIVIL CITY|2|45-005.00|0||Governmental Activities|2|Revenue Bonds|2016 Red. Tax Incr|12915000.00|1165000.00 2022|Lake|45|3|0322|2|WHITING CIVIL CITY|2|45-005.00|0||Governmental Activities|2|Revenue Bonds|2021 Red. Tax Incr|2430000.00|1530000.00 2022|Lake|45|3|0401|2|LAKE STATION CIVIL CITY|2|45-007.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Judgment 2013|135000.00|135000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|0||Governmental Activities|1|General Obligation Bonds|2017 Redevelopment District Refunding Bonds|1185000.00|165000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|0||Governmental Activities|2|Revenue Bonds|2015 Economic Development Income Tax Revenue Bonds|431000.00|139000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|29816|Maintenance of storm sewer drainage system. Includes restricted funds for debt service and capital construction.|STORM WATER|2|Revenue Bonds|2017 Storm Water District Refunding Revenue Bonds|935000.00|155000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|29816|Maintenance of storm sewer drainage system. Includes restricted funds for debt service and capital construction.|STORM WATER|2|Revenue Bonds|2017 Storm Water District Revenue Bonds|2615000.00|10000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|29817|Maintenance of sewer infrastructure and contract with Town of Lowell for share of plant facility. Includes restricted funds for debt service, development, treatment plant special fund, and depreciation.|WASTEWATER|2|Revenue Bonds|2010 Sewage Works Refunding Bonds|1300000.00|420000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|29818|Maintenance of waterworks facilities, infrastructure and expansion. Includes debt service, customer deposit fund, development and depreciation.|WATER|2|Revenue Bonds|2009 Waterworks Refunding Bond - SRF - Assumed from Utilities Inc #501 Replacement Bond|283000.00|67500.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|29818|Maintenance of waterworks facilities, infrastructure and expansion. Includes debt service, customer deposit fund, development and depreciation.|WATER|2|Revenue Bonds|2010 B Waterworks Revenue Bond - Wells Fargo Trustee|215000.00|70000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|29818|Maintenance of waterworks facilities, infrastructure and expansion. Includes debt service, customer deposit fund, development and depreciation.|WATER|2|Revenue Bonds|2010 Waterworks Revenue Bond - SRF - Construction Loan #502|830000.00|95000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|29818|Maintenance of waterworks facilities, infrastructure and expansion. Includes debt service, customer deposit fund, development and depreciation.|WATER|2|Revenue Bonds|2012Waterworks Revenue Bond - SRF - Pooled Loan #503|1168000.00|17000.00 2022|Lake|45|3|0504|2|CEDAR LAKE CIVIL TOWN|3|45-017.00|29818|Maintenance of waterworks facilities, infrastructure and expansion. Includes debt service, customer deposit fund, development and depreciation.|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2022|3915000.00|24000.00 2022|Lake|45|3|0505|2|GRIFFITH CIVIL TOWN|3|45-009.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2009 Road projects|132868.75|170000.00 2022|Lake|45|3|0505|2|GRIFFITH CIVIL TOWN|3|45-009.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2010 Road projects|463208.12|175000.00 2022|Lake|45|3|0505|2|GRIFFITH CIVIL TOWN|3|45-009.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2021 Central Park|3760000.00|80000.00 2022|Lake|45|3|0505|2|GRIFFITH CIVIL TOWN|3|45-009.00|0||Governmental Activities|1|General Obligation Bonds|Sidewalk Bond A|10652256.25|435000.00 2022|Lake|45|3|0505|2|GRIFFITH CIVIL TOWN|3|45-009.00|0||Governmental Activities|1|General Obligation Bonds|Sidewalk Bond B|10652256.25|435000.00 2022|Lake|45|3|0505|2|GRIFFITH CIVIL TOWN|3|45-009.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Public Works New Mower|122409.08| 2022|Lake|45|3|0505|2|GRIFFITH CIVIL TOWN|3|45-009.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Public Works Payloader|144534.40| 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|0||Governmental Activities|1|General Obligation Bonds|Corporation Promissory Note 2015|.00|.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|0||Governmental Activities|1|General Obligation Bonds|Highland Park Bonds of 2012, Series B|.00|.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|0||Governmental Activities|1|General Obligation Bonds|Park Bond 2016|1000000.00|200000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|0||Governmental Activities|1|General Obligation Bonds|Park Bonds Series 2021 A|407000.00|101000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|0||Governmental Activities|1|General Obligation Bonds|Park Bonds Series 2021 B|2893000.00|289000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds of 2014|315000.00|210000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29822|This represents activity of the Santary District. Its User charges include fees for stormwater as well. It also collects for Solid Waste management services.|WASTEWATER|1|General Obligation Bonds|Highland Sanitary District BABs Series 2009 B|.00|.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29822|This represents activity of the Santary District. Its User charges include fees for stormwater as well. It also collects for Solid Waste management services.|WASTEWATER|1|General Obligation Bonds|Highland Sanitary Series 2007 B|399500.00|114000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29822|This represents activity of the Santary District. Its User charges include fees for stormwater as well. It also collects for Solid Waste management services.|WASTEWATER|1|General Obligation Bonds|Sanitary Bonds of 2016 Series A|280000.00|80000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29822|This represents activity of the Santary District. Its User charges include fees for stormwater as well. It also collects for Solid Waste management services.|WASTEWATER|1|General Obligation Bonds|Sanitary Bonds of 2016 Series B|4785000.00|360000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29822|This represents activity of the Santary District. Its User charges include fees for stormwater as well. It also collects for Solid Waste management services.|WASTEWATER|1|General Obligation Bonds|Sanitary Bonds of 2017 A|.00|.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29822|This represents activity of the Santary District. Its User charges include fees for stormwater as well. It also collects for Solid Waste management services.|WASTEWATER|1|General Obligation Bonds|Sanitary Bonds of 2017 B|1624000.00|464000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29822|This represents activity of the Santary District. Its User charges include fees for stormwater as well. It also collects for Solid Waste management services.|WASTEWATER|1|General Obligation Bonds|Sanitary District Refunding Bond of 2020|3225000.00|500000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29822|This represents activity of the Santary District. Its User charges include fees for stormwater as well. It also collects for Solid Waste management services.|WASTEWATER|1|General Obligation Bonds|Sanitary District Taxable BABs, Series 2010|.00|.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29823|This represents activity of the Waterworks District. Its user charges are for potable water, and fire protection services.|WATER|1|General Obligation Bonds|Waterworks Special Taxing District Bonds 2015|325000.00|130000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|29823|This represents activity of the Waterworks District. Its user charges are for potable water, and fire protection services.|WATER|1|General Obligation Bonds|Waterworks Special Taxing District Bonds 2021|1611000.00|178000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2018 (Cardinal Campus Project)|5380000.00|300000.00 2022|Lake|45|3|0506|2|HIGHLAND CIVIL TOWN|3|45-010.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2022 (Cardinal Campus Phase 2)|87750.00|.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|1|General Obligation Bonds|2016 Special District Refunding of Redevelopment Bond|2475000.00|595000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|1|General Obligation Bonds|2018 General Obligation Bond|.00|.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|1|General Obligation Bonds|2018 Park Bond|.00|.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|1|General Obligation Bonds|2019 General Obligation Bond|246000.00|246000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|1|General Obligation Bonds|2019 Park Bond|246000.00|246000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|1|General Obligation Bonds|2020 General Obligation Bond|970000.00|500000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|1|General Obligation Bonds|2021 General Obligation Bond|3000000.00|1000000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|1|General Obligation Bonds|2022 General Obligation Bond|4000000.00|1000000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|2|Revenue Bonds|2013 Economic Development Bond - CVP|3710000.00|510000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|2|Revenue Bonds|2013 Economic Development Bond - LOF|1935000.00|150000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|2|Revenue Bonds|2016 Economic Development Bond - CVP|5330000.00|125000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|2|Revenue Bonds|2017 Economic Development Bond - CVP|2490000.00|165000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|2|Revenue Bonds|2020 EDC Refunding Bond (2010 EDC)|2415000.00|295000.00 2022|Lake|45|3|0507|2|MUNSTER CIVIL TOWN|3|45-012.00|0||Governmental Activities|2|Revenue Bonds|2021 EDC Refunding Bond (2011 LBC)|10335000.00|1120000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2011 JUDGMENT BOND-EMS|.00|.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2013 FIRE PROTECTION TERRITORY BOND|735000.00|360000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2014 RDC BOND DEBT SERVICE|1270000.00|485000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2015 RDC BOND DEBT SERVICE|815000.00|50000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2017 G.O. BOND-RD IMPRV|.00|.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2018 G.O. BOND-RD IMPRV|725000.00|480000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2019 Building Corp Lease Rental Revenue Bonds|9940000.00|410000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2021A+B G.O. BOND - RD IMPRV|5900000.00|.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|1|General Obligation Bonds|2022 AB RDC SPECIAL TAXING DISTRICT BONDS|6000000.00|.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|2|Revenue Bonds|2012 REVENUE BOND-BDWY PROJECT|90000.00|90000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|2|Revenue Bonds|2018 AMERIPLEX REV BOND|970000.00|60000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|2|Revenue Bonds|2018 MERRILLVILLE RD TIF DEBT SERVICE|795000.00|150000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|2|Revenue Bonds|2019 RDA Lease Rental Revenue Bonds|10350000.00|405000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|0||Governmental Activities|2|Revenue Bonds|2021 MISSISSIPPI ST TIF DEBT SERVICE, REFUNDING|5480000.00|1020000.00 2022|Lake|45|3|0512|2|MERRILLVILLE CIVIL TOWN|3|45-018.00|30321|Management, Collection and Disbursement of Storm Water|Merrillville Stormwater Utility|2|Revenue Bonds|2012 Revenue Bond - Stormwater|1225000.00|255000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2015 Street Improvements|290000.00|190000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2016 Street Improvements|275000.00|185000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2018 Park Improvements|.00|.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2019 Park Improvements|.00|.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2019 Street Improvements|.00|.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2020 Park Improvements|645000.00|645000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2020 Street Improvements|405000.00|405000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2021 Park Improvements|1650000.00|825000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2021 Street Improvements|2300000.00|1150000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2022 Park Improvements|1000000.00|320000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|1|General Obligation Bonds|2022 Street Improvements|3200000.00|1150000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|29828|Water Utility|WATER|1|General Obligation Bonds|2020 Special District Bonds|8900000.00|630000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|2|Revenue Bonds|2014 Economic Development Revenue Bonds|689000.00|153000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|0||Governmental Activities|2|Revenue Bonds|2019 Economic Development Revenue Bonds|1481600.00|100100.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|29826|Storm Water Utility|STORM WATER|2|Revenue Bonds|2017 Stormwater District Revenue Bonds|2285000.00|130000.00 2022|Lake|45|3|0730|2|DYER CIVIL TOWN|3|45-008.00|29827|Wastewater Utility|WASTEWATER|2|Revenue Bonds|2017 Sanitary District Bonds|1875000.00|290000.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|0||Governmental Activities|1|General Obligation Bonds|2002 Park Bonds|.00|.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|0||Governmental Activities|1|General Obligation Bonds|2013 General Bonds|.00|.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|0||Governmental Activities|1|General Obligation Bonds|2016 General Bonds|200000.00|200000.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|0||Governmental Activities|1|General Obligation Bonds|2020 General Bonds|740000.00|140000.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|0||Governmental Activities|2|Revenue Bonds|TIF HSA Bond|352000.00|21000.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|29829|wastewater|LOWELL WASTEWATER UTILITY|2|Revenue Bonds|Sewage Work Revenue Bonds of 2011|3530000.00|400000.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|29829|wastewater|LOWELL WASTEWATER UTILITY|2|Revenue Bonds|Sewage Works Refunding Bonds 2016|1565000.00|510000.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|29830|water|LOWELL WATER UTILITY|2|Revenue Bonds|Water Bonds|.00|.00 2022|Lake|45|3|0731|2|LOWELL CIVIL TOWN|3|45-011.00|29830|water|LOWELL WATER UTILITY|2|Revenue Bonds|Water Bonds 2015|.00|.00 2022|Lake|45|3|0732|2|NEW CHICAGO CIVIL TOWN|3|45-016.00|29831|New Chicago Water Works|WATER|2|Revenue Bonds|Water Improvement Project|3900000.00|285000.00 2022|Lake|45|3|0733|2|ST. JOHN CIVIL TOWN|3|45-015.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bonds|4825000.00|245000.00 2022|Lake|45|3|0733|2|ST. JOHN CIVIL TOWN|3|45-015.00|29832|Wastewater Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|2016 Revenue Bond (Schererville)|1788000.00|96000.00 2022|Lake|45|3|0733|2|ST. JOHN CIVIL TOWN|3|45-015.00|0||Governmental Activities|2|Revenue Bonds|2013 Blding Corp Bonds|3310000.00|1249000.00 2022|Lake|45|3|0733|2|ST. JOHN CIVIL TOWN|3|45-015.00|0||Governmental Activities|2|Revenue Bonds|2014 RDC Bonds|3109000.00|470000.00 2022|Lake|45|3|0733|2|ST. JOHN CIVIL TOWN|3|45-015.00|0||Governmental Activities|2|Revenue Bonds|2018 RDC Bonds|4145000.00|420000.00 2022|Lake|45|3|0733|2|ST. JOHN CIVIL TOWN|3|45-015.00|29832|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Refunding 2012 Bonds|590000.00|190000.00 2022|Lake|45|3|0733|2|ST. JOHN CIVIL TOWN|3|45-015.00|29833|Water Utility|WATER|2|Revenue Bonds|Refunding 2017 Bonds|1035000.00|350000.00 2022|Lake|45|3|0733|2|ST. JOHN CIVIL TOWN|3|45-015.00|29833|Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bond 2021|8410000.00|160000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|0||Governmental Activities|1|General Obligation Bonds|Kennedy Ave TIF/Redevelopment District, 2014|1500000.00|485000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bond of 2004|600000.00|110000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bond of 2018|2635000.00|725000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|0||Governmental Activities|1|General Obligation Bonds|Taxable General Obligation Bond, Series 2016|935000.00|200000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Emergency One Fire Truck Loan|378795.96|123636.95 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Freightliner 623-1 Loan|193160.90|63046.67 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Refunding Revenue Bonds, Series 2020|8570000.00|145000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds Series 2013A|2165000.00|1060000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|29835|Provide wastewater treatment service|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds, Series 2020|2875000.00|300000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|29835|Provide wastewater treatment service|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond, Series 2016|5970000.00|320000.00 2022|Lake|45|3|0734|2|SCHERERVILLE CIVIL TOWN|3|45-013.00|29835|Provide wastewater treatment service|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2019|2555000.00|325000.00 2022|Lake|45|3|0735|2|SCHNEIDER CIVIL TOWN|3|45-014.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|POLICE CAR LOAN 2022|39387.00| 2022|Lake|45|3|0735|2|SCHNEIDER CIVIL TOWN|3|45-014.00|29649|Wasterwater|Wastewater|2|Revenue Bonds|Wastewater Refunding Revnue Bonds, Series 2016 - refunded 2005 Bonds|.00|.00 2022|Lake|45|3|0735|2|SCHNEIDER CIVIL TOWN|3|45-014.00|29649|Wasterwater|Wastewater|2|Revenue Bonds|Wastewater Revenue Bonds, Series 2016- Improvements to the system|197000.00|15760.00 2022|Lake|45|3|0735|2|SCHNEIDER CIVIL TOWN|3|45-014.00|29650|Water|Water|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2014 - refunded 2006 Bonds|.00|.00 2022|Lake|45|3|0735|2|SCHNEIDER CIVIL TOWN|3|45-014.00|29650|Water|Water|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2014 - Improvements to the system|197000.00|16977.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|296000.00|296000.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2020|915000.00|300000.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2022|2000000.00|365000.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Bonds of 2020 A|4520000.00|195000.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Bonds of 2020 B|1615000.00|70000.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|29838|Operation of sewer collection system for the Town of Winfield.|Wastewater|14|Other - Long Term|Sewage Works Bond Anticipation Notes of 2017|.00|.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|29838|Operation of sewer collection system for the Town of Winfield.|Wastewater|2|Revenue Bonds|Sewage Works Revenue Bonds of 2013 Series A|300000.00|120000.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|29838|Operation of sewer collection system for the Town of Winfield.|Wastewater|2|Revenue Bonds|Sewage Works Revenue Bonds of 2013 Series B|890000.00|.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|29838|Operation of sewer collection system for the Town of Winfield.|Wastewater|2|Revenue Bonds|Sewage Works Revenue Bonds of 2022 Series A|2960000.00|130000.00 2022|Lake|45|3|0736|2|WINFIELD CIVIL TOWN|3|45-093.00|29838|Operation of sewer collection system for the Town of Winfield.|Wastewater|2|Revenue Bonds|Sewage Works Revenue Bonds of 2022 Series B|3910000.00|.00 2022|Lake|45|4|4580||HANOVER COMMUNITY SCHOOL CORPORATION|5|45-040.00|0||Governmental Activities|1|General Obligation Bonds|2017 General Obligation Bond|| 2022|Lake|45|4|4580||HANOVER COMMUNITY SCHOOL CORPORATION|5|45-040.00|0||Governmental Activities|1|General Obligation Bonds|2018 General Obligation Bond|| 2022|Lake|45|4|4580||HANOVER COMMUNITY SCHOOL CORPORATION|5|45-040.00|0||Governmental Activities|1|General Obligation Bonds|2019 General Obligation Bond|| 2022|Lake|45|4|4580||HANOVER COMMUNITY SCHOOL CORPORATION|5|45-040.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Lake|45|4|4590||RIVER FOREST COMMUNITY SCHOOL CORPORATION|5|45-045.00|0||Governmental Activities|1|General Obligation Bonds|Renovations and Repairs|| 2022|Lake|45|4|4590||RIVER FOREST COMMUNITY SCHOOL CORPORATION|5|45-045.00|0||Governmental Activities|14|Other - Long Term|Common School Loans|| 2022|Lake|45|4|4590||RIVER FOREST COMMUNITY SCHOOL CORPORATION|5|45-045.00|0||Governmental Activities|14|Other - Long Term|Veterans Memorial|| 2022|Lake|45|4|4600||MERRILLVILLE SCHOOL CORPORATION|5|45-042.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds Series 2020|| 2022|Lake|45|4|4600||MERRILLVILLE SCHOOL CORPORATION|5|45-042.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds Series 2021|| 2022|Lake|45|4|4600||MERRILLVILLE SCHOOL CORPORATION|5|45-042.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds of 2015|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|1|General Obligation Bonds|2016 - District Wide Projects|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|1|General Obligation Bonds|2019 - District Wide Projects|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A1823|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A1894|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A1932|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A2703|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A2855|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A2914|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A2946|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0011|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0051|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0105|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0149|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0197|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0260|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0277|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0304|| 2022|Lake|45|4|4615||LAKE CENTRAL SCHOOL CORPORATION|5|45-044.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Secured School Safety Loan #S0004|| 2022|Lake|45|4|4645||TRI CREEK SCHOOL CORPORATION|5|45-043.00|0||Governmental Activities|1|General Obligation Bonds|2006 Pension Severance G.O. Bonds|| 2022|Lake|45|4|4645||TRI CREEK SCHOOL CORPORATION|5|45-043.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds 2017 revised|| 2022|Lake|45|4|4645||TRI CREEK SCHOOL CORPORATION|5|45-043.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Lake|45|4|4650||LAKE RIDGE SCHOOL CORPORATION|5|45-038.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan|| 2022|Lake|45|4|4660||CROWN POINT COMMUNITY SCHOOL CORPORATION|5|45-037.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bonds|| 2022|Lake|45|4|4660||CROWN POINT COMMUNITY SCHOOL CORPORATION|5|45-037.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bonds|| 2022|Lake|45|4|4660||CROWN POINT COMMUNITY SCHOOL CORPORATION|5|45-037.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|csl #496|| 2022|Lake|45|4|4670||School City of East Chicago|5|45-030.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2018|| 2022|Lake|45|4|4670||School City of East Chicago|5|45-030.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2019|| 2022|Lake|45|4|4670||School City of East Chicago|5|45-030.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2022|| 2022|Lake|45|4|4670||School City of East Chicago|5|45-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Disaster Loan|| 2022|Lake|45|4|4680||LAKE STATION SCHOOL CORPORATION|5|45-031.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bond|| 2022|Lake|45|4|4690||GARY COMMUNITY SCHOOL CORPORATION|5|45-032.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond Series 2012|| 2022|Lake|45|4|4690||GARY COMMUNITY SCHOOL CORPORATION|5|45-032.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond Series 2015|| 2022|Lake|45|4|4690||GARY COMMUNITY SCHOOL CORPORATION|5|45-032.00|0||Governmental Activities|1|General Obligation Bonds|GO Refunding Bond Series 2019|| 2022|Lake|45|4|4700||GRIFFITH PUBLIC SCHOOL CORPORATION|5|45-036.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Lake|45|4|4700||GRIFFITH PUBLIC SCHOOL CORPORATION|5|45-036.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Pension Bonds|| 2022|Lake|45|4|4700||GRIFFITH PUBLIC SCHOOL CORPORATION|5|45-036.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Veterans Memorial Loan|| 2022|Lake|45|4|4710||HAMMOND CITY SCHOOL CORPORATION|5|45-033.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds|| 2022|Lake|45|4|4710||HAMMOND CITY SCHOOL CORPORATION|5|45-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan|| 2022|Lake|45|4|4710||HAMMOND CITY SCHOOL CORPORATION|5|45-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Retirement/Severence Bonds|| 2022|Lake|45|4|4710||HAMMOND CITY SCHOOL CORPORATION|5|45-033.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Operating Cash Flow|| 2022|Lake|45|4|4720||HIGHLAND TOWN SCHOOL CORPORATION|5|45-034.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond, 2015 & 2016|| 2022|Lake|45|4|4720||HIGHLAND TOWN SCHOOL CORPORATION|5|45-034.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans for Technology|| 2022|Lake|45|4|4730||SCHOOL CITY OF HOBART SCHOOL CORPORATION|5|45-035.00|0||Governmental Activities|1|General Obligation Bonds|2020 G.O. Negotiable Note|| 2022|Lake|45|4|4730||SCHOOL CITY OF HOBART SCHOOL CORPORATION|5|45-035.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|2022 Advanced Funding|| 2022|Lake|45|4|4740||MUNSTER COMMUNITY SCHOOL CORPORATION|5|45-039.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020A|| 2022|Lake|45|4|4740||MUNSTER COMMUNITY SCHOOL CORPORATION|5|45-039.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020B Taxable|| 2022|Lake|45|4|4740||MUNSTER COMMUNITY SCHOOL CORPORATION|5|45-039.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2022|| 2022|Lake|45|4|4740||MUNSTER COMMUNITY SCHOOL CORPORATION|5|45-039.00|0||Governmental Activities|1|General Obligation Bonds|Taxable Pension Bonds 2016|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2015|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A1963|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2838|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2870|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A2965|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan B0024|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan B0127|| 2022|Lake|45|4|4760||WHITING CITY SCHOOL CORPORATION|5|45-041.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan B0250|| 2022|Lake|45|5|0129||LAKE COUNTY PUBLIC LIBRARY|6|45-050.00|0||Governmental Activities|1|General Obligation Bonds|New Construction & Renovations|| 2022|Lake|45|5|0276|2|CROWN POINT COMMUNITY PUBLIC LIBRARY|6|45-051.00|0||Governmental Activities|1|General Obligation Bonds|Refunding & Improvement Bonds - 2020|6663750.00|765000.00 2022|Lake|45|6|0043|2|CEDAR LAKE REDEVELOPMENT AUTHORITY|39|45-078.00|0||Governmental Activities|2|Revenue Bonds|2017 RDA Lease Rental Bonds, Series A|1295000.00|190000.00 2022|Lake|45|6|0043|2|CEDAR LAKE REDEVELOPMENT AUTHORITY|39|45-078.00|0||Governmental Activities|2|Revenue Bonds|2017 RDA Lease Rental Bonds, Series B|1250000.00|175000.00 2022|Lake|45|6|0043|2|CEDAR LAKE REDEVELOPMENT AUTHORITY|39|45-078.00|0||Governmental Activities|2|Revenue Bonds|2017 RDA Lease Rental Bonds, Series C|605000.00|130000.00 2022|Lake|45|6|0043|2|CEDAR LAKE REDEVELOPMENT AUTHORITY|39|45-078.00|0||Governmental Activities|2|Revenue Bonds|2020 RDA Lease Rental Refunding Bonds|2040000.00|450000.00 2022|Lake|45|6|0043|2|CEDAR LAKE REDEVELOPMENT AUTHORITY|39|45-078.00|0||Governmental Activities|2|Revenue Bonds|2022 RDA Lease Rental Revenue Bonds|3730000.00|315000.00 2022|Lake|45|6|0070||Gary Housing Authority|23|45-070.00|0||Governmental Activities|1|General Obligation Bonds|Capital Projects Mortgage|| 2022|Lake|45|6|0088|2|LAKE DALECARLIA REGIONAL WASTE DIST|21|45-088.00|0||Governmental Activities|1|General Obligation Bonds|Sewage Bond - New Treatment Plant|470000.00|55000.00 2022|Lake|45|6|0090||NORTHWEST INDIANA HEALTH DEPT COOP|39|45-090.00|0||Governmental Activities|14|Other - Long Term|N/A|| 2022|Lake|45|6|0581|2|LAKE CO CONVENTION AND VISITORS BUREAU|39|45-581.00|0||Governmental Activities|2|Revenue Bonds|CAPITAL IMPROVEMENTS|.00|.00 2022|Lake|45|6|0581|2|LAKE CO CONVENTION AND VISITORS BUREAU|39|45-581.00|0||Governmental Activities|2|Revenue Bonds|Capital Improvements|2500000.00|200000.00 2022|Lake|45|6|0813|2|GARY AIRPORT|25|45-075.00|0||Governmental Activities|2|Revenue Bonds|Gary Jet Center Hangar Revenue Bonds|5410000.00|477500.00 2022|Lake|45|6|0813|2|GARY AIRPORT|25|45-075.00|0||Governmental Activities|2|Revenue Bonds|Revenue Bond, Series 2014-To finance the costs of the runway expansion.|23765000.00|900000.00 2022|Lake|45|6|0961|2|LAKE RIDGE FIRE PROTECTION|18|45-084.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2016 - Fire House Design & Construction|542084.19|57024.91 2022|Lake|45|6|0961|2|LAKE RIDGE FIRE PROTECTION|18|45-084.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Water Retention and Drainage Costs|132374.13|12727.35 2022|Lake|45|6|1058|2|LAKE COUNTY SOLID WASTE MANAGEMENT DISTRICT|16|45-091.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Loan for judgement|2328055.14|300573.68 2022|Lake|45|6|1058|2|LAKE COUNTY SOLID WASTE MANAGEMENT DISTRICT|16|45-091.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of a building|454413.30|95079.03 2022|Lake|45|7|0014||MERRILLVILLE CONSERVANCY|27|45-047.00|0||Governmental Activities|1|General Obligation Bonds|2011 A FILTER BUILDING|| 2022|Lake|45|7|0014||MERRILLVILLE CONSERVANCY|27|45-047.00|0||Governmental Activities|1|General Obligation Bonds|Conservancy District Bonds of 2020|| 2022|Lake|45|7|0014||MERRILLVILLE CONSERVANCY|27|45-047.00|0||Governmental Activities|1|General Obligation Bonds|Conservancy District Refunding Bonds of 2020|| 2022|Lake|45|7|0014||MERRILLVILLE CONSERVANCY|27|45-047.00|0||Governmental Activities|1|General Obligation Bonds|GSD CAPITAL COST|| 2022|Lake|45|7|0015|2|INDEPENDENCE HILL CONSERVANCY DISTRICT|27|45-049.00|0||Governmental Activities|1|General Obligation Bonds|Infrastructure|1117000.00|296000.00 2022|Lake|45|8|0050|2|Hobart Redevelopment Authority|36|45-114.00|0||Governmental Activities|2|Revenue Bonds|2014 Lease Rental Revenue Bond Southside Sewer|2905000.00|605000.00 2022|Lake|45|8|0050|2|Hobart Redevelopment Authority|36|45-114.00|0||Governmental Activities|2|Revenue Bonds|2015 Lease Rental Revenue Bond Downtown Sewer|2835000.00|130000.00 2022|Lake|45|8|0050|2|Hobart Redevelopment Authority|36|45-114.00|0||Governmental Activities|2|Revenue Bonds|2020 Lease Rental Revenue Bond 69th Ave & TRAX Projects|10970000.00|425000.00 2022|Lake|45|8|0087|2|HAMMOND PORT AUTHORITY|15|45-202.00|0||Governmental Activities|2|Revenue Bonds|Bond Bank Bonds, Series 2017A|8285000.00|1955000.00 2022|Lake|45|8|0801|2|Dyer Redevelopment Authority|36|45-115.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Lease Rental Refunding Bonds of 2015, Series A and B|1420000.00|1420000.00 2022|Lake|45|8|0801|2|Dyer Redevelopment Authority|36|45-115.00|0||Governmental Activities|2|Revenue Bonds|Economic Deverlopment Lease Rental Refunding Bonds of 2018|1560000.00|365000.00 2022|Lake|45|9|9310||CHARTER SCHOOL OF THE DUNES|32|45-066.00|0||Governmental Activities|1|General Obligation Bonds|Bond|| 2022|Lake|45|9|9460||THEA BOWMAN LEADERSHIP ACADEMY|32|45-063.00|0||Governmental Activities|2|Revenue Bonds|Facilities|| 2022|Lake|45|9|9705||Hammond Academy|32|45-068.00|0||Governmental Activities|1|General Obligation Bonds|City of Hammond Bond|| 2022|LaPorte|46|1|0000|2|LAPORTE COUNTY|1|46-000.00|0||Governmental Activities|14|Other - Long Term|Michigan City Courthouse Bond|17915000.00|780000.00 2022|LaPorte|46|1|0000|2|LAPORTE COUNTY|1|46-000.00|0||Governmental Activities|14|Other - Long Term|Tax Exempt Lease Bonds|4990000.00|520000.00 2022|LaPorte|46|1|0000|2|LAPORTE COUNTY|1|46-000.00|0||Governmental Activities|2|Revenue Bonds|County of La Porte, IN, Taxable Economic Development Revenue Bonds|.00|.00 2022|LaPorte|46|1|0000|2|LAPORTE COUNTY|1|46-000.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue and Refunding Rev. Bonds of 2022|4350000.00|200000.00 2022|LaPorte|46|2|0002|2|CENTER TOWNSHIP|7|46-013.00|0||Governmental Activities|1|General Obligation Bonds|TO BUILD A NEW FIRE STATION|807737.50|269350.00 2022|LaPorte|46|2|0007|2|HANNA TOWNSHIP|7|46-018.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Loan for fire truck|.00|.00 2022|LaPorte|46|2|0008|2|HUDSON TOWNSHIP|7|46-019.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Protection|316795.00| 2022|LaPorte|46|2|0010|2|KANKAKEE TOWNSHIP|7|46-021.00|0||Governmental Activities|1|General Obligation Bonds|PURCHASE FIRE TRUCK|732868.81|77908.76 2022|LaPorte|46|2|0011|2|LINCOLN TOWNSHIP|7|46-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck Loan of 2017|26556.32|26556.32 2022|LaPorte|46|2|0011|2|LINCOLN TOWNSHIP|7|46-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|SCBA Equipment Loan of 2019|.00|.00 2022|LaPorte|46|2|0015|2|PLEASANT TOWNSHIP|7|46-026.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Purchase of Fire Truck|62632.63| 2022|LaPorte|46|2|0017|2|SCIPIO TOWNSHIP|7|46-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|250000.00|38166.61 2022|LaPorte|46|2|0018|2|SPRINGFIELD TOWNSHIP|7|46-029.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire department addition|331500.00| 2022|LaPorte|46|2|0018|2|SPRINGFIELD TOWNSHIP|7|46-029.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|fire equipment loan|341716.00| 2022|LaPorte|46|2|0018|2|SPRINGFIELD TOWNSHIP|7|46-029.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck Loan|.00| 2022|LaPorte|46|3|0115|2|MICHIGAN CITY CIVIL CITY|2|46-002.00|0||Governmental Activities|1|General Obligation Bonds|Michigan City Redevelopment Authority Refunding Bonds 2021 (Wabash Streetscape)|1995000.00|40000.00 2022|LaPorte|46|3|0115|2|MICHIGAN CITY CIVIL CITY|2|46-002.00|0||Governmental Activities|1|General Obligation Bonds|Michigan City Redevelopment Refunding Bonds 2015 (400 N)|1550000.00|300000.00 2022|LaPorte|46|3|0115|2|MICHIGAN CITY CIVIL CITY|2|46-002.00|29842||WASTEWATER UTILITY|10|Notes and Loans Payable - Long Term|Indian Springs Wastewater Improvement Project IFA Loan 2004|111811.28|23580.00 2022|LaPorte|46|3|0115|2|MICHIGAN CITY CIVIL CITY|2|46-002.00|29842||WASTEWATER UTILITY|10|Notes and Loans Payable - Long Term|MCSD Small Issue Loan Trail Creek Project (Whippoorwill)|36495.16|6000.00 2022|LaPorte|46|3|0115|2|MICHIGAN CITY CIVIL CITY|2|46-002.00|29842||WASTEWATER UTILITY|10|Notes and Loans Payable - Long Term|SRF Loan Series 2013|1525000.00|145000.00 2022|LaPorte|46|3|0115|2|MICHIGAN CITY CIVIL CITY|2|46-002.00|29842||WASTEWATER UTILITY|10|Notes and Loans Payable - Long Term|SRF Loan Series 2014A|3159000.00|263000.00 2022|LaPorte|46|3|0115|2|MICHIGAN CITY CIVIL CITY|2|46-002.00|29842||WASTEWATER UTILITY|10|Notes and Loans Payable - Long Term|SRF Loan Series 2014B0|798400.00|67000.00 2022|LaPorte|46|3|0115|2|MICHIGAN CITY CIVIL CITY|2|46-002.00|29843||WATER UTILITY|2|Revenue Bonds|Waterworks Revenue Bonds Series 2015|7955000.00|1140000.00 2022|LaPorte|46|3|0201|2|LAPORTE CIVIL CITY|2|46-001.00|0||Governmental Activities|1|General Obligation Bonds|2017 RDC G.O. Bond|1215000.00|265000.00 2022|LaPorte|46|3|0201|2|LAPORTE CIVIL CITY|2|46-001.00|0||Governmental Activities|1|General Obligation Bonds|G.O. Refunding Bonds of 2020 (2012)|3875000.00|240000.00 2022|LaPorte|46|3|0201|2|LAPORTE CIVIL CITY|2|46-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Lease Rental Revenue Bond, Series 2020|8125000.00|.00 2022|LaPorte|46|3|0201|2|LAPORTE CIVIL CITY|2|46-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Redevelopment District Bonds, Series 2021|3475000.00|220000.00 2022|LaPorte|46|3|0201|2|LAPORTE CIVIL CITY|2|46-001.00|29845|Sewage|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds 2015|7515000.00|915000.00 2022|LaPorte|46|3|0201|2|LAPORTE CIVIL CITY|2|46-001.00|29845|Sewage|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2020|19575000.00|165000.00 2022|LaPorte|46|3|0201|2|LAPORTE CIVIL CITY|2|46-001.00|29846|Water|WATER|2|Revenue Bonds|Waterworks Refunding Rev Bond, Series 2021|2200000.00|210000.00 2022|LaPorte|46|3|0201|2|LAPORTE CIVIL CITY|2|46-001.00|29846|Water|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2020|7795000.00|145000.00 2022|LaPorte|46|3|0737|2|KINGSFORD HEIGHTS CIVIL TOWN|3|46-003.00|29848|utility|WASTEWATER|1|General Obligation Bonds|New Sewer Plant|772452.23|48904.60 2022|LaPorte|46|3|0738|2|LACROSSE CIVIL TOWN|3|46-005.00|29851||WATER|2|Revenue Bonds|SRF BAN Series 2020C|1500000.00|.00 2022|LaPorte|46|3|0738|2|LACROSSE CIVIL TOWN|3|46-005.00|29851||WATER|2|Revenue Bonds|SRF Loan Series 2020A|1986300.08|110350.00 2022|LaPorte|46|3|0738|2|LACROSSE CIVIL TOWN|3|46-005.00|29851||WATER|2|Revenue Bonds|SRF Loan Series 2020B|456714.08|25372.00 2022|LaPorte|46|3|0739|2|LONG BEACH CIVIL TOWN|3|46-006.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2020|905000.00|211000.00 2022|LaPorte|46|3|0739|2|LONG BEACH CIVIL TOWN|3|46-006.00|29853|Purchase water from Michigan City, IN. Long Beach equipment to service residents|Water Utility - Operating|2|Revenue Bonds|SRF Revenue Bonds of 2005|1440000.00|270000.00 2022|LaPorte|46|3|0741|2|POTTAWATTAMIE PARK CIVIL TOWN|3|46-008.00|0||Governmental Activities|15|Other - Short Term|None|.00| 2022|LaPorte|46|3|0743|2|WANATAH CIVIL TOWN|3|46-011.00|29855|Water|WATER|2|Revenue Bonds|2013 Water Project-New Water Tower & Water Mains|1400000.00|120000.00 2022|LaPorte|46|3|0744|2|WESTVILLE CIVIL TOWN|3|46-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Police Building Loan|271071.54|37682.19 2022|LaPorte|46|3|0744|2|WESTVILLE CIVIL TOWN|3|46-010.00|29856||WASTEWATER|14|Other - Long Term|SRF Forgivable BAN (5 year credit)|730000.00|.00 2022|LaPorte|46|3|0744|2|WESTVILLE CIVIL TOWN|3|46-010.00|29856||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2014|4369000.00|309000.00 2022|LaPorte|46|3|0744|2|WESTVILLE CIVIL TOWN|3|46-010.00|29856||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2021 A|3968000.00|.00 2022|LaPorte|46|3|0744|2|WESTVILLE CIVIL TOWN|3|46-010.00|29856||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue bonds, Series 2021 B|11903000.00|.00 2022|LaPorte|46|3|0744|2|WESTVILLE CIVIL TOWN|3|46-010.00|29857||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2016|1405000.00|60000.00 2022|LaPorte|46|4|4805||NEW PRAIRIE UNITED SCHOOL CORPORATION|5|46-035.00|0||Governmental Activities|1|General Obligation Bonds|ARRA of 2009 QSCB|| 2022|LaPorte|46|4|4805||NEW PRAIRIE UNITED SCHOOL CORPORATION|5|46-035.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020A|| 2022|LaPorte|46|4|4805||NEW PRAIRIE UNITED SCHOOL CORPORATION|5|46-035.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020B|| 2022|LaPorte|46|4|4805||NEW PRAIRIE UNITED SCHOOL CORPORATION|5|46-035.00|0||Governmental Activities|1|General Obligation Bonds|Issued 2014|| 2022|LaPorte|46|4|4805||NEW PRAIRIE UNITED SCHOOL CORPORATION|5|46-035.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Energy Savings Project|| 2022|LaPorte|46|4|4860||NEW DURHAM TOWNSHIP SCHOOL CORPORATION|5|46-054.00|0||Governmental Activities|1|General Obligation Bonds|School Construction|| 2022|LaPorte|46|4|4860||NEW DURHAM TOWNSHIP SCHOOL CORPORATION|5|46-054.00|0||Governmental Activities|1|General Obligation Bonds|School Construction - QSCB|| 2022|LaPorte|46|4|4860||NEW DURHAM TOWNSHIP SCHOOL CORPORATION|5|46-054.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Pension Debt|| 2022|LaPorte|46|4|4915||TRI-TOWNSHIP CONSOLIDATED SCHOOL CORPORATION|5|46-061.00|0||Governmental Activities|2|Revenue Bonds|Bond Issue 2014|| 2022|LaPorte|46|4|4915||TRI-TOWNSHIP CONSOLIDATED SCHOOL CORPORATION|5|46-061.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental 2021|| 2022|LaPorte|46|4|4925||MICHIGAN CITY AREA SCHOOL CORPORATION|5|46-034.00|0||Governmental Activities|1|General Obligation Bonds|School Bonds|| 2022|LaPorte|46|4|4925||MICHIGAN CITY AREA SCHOOL CORPORATION|5|46-034.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Holding Company-Public and Private|| 2022|LaPorte|46|4|4925||MICHIGAN CITY AREA SCHOOL CORPORATION|5|46-034.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Temporary Loans|| 2022|LaPorte|46|4|4925||MICHIGAN CITY AREA SCHOOL CORPORATION|5|46-034.00|0||Governmental Activities|14|Other - Long Term|Common School Loan|| 2022|LaPorte|46|4|4925||MICHIGAN CITY AREA SCHOOL CORPORATION|5|46-034.00|0||Governmental Activities|14|Other - Long Term|Retirement/Severance Bonds|| 2022|LaPorte|46|4|4940||SOUTH CENTRAL COMMUNITY SCHOOL CORPORATION|5|46-036.00|0||Governmental Activities|14|Other - Long Term|Pension/Retirement Debt|| 2022|LaPorte|46|5|0277|2|LAPORTE COUNTY PUBLIC LIBRARY|6|46-037.00|0||Governmental Activities|1|General Obligation Bonds|Construction, renovation and improvements|8245000.00|575000.00 2022|LaPorte|46|6|0058|2|PINE LAKE CONSERVANCY DISTRICT|28|46-058.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Bank Loan for system upgrade|325006.84|57684.24 2022|LaPorte|46|6|0663|2|LAPORTE COUNTY REGIONAL SEWER DISTRICT|21|46-064.00|29813|Wastewater|La Porte Regional Sewer District|11|Notes and Loans Payable - Short Term|Bond Anticipation Notes of 2018|.00| 2022|LaPorte|46|6|0663|2|LAPORTE COUNTY REGIONAL SEWER DISTRICT|21|46-064.00|29813|Wastewater|La Porte Regional Sewer District|2|Revenue Bonds|Taxable Revenue Bonds of 2018|91188.00|2000.00 2022|LaPorte|46|6|0663|2|LAPORTE COUNTY REGIONAL SEWER DISTRICT|21|46-064.00|29813|Wastewater|La Porte Regional Sewer District|2|Revenue Bonds|Taxable Revenue Bonds of 2020|203775.00|10450.00 2022|LaPorte|46|6|0978|2|LAPORTE MUNICIPAL AIRPORT AUTHORITY|25|46-051.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATION BOND|.00|.00 2022|LaPorte|46|6|0978|2|LAPORTE MUNICIPAL AIRPORT AUTHORITY|25|46-051.00|29744|FUEL SALES AND HANGAR RENTAL|LAPORTE MUNICIPAL AIROPORT|1|General Obligation Bonds|GENERAL OBLIGATION BOND|950000.00|80000.00 2022|LaPorte|46|6|0978|2|LAPORTE MUNICIPAL AIRPORT AUTHORITY|25|46-051.00|29744|FUEL SALES AND HANGAR RENTAL|LAPORTE MUNICIPAL AIROPORT|2|Revenue Bonds|CUMMULATIVE BUILDING REVENUE BOND|64375.42|18131.00 2022|LaPorte|46|6|1020|2|LAPORTE COUNTY SOLID WASTE MANAGEMENT|16|46-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Public Compost Site New Building Zigler Road|504080.39|75919.33 2022|LaPorte|46|7|0082|2|SOUTH COAST CONSERVANCY DISTRICT|27|46-063.00|0||Governmental Activities|1|General Obligation Bonds|Fund Infrastructure|4465000.00|580000.00 2022|LaPorte|46|8|0044|2|Michigan City Redevelopment Authority|36|46-044.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds of 2018 (Ohio Street)|7115000.00|910000.00 2022|LaPorte|46|8|0044|2|Michigan City Redevelopment Authority|36|46-044.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds of 2019 (Double Track)|3670000.00|640000.00 2022|LaPorte|46|8|0044|2|Michigan City Redevelopment Authority|36|46-044.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds of 2019 (Lafayette/Barker)|3887000.00|666000.00 2022|LaPorte|46|8|0044|2|Michigan City Redevelopment Authority|36|46-044.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds of 2021 (Elston Grove)|2425000.00|380000.00 2022|LaPorte|46|8|0044|2|Michigan City Redevelopment Authority|36|46-044.00|0||Governmental Activities|2|Revenue Bonds|Special Taxing District Bonds Series 2015 (Refunded by 2021 Wabash Streetscape)|2317379.81|105000.00 2022|Lawrence|47|3|0315|2|BEDFORD CIVIL CITY|2|47-001.00|0||Governmental Activities|2|Revenue Bonds|Refunding of 2007 Tax Increment Bonds|250000.00|125000.00 2022|Lawrence|47|3|0315|2|BEDFORD CIVIL CITY|2|47-001.00|29862||WASTEWATER|2|Revenue Bonds|Bedford Municipal Sewage Works Bond 2018|5925000.00|300000.00 2022|Lawrence|47|3|0315|2|BEDFORD CIVIL CITY|2|47-001.00|29862||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond Series 2020|8767000.00|384000.00 2022|Lawrence|47|3|0315|2|BEDFORD CIVIL CITY|2|47-001.00|29863||WATER|2|Revenue Bonds|Water Works Revenue Bonds, Series 2018|4810000.00|340000.00 2022|Lawrence|47|3|0445|2|MITCHELL CIVIL CITY|2|47-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Police Department Rehab|106238.70| 2022|Lawrence|47|3|0445|2|MITCHELL CIVIL CITY|2|47-002.00|29683|Wastewater Utility|Wastewater|2|Revenue Bonds|Waste Water Plant Upgrade|1916117.83|338900.00 2022|Lawrence|47|3|0445|2|MITCHELL CIVIL CITY|2|47-002.00|29697|Water Utility|Water|2|Revenue Bonds|Storeage Tank & Booster station|1480527.00|338900.00 2022|Lawrence|47|3|0745|2|OOLITIC CIVIL TOWN|3|47-003.00|29864||WASTEWATER|10|Notes and Loans Payable - Long Term|WWTP/SEWER LOAN|1731000.00|.00 2022|Lawrence|47|4|5075||NORTH LAWRENCE COMMUNITY SCHOOL CORPORATION|5|47-005.00|0||Governmental Activities|1|General Obligation Bonds|Amended Taxable Retirement/Severance Liability Funding Bonds of 2004|| 2022|Lawrence|47|5|0136|2|MITCHELL COMMUNITY PUBLIC LIBRARY|6|47-009.00|0||Governmental Activities|1|General Obligation Bonds|Building Renovation|639444.22|170702.50 2022|Lawrence|47|6|1001|2|LAWRENCE COUNTY SOLID WASTE MANAGEMENT DISTRICT|16|47-021.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Equipment Purchase|.00| 2022|Madison|48|1|0000|2|MADISON COUNTY|1|48-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Lump Sum Payment for AT&T|144870.12|144870.12 2022|Madison|48|1|0000|2|MADISON COUNTY|1|48-000.00|0||Governmental Activities|2|Revenue Bonds|Local Income Tax Revenue Bonds, Series 2017 Remediation|2056000.00|349000.00 2022|Madison|48|1|0000|2|MADISON COUNTY|1|48-000.00|0||Governmental Activities|2|Revenue Bonds|New County Wide PS Radio Project - P-25 Radio|4575000.00|565000.00 2022|Madison|48|2|0001||ADAMS TOWNSHIP|7|48-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2019 Fire Truck|| 2022|Madison|48|2|0002|2|ANDERSON TOWNSHIP|7|48-017.00|0||Governmental Activities|1|General Obligation Bonds|Anderson Township, Madison County, GO Bond of 2017|1635000.00|142162.00 2022|Madison|48|2|0002|2|ANDERSON TOWNSHIP|7|48-017.00|0||Governmental Activities|1|General Obligation Bonds|Anderson Township, Madison County, GO Bond of 2018|64000.00|64000.00 2022|Madison|48|2|0005|2|FALL CREEK TOWNSHIP|7|48-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase fire truck|118058.89|57924.02 2022|Madison|48|2|0006|2|GREEN TOWNSHIP|7|48-021.00|0||Governmental Activities|1|General Obligation Bonds|Park purchase|100000.00|65000.00 2022|Madison|48|2|0008|2|LAFAYETTE TOWNSHIP|7|48-023.00|0||Governmental Activities|1|General Obligation Bonds|FIRE STATION EXPANSION|360018.00|144006.00 2022|Madison|48|2|0009|2|MONROE TOWNSHIP|7|48-024.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Purchase of Fire Engine and Grass Rig|542085.02| 2022|Madison|48|2|0010|2|PIPE CREEK TOWNSHIP|7|48-025.00|0||Governmental Activities|1|General Obligation Bonds|Fire - Air Packs|87081.18|28176.14 2022|Madison|48|2|0010|2|PIPE CREEK TOWNSHIP|7|48-025.00|0||Governmental Activities|1|General Obligation Bonds|Fire Grass Truck|.00|.00 2022|Madison|48|2|0011|2|RICHLAND TOWNSHIP|7|48-026.00|0||Governmental Activities|1|General Obligation Bonds|Fire Engine Loan|318699.74|107514.00 2022|Madison|48|2|0012|2|STONY CREEK TOWNSHIP|7|48-027.00|0||Governmental Activities|1|General Obligation Bonds|Fire Station Construction|845000.00|60000.00 2022|Madison|48|2|0013|2|UNION TOWNSHIP|7|48-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck Equipment Debt|462618.00|253329.00 2022|Madison|48|2|0014|2|VAN BUREN TOWNSHIP|7|48-029.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase ambulance|.00|.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds of 2019|2645000.00|130000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|0||Governmental Activities|1|General Obligation Bonds|SANITARY DISTRICT BONDS 2014|1605000.00|630000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|0||Governmental Activities|2|Revenue Bonds|Anderson Redevelopment District Taxable TIF Refunding Series 2018B|3075000.00|725000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|0||Governmental Activities|2|Revenue Bonds|Anderson Redevelopment District TIF Refunding Series 2018A|17875000.00|2505000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|0||Governmental Activities|2|Revenue Bonds|ANDERSON REDEVELOPMENT TAX INCREMENT 2016|5115000.00|500000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|0||Governmental Activities|2|Revenue Bonds|Anderson Taxable TIF Bond Series 2015 Legacy|2020000.00|140000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|0||Governmental Activities|2|Revenue Bonds|Anderson Taxable TIF Bond 2013 GTI-Hypro|1655000.00|515000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|0||Governmental Activities|2|Revenue Bonds|REFINANCE SERIES 2002 PENDELTON/SERIES 2012|.00|.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|29866|Electric|ELECTRIC|2|Revenue Bonds|ELECTRIC UTILITY REFUNDING REV BONDS SERIES 2013|650000.00|650000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|29868|Wastewater|WASTEWATER|2|Revenue Bonds|SERIES 2012 SEWAGE REFUNDING REVENUE BONDS|.00|.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|29868|Wastewater|WASTEWATER|2|Revenue Bonds|Series 2019A IBB Refunding Bonds (2009B-C)|1762000.00|213000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|29868|Wastewater|WASTEWATER|2|Revenue Bonds|Series 2020 Indiana Bond Bank Refunding (SRF 2011, 2009A, 2010)|12355000.00|1275000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|29868|Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding 07 Revenue Bonds 2016|7335000.00|1720000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|29869|Water|WATER|2|Revenue Bonds|Waterworks Refunding 07 Revenue Bonds 2016|1420000.00|335000.00 2022|Madison|48|3|0105|2|ANDERSON CIVIL CITY|2|48-002.00|29869|Water|WATER|2|Revenue Bonds|Waterworks Series 2016|10070000.00|665000.00 2022|Madison|48|3|0320|2|ELWOOD CIVIL CITY|2|48-003.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond, Series 2021|675000.00|330000.00 2022|Madison|48|3|0320|2|ELWOOD CIVIL CITY|2|48-003.00|0||Governmental Activities|14|Other - Long Term|Junior Economic Development Tax Increment Rev. Bonds. 2018B|936000.00|28000.00 2022|Madison|48|3|0320|2|ELWOOD CIVIL CITY|2|48-003.00|0||Governmental Activities|14|Other - Long Term|New Horizon Project Bond|2410000.00|.00 2022|Madison|48|3|0320|2|ELWOOD CIVIL CITY|2|48-003.00|0||Governmental Activities|14|Other - Long Term|Redevelopment District Bonds, Series 2020|615000.00|80000.00 2022|Madison|48|3|0320|2|ELWOOD CIVIL CITY|2|48-003.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bond Anticipation Note, Series 2018A|2500000.00|2500000.00 2022|Madison|48|3|0320|2|ELWOOD CIVIL CITY|2|48-003.00|29870||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2014|5400000.00|405000.00 2022|Madison|48|3|0320|2|ELWOOD CIVIL CITY|2|48-003.00|29870||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2020 (SRF)|2845000.00|10000.00 2022|Madison|48|3|0320|2|ELWOOD CIVIL CITY|2|48-003.00|29871||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2009|590000.00|76000.00 2022|Madison|48|3|0430|2|ALEXANDRIA CIVIL CITY|2|48-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2018 Global M3 Sweeper|75718.92| 2022|Madison|48|3|0430|2|ALEXANDRIA CIVIL CITY|2|48-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|purchase of 2021 Braun Chief XL|230036.03| 2022|Madison|48|3|0430|2|ALEXANDRIA CIVIL CITY|2|48-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|purchase of three (3) 2020 Ford Police Interceptors|76865.42| 2022|Madison|48|3|0430|2|ALEXANDRIA CIVIL CITY|2|48-001.00|29872|Sewage Plant|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2021A Bond|770000.00|30000.00 2022|Madison|48|3|0430|2|ALEXANDRIA CIVIL CITY|2|48-001.00|29872|Sewage Plant|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2021B Bond|3445000.00|425000.00 2022|Madison|48|3|0746|2|CHESTERFIELD CIVIL TOWN|3|48-004.00|29688|Water Utility|WATER|15|Other - Short Term|Waterworks Bond Anticipation Notes, Series 2022A|1952000.00| 2022|Madison|48|3|0746|2|CHESTERFIELD CIVIL TOWN|3|48-004.00|29688|Water Utility|WATER|15|Other - Short Term|Waterworks Bond Anticipation Notes, Series 2022B|530000.00| 2022|Madison|48|3|0746|2|CHESTERFIELD CIVIL TOWN|3|48-004.00|29682|WasteWater Utility|WASTEWATER|2|Revenue Bonds|SEWAGE BONDS REVENUE SERIES 20201B|3077822.00|209790.00 2022|Madison|48|3|0746|2|CHESTERFIELD CIVIL TOWN|3|48-004.00|29682|WasteWater Utility|WASTEWATER|2|Revenue Bonds|SEWAGE BONDS REVENUE SERIES 2021A|2213312.00|82409.00 2022|Madison|48|3|0748|2|EDGEWOOD CIVIL TOWN|3|48-006.00|29874|Lift station send sewage to Anderson, IN|WASTEWATER|1|General Obligation Bonds|Sewer Lining/Storm Water Management|342670.00|22000.00 2022|Madison|48|3|0748|2|EDGEWOOD CIVIL TOWN|3|48-006.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck Purchase|122537.42|40975.27 2022|Madison|48|3|0749|2|FRANKTON CIVIL TOWN|3|48-007.00|29876|Distribution only|ELECTRIC|11|Notes and Loans Payable - Short Term|readerless electric meters|71619.25| 2022|Madison|48|3|0749|2|FRANKTON CIVIL TOWN|3|48-007.00|29878|Plant & Distribution|WATER|11|Notes and Loans Payable - Short Term|water plant upgrade|84114.74| 2022|Madison|48|3|0751|2|INGALLS CIVIL TOWN|3|48-008.00|29509|Water|WATER|2|Revenue Bonds|2001 Bonds - Installation of new wells & expand treatment plant at the Reformatory|306000.00|.00 2022|Madison|48|3|0751|2|INGALLS CIVIL TOWN|3|48-008.00|29509|Water|WATER|2|Revenue Bonds|2006 Bonds - New water tower|271000.00|.00 2022|Madison|48|3|0751|2|INGALLS CIVIL TOWN|3|48-008.00|29509|Water|WATER|2|Revenue Bonds|2008 Bonds - Continuation of new water tower|205000.00|.00 2022|Madison|48|3|0751|2|INGALLS CIVIL TOWN|3|48-008.00|29509|Water|WATER|2|Revenue Bonds|2011A Bonds - new wellfield and transmission main|517000.00|.00 2022|Madison|48|3|0751|2|INGALLS CIVIL TOWN|3|48-008.00|29509|Water|WATER|2|Revenue Bonds|2011B Bonds - new wellfield and transmission main|25000.00|.00 2022|Madison|48|3|0751|2|INGALLS CIVIL TOWN|3|48-008.00|29509|Water|WATER|2|Revenue Bonds|2017 Bonds- new well & Water offices|1505000.00|.00 2022|Madison|48|3|0752|2|LAPEL CIVIL TOWN|3|48-009.00|29510||WASTEWATER|1|General Obligation Bonds|UMB BANK|2418859.99|90000.00 2022|Madison|48|3|0752|2|LAPEL CIVIL TOWN|3|48-009.00|29511||WATER|2|Revenue Bonds|Refunding Revenue Bonds, Series 2021|1886038.08|80000.00 2022|Madison|48|3|0752|2|LAPEL CIVIL TOWN|3|48-009.00|29511||WATER|2|Revenue Bonds|Revenue Bonds Series 2021 A|2735000.00|122000.00 2022|Madison|48|3|0752|2|LAPEL CIVIL TOWN|3|48-009.00|29511||WATER|2|Revenue Bonds|Revenue Bonds Series 2021 B|3790000.00|1000.00 2022|Madison|48|3|0753|2|MARKLEVILLE CIVIL TOWN|3|48-010.00|29513|Wastewater|WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Utility|68000.00|18000.00 2022|Madison|48|3|0754|2|ORESTES CIVIL TOWN|3|48-011.00|29516||WASTEWATER|2|Revenue Bonds|Construction of Wastewater Utility|58313.00|70000.00 2022|Madison|48|3|0755||PENDLETON CIVIL TOWN|3|48-012.00|0||Governmental Activities|1|General Obligation Bonds|Infrastructure Bond|| 2022|Madison|48|3|0755||PENDLETON CIVIL TOWN|3|48-012.00|0||Governmental Activities|1|General Obligation Bonds|Park Bond 2013A/Payoff and Purchase Golf Course|| 2022|Madison|48|3|0755||PENDLETON CIVIL TOWN|3|48-012.00|0||Governmental Activities|1|General Obligation Bonds|Park Bond 2013B/Park Inprovements|| 2022|Madison|48|3|0755||PENDLETON CIVIL TOWN|3|48-012.00|0||Governmental Activities|1|General Obligation Bonds|Waterworks District Bond/Water Plant Construction|| 2022|Madison|48|3|0755||PENDLETON CIVIL TOWN|3|48-012.00|29518||ELECTRIC|2|Revenue Bonds|Electric Refunding Bonds|| 2022|Madison|48|3|0757|2|SUMMITVILLE CIVIL TOWN|3|48-014.00|29520|Wastewater|WASTEWATER|1|General Obligation Bonds|2020 USDA LOAN|2645000.00|56000.00 2022|Madison|48|3|0757|2|SUMMITVILLE CIVIL TOWN|3|48-014.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2019 Tahoe|15270.00|10105.00 2022|Madison|48|3|0757|2|SUMMITVILLE CIVIL TOWN|3|48-014.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Tahoe|16559.00|5397.00 2022|Madison|48|4|5245||FRANKTON-LAPEL COMMUNITY SCHOOL CORPORATION|5|48-033.00|0||Governmental Activities|1|General Obligation Bonds|FLCS 2020|| 2022|Madison|48|4|5255||SOUTH MADISON COMMUNITY SCHOOL CORPORATION|5|48-034.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|School Bus Loan-Mercedes Benz Financial|| 2022|Madison|48|4|5255||SOUTH MADISON COMMUNITY SCHOOL CORPORATION|5|48-034.00|0||Governmental Activities|15|Other - Short Term|Common School Loan-A0417|| 2022|Madison|48|4|5255||SOUTH MADISON COMMUNITY SCHOOL CORPORATION|5|48-034.00|0||Governmental Activities|15|Other - Short Term|Common School Loan-A0580|| 2022|Madison|48|4|5255||SOUTH MADISON COMMUNITY SCHOOL CORPORATION|5|48-034.00|0||Governmental Activities|15|Other - Short Term|Common School Loan-A2971|| 2022|Madison|48|4|5255||SOUTH MADISON COMMUNITY SCHOOL CORPORATION|5|48-034.00|0||Governmental Activities|15|Other - Short Term|Common School Loan-B0121|| 2022|Madison|48|4|5255||SOUTH MADISON COMMUNITY SCHOOL CORPORATION|5|48-034.00|0||Governmental Activities|15|Other - Short Term|Common School Loan-B0317|| 2022|Madison|48|4|5265||ALEXANDRIA COMMUNITY SCHOOL CORPORATION|5|48-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A0522 Elementary construction|| 2022|Madison|48|4|5265||ALEXANDRIA COMMUNITY SCHOOL CORPORATION|5|48-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A0527 Elementary construction|| 2022|Madison|48|4|5265||ALEXANDRIA COMMUNITY SCHOOL CORPORATION|5|48-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A0553 High School construction|| 2022|Madison|48|4|5265||ALEXANDRIA COMMUNITY SCHOOL CORPORATION|5|48-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A0805 High School Construction|| 2022|Madison|48|4|5265||ALEXANDRIA COMMUNITY SCHOOL CORPORATION|5|48-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A1916 Technology|| 2022|Madison|48|4|5265||ALEXANDRIA COMMUNITY SCHOOL CORPORATION|5|48-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|C0003 Elementary Construction|| 2022|Madison|48|4|5265||ALEXANDRIA COMMUNITY SCHOOL CORPORATION|5|48-031.00|0||Governmental Activities|14|Other - Long Term|2018 Unlimited ad valoerm|| 2022|Madison|48|4|5265||ALEXANDRIA COMMUNITY SCHOOL CORPORATION|5|48-031.00|0||Governmental Activities|14|Other - Long Term|2019 Unlimited ad valoerm|| 2022|Madison|48|4|5275||ANDERSON COMMUNITY SCHOOL CORPORATION|5|48-030.00|0||Governmental Activities|1|General Obligation Bonds|PENSION BONDS, SERIES 10|| 2022|Madison|48|4|5280||ELWOOD COMMUNITY SCHOOL CORPORATION|5|48-032.00|0||Governmental Activities|1|General Obligation Bonds|2021 Lease Construction Project|| 2022|Madison|48|4|5280||ELWOOD COMMUNITY SCHOOL CORPORATION|5|48-032.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2018|| 2022|Madison|48|4|5280||ELWOOD COMMUNITY SCHOOL CORPORATION|5|48-032.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020|| 2022|Madison|48|4|5280||ELWOOD COMMUNITY SCHOOL CORPORATION|5|48-032.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Edgewood Elementary CSL|| 2022|Madison|48|4|5280||ELWOOD COMMUNITY SCHOOL CORPORATION|5|48-032.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Elwood High School HVAC|| 2022|Madison|48|4|5280||ELWOOD COMMUNITY SCHOOL CORPORATION|5|48-032.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Oakland Elementary CSL|| 2022|Madison|48|4|5280||ELWOOD COMMUNITY SCHOOL CORPORATION|5|48-032.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Technology CSL|| 2022|Madison|48|5|0141|2|PENDLETON COMMUNITY PUBLIC LIBRARY|6|48-038.00|0||Governmental Activities|1|General Obligation Bonds|Pendleton Community Library General Obligation Bonds 2020|3665000.00|405000.00 2022|Madison|48|6|0040|2|FALL CREEK REGIONAL WASTE DISTRICT|21|48-040.00|0||Governmental Activities|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2016|13239000.00|945000.00 2022|Marion|49|2|0004|2|LAWRENCE TOWNSHIP|7|49-124.00|0||Governmental Activities|1|General Obligation Bonds|Financing a portin of the costs of the repair, rehabilitation, renovation, improvement and equipping of all or a portion of the Township Government Building|.00|.00 2022|Marion|49|2|0004|2|LAWRENCE TOWNSHIP|7|49-124.00|0||Governmental Activities|1|General Obligation Bonds|Financing a portion of the costs of the repair, rehabilitation, renovation, improvement and equipping of all or a portion of the Township Government Building|.00|.00 2022|Marion|49|2|0004|2|LAWRENCE TOWNSHIP|7|49-124.00|0||Governmental Activities|1|General Obligation Bonds|Refinance the previously outstanding General Obligation Bonds of 2011, Series A issued to finance a portion of the cost of the repair, rehabilitation, renovation ,improvement and equipping of all or a portion of the Township Government Building|165000.00|55000.00 2022|Marion|49|2|0004|2|LAWRENCE TOWNSHIP|7|49-124.00|0||Governmental Activities|1|General Obligation Bonds|Refinance the previously outstanding General Obligation Bonds of 2011, Series B issued to finance a portion of the costs of the repair, rehabilitation, renovation, imptovement and equipping of all or a portion of the Township Government Building|1040000.00|20000.00 2022|Marion|49|2|0009|2|WAYNE TOWNSHIP|7|49-129.00|0||Governmental Activities|1|General Obligation Bonds|2018 equipment loan refiance 2020|.00|.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|0||Governmental Activities|2|Revenue Bonds|City of Lawrence Redevelopment District Bonds, Series 2011|665000.00|155000.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|0||Governmental Activities|2|Revenue Bonds|City of Lawrence Redevelopment District Bonds, Series 2021|2500000.00|.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|0||Governmental Activities|2|Revenue Bonds|City of Lawrence Redevelopment District Tax Increment Revenue Capital Appreciation Bonds, Series 2008|2000252.15|288540.30 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|0||Governmental Activities|2|Revenue Bonds|City of Lawrence Transportation Refunding Revenue Bond, Series 2014|758000.00|373000.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment REvenue Bonds, Series 2018 (Meyer Plastics Project)|2161000.00|61000.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29521|Sewer/Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds, Series 2015|1010000.00|180000.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29521|Sewer/Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2009 A (Issued by the Indiana State Revolving Fund Loan Program)|1291281.00|177727.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29521|Sewer/Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2009 B (Issued by the Indiana Bond Bank)|1881237.05|81237.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29521|Sewer/Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2022`|20000000.00|.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29521|Sewer/Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Taxable Revenue Bonds, Series 2009 C (Issued by the Indiana Bond Bank)|80000.00|35000.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29522|Water Utility|WATER|2|Revenue Bonds|Taxable Waterworks Refunding Revenue Bonds, Series 2017B|1720000.00|380000.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29522|Water Utility|WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2017A|3000000.00|415000.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29522|Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2017|7070000.00|371000.00 2022|Marion|49|3|0306|2|LAWRENCE CIVIL CITY|2|49-402.00|29522|Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2020|12395000.00|.00 2022|Marion|49|3|0312|2|BEECH GROVE CIVIL CITY|2|49-400.00|0||Governmental Activities|1|General Obligation Bonds|2012 General Obligation Bond|120000.00|120000.00 2022|Marion|49|3|0312|2|BEECH GROVE CIVIL CITY|2|49-400.00|29731|Trash/Stormwater/Wastewater Utility|Beech Grove Wastewater|10|Notes and Loans Payable - Long Term|2004 State Revolving Fund Load|382308.00|123197.00 2022|Marion|49|3|0312|2|BEECH GROVE CIVIL CITY|2|49-400.00|29790|Redevelopment Commission|Beech Grove RDC|14|Other - Long Term|Redevelopment Tax Increment Refunding Bond|.00|.00 2022|Marion|49|3|0312|2|BEECH GROVE CIVIL CITY|2|49-400.00|29731|Trash/Stormwater/Wastewater Utility|Beech Grove Wastewater|2|Revenue Bonds|2015A Sewage Works Revenue Bond|164102.00|60000.00 2022|Marion|49|3|0459|2|SOUTHPORT CIVIL CITY|2|49-413.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Commission Purchase Property|.00|.00 2022|Marion|49|3|0459|2|SOUTHPORT CIVIL CITY|2|49-413.00|0||Governmental Activities|14|Other - Long Term|Southport Building Corp First Mtg Bonds|762000.00|107000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|1|General Obligation Bonds|2013 Street Improvemenets Bond|265000.00|175000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|1|General Obligation Bonds|2022 General Obligation Bond|2000000.00|470000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|1|General Obligation Bonds|Park District Refunding Bonds, Series 2016|660000.00|141000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Commission - Lease Rental Revenue Bonds of 2010|.00|.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Commission - Redevolopment District Bonds, Series 2013|1470000.00|100000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|14|Other - Long Term|Economic Development Revenue Bonds, Series 2021 - 1300 Block|1787000.00|125000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Revenue Bonds of 2016, Series A-1|.00|.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Revenue Bonds of 2016, Series A-2|.00|.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Revenue Bonds, Series 2015A|.00|.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Revenue Bonds, Series 2015B|.00|.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|14|Other - Long Term|Redevelopment Authority Ad Valorem Lease Rental 2020|8380000.00|380000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bond - 2500 Project|3500000.00|.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2019 (Wilshaw Project)|5565000.00|170000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|29524|Customer Billings Revenue Source|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bond 2020A|12925000.00|1030000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|29524|Customer Billings Revenue Source|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bond 2020B|565000.00|565000.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|29525|Customer Billings Revenue Source|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2011|369511.00|35281.00 2022|Marion|49|3|0508|2|SPEEDWAY CIVIL TOWN|3|49-414.00|29525|Customer Billings Revenue Source|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2012|3616260.00|295596.00 2022|Marion|49|3|0762|2|CUMBERLAND CIVIL TOWN|3|49-406.00|0||Governmental Activities|1|General Obligation Bonds|CAPITAL IMPROVEMENTS|440000.00|150000.00 2022|Marion|49|3|0762|2|CUMBERLAND CIVIL TOWN|3|49-406.00|29527|Town of Cumberland sewer|WASTEWATER|2|Revenue Bonds|Sewage Refunding|.00|.00 2022|Marion|49|3|0762|2|CUMBERLAND CIVIL TOWN|3|49-406.00|29527|Town of Cumberland sewer|WASTEWATER|2|Revenue Bonds|SRF|.00|.00 2022|Marion|49|4|5300||M.S.D DECATUR TOWNSHIP SCHOOL CORPORATION|5|49-235.00|0||Governmental Activities|1|General Obligation Bonds|MSD of Decatur Township GO Bonds LEE Addition - 2015|| 2022|Marion|49|4|5300||M.S.D DECATUR TOWNSHIP SCHOOL CORPORATION|5|49-235.00|0||Governmental Activities|1|General Obligation Bonds|MSD of Decatur Township GO Bonds Lynwood Reno - 2021A|| 2022|Marion|49|4|5300||M.S.D DECATUR TOWNSHIP SCHOOL CORPORATION|5|49-235.00|0||Governmental Activities|1|General Obligation Bonds|MSD of Decatur Township GO Bonds Pathway Facility - 2021B|| 2022|Marion|49|4|5300||M.S.D DECATUR TOWNSHIP SCHOOL CORPORATION|5|49-235.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School - A0420|| 2022|Marion|49|4|5300||M.S.D DECATUR TOWNSHIP SCHOOL CORPORATION|5|49-235.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School - A0425|| 2022|Marion|49|4|5310||FRANKLIN TOWNSHIP COMMUNITY SCHOOL CORPORATION|5|49-232.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bonds|| 2022|Marion|49|4|5310||FRANKLIN TOWNSHIP COMMUNITY SCHOOL CORPORATION|5|49-232.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO Bonds|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2012 GO Pension Bonds|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2015A GO For Construction and Renovation|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2015B GO for Construction and Renovation|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2015C GO for Construction and Renovation|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2016 QZAB|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2017 GO Pension Bonds Refinance|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2017 QZAB|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2018 GO Bond for Construction and Renovation|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bond for Construction and Renovation|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan A2727|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School fund Loan A2858|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School fund Loan A2892|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School fund Loan B0013|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan B0060|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan B0110|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan B0221|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School fund Loan B0280|| 2022|Marion|49|4|5330||M.S.D. LAWRENCE TOWNSHIP SCHOOL CORPORATION|5|49-236.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan S0005|| 2022|Marion|49|4|5340||PERRY TOWNSHIP SCHOOLS|5|49-237.00|0||Governmental Activities|1|General Obligation Bonds|2019A General Obligation Bonds|| 2022|Marion|49|4|5340||PERRY TOWNSHIP SCHOOLS|5|49-237.00|0||Governmental Activities|1|General Obligation Bonds|2020A General Obligation Bonds|| 2022|Marion|49|4|5340||PERRY TOWNSHIP SCHOOLS|5|49-237.00|0||Governmental Activities|1|General Obligation Bonds|2020B General Obligation Bonds|| 2022|Marion|49|4|5340||PERRY TOWNSHIP SCHOOLS|5|49-237.00|0||Governmental Activities|1|General Obligation Bonds|2021A General Obligation Bonds|| 2022|Marion|49|4|5340||PERRY TOWNSHIP SCHOOLS|5|49-237.00|0||Governmental Activities|1|General Obligation Bonds|2021B General Obligation Bonds|| 2022|Marion|49|4|5340||PERRY TOWNSHIP SCHOOLS|5|49-237.00|0||Governmental Activities|1|General Obligation Bonds|2021C General Obligation Bonds|| 2022|Marion|49|4|5340||PERRY TOWNSHIP SCHOOLS|5|49-237.00|0||Governmental Activities|1|General Obligation Bonds|Amended Taxable Pension Bonds of 2003|| 2022|Marion|49|4|5350||M.S.D. PIKE TOWNSHIP SCHOOL CORPORATION|5|49-238.00|0||Governmental Activities|1|General Obligation Bonds|DISTRICT WIDE|| 2022|Marion|49|4|5350||M.S.D. PIKE TOWNSHIP SCHOOL CORPORATION|5|49-238.00|0||Governmental Activities|1|General Obligation Bonds|GO 2020A ELE/AUX|| 2022|Marion|49|4|5350||M.S.D. PIKE TOWNSHIP SCHOOL CORPORATION|5|49-238.00|0||Governmental Activities|1|General Obligation Bonds|GO 2020B Reimb|| 2022|Marion|49|4|5350||M.S.D. PIKE TOWNSHIP SCHOOL CORPORATION|5|49-238.00|0||Governmental Activities|1|General Obligation Bonds|GO BOND 2019|| 2022|Marion|49|4|5350||M.S.D. PIKE TOWNSHIP SCHOOL CORPORATION|5|49-238.00|0||Governmental Activities|1|General Obligation Bonds|GO BOND 2021|| 2022|Marion|49|4|5350||M.S.D. PIKE TOWNSHIP SCHOOL CORPORATION|5|49-238.00|0||Governmental Activities|1|General Obligation Bonds|TECHNOLOGY|| 2022|Marion|49|4|5360||M.S.D. WARREN TOWNSHIP SCHOOL CORPORATION|5|49-239.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bond - District Improvements|| 2022|Marion|49|4|5360||M.S.D. WARREN TOWNSHIP SCHOOL CORPORATION|5|49-239.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Tax Anticipation Warrants - Operations Fund|| 2022|Marion|49|4|5360||M.S.D. WARREN TOWNSHIP SCHOOL CORPORATION|5|49-239.00|0||Governmental Activities|2|Revenue Bonds|Vision 2005 - Series 2019|| 2022|Marion|49|4|5360||M.S.D. WARREN TOWNSHIP SCHOOL CORPORATION|5|49-239.00|0||Governmental Activities|2|Revenue Bonds|Vision 2005 - Series 2021|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2018 Unlimited|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2019|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2020 Unlimited|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - A1937|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - A2731|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - A2861|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - A2919|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - B0015|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - B0062|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - B0132|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - B0157|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - B0202|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - B0240|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - B0283|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund - B0311|| 2022|Marion|49|4|5370||M.S.D. WASHINGTON TOWNSHIP SCHOOL CORPORATION|5|49-240.00|0||Governmental Activities|2|Revenue Bonds|Common School Fund - A2951|| 2022|Marion|49|4|5375||M.S.D. WAYNE TOWNSHIP SCHOOL CORPORATION|5|49-241.00|0||Governmental Activities|1|General Obligation Bonds|2018 GO Bond|| 2022|Marion|49|4|5375||M.S.D. WAYNE TOWNSHIP SCHOOL CORPORATION|5|49-241.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bond|| 2022|Marion|49|4|5375||M.S.D. WAYNE TOWNSHIP SCHOOL CORPORATION|5|49-241.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond|| 2022|Marion|49|4|5380||BEECH GROVE CITY SCHOOL CORPORATION|5|49-231.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2001,2014,2015,2016|| 2022|Marion|49|4|5380||BEECH GROVE CITY SCHOOL CORPORATION|5|49-231.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond 2004|| 2022|Marion|49|4|5380||BEECH GROVE CITY SCHOOL CORPORATION|5|49-231.00|0||Governmental Activities|1|General Obligation Bonds|QSCB 2009|| 2022|Marion|49|4|5380||BEECH GROVE CITY SCHOOL CORPORATION|5|49-231.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans B0222,C0017,C0004,A2933,A2881,B0036,C0010,B0135,A0801,A0615,A0603,A0575|| 2022|Marion|49|4|5380||BEECH GROVE CITY SCHOOL CORPORATION|5|49-231.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Indiana Bond Bank|| 2022|Marion|49|4|5385||INDIANAPOLIS PUBLIC SCHOOL CORPORATION|5|49-233.00|0||Governmental Activities|1|General Obligation Bonds|Pension Debt Severance Bonds|| 2022|Marion|49|4|5385||INDIANAPOLIS PUBLIC SCHOOL CORPORATION|5|49-233.00|0||Governmental Activities|1|General Obligation Bonds|Series 2018A|| 2022|Marion|49|4|5385||INDIANAPOLIS PUBLIC SCHOOL CORPORATION|5|49-233.00|0||Governmental Activities|1|General Obligation Bonds|Series 2018B (Taxable)|| 2022|Marion|49|4|5385||INDIANAPOLIS PUBLIC SCHOOL CORPORATION|5|49-233.00|0||Governmental Activities|1|General Obligation Bonds|Series 2021|| 2022|Marion|49|4|5385||INDIANAPOLIS PUBLIC SCHOOL CORPORATION|5|49-233.00|0||Governmental Activities|1|General Obligation Bonds|Series 2022|| 2022|Marion|49|4|5400||SPEEDWAY CITY SCHOOL CORPORATION|5|49-234.00|0||Governmental Activities|1|General Obligation Bonds|Newby Elementary Additional Classrooms|| 2022|Marion|49|5|0143|2|SPEEDWAY CITY PUBLIC LIBRARY|6|49-455.00|0||Governmental Activities|1|General Obligation Bonds|Improvement Projects|30000.00|30000.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2010 Refunding Bonds|.00|.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2011 Refunding Bonds|.00|.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2013 Refunding Bonds|.00|.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2014 Bonds|.00|.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2016 Bonds|7450000.00|190000.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2017A Bonds|5830000.00|1905000.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2017B Bonds|5905000.00|790000.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2018B Bonds|8700000.00|975000.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2020 Bonds|.00|.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2021A Bonds|13735000.00|2890000.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2021B Bonds|12555000.00|2490000.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2021C Bonds|2745000.00|2745000.00 2022|Marion|49|5|0144|2|INDIANAPOLIS-MARION COUNTY PUBLIC LIBRARY|6|49-023.00|0||Governmental Activities|1|General Obligation Bonds|2022 Bonds|5570000.00|5570000.00 2022|Marion|49|6|0009|2|INDPLS MARION CNTY BLDG AUTHORITY|26|49-009.00|0||Governmental Activities|1|General Obligation Bonds|Arrestee Processing Center Bonds|905000.00|905000.00 2022|Marion|49|6|0062||INDIANAPOLIS HOUSING AUTHORITY|23|49-062.00|0||Governmental Activities|1|General Obligation Bonds|IHA Building|| 2022|Marion|49|6|0062||INDIANAPOLIS HOUSING AUTHORITY|23|49-062.00|0||Governmental Activities|1|General Obligation Bonds|Indiana Ave RAD Conversion Rehab|| 2022|Marion|49|6|0062||INDIANAPOLIS HOUSING AUTHORITY|23|49-062.00|0||Governmental Activities|6|Claims and Judgments|Government Obligations HUD Repayment|| 2022|Marion|49|6|0402|2|FORT HARRISON REUSE AUTHORITY|30|49-402.03|0||Governmental Activities|1|General Obligation Bonds|Bond 2015|10246800.00|625000.00 2022|Marion|49|6|0402|2|FORT HARRISON REUSE AUTHORITY|30|49-402.03|0||Governmental Activities|1|General Obligation Bonds|Bond 2022|1465000.00|.00 2022|Marion|49|6|0402|2|FORT HARRISON REUSE AUTHORITY|30|49-402.03|0||Governmental Activities|1|General Obligation Bonds|Bonds 2017|6352888.00|550000.00 2022|Marion|49|6|0402|2|FORT HARRISON REUSE AUTHORITY|30|49-402.03|0||Governmental Activities|10|Notes and Loans Payable - Long Term|BAN 2017|74612.00|74612.00 2022|Marion|49|6|0877|2|INDIANAPOLIS PUBLIC TRANSPORTATION|14|49-024.00|29734|Municipal Transit Corporation|Indianapolis Public Transportation Corp|2|Revenue Bonds|Income Tax Revenue Bonds Series 2018A|15363198.74|2710000.00 2022|Marion|49|6|0877|2|INDIANAPOLIS PUBLIC TRANSPORTATION|14|49-024.00|29734|Municipal Transit Corporation|Indianapolis Public Transportation Corp|2|Revenue Bonds|Income Tax Revenue Bonds Series 2021D|18520000.00|1505000.00 2022|Marion|49|6|0877|2|INDIANAPOLIS PUBLIC TRANSPORTATION|14|49-024.00|29734|Municipal Transit Corporation|Indianapolis Public Transportation Corp|2|Revenue Bonds|Income Tax Revenue Bonds Series 2022D|64425000.00|2025000.00 2022|Marion|49|6|0890||MARION COUNTY HEALTH AND HOSPITAL|4|49-019.00|0||Governmental Activities|1|General Obligation Bonds|1988 Bonds|| 2022|Marion|49|6|0890||MARION COUNTY HEALTH AND HOSPITAL|4|49-019.00|0||Governmental Activities|1|General Obligation Bonds|2005 Bonds|| 2022|Marion|49|6|0890||MARION COUNTY HEALTH AND HOSPITAL|4|49-019.00|0||Governmental Activities|1|General Obligation Bonds|2010 series A1|| 2022|Marion|49|6|0890||MARION COUNTY HEALTH AND HOSPITAL|4|49-019.00|0||Governmental Activities|1|General Obligation Bonds|2010 series A2|| 2022|Marion|49|6|0890||MARION COUNTY HEALTH AND HOSPITAL|4|49-019.00|0||Governmental Activities|2|Revenue Bonds|2010 Series B bonds Capital Lease|| 2022|Marion|49|6|0890||MARION COUNTY HEALTH AND HOSPITAL|4|49-019.00|0||Governmental Activities|2|Revenue Bonds|2013 Series A bonds Capital Lease|| 2022|Marion|49|6|0894|2|Indianapolis Airport Authority|25|49-007.00|30366|Indianapolis Airport Authority|Airport|2|Revenue Bonds|Airport System Improvements|985755000.00|39876015.00 2022|Marion|49|6|0924|2|Indianapolis Public Improvement Bond Bank|39|49-401.01|0||Governmental Activities|1|General Obligation Bonds|Detailed Debt Schedule filed directly with SBOA|309800000.00|19540000.00 2022|Marion|49|6|0924|2|Indianapolis Public Improvement Bond Bank|39|49-401.01|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Detailed Debt Schedule filed directly with SBOA|1935955.63| 2022|Marion|49|6|0924|2|Indianapolis Public Improvement Bond Bank|39|49-401.01|0||Governmental Activities|14|Other - Long Term|Detailed Debt Schedule filed directly with SBOA|713286044.49|57841906.78 2022|Marion|49|6|0924|2|Indianapolis Public Improvement Bond Bank|39|49-401.01|0||Governmental Activities|2|Revenue Bonds|Detailed Debt Schedule filed directly with SBOA|3001110000.00|125020000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|2022A Civil City GO - Tax-Exempt|11500000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|2022B Civil City GO - Taxable|12000000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2017 A (Cons. City)|15720000.00|1490000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2017 A (Metro Thoroughfare)|19115000.00|1540000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2017 A (Park District)|3235000.00|475000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2017 A (Public Safety & Communications)|7835000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2017 B|4090000.00|2065000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2020 A (Public Safety Communications District Projects)|25730000.00|2315000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2021 A (Cons. City)|15570000.00|635000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2021 A (Park District)|20695000.00|540000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Indianapolis Local Public Improvement Bond Bank Bond, Series 2019 G (Fire Training Facility Project)|11800000.00|1025000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|IndyRoads 2020D (Metro Thoroughfare District)|50000000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|IndyRoads 2020E (Refunding bonds, Metro Thoroughfare District)|130470000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond 2005A|.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Various notes payable|62137323.88|20776375.87 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|2014A Econ TIF (Mass Ave Proj)|27320000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|2014B Econ TIF (Mass Ave Proj)|1260000.00|620000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|2014C Econ TIF (MSA Proj)|9700000.00|1200000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|2014D Econ TIF (Pulliam/Milik)|3320000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|2022E Econdev Refund (2013E/F)|16350000.00|40000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|2022E Redev Refund (2013A/B)|26190000.00|70000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Brokenburr Refunding 2015|894000.00|100000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|City of Indianapolis Economic Devleopment Bonds Series 2007 GLENDALE|1940000.00|385000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|City of Indianapolis Economic Devleopment Bonds Series 2010 AIT|3665000.00|210000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|City of Indianapolis Economic Devleopment Bonds Series 2010 B DOW ELANCO|6020000.00|1930000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|City of Indianapolis Redevelopment District Refunding Bonds, Series 2018 (taxable)|9450000.00|715000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Refunding Bonds Series 2012A|3965000.00|445000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Refunding Bonds Series 2012B|14115000.00|315000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2018 (Phoenix Theatre Proj)|4328573.00|177671.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2019 (Federally Taxable PR Mallory Building Project)|12275000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2013 A|.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2013 B|.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2015 A (Broad Ripple Associates, LLC Project)|2888924.16|1136215.66 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2017 (Bethel AME Project)|7620000.00|220000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2018 (Ardmore Project)|7200000.00|125000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2018 (Duke Headquarters Project)|2867000.00|64000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2018 (Ford Assembly Plant Project)|3710000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2018 (Goodwill Riverview Project)|4035000.00|120000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2018 (River House Broad Ripple Project)|2465000.00|90000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2019 (City's End Project)|3434000.00|95000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2019 A (16 Tech)|28585000.00|1040000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2020 (421 N Penn Project)|9852000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2022 A (Federally Taxable - Stutz 1 Project)|9000000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2022 A (Indy Penn Center Hotel Garage Project)|18225000.00|725000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2022 B (Elanco)|112525000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2022 B (Federally Taxable - Stutz 1 Project)|3321000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2022 D (16 Tech Project)|19530000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Refunding Bonds, Series 2021 A (City Way 1 Project)|72950000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Fall Creek 2014 TIF Refunding|5465000.00|870000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Indy Roads 2015B|5205000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Indy Roads Series 2018A|855000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Indy Roads Series 2019A|7810000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|IndyRoads 2015A|3680000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment 2007: Series K|515000.00|515000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment 2010: Series A|1598161.20|615691.12 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment 2011: Series A|6680000.00|3970000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment 2011: Series C|19065000.00|960000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment 1999: Series E Refunding|136360641.72|28645000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Subordinate Tax Increment Refunding Bonds of 2013|.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Subordinate Tax Increment Revenue Bonds of 2013, Series A|.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Refunding Bonds 2016A (Mariott)|46630000.00|2150000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds, Series 2015 A (Tarkington Park Project)|.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Project and Refunding Bonds, Series 2020B (Infosys Project)|22200000.00|7500000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Refunding Bonds, Series 2017C (Pilot Infrastructure Project)|138020000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Stormwater District Revenue Bonds, Series 2019F|50000000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Stormwater District Revenue Refunding Bonds, Series 2013A|13335000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Stormwater District Revenue Refunding Bonds, Series 2022C|50000000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Stormwater Refunding 2015|11957775.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2020 A (Block 20 Development Project)|1506102.78|75000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2021 (Elevator Hill Phase I Project)|3750000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2021 (Glendale II Project)|7113000.00|61000.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2021 (Midtown Project)|3286000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2021 (Rise on Meridian Project)|8660000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Refunding Bonds, Series 2021 B (City Way 1 Project)|115000.00|.00 2022|Marion|49|6|0938|2|INDIANAPOLIS CONSOLIDATED CITY|2|49-029.00|0||Governmental Activities|2|Revenue Bonds|Taxable Tax Increment Revenue Project and Refunding Bonds, Series 2020C (Infosys Project)|2200000.00|2200000.00 2022|Marion|49|7|0016|2|BEN DAVIS CONSERVANCY|28|49-008.00|0||Governmental Activities|15|Other - Short Term|Wastewater Bond Anticipation Note|1000000.00| 2022|Marion|49|8|0017|2|Speedway Redevelopment Commission|36|49-017.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Commission - Lease Rental Revenue Bonds of 2010|13730000.00|820000.00 2022|Marion|49|8|0017|2|Speedway Redevelopment Commission|36|49-017.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Revenue Bonds of 2016, Series A-1|7980000.00|500000.00 2022|Marion|49|8|0017|2|Speedway Redevelopment Commission|36|49-017.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Revenue Bonds of 2016, Series A-2|1005000.00|70000.00 2022|Marion|49|8|0017|2|Speedway Redevelopment Commission|36|49-017.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Revenue Bonds, Series 2015A|7640000.00|430000.00 2022|Marion|49|8|0017|2|Speedway Redevelopment Commission|36|49-017.00|0||Governmental Activities|14|Other - Long Term|Lease Rental Revenue Bonds, Series 2015B|4185000.00|260000.00 2022|Marion|49|9|9330||Irvington Community Schools|32|49-034.00|0||Governmental Activities|1|General Obligation Bonds|Building aquisitions|| 2022|Marion|49|9|9390||FLANNER HOUSE ELEMENTARY|32|49-033.00|0||Governmental Activities|5|Lines of Credit|Line of Credit|| 2022|Marion|49|9|9575||Victory College Prep|32|49-253.00|0||Governmental Activities|1|General Obligation Bonds|UMB Bond|| 2022|Marion|49|9|9650||HERRON HIGH SCHOOL|32|49-255.00|0||Governmental Activities|1|General Obligation Bonds|Herron Museum Building|| 2022|Marion|49|9|9650||HERRON HIGH SCHOOL|32|49-255.00|0||Governmental Activities|1|General Obligation Bonds|Horizon Bank-Bond|| 2022|Marion|49|9|9650||HERRON HIGH SCHOOL|32|49-255.00|0||Governmental Activities|1|General Obligation Bonds|McWhirter Bond|| 2022|Marion|49|9|9715||Andrew Academy|32||0||Governmental Activities|1|General Obligation Bonds|Bond PNC|| 2022|Marion|49|9|9720||Padua Academy|32||0||Governmental Activities|1|General Obligation Bonds|PNC Bond|| 2022|Marion|49|9|9755||Carpe Diem - Meridian|32||0||Governmental Activities|5|Lines of Credit|CSC temp loan|| 2022|Marion|49|9|9755||Carpe Diem - Meridian|32||0||Governmental Activities|5|Lines of Credit|Operating|| 2022|Marion|49|9|9975||Global Preparatory Academy|32|49-064.00|0||Governmental Activities|1|General Obligation Bonds|Common School Fund loan|| 2022|Marshall|50|2|0006|2|POLK TOWNSHIP|7|50-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck|95648.30|44842.52 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds, Series 2012. Paying the costs of construction of capital projects related to the new downtown River Park Square, to fund a debt service reserve and to pay bond issuance expenses. The project will serve and benefit the East Jefferson/Central Business District Economic Development Area.|685000.00|105000.00 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds of 2019 for Pretzels Inc Project|12535000.00|950000.00 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds of 2020 Series A for the Centennial Crossings Project|1890000.00|35000.00 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds of 2022 Series B for the Centennial Crossings Project|1010000.00|.00 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds of Series 2020 for the Winona Project|5635000.00|190000.00 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds Series 2021 for the Aquatics Center|4599651.77|289900.71 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|30262|Wastewater Enterprise|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2015|1185000.00|225000.00 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|30262|Wastewater Enterprise|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2016|9170000.00|555000.00 2022|Marshall|50|3|0412|2|PLYMOUTH CIVIL CITY|2|50-001.00|30375|Water Enterprise|WATER UTILITY|2|Revenue Bonds|Pay the cost of certain additions extensions and improvements of the Waterworks|4280000.00|180000.00 2022|Marshall|50|3|0776|2|BOURBON CIVIL TOWN|3|50-003.00|29534|Water|WATER|11|Notes and Loans Payable - Short Term|Water Meters|95481.06| 2022|Marshall|50|3|0777|2|BREMEN CIVIL TOWN|3|50-005.00|30273|The Town of Bremen maintains a storm water collection system throughout the community.|STORM WATER|1|General Obligation Bonds|Storm Water District Bonds of 2019|1285000.00|65000.00 2022|Marshall|50|3|0777|2|BREMEN CIVIL TOWN|3|50-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Senior Center Renovation|.00|.00 2022|Marshall|50|3|0777|2|BREMEN CIVIL TOWN|3|50-005.00|29536|The Town of Bremen owns and operates the Wastewater Treatment facility that services the Bremen Residents and Industry.|WASTEWATER|15|Other - Short Term|Sewage Works Bond Anticipation Notes of 2022|2411000.00| 2022|Marshall|50|3|0777|2|BREMEN CIVIL TOWN|3|50-005.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds Series 2012|1377000.00|186000.00 2022|Marshall|50|3|0777|2|BREMEN CIVIL TOWN|3|50-005.00|29536|The Town of Bremen owns and operates the Wastewater Treatment facility that services the Bremen Residents and Industry.|WASTEWATER|2|Revenue Bonds|Additions, Extensions, Improvements to Sewage Works System|1228000.00|140000.00 2022|Marshall|50|3|0777|2|BREMEN CIVIL TOWN|3|50-005.00|29537|The Town of Bremen maintains the wells, provides distribution and treatment of water to the Bremen Residents and Industry.|WATER|2|Revenue Bonds|Water Treatment Plant & Well Field|1810000.00|123000.00 2022|Marshall|50|3|0778|2|CULVER CIVIL TOWN|3|50-004.00|0||Governmental Activities|1|General Obligation Bonds|Tax Increment Revenue Bond of 2015|336000.00|140000.00 2022|Marshall|50|3|0778|2|CULVER CIVIL TOWN|3|50-004.00|0||Governmental Activities|1|General Obligation Bonds|Tax Increment Revenue Bonds of 2008|85000.00|40000.00 2022|Marshall|50|3|0778|2|CULVER CIVIL TOWN|3|50-004.00|29540||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2005|238576.50|238576.50 2022|Marshall|50|3|0778|2|CULVER CIVIL TOWN|3|50-004.00|29541||WATER|2|Revenue Bonds|Waterworks Revenue Bond of 2015|1123000.00|76000.00 2022|Marshall|50|3|0779|2|LAPAZ CIVIL TOWN|3|50-006.00|29542|sewage system|WASTEWATER|1|General Obligation Bonds|sewage works refunding bonds|.00|.00 2022|Marshall|50|4|5455||CULVER COMMUNITY SCHOOL CORPORATION|5|50-010.00|0||Governmental Activities|1|General Obligation Bonds|Bonds of 2013 Ind Bond Bank|| 2022|Marshall|50|4|5455||CULVER COMMUNITY SCHOOL CORPORATION|5|50-010.00|0||Governmental Activities|1|General Obligation Bonds|Bonds of 2020 Ind Bond Bank|| 2022|Marshall|50|4|5455||CULVER COMMUNITY SCHOOL CORPORATION|5|50-010.00|0||Governmental Activities|1|General Obligation Bonds|IBB Sch Sev 2013A|| 2022|Marshall|50|4|5455||CULVER COMMUNITY SCHOOL CORPORATION|5|50-010.00|0||Governmental Activities|1|General Obligation Bonds|Lease 2009A|| 2022|Marshall|50|4|5455||CULVER COMMUNITY SCHOOL CORPORATION|5|50-010.00|0||Governmental Activities|1|General Obligation Bonds|Lease 2009B|| 2022|Marshall|50|4|5455||CULVER COMMUNITY SCHOOL CORPORATION|5|50-010.00|0||Governmental Activities|1|General Obligation Bonds|Lease 2015|| 2022|Marshall|50|4|5455||CULVER COMMUNITY SCHOOL CORPORATION|5|50-010.00|0||Governmental Activities|1|General Obligation Bonds|Qualified School Contruction Bond Debt|| 2022|Marshall|50|4|5470||ARGOS COMMUNITY SCHOOL CORPORATION|5|50-008.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2014|| 2022|Marshall|50|4|5470||ARGOS COMMUNITY SCHOOL CORPORATION|5|50-008.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond|| 2022|Marshall|50|4|5480||BREMEN PUBLIC SCHOOL CORPORATION|5|50-009.00|0||Governmental Activities|1|General Obligation Bonds|Pension Refunding Bonds of 2012|| 2022|Marshall|50|4|5485||PLYMOUTH COMMUNITY SCHOOL CORPORATION|5|50-012.00|0||Governmental Activities|1|General Obligation Bonds|2004 Pension Bonds|| 2022|Marshall|50|4|5485||PLYMOUTH COMMUNITY SCHOOL CORPORATION|5|50-012.00|0||Governmental Activities|1|General Obligation Bonds|2013 Series|| 2022|Marshall|50|4|5485||PLYMOUTH COMMUNITY SCHOOL CORPORATION|5|50-012.00|0||Governmental Activities|1|General Obligation Bonds|2017 Series Site Improvements|| 2022|Marshall|50|4|5485||PLYMOUTH COMMUNITY SCHOOL CORPORATION|5|50-012.00|0||Governmental Activities|1|General Obligation Bonds|2022 Series|| 2022|Marshall|50|4|5495||TRITON SCHOOL CORPORATION|5|50-013.00|0||Governmental Activities|1|General Obligation Bonds|Renovation of and Improvements, including purchase of Technology|| 2022|Marshall|50|5|0147|2|BREMEN PUBLIC LIBRARY|6|50-016.00|0||Governmental Activities|1|General Obligation Bonds|Library remodel and addition|2740000.00|130000.00 2022|Marshall|50|5|0148|2|CULVER PUBLIC LIBRARY|6|50-017.00|0||Governmental Activities|1|General Obligation Bonds|Improvements and repairs to the library facility|685000.00|30000.00 2022|Marshall|50|6|0036|2|PRETTY LAKE CONSERVANCY DISTRICT|27|50-036.00|30022|sewer|Pretty Lake Conservancy District|1|General Obligation Bonds|Sewer|.00|.00 2022|Marshall|50|6|0036|2|PRETTY LAKE CONSERVANCY DISTRICT|27|50-036.00|30022|sewer|Pretty Lake Conservancy District|2|Revenue Bonds|Sewer|1106000.00|32000.00 2022|Marshall|50|7|0001|2|SOUTHWEST LAKE MAXINKUCKEE CONSERVANCY|27|50-037.00|29620||Wastewater|2|Revenue Bonds|Collection and disposal system|465000.00|45000.00 2022|Marshall|50|7|0346|2|East Shore Conservancy District|27|50-038.00|30305||Wastewater|2|Revenue Bonds|Conservancy District Bonds of 2021|1765000.00|72000.00 2022|Martin|51|1|0000|2|MARTIN COUNTY|1|51-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CASE IH MAXXUM|.00|.00 2022|Martin|51|1|0000|2|MARTIN COUNTY|1|51-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|DURAPATCHER|.00|.00 2022|Martin|51|1|0000|2|MARTIN COUNTY|1|51-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|MOWERMAX|131744.16|31821.27 2022|Martin|51|1|0000|2|MARTIN COUNTY|1|51-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|ROOF PROJECT|65162.00|9494.00 2022|Martin|51|3|0454|2|LOOGOOTEE CIVIL CITY|2|51-001.00|0||Governmental Activities|2|Revenue Bonds|EDIT bond of 2015|105000.00|40000.00 2022|Martin|51|3|0454|2|LOOGOOTEE CIVIL CITY|2|51-001.00|29543|provide wastewater treatment|WASTEWATER|2|Revenue Bonds|2012 refunding revenue bonds|305000.00|155000.00 2022|Martin|51|3|0454|2|LOOGOOTEE CIVIL CITY|2|51-001.00|29543|provide wastewater treatment|WASTEWATER|2|Revenue Bonds|Sewage Works Bond Anticipation Note of 2020|4050000.00|.00 2022|Martin|51|3|0454|2|LOOGOOTEE CIVIL CITY|2|51-001.00|29543|provide wastewater treatment|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond of 2020|1810000.00|.00 2022|Martin|51|3|0454|2|LOOGOOTEE CIVIL CITY|2|51-001.00|29544|provide water|WATER|2|Revenue Bonds|2012 refunding revenue bond|100000.00|100000.00 2022|Martin|51|3|0454|2|LOOGOOTEE CIVIL CITY|2|51-001.00|29544|provide water|WATER|2|Revenue Bonds|Waterworks Bond Anticipation Note of 2020|2705000.00|.00 2022|Martin|51|3|0780|2|CRANE CIVIL TOWN|3|51-003.00|29546|wastewater services provided to town|WASTEWATER|10|Notes and Loans Payable - Long Term|Storm Water Sewer Loan|14828.92|5423.00 2022|Martin|51|3|0781|2|SHOALS CIVIL TOWN|3|51-002.00|29549|Water Utility|WATER|10|Notes and Loans Payable - Long Term|STORM WATER PROJECT (USER FEE FUND)|68166.63|9318.37 2022|Martin|51|3|0781|2|SHOALS CIVIL TOWN|3|51-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|EMPLOYEE TRUCK|.00| 2022|Martin|51|3|0781|2|SHOALS CIVIL TOWN|3|51-002.00|29548|Wastewater Utility|WASTEWATER|2|Revenue Bonds|2003 Wastewater Improvements|.00|.00 2022|Martin|51|4|5520||SHOALS COMMUNITY SCHOOL CORPORATION|5|51-004.00|0||Governmental Activities|14|Other - Long Term|2015 Refunding and Improvement Bonds|| 2022|Martin|51|4|5525||LOOGOOTEE COMMUNITY SCHOOL CORPORATION|5|51-005.00|0||Governmental Activities|1|General Obligation Bonds|Retirement/Severance Bond|| 2022|Martin|51|4|5525||LOOGOOTEE COMMUNITY SCHOOL CORPORATION|5|51-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Martin|51|5|0150|2|LOOGOOTEE PUBLIC LIBRARY|6|51-006.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|USDA loan for new library building|999131.00|15028.00 2022|Martin|51|6|1059|2|MARTIN COUNTY SOLID WASTE MANAGEMENT DISTRICT|16|51-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of Cardboard Baler|128625.00|27000.00 2022|Miami|52|1|0000|2|MIAMI COUNTY|1|52-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Highway Garage Build Operate Transfer|4020538.08|202531.94 2022|Miami|52|2|0001|2|ALLEN TOWNSHIP|7|52-008.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck|9136.80| 2022|Miami|52|2|0008|2|JEFFERSON TOWNSHIP|7|52-015.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Repair roof on community center|34784.70| 2022|Miami|52|3|0310|2|PERU CIVIL CITY|2|52-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2019|876000.00|185000.00 2022|Miami|52|3|0310|2|PERU CIVIL CITY|2|52-001.00|0||Governmental Activities|14|Other - Long Term|Peru Municipal Building Corp 2002|.00|.00 2022|Miami|52|3|0310|2|PERU CIVIL CITY|2|52-001.00|30121|Waste Water Utility operated at Peru Utilities within City of Peru|WASTEWATER|2|Revenue Bonds|GWW Series A-2011|903000.00|93000.00 2022|Miami|52|3|0310|2|PERU CIVIL CITY|2|52-001.00|30121|Waste Water Utility operated at Peru Utilities within City of Peru|WASTEWATER|2|Revenue Bonds|GWW Series B-2011|1462000.00|172000.00 2022|Miami|52|3|0310|2|PERU CIVIL CITY|2|52-001.00|30121|Waste Water Utility operated at Peru Utilities within City of Peru|WASTEWATER|2|Revenue Bonds|PWW Bond -2000 Reissued 2014|586000.00|586000.00 2022|Miami|52|3|0310|2|PERU CIVIL CITY|2|52-001.00|30122|Water Utility operated at Peru Utilities within City of Peru|WATER|2|Revenue Bonds|PW SRF #WW 17 06 52 02|6239000.00|390000.00 2022|Miami|52|3|0310|2|PERU CIVIL CITY|2|52-001.00|30122|Water Utility operated at Peru Utilities within City of Peru|WATER|2|Revenue Bonds|SRF LOAN #DW 19135203|4109000.00|200000.00 2022|Miami|52|3|0783|2|BUNKER HILL CIVIL TOWN|3|52-003.00|29752|sewer system|Sewage|2|Revenue Bonds|2014 Revenue Bonds|804000.00|94000.00 2022|Miami|52|3|0783|2|BUNKER HILL CIVIL TOWN|3|52-003.00|29766|water|Water|2|Revenue Bonds|2018 Refunding Bonds|432000.00|50000.00 2022|Miami|52|3|0784|2|CONVERSE CIVIL TOWN|3|52-004.00|30125|Watewater Utility|WASTEWATER|2|Revenue Bonds|Sewer Plant|.00|.00 2022|Miami|52|3|0784|2|CONVERSE CIVIL TOWN|3|52-004.00|30126|Water Utility|WATER|2|Revenue Bonds|Water Tower|242177.64|47900.64 2022|Miami|52|3|0784|2|CONVERSE CIVIL TOWN|3|52-004.00|0||Governmental Activities|5|Lines of Credit|new housing addition|506015.00| 2022|Miami|52|3|0785|2|DENVER CIVIL TOWN|3|52-005.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2002 Fire Truck|14593.00| 2022|Miami|52|3|0786|2|MACY CIVIL TOWN|3|52-006.00|30128|Sewer Utility|WASTEWATER|1|General Obligation Bonds|USDA Loan|99185.00|3500.00 2022|Miami|52|4|5615||MACONAQUAH SCHOOL CORPORATION|5|52-022.00|0||Governmental Activities|1|General Obligation Bonds|2012 Mechanical Project - Heating/cooling units|| 2022|Miami|52|4|5615||MACONAQUAH SCHOOL CORPORATION|5|52-022.00|0||Governmental Activities|1|General Obligation Bonds|2016 Corp Facility Improvements|| 2022|Miami|52|4|5615||MACONAQUAH SCHOOL CORPORATION|5|52-022.00|0||Governmental Activities|1|General Obligation Bonds|2020 Construction and Improvements|| 2022|Miami|52|4|5615||MACONAQUAH SCHOOL CORPORATION|5|52-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Computer Lease student laptops|| 2022|Miami|52|4|5620||NORTH MIAMI CONSOLIDATED SCHOOL CORPORATION|5|52-023.00|0||Governmental Activities|1|General Obligation Bonds|2020 HVAC Improvements|| 2022|Miami|52|4|5620||NORTH MIAMI CONSOLIDATED SCHOOL CORPORATION|5|52-023.00|0||Governmental Activities|1|General Obligation Bonds|Severence|| 2022|Miami|52|4|5620||NORTH MIAMI CONSOLIDATED SCHOOL CORPORATION|5|52-023.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A0458|| 2022|Miami|52|4|5620||NORTH MIAMI CONSOLIDATED SCHOOL CORPORATION|5|52-023.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Elem Energy Savings|| 2022|Miami|52|4|5635||PERU COMMUNITY SCHOOL CORPORATION|5|52-024.00|0||Governmental Activities|1|General Obligation Bonds|GO BOND 16|| 2022|Miami|52|4|5635||PERU COMMUNITY SCHOOL CORPORATION|5|52-024.00|0||Governmental Activities|14|Other - Long Term|Common School Loan|| 2022|Miami|52|6|0032|2|MIAMI CO ECONOMIC DEVELOPMENT AUTH|30|52-032.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|BOND PAYABLE FIRST FARMERS BANK AND TRUST WABASH RIVER EQUITIES INFRASTRUCTURE PROJECT|600000.00|.00 2022|Miami|52|6|0032|2|MIAMI CO ECONOMIC DEVELOPMENT AUTH|30|52-032.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|NOTE PAYABLE USDA (HANGAR PROJECT)|5411156.00|209000.00 2022|Miami|52|6|0032|2|MIAMI CO ECONOMIC DEVELOPMENT AUTH|30|52-032.00|0||Governmental Activities|2|Revenue Bonds|BOND PAYABLE BANK OF OKLAHOMA|1181000.00|55000.00 2022|Miami|52|6|0032|2|MIAMI CO ECONOMIC DEVELOPMENT AUTH|30|52-032.00|0||Governmental Activities|2|Revenue Bonds|BOND PAYABLE FIRST FARMERS BANK AND TRUST|688000.00|28000.00 2022|Miami|52|6|0035|2|MEXICO REGIONAL SEWER DISTRICT|21|52-035.00|29665|Wastewater|Wastewater|10|Notes and Loans Payable - Long Term|Construction of wastewater treatment plant Fund 92 Loan 01|1235000.00|30000.00 2022|Miami|52|6|0035|2|MEXICO REGIONAL SEWER DISTRICT|21|52-035.00|29665|Wastewater|Wastewater|10|Notes and Loans Payable - Long Term|Construction of wastewater treatment plant Fund 92 Loan 03|360000.00|8000.00 2022|Miami|52|6|0036|2|Miami Community Regional Sewage District|21|52-036.00|0||Governmental Activities|2|Revenue Bonds|Install & Maintain Sewage System|587000.00|12000.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|1|General Obligation Bonds|Capital Projects, Series 2021|.00|.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2022|3100000.00|1540000.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|G.O. Bond Anticipation Notes, Series 2017|.00|.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Local Income Tax Revenue Bond Anticipation Note, Series 2022|10500000.00|.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2018|6175000.00|.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2021|4500000.00|190000.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds of 2013|185000.00|185000.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds of 2015|3065000.00|35000.00 2022|Monroe|53|1|0000|2|MONROE COUNTY|1|53-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Bonds of 2020|5900000.00|230000.00 2022|Monroe|53|2|0006|2|PERRY TOWNSHIP|7|53-009.00|0||Governmental Activities|1|General Obligation Bonds|Parking Lot and Storage Building Renovation|.00|.00 2022|Monroe|53|2|0008|2|RICHLAND TOWNSHIP|7|53-011.00|0||Governmental Activities|1|General Obligation Bonds|Township New Building|148000.00|72000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|1|General Obligation Bonds|201 TLRC Bond Refunded 2017|2885000.00|395000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|1|General Obligation Bonds|520 Parks General Obligation Bond Series 2016|5615000.00|330000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|1|General Obligation Bonds|522 Parks Bicentennial 2018|8500000.00|395000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|1|General Obligation Bonds|526 2022 Parks GO Bond|5105000.00|395000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|1|General Obligation Bonds|527 2022 GO Bond|5105000.00|395000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|2|Revenue Bonds|439 Consolidated TIF/Redevelopment of 2015 Bonds|32680000.00|1450000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|2|Revenue Bonds|519 General Obligation Bonds Series 2016|8520000.00|490000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|2|Revenue Bonds|521 2017 Refund of Redevelopment District Tax Increment Revenue Bonds of 2011 (517)|7465000.00|730000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|2|Revenue Bonds|523 4th St Garage TIF A-1|12845000.00|.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|2|Revenue Bonds|524 4th St Garage Taxable TIF|2225000.00|1140000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|2|Revenue Bonds|525 Trades Garage TIF|10615000.00|.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|0||Governmental Activities|2|Revenue Bonds|General Revenue Annual Appropriation Refunding Bonds of 2021 (Solar Bonds Refunding 2021)|10515000.00|545000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30130|CBU Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2015 Series A|2462400.00|446400.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30130|CBU Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2019|4245000.00|865000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30130|CBU Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2021|5705000.00|600000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30130|CBU Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds, Series 2013|3440000.00|1120000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30130|CBU Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2017|5660000.00|300000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30130|CBU Wastewater|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|24445000.00|.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30131|CBU Water|WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2015|1511000.00|309700.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30131|CBU Water|WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2020, Series A|3270000.00|1380000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30131|CBU Water|WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2020, Series B|25470000.00|2735000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30131|CBU Water|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2017|3720000.00|190000.00 2022|Monroe|53|3|0113|2|BLOOMINGTON CIVIL CITY|2|53-001.00|30131|CBU Water|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2022|15430000.00|.00 2022|Monroe|53|3|0788|2|ELLETTSVILLE CIVIL TOWN|3|53-002.00|30134|Maintrain transmission lines and provide water|WATER|1|General Obligation Bonds|2016 Additional Water Line from Bloomington to Ellettsville|1090000.00|130000.00 2022|Monroe|53|3|0788|2|ELLETTSVILLE CIVIL TOWN|3|53-002.00|30132|Maintain storm drains and clean streets to improve run off|STORM WATER|10|Notes and Loans Payable - Long Term|104 West Vine Street for stormwater control|156258.72|17759.12 2022|Monroe|53|3|0788|2|ELLETTSVILLE CIVIL TOWN|3|53-002.00|30132|Maintain storm drains and clean streets to improve run off|STORM WATER|10|Notes and Loans Payable - Long Term|105 E Vine Street for Storm Water Control|64163.05|9815.05 2022|Monroe|53|3|0788|2|ELLETTSVILLE CIVIL TOWN|3|53-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2019 F550 Service Truck|.00| 2022|Monroe|53|3|0788|2|ELLETTSVILLE CIVIL TOWN|3|53-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|3 - 2022 Dodge Durangos|93400.00| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|1|General Obligation Bonds|EHS 2009 QSCB GO Bond (New Roof for Edgewood High School)|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Note|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Note 2021|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|Mid Year Tax Anticipation Warrant|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|14|Other - Long Term|EHS 2010 B QSCB (Renovation and Addition to Edgewood High School)|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|14|Other - Long Term|EJHS 2010 A Recovery Zone Bond (Renovation at Edgewood Junior High School)|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|14|Other - Long Term|First Mortgage Bonds Series 2020|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|14|Other - Long Term|First Mortgage Refunding & Improvement Bonds, Series 2018 (Construct Collective Classroom. Auditorium and Outdoor Facilities)|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|14|Other - Long Term|First Mortgage Refunding Bonds, Series 2008 A ) Construct 2 Elementary Schools)|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|14|Other - Long Term|First Mortgage Refunding Bonds, Series 2008 B (Construct 2 Elementary Schools)|| 2022|Monroe|53|4|5705||RICHLAND-BEAN BLOSSOM COMMUNITY SCHOOL CORPORATION|5|53-016.00|0||Governmental Activities|14|Other - Long Term|Series 2021 Refunding|| 2022|Monroe|53|4|5740||MONROE COUNTY COMMUNITY SCHOOL CORPORATION|5|53-015.00|0||Governmental Activities|1|General Obligation Bonds|Facilities Improvement Bonds of 2018|| 2022|Monroe|53|4|5740||MONROE COUNTY COMMUNITY SCHOOL CORPORATION|5|53-015.00|0||Governmental Activities|1|General Obligation Bonds|Facilities Improvement Bonds of 2018B|| 2022|Monroe|53|4|5740||MONROE COUNTY COMMUNITY SCHOOL CORPORATION|5|53-015.00|0||Governmental Activities|1|General Obligation Bonds|Facilities Improvement Bonds of 2020|| 2022|Monroe|53|4|5740||MONROE COUNTY COMMUNITY SCHOOL CORPORATION|5|53-015.00|0||Governmental Activities|1|General Obligation Bonds|Facilities Improvement Bonds of 2021|| 2022|Monroe|53|4|5740||MONROE COUNTY COMMUNITY SCHOOL CORPORATION|5|53-015.00|0||Governmental Activities|1|General Obligation Bonds|School Severance 2015, A Refunding|| 2022|Monroe|53|5|0154|2|MONROE COUNTY PUBLIC LIBRARY|6|53-017.00|0||Governmental Activities|1|General Obligation Bonds|G O Bond 2021 2 mil - facilities|1926000.00|536400.00 2022|Monroe|53|5|0154|2|MONROE COUNTY PUBLIC LIBRARY|6|53-017.00|0||Governmental Activities|1|General Obligation Bonds|G O bond 2021 6 mil - Branch construction|5357928.00|364962.00 2022|Monroe|53|6|0023|2|SOUTH CENTRAL REGIONAL SEWER DISTR|21|53-023.00|30325||Wastewater|1|General Obligation Bonds|CONSTRUCT SEWER FACILITY|756000.00|19000.00 2022|Monroe|53|6|0972|2|Monroe Fire Protection District|18|53-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Real Estate Purchase|734249.00|146849.80 2022|Monroe|53|6|0972|2|Monroe Fire Protection District|18|53-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Vehicle/Equipment Purchase|337416.62|71393.65 2022|Monroe|53|6|0972|2|Monroe Fire Protection District|18|53-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Vehicle/Equipment Purchase|490796.84|54225.38 2022|Monroe|53|6|0990|2|MONROE COUNTY SOLID WASTE MANAGEMENT DISTRICT|16|53-031.00|0||Governmental Activities|1|General Obligation Bonds|Closure of Landfill|1258680.00|275000.00 2022|Monroe|53|7|0055|2|LAKE LEMON CONSERVANCY DISTRICT|28|53-034.00|0||Governmental Activities|1|General Obligation Bonds|Sediment management Project|1090000.00|55000.00 2022|Montgomery|54|1|0000|2|MONTGOMERY COUNTY|1|54-000.00|0||Governmental Activities|1|General Obligation Bonds|REDEVELOPMENT DISTRICT REFUNDING BONDS OF 2017|4820000.00|420000.00 2022|Montgomery|54|1|0000|2|MONTGOMERY COUNTY|1|54-000.00|0||Governmental Activities|1|General Obligation Bonds|TAXABLE ECON DEV BONDS OF 2021|4649263.00|.00 2022|Montgomery|54|1|0000|2|MONTGOMERY COUNTY|1|54-000.00|0||Governmental Activities|1|General Obligation Bonds|TAXABLE ECON DEV BONDS OF 2022|7646595.00|.00 2022|Montgomery|54|1|0000|2|MONTGOMERY COUNTY|1|54-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|BRIDGE IMPROVEMENT NOTE 2020|1621000.00|193000.00 2022|Montgomery|54|1|0000|2|MONTGOMERY COUNTY|1|54-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|DRAIN RECONSTRUCTION LOANS - 5 YEAR|2405168.24| 2022|Montgomery|54|1|0000|2|MONTGOMERY COUNTY|1|54-000.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|RDC BAN OF 2021|.00| 2022|Montgomery|54|2|0006|2|RIPLEY TOWNSHIP|7|54-023.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of fire truck|272101.00|53000.00 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Airport Terminal - Tri County Bank|212229.75|17632.10 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|30137|Crawfordsville Waste Water Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|WASTE WATER SRF LOAN|9572760.00|578000.00 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Aerial Truck Lease - PNC|1242115.39| 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Gofl Course Yamha Golf Carts|76140.98| 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Golf Equipment John Deere|.96| 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Lease Servicing Center Inc - Playground Equipment|.00| 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|0||Governmental Activities|2|Revenue Bonds|2015 Redvelopment Bond|651250.00|30000.00 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|0||Governmental Activities|2|Revenue Bonds|Commerce Park TIF Bond|1052856.75|282000.00 2022|Montgomery|54|3|0311|0|CRAWFORDSVILLE CIVIL CITY|2|54-001.00|0||Governmental Activities|2|Revenue Bonds|Ivy Tech Lease|1216200.00|348500.00 2022|Montgomery|54|3|0791|2|DARLINGTON CIVIL TOWN|3|54-003.00|30140|Providing and maintaing a sewer system for out town.|WASTEWATER|2|Revenue Bonds|Refurbish Wastewater System|212000.00|24000.00 2022|Montgomery|54|3|0792|2|LADOGA CIVIL TOWN|3|54-004.00|30145|Collection of usage fees to maintain tower, plant and distribution lines|WATER|10|Notes and Loans Payable - Long Term|Water Filter Loan|60064.00|11799.00 2022|Montgomery|54|3|0792|2|LADOGA CIVIL TOWN|3|54-004.00|30144|Collections of usage fees to maintain plant and collectins lines|WASTEWATER|2|Revenue Bonds|Sewer Collections System Rehabilitation|82000.00|16654.00 2022|Montgomery|54|3|0793|2|LINDEN CIVIL TOWN|3|54-005.00|30147||WATER|1|General Obligation Bonds|Series A|338040.00|51120.00 2022|Montgomery|54|3|0794|2|NEW MARKET CIVIL TOWN|3|54-006.00|30151|provide drinkable water supply|WATER|2|Revenue Bonds|Water Improvements|1150000.00|15000.00 2022|Montgomery|54|3|0795|2|WAVELAND CIVIL TOWN|3|54-009.00|0||Governmental Activities|1|General Obligation Bonds|Lake Waveland Shower House|130700.00|3700.00 2022|Montgomery|54|3|0796|2|WAYNETOWN CIVIL TOWN|3|54-010.00|30156|Water Utility|WATER|2|Revenue Bonds|SRF Loan - New Water Treatment Plant & New Water Line Under Coal Creek & New Water Lines Downtown & 359 New Radio Read Water Meters|1171000.00|73000.00 2022|Montgomery|54|3|0959|2|NEW RICHMOND CIVIL TOWN|3|54-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2018 Tractor|22416.00|5604.00 2022|Montgomery|54|3|0959|2|NEW RICHMOND CIVIL TOWN|3|54-007.00|30159|SEWER|WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Lift Station 2020|34793.00|4398.00 2022|Montgomery|54|3|0959|2|NEW RICHMOND CIVIL TOWN|3|54-007.00|30160|WATER|WATER|10|Notes and Loans Payable - Long Term|Upgrade Water Meters|18479.00|5926.00 2022|Montgomery|54|3|0959|2|NEW RICHMOND CIVIL TOWN|3|54-007.00|30159|SEWER|WASTEWATER|2|Revenue Bonds|1999 USDA|568000.00|22000.00 2022|Montgomery|54|3|0960|2|NEW ROSS CIVIL TOWN|3|54-008.00|30163|municipality|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 1998, Series A (USDA)|173700.00|8100.00 2022|Montgomery|54|3|0960|2|NEW ROSS CIVIL TOWN|3|54-008.00|30163|municipality|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 1998, Series B (USDA)|257413.54|11900.00 2022|Montgomery|54|4|5835||NORTH MONTGOMERY COMMUNITY SCHOOL CORPORATION|5|54-034.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Solar project|| 2022|Montgomery|54|4|5845||SOUTH MONTGOMERY COMMUNITY SCHOOL CORPORATION|5|54-035.00|0||Governmental Activities|1|General Obligation Bonds|SOUTH MONTGOMERY COMM SCHOOL CORP GENERAL OBLIGATION BONDS OF 2019|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|1|General Obligation Bonds|CHS 2021|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|1|General Obligation Bonds|Pension|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common Loan A0806|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan C0005|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A0592|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A0612|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A0618|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A0622|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A0624|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A1919|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A2842|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A2902|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A2935|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan B0002|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan B0038|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan B0096|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan B0138|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan B0189|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan B0224|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan C0002|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan C0012|| 2022|Montgomery|54|4|5855||CRAWFORDSVILLE COMMUNITY SCHOOL CORPORATION|5|54-033.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Temporary Loan|| 2022|Montgomery|54|5|0155|2|CRAWFORDSVILLE PUBLIC LIBRARY|6|54-012.00|0||Governmental Activities|1|General Obligation Bonds|HVAC Replacement - refinanced 10/2020|764233.00|150000.00 2022|Montgomery|54|5|0155|2|CRAWFORDSVILLE PUBLIC LIBRARY|6|54-012.00|0||Governmental Activities|1|General Obligation Bonds|Library Construction - refinanced 10/2020|1285000.00|790000.00 2022|Montgomery|54|5|0158|2|LINDEN PUBLIC LIBRARY|6|54-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Refinance|244392.90|67195.97 2022|Montgomery|54|8|0001|2|Montgomery County Redevelopment Authority|36|54-030.00|0||Governmental Activities|1|General Obligation Bonds|Expansion of Sewer Collection System|5085000.00|65000.00 2022|Montgomery|54|8|0001|2|Montgomery County Redevelopment Authority|36|54-030.00|0||Governmental Activities|1|General Obligation Bonds|Expansion of Water Service in TS area|7123971.00|.00 2022|Morgan|55|1|0000|2|MORGAN COUNTY|1|55-000.00|0||Governmental Activities|1|General Obligation Bonds|Central Dispatch|430000.00|285000.00 2022|Morgan|55|1|0000|2|MORGAN COUNTY|1|55-000.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds Series 2022|16000000.00|1925000.00 2022|Morgan|55|1|0000|2|MORGAN COUNTY|1|55-000.00|0||Governmental Activities|1|General Obligation Bonds|Property Tax Lease Rental Bonds Series 2022|30365000.00|360000.00 2022|Morgan|55|1|0000|2|MORGAN COUNTY|1|55-000.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds 2015|3350000.00|.00 2022|Morgan|55|1|0000|2|MORGAN COUNTY|1|55-000.00|0||Governmental Activities|1|General Obligation Bonds|Redevelpment District Tax Increment Revenue SRF Bonds of 2019|6400000.00|575000.00 2022|Morgan|55|2|0004|2|BROWN TOWNSHIP|7|55-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Smeal Pumper/Rescue Engine|286825.32|112129.44 2022|Morgan|55|2|0004|2|BROWN TOWNSHIP|7|55-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Ambulance Refurbishment|79183.84|52407.47 2022|Morgan|55|2|0005|2|CLAY TOWNSHIP|7|55-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Building Loan|198792.55|8225.00 2022|Morgan|55|2|0011|2|MADISON TOWNSHIP|7|55-018.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2019 Apparatus Loan|453000.00|147000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2017|.00|.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018|.00|.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2021|1575000.00|390000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds, Series 2018|375000.00|90000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds, Series 2018|.00|.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds, Series 2022|2580000.00|815000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Refunding Revenue Bonds, Series 2017|935000.00|160000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds, Series 2012|1055000.00|105000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Authority Lease Rental Revenue Bonds, Series 2021|13410000.00|400000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|30164|Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2011|630000.00|245000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|30164|Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2005 (SRF)|101000.00|39000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|30164|Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2006 (SRF)|1665000.00|459000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|30164|Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2009 (SRF)|144000.00|20000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|30165|Water|WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2018|2100000.00|675000.00 2022|Morgan|55|3|0403|2|MARTINSVILLE CIVIL CITY|2|55-001.00|30165|Water|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2020 SRF|6014000.00|115000.00 2022|Morgan|55|3|0509|2|MOORESVILLE CIVIL TOWN|3|55-005.00|0||Governmental Activities|1|General Obligation Bonds|Taxable Tax Increment Refunding Revenue Bonds, Series 2021|10240000.00|9895000.00 2022|Morgan|55|3|0509|2|MOORESVILLE CIVIL TOWN|3|55-005.00|30167|Sewage treatment|WASTEWATER|11|Notes and Loans Payable - Short Term|2020 Sewer Bond Anticipation Note|.00| 2022|Morgan|55|3|0509|2|MOORESVILLE CIVIL TOWN|3|55-005.00|0||Governmental Activities|2|Revenue Bonds|Shell Building|4175000.00|125000.00 2022|Morgan|55|3|0509|2|MOORESVILLE CIVIL TOWN|3|55-005.00|30167|Sewage treatment|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2022|2170000.00|20000.00 2022|Morgan|55|3|0509|2|MOORESVILLE CIVIL TOWN|3|55-005.00|30167|Sewage treatment|WASTEWATER|2|Revenue Bonds|State Revolving Loan -sewage works revenue bonds|4692000.00|463000.00 2022|Morgan|55|3|0799|2|BROOKLYN CIVIL TOWN|3|55-003.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|fIRE TRUCK|18220.00|.00 2022|Morgan|55|3|0799|2|BROOKLYN CIVIL TOWN|3|55-003.00|30171||WATER|2|Revenue Bonds|NEW WATER TOWER, PLANT REHAB, LINE REPAIR|755673.77|.00 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2019 POLICE DODGE DURANGO #94610|.00| 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 POLICE DODGE DURANGO #3004712626|9726.50| 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|DPW 2020 FORD F150 #12501|6298.34| 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|DPW 2022 DODGE RAM #5116|65048.33| 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|DPW FORD POLICE VEHICLE #6407|47156.63| 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|DPW UTILITY VEHICLE #6722|24238.92| 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|POLICE VEHICLE DOGE DURANGO #95365|1210.55| 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|30172|Waste Water Utility|WASTEWATER|15|Other - Short Term|SRF BAN|3360000.00| 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|29552|Water Utility|WATER|2|Revenue Bonds|Water Improvement Project SRF Loan|731000.00|50000.00 2022|Morgan|55|3|0800|2|MORGANTOWN CIVIL TOWN|3|55-006.00|30172|Waste Water Utility|WASTEWATER|2|Revenue Bonds|WW IMPROVEMENT PROJECT|3165000.00|3165000.00 2022|Morgan|55|3|0801|2|PARAGON CIVIL TOWN|3|55-007.00|29553|Storm Sewer|STORM WATER|2|Revenue Bonds|USDA 2 - Storm Sewer|135163.75|158500.00 2022|Morgan|55|3|0801|2|PARAGON CIVIL TOWN|3|55-007.00|29553|Storm Sewer|STORM WATER|2|Revenue Bonds|USDA1- Storm Sewer|215093.75|252500.00 2022|Morgan|55|3|0801|2|PARAGON CIVIL TOWN|3|55-007.00|29554|Sewer|WASTEWATER|2|Revenue Bonds|SRF - Sanitary Sewer|205356.00|205356.00 2022|Morgan|55|3|0970|2|MONROVIA CIVIL TOWN|3|55-032.00|29556|WASTEWATER TREATMENT|WASTEWATER|2|Revenue Bonds|2013 Refunding Bonds|245000.00|245000.00 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|1|General Obligation Bonds|Energy Savings 2018|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|1|General Obligation Bonds|Equipment and land purchase|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|1|General Obligation Bonds|Equipment, buses, building/outdoor projects|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Grade School|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Technology #10|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Technology #11|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Technology #5|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Technology #6|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Technology #7|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Technology #8|| 2022|Morgan|55|4|5900||MONROE-GREGG SCHOOL CORPORATION|5|55-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Technology #9|| 2022|Morgan|55|4|5910||EMINENCE CONSOLIDATED SCHOOL CORPORATION|5|55-022.00|0||Governmental Activities|1|General Obligation Bonds|Debt Service Fund|| 2022|Morgan|55|4|5925||M.S.D. MARTINSVILLE SCHOOL CORPORATION|5|55-023.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2015|| 2022|Morgan|55|4|5925||M.S.D. MARTINSVILLE SCHOOL CORPORATION|5|55-023.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2017|| 2022|Morgan|55|4|5925||M.S.D. MARTINSVILLE SCHOOL CORPORATION|5|55-023.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2019|| 2022|Morgan|55|4|5925||M.S.D. MARTINSVILLE SCHOOL CORPORATION|5|55-023.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2021|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|Common School #0153|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|Common School #1836|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|Common School #1942|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|Common School #2955|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|Common School #B0059|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|Common School #B0236|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCBC QSCB 2009 MHS|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCSBC QZAB NM 2011B|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCSC 2019 Bond - Transp.|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCSC 2020 Bond- Fitness Center|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCSC Lease 2013/MHS (2of4)|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCSC Lease 2013/NA (1of4)|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCSC Pension Bond|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCSC QZAB 2014A|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MCSC QZAB 2014B|| 2022|Morgan|55|4|5930||MOORESVILLE CONSOLIDATED SCHOOL CORPORATION|5|55-024.00|0||Governmental Activities|1|General Obligation Bonds|MSBC 2011 QZAB/New,Nwood|| 2022|Morgan|55|5|0160|2|MORGAN COUNTY PUBLIC LIBRARY|6|55-027.00|0||Governmental Activities|1|General Obligation Bonds|Construction of Library building|1580000.00|170000.00 2022|Morgan|55|5|0161|2|MOORESVILLE PUBLIC LIBRARY|6|55-026.00|0||Governmental Activities|14|Other - Long Term|Lease Rental|261135.20|466600.00 2022|Morgan|55|6|0040|2|MORGAN CO REGIONAL SEWER DISTRICT|20|55-040.00|29743||Sanitary Sewer|10|Notes and Loans Payable - Long Term|Construct Sewer Lines|301000.00|19000.00 2022|Morgan|55|6|1085|2|MONROE TOWNSHIP FIRE DISTRICT|18|55-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|new fire engine|543346.00|100105.16 2022|Morgan|55|7|0076|2|TRI-COUNTY CONSERVANCY DISTRICT|27|55-034.00|29660|Wastewater Utility|Wastewater Utility|2|Revenue Bonds|Bonds Payable, Series 2010|1580000.00|420000.00 2022|Morgan|55|7|0103|2|LAKE EDGEWOOD CONSERVANCY DISTRICT|28|55-038.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Siltation Project|140317.00|140317.00 2022|Morgan|55|7|0106|2|Upper Wildwood Shores Conservancy District|28|55-042.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Line of Credit #2 - engineering, legal and land expenses for project|642769.65|.00 2022|Morgan|55|7|0325|0|LAKE DETURK CONSERVANCY DISTRICT|28|55-041.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 First Financial Commercial Loan|.00| 2022|Morgan|55|7|0345|2|Tall Oaks Lake Conservancy District|27|55-043.00|0||Governmental Activities|5|Lines of Credit|Start-Up Costs/Initial Project Funding|50101.49| 2022|Newton|56|2|0007|2|LAKE TOWNSHIP|7|56-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Station|375000.00|50000.00 2022|Newton|56|2|0007|2|LAKE TOWNSHIP|7|56-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Ladder/Aerial Fire Truck|245000.00|35000.00 2022|Newton|56|3|0802|2|BROOK CIVIL TOWN|3|56-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|PURCHASE A FIRETRUCK|412178.63|39923.31 2022|Newton|56|3|0802|2|BROOK CIVIL TOWN|3|56-001.00|29558|Resident Water|WATER UTILITIES|2|Revenue Bonds|Waterworks revenue bond|610000.00|35000.00 2022|Newton|56|3|0803|2|GOODLAND CIVIL TOWN|3|56-002.00|29560|Water Department|WATER|10|Notes and Loans Payable - Long Term|New Water Meters|.00|.00 2022|Newton|56|3|0803|2|GOODLAND CIVIL TOWN|3|56-002.00|29559|Sewer|WASTEWATER|2|Revenue Bonds|Sewer Bond|120000.00|60000.00 2022|Newton|56|3|0804|2|KENTLAND CIVIL TOWN|3|56-003.00|0||Governmental Activities|1|General Obligation Bonds|0|147000.00|10000.00 2022|Newton|56|3|0804|2|KENTLAND CIVIL TOWN|3|56-003.00|0||Governmental Activities|1|General Obligation Bonds|Pool Loan|275000.00|18000.00 2022|Newton|56|3|0804|2|KENTLAND CIVIL TOWN|3|56-003.00|29562||WATER|2|Revenue Bonds|WATER REVENUE BONDS - A|610000.00|16000.00 2022|Newton|56|3|0804|2|KENTLAND CIVIL TOWN|3|56-003.00|29562||WATER|2|Revenue Bonds|WATER REVENUE BONDS - B|490000.00|12000.00 2022|Newton|56|3|0805|2|MOROCCO CIVIL TOWN|3|56-004.00|29680|Water|Water|2|Revenue Bonds|Water /bond|51180.76|2000.00 2022|Newton|56|3|0805|2|MOROCCO CIVIL TOWN|3|56-004.00|29680|Water|Water|2|Revenue Bonds|WaterBond|993818.00|14000.00 2022|Newton|56|3|0805|2|MOROCCO CIVIL TOWN|3|56-004.00|29681|Sewer|Sewer|2|Revenue Bonds|Refinancing of Sewer Bonds|2507051.24|120000.00 2022|Newton|56|4|5945||NORTH NEWTON SCHOOL CORPORATION|5|56-016.00|0||Governmental Activities|1|General Obligation Bonds|General Obliagation Bonds of 2013|| 2022|Newton|56|4|5945||NORTH NEWTON SCHOOL CORPORATION|5|56-016.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|| 2022|Newton|56|4|5945||NORTH NEWTON SCHOOL CORPORATION|5|56-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan B0113|| 2022|Newton|56|4|5945||NORTH NEWTON SCHOOL CORPORATION|5|56-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan B0205|| 2022|Newton|56|4|5945||NORTH NEWTON SCHOOL CORPORATION|5|56-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan B0241|| 2022|Newton|56|4|5945||NORTH NEWTON SCHOOL CORPORATION|5|56-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan B0285|| 2022|Newton|56|4|5945||NORTH NEWTON SCHOOL CORPORATION|5|56-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan B0312|| 2022|Newton|56|5|0164|2|KENTLAND PUBLIC LIBRARY|6|56-020.00|0||Governmental Activities|1|General Obligation Bonds|Library Expansion|120000.00|80000.00 2022|Newton|56|5|0166|2|NEWTON COUNTY PUBLIC LIBRARY|6|56-026.00|0||Governmental Activities|1|General Obligation Bonds|Repairs, Tech Upgrades, Furniture & equipment|1500000.00|75000.00 2022|Newton|56|6|0028|2|NEWTON COUNTY REGIONAL WATER AND SEWER DISTRICT|20|56-028.00|30231|Sewer|Sewer|2|Revenue Bonds|Construction of Wastewater Improvements 2017-B|5434000.00|326000.00 2022|Newton|56|6|0028|2|NEWTON COUNTY REGIONAL WATER AND SEWER DISTRICT|20|56-028.00|30231|Sewer|Sewer|2|Revenue Bonds|Construstion of Wastewater Improvements A-2|2286000.00|489000.00 2022|Newton|56|6|0028|2|NEWTON COUNTY REGIONAL WATER AND SEWER DISTRICT|20|56-028.00|30231|Sewer|Sewer|2|Revenue Bonds|Contruction of Wastewater Improvements A-3|7541000.00|2000.00 2022|Newton|56|6|0028|2|NEWTON COUNTY REGIONAL WATER AND SEWER DISTRICT|20|56-028.00|30232|Water|Water|2|Revenue Bonds|Construction of Water Works Improvement 2017-B|1551000.00|94000.00 2022|Newton|56|6|0028|2|NEWTON COUNTY REGIONAL WATER AND SEWER DISTRICT|20|56-028.00|30232|Water|Water|2|Revenue Bonds|Contruction of Water Works Improvements A2|3009000.00|156000.00 2022|Noble|57|1|0000|2|NOBLE COUNTY|1|57-000.00|0||Governmental Activities|1|General Obligation Bonds|Highway|13335000.00|635000.00 2022|Noble|57|2|0007|2|ORANGE TOWNSHIP|7|57-013.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|NEW BUILDING - MFIRE STATION & TWP OFFICES|232000.00|101000.00 2022|Noble|57|2|0007|2|ORANGE TOWNSHIP|7|57-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|FIRE TRUCK - 2015|.00| 2022|Noble|57|2|0009|2|SPARTA TOWNSHIP|7|57-015.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|New Tanker Truck|450295.89|84206.00 2022|Noble|57|3|0418|2|KENDALLVILLE CIVIL CITY|2|57-001.00|29563|Utility|WASTEWATER|2|Revenue Bonds|2017 SEWER BOND|8580000.00|775000.00 2022|Noble|57|3|0418|2|KENDALLVILLE CIVIL CITY|2|57-001.00|29564|Utility|WATER|2|Revenue Bonds|2007 WATER IMPROVEMENT BOND|1860000.00|385000.00 2022|Noble|57|3|0418|2|KENDALLVILLE CIVIL CITY|2|57-001.00|0||Governmental Activities|5|Lines of Credit|McCray Site Loan|614302.36| 2022|Noble|57|3|0452|2|LIGONIER CIVIL CITY|2|57-002.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds of 2020|600000.00|200000.00 2022|Noble|57|3|0452|2|LIGONIER CIVIL CITY|2|57-002.00|0||Governmental Activities|2|Revenue Bonds|Fire Station - Lease Rental Bonds of 2020|7155000.00|260000.00 2022|Noble|57|3|0452|2|LIGONIER CIVIL CITY|2|57-002.00|0||Governmental Activities|2|Revenue Bonds|TIF Revenue Bonds of 2015|2000000.00|80000.00 2022|Noble|57|3|0452|2|LIGONIER CIVIL CITY|2|57-002.00|29565|Ligonier Sewage Works|WASTEWATER|2|Revenue Bonds|Sewer Improvement Project (SRF 2012)|1198000.00|112000.00 2022|Noble|57|3|0452|2|LIGONIER CIVIL CITY|2|57-002.00|29565|Ligonier Sewage Works|WASTEWATER|2|Revenue Bonds|Sewer Improvement Project (SRF 2014)|3490000.00|223000.00 2022|Noble|57|3|0452|2|LIGONIER CIVIL CITY|2|57-002.00|29566|Ligonier Water Works|WATER|2|Revenue Bonds|Water Improvement Project (SRF 2017)|1801000.00|100000.00 2022|Noble|57|3|0452|2|LIGONIER CIVIL CITY|2|57-002.00|29566|Ligonier Water Works|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2021|2360000.00|110000.00 2022|Noble|57|3|0807|2|ALBION CIVIL TOWN|3|57-004.00|29567|Wastewater Utility|WASTEWATER|11|Notes and Loans Payable - Short Term|Loan for Wastewater Treatment - Infrastructure Ammonia Project|61199.94| 2022|Noble|57|3|0807|2|ALBION CIVIL TOWN|3|57-004.00|0||Governmental Activities|2|Revenue Bonds|TIF #1 Legacy Bond - Infrastructure Projects|394000.00|16000.00 2022|Noble|57|3|0808|2|AVILLA CIVIL TOWN|3|57-003.00|0||Governmental Activities|1|General Obligation Bonds|Fire Truck Purchase|.00|.00 2022|Noble|57|3|0808|2|AVILLA CIVIL TOWN|3|57-003.00|29569||ELECTRIC|2|Revenue Bonds|Extensions and Improvements|992755.25|195000.00 2022|Noble|57|3|0808|2|AVILLA CIVIL TOWN|3|57-003.00|29570||WASTEWATER|2|Revenue Bonds|Build a new waste water treatment plant|390000.00|10000.00 2022|Noble|57|3|0808|2|AVILLA CIVIL TOWN|3|57-003.00|29570||WASTEWATER|2|Revenue Bonds|Improvements|1483000.00|278000.00 2022|Noble|57|3|0809|2|CROMWELL CIVIL TOWN|3|57-005.00|29572|WASTEWATER FUND|WASTEWATER|1|General Obligation Bonds|SRF WASTEWATER REHABILITATION PROJECT|1376000.00|80000.00 2022|Noble|57|3|0809|2|CROMWELL CIVIL TOWN|3|57-005.00|29573|WATER FUND|WATER|1|General Obligation Bonds|SRF Waterworks Revenue Bonds 2022|794000.00|16000.00 2022|Noble|57|3|0809|2|CROMWELL CIVIL TOWN|3|57-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Police Vehicle Loan-Dodge Durango|33271.76|9297.58 2022|Noble|57|3|0809|2|CROMWELL CIVIL TOWN|3|57-005.00|29572|WASTEWATER FUND|WASTEWATER|10|Notes and Loans Payable - Long Term|Lease--Ford F-250 Utility Vehicle|47381.14|10161.01 2022|Noble|57|3|0810||ROME CITY CIVIL TOWN|3|57-006.00|0||Governmental Activities|1|General Obligation Bonds|Town Hall Payment|| 2022|Noble|57|4|6055||CENTRAL NOBLE COMMUNITY SCHOOL CORPORATION|5|57-020.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond of 2018|| 2022|Noble|57|4|6055||CENTRAL NOBLE COMMUNITY SCHOOL CORPORATION|5|57-020.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2013|| 2022|Noble|57|4|6060||EAST NOBLE SCHOOL CORPORATION|5|57-021.00|0||Governmental Activities|1|General Obligation Bonds|AV/SS Roof and HVAC improvements 2018|| 2022|Noble|57|4|6060||EAST NOBLE SCHOOL CORPORATION|5|57-021.00|0||Governmental Activities|1|General Obligation Bonds|ENSC Transportation and Technology Center|| 2022|Noble|57|4|6065||WEST NOBLE SCHOOL CORPORATION|5|57-022.00|0||Governmental Activities|1|General Obligation Bonds|2016 BOND ISSUE|| 2022|Noble|57|4|6065||WEST NOBLE SCHOOL CORPORATION|5|57-022.00|0||Governmental Activities|1|General Obligation Bonds|Common School Loan A0350|| 2022|Noble|57|4|6065||WEST NOBLE SCHOOL CORPORATION|5|57-022.00|0||Governmental Activities|1|General Obligation Bonds|Common School Loan A0569|| 2022|Noble|57|4|6065||WEST NOBLE SCHOOL CORPORATION|5|57-022.00|0||Governmental Activities|1|General Obligation Bonds|Pension Debt|| 2022|Noble|57|5|0167|2|KENDALLVILLE PUBLIC LIBRARY|6|57-024.00|0||Governmental Activities|1|General Obligation Bonds|Wells Fargo|1285000.00|415000.00 2022|Noble|57|5|0168|2|LIGONIER PUBLIC LIBRARY|6|57-026.00|0||Governmental Activities|1|General Obligation Bonds|Construction/Renovation|730434.30|70000.00 2022|Noble|57|5|0169|2|NOBLE COUNTY PUBLIC LIBRARY|6|57-023.00|0||Governmental Activities|1|General Obligation Bonds|Library capital improvements|1615000.00|190000.00 2022|Noble|57|5|0169|2|NOBLE COUNTY PUBLIC LIBRARY|6|57-023.00|0||Governmental Activities|1|General Obligation Bonds|Library Refunding Bonds for capital improvements|145000.00|145000.00 2022|Noble|57|6|0037|2|WEST LAKES REGIONAL SEWER DISTRICT|21|57-037.00|30008|WASTEWATER|Sewer|2|Revenue Bonds|Cedar Rapids Bank & Trust Company|3491067.00|97232.00 2022|Noble|57|6|0037|2|WEST LAKES REGIONAL SEWER DISTRICT|21|57-037.00|30008|WASTEWATER|Sewer|2|Revenue Bonds|State Revolving Funds|62000.00|2000.00 2022|Noble|57|6|0038|2|SKINNER LAKE REGIONAL SEWER DISTRIC|21|57-038.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|RURAL DEVELOPMENT|361602.50|19000.00 2022|Noble|57|6|0039|2|LAOTTO REGIONAL SEWER DISTRICT|21|57-039.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|RURAL DEVELOPMENT|566225.00|35000.00 2022|Noble|57|6|0040|2|BEAR HIGH WOLF LAKE REG SEWER DIS|21|57-040.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|FIRST MERCHANTS BANK|892819.09|53584.08 2022|Noble|57|7|0335|2|Knapp Lake Area Conservancy District|27|57-043.00|30429||Wastewater|10|Notes and Loans Payable - Long Term|Infrastructure|527000.00|12000.00 2022|Noble|57|7|0335|2|Knapp Lake Area Conservancy District|27|57-043.00|30429||Wastewater|10|Notes and Loans Payable - Long Term|Infrastructure|754000.00|16000.00 2022|Orange|59|1|0000|2|ORANGE COUNTY|1|59-000.00|0||Governmental Activities|2|Revenue Bonds|Courthouse Renovation|1773756.00|97552.00 2022|Orange|59|3|0812|2|FRENCH LICK CIVIL TOWN|3|59-003.00|29575|Wastewater|Wastewater|2|Revenue Bonds|SEWAGE WORKS REFUNDING BOND 2020|2535000.00|171000.00 2022|Orange|59|3|0813|2|ORLEANS CIVIL TOWN|3|59-001.00|29576||WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Utility Improvements|802000.00|109300.00 2022|Orange|59|3|0813|2|ORLEANS CIVIL TOWN|3|59-001.00|29576||WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Utility Improvements|4607000.00|123000.00 2022|Orange|59|3|0814|2|PAOLI CIVIL TOWN|3|59-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2-2022 Dodge Durango Police Vehicles|114010.00| 2022|Orange|59|3|0814|2|PAOLI CIVIL TOWN|3|59-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2002 E-One Typhoon Fire Truck|416363.27| 2022|Orange|59|3|0814|2|PAOLI CIVIL TOWN|3|59-002.00|29579|Sewer|WASTEWATER|11|Notes and Loans Payable - Short Term|2018 Trash Truck Loan|.00| 2022|Orange|59|3|0814|2|PAOLI CIVIL TOWN|3|59-002.00|29579|Sewer|WASTEWATER|11|Notes and Loans Payable - Short Term|WWTP Ban Loan|.00| 2022|Orange|59|3|0814|2|PAOLI CIVIL TOWN|3|59-002.00|29579|Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works State Revolving Loan|237000.00|27000.00 2022|Orange|59|3|0814|2|PAOLI CIVIL TOWN|3|59-002.00|29580|Water|WATER|2|Revenue Bonds|Waterworks Revenue Bond|3435000.00|110000.00 2022|Orange|59|3|0815|2|TOWN OF WEST BADEN SPRINGS|3|59-004.00|0||Governmental Activities|1|General Obligation Bonds|Infrastructure|695000.00|695000.00 2022|Orange|59|4|6145||Orleans Community School Corporation|5|59-006.00|0||Governmental Activities|1|General Obligation Bonds|Installation of Solar Panels|| 2022|Orange|59|4|6145||Orleans Community School Corporation|5|59-006.00|0||Governmental Activities|1|General Obligation Bonds|To refund taxable general obligation pension bonds of 2003.|| 2022|Orange|59|4|6155||Paoli Community School Corporation|5|59-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans A0461|| 2022|Orange|59|4|6155||Paoli Community School Corporation|5|59-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans A0528|| 2022|Orange|59|4|6155||Paoli Community School Corporation|5|59-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans A567|| 2022|Orange|59|4|6160||Springs Valley Community Schools|5|59-008.00|0||Governmental Activities|1|General Obligation Bonds|Retirement/Severance Bonds|| 2022|Orange|59|5|0171|2|ORLEANS PUBLIC LIBRARY|6|59-010.00|0||Governmental Activities|1|General Obligation Bonds|Renovation and Addition|865000.00|50000.00 2022|Orange|59|5|0172|2|PAOLI PUBLIC LIBRARY|6|59-011.00|0||Governmental Activities|1|General Obligation Bonds|New Building|860000.00|125000.00 2022|Orange|59|5|0173|2|FRENCH LICK-MELTON PUBLIC LIBRARY|6|59-012.00|0||Governmental Activities|1|General Obligation Bonds|Building Addition|1655000.00|105000.00 2022|Orange|59|6|0024|2|SPRINGS VALLEY REGIONAL WATER DISTRICT|22|59-024.00|29624|Water supplier for French Lick and West Baden|Springs Valley Regional Water District|2|Revenue Bonds|2009 Revenue Bond|1715000.00|45000.00 2022|Orange|59|6|0024|2|SPRINGS VALLEY REGIONAL WATER DISTRICT|22|59-024.00|29624|Water supplier for French Lick and West Baden|Springs Valley Regional Water District|2|Revenue Bonds|2015 Revenue Bond|3785000.00|135000.00 2022|Owen|60|1|0000|2|OWEN COUNTY|1|60-000.00|0||Governmental Activities|1|General Obligation Bonds|Pay for existing sewer from town to hoosier energy|173500.00|.00 2022|Owen|60|3|0816|2|GOSPORT CIVIL TOWN|3|60-001.00|29583|sewer service to consumers|WASTEWATER|10|Notes and Loans Payable - Long Term|REFINANCE OF BONDS|.00|.00 2022|Owen|60|3|0817|2|SPENCER CIVIL TOWN|3|60-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Equipment|99089.01|27514.28 2022|Owen|60|3|0817|2|SPENCER CIVIL TOWN|3|60-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|New Municipal Building - Land|593639.43|64052.60 2022|Owen|60|3|0817|2|SPENCER CIVIL TOWN|3|60-002.00|29585|Plant & collections|WASTEWATER|2|Revenue Bonds|2006 Wastewater Bonds|105000.00|20000.00 2022|Owen|60|3|0817|2|SPENCER CIVIL TOWN|3|60-002.00|29585|Plant & collections|WASTEWATER|2|Revenue Bonds|2007 Wastewater Bonds|1706000.00|266000.00 2022|Owen|60|3|0817|2|SPENCER CIVIL TOWN|3|60-002.00|29585|Plant & collections|WASTEWATER|2|Revenue Bonds|2009 Wastewater Bonds|114337.00|14000.00 2022|Owen|60|4|6195||SPENCER-OWEN COMMUNITY SCHOOL CORPORATION|5|60-016.00|0||Governmental Activities|1|General Obligation Bonds|2010 Qualified School Construction Bonds|| 2022|Owen|60|4|6195||SPENCER-OWEN COMMUNITY SCHOOL CORPORATION|5|60-016.00|0||Governmental Activities|1|General Obligation Bonds|Retirement/Severance Bonds|| 2022|Owen|60|4|6195||SPENCER-OWEN COMMUNITY SCHOOL CORPORATION|5|60-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan|| 2022|Owen|60|5|0264||SPENCER-OWEN COUNTY PUBLIC LIBRARY|6|60-017.00|0||Governmental Activities|1|General Obligation Bonds|Construction/Renovation of Building (2016)|| 2022|Parke|61|1|0000|2|PARKE COUNTY|1|61-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|courthouse clock tower and dome rennovation|624389.02|182741.89 2022|Parke|61|1|0000|2|PARKE COUNTY|1|61-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|courthouse roof project|1367695.48|199514.78 2022|Parke|61|2|0001|2|ADAMS TOWNSHIP|7|61-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2016 International fire truck-refinanced in 2018|30002.27|37722.04 2022|Parke|61|2|0001|2|ADAMS TOWNSHIP|7|61-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 International Fire Truck|176554.75|106120.38 2022|Parke|61|3|0818|2|BLOOMINGDALE CIVIL TOWN|3|61-001.00|29586||WATER SYSTEM|1|General Obligation Bonds|Improvement of Water System Series A and Series B Bond|557208.02|51000.00 2022|Parke|61|3|0818|2|BLOOMINGDALE CIVIL TOWN|3|61-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of Fire Truck|.00|.00 2022|Parke|61|3|0820|2|MARSHALL CIVIL TOWN|3|61-003.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Add'l Road paving|29854.40| 2022|Parke|61|3|0821|2|MONTEZUMA CIVIL TOWN|3|61-004.00|29589|collection & treatment system|WASTEWATER|2|Revenue Bonds|Sewage Treatment Plant & Distribution System|3888000.00|104000.04 2022|Parke|61|3|0823|2|ROSEDALE CIVIL TOWN|3|61-006.00|29596|Waste management|WASTEWATER|2|Revenue Bonds|Revenue Bonds 2014|73640.70|25000.00 2022|Parke|61|3|0823|2|ROSEDALE CIVIL TOWN|3|61-006.00|29596|Waste management|WASTEWATER|2|Revenue Bonds|Revenue Bonds 2016|525000.00|33000.00 2022|Parke|61|3|0823|2|ROSEDALE CIVIL TOWN|3|61-006.00|29597|Water management|WATER|2|Revenue Bonds|Revenue Bonds 2007|121162.27|45000.00 2022|Parke|61|3|0954|2|MECCA CIVIL TOWN|3|61-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Flood Control Loan|29195.00|5554.00 2022|Parke|61|4|6260||SOUTHWEST PARKE COMMUNITY SCHOOL CORPORATION|5|61-023.00|0||Governmental Activities|1|General Obligation Bonds|QSCB Loan|| 2022|Parke|61|4|6260||SOUTHWEST PARKE COMMUNITY SCHOOL CORPORATION|5|61-023.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Lease|| 2022|Parke|61|4|6260||SOUTHWEST PARKE COMMUNITY SCHOOL CORPORATION|5|61-023.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|PVETI|| 2022|Parke|61|4|6375||North Central Parke Comm School Corp|5|61-031.00|0||Governmental Activities|1|General Obligation Bonds|2014 RV HS 1st Mortgage Bond @ Old National Bank|| 2022|Parke|61|4|6375||North Central Parke Comm School Corp|5|61-031.00|0||Governmental Activities|1|General Obligation Bonds|2015 1st Mortgage Bond-TR @ First Financial Bank|| 2022|Perry|62|1|0000|2|PERRY COUNTY|1|62-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2014A|475000.00|100000.00 2022|Perry|62|1|0000|2|PERRY COUNTY|1|62-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2016A|680000.00|140000.00 2022|Perry|62|1|0000|2|PERRY COUNTY|1|62-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2016B|240000.00|50000.00 2022|Perry|62|1|0000|2|PERRY COUNTY|1|62-000.00|0||Governmental Activities|2|Revenue Bonds|Perry County Port Authority Revenue Bonds, Series 2008 (Variable Rate)|895000.00|140000.00 2022|Perry|62|1|0000|2|PERRY COUNTY|1|62-000.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue and Refunding Bonds, Series 2021|4235000.00|835000.00 2022|Perry|62|1|0000|2|PERRY COUNTY|1|62-000.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Variable Rate Revenue Bonds 2004, Series A|185000.00|120000.00 2022|Perry|62|3|0411|2|TELL CITY CIVIL CITY|2|62-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|BROWNFIELD LOAN-TELL CITY CHAIR COMPANY PROPERTY|.00|.00 2022|Perry|62|3|0411|2|TELL CITY CIVIL CITY|2|62-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|IRP LOAN|34247.91|5972.00 2022|Perry|62|3|0411|2|TELL CITY CIVIL CITY|2|62-002.00|29599|Wastewater Treatment Plant|WASTEWATER|2|Revenue Bonds|Jr. Sewage Works Refunding Rev Bonds of 2014, Series A|420000.00|105000.00 2022|Perry|62|3|0411|2|TELL CITY CIVIL CITY|2|62-002.00|29599|Wastewater Treatment Plant|WASTEWATER|2|Revenue Bonds|Jr. Sewage Works Refunding Rev Bonds of 2014, Series B|5186000.00|517000.00 2022|Perry|62|3|0411|2|TELL CITY CIVIL CITY|2|62-002.00|29599|Wastewater Treatment Plant|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2016|707660.30|46000.00 2022|Perry|62|3|0411|2|TELL CITY CIVIL CITY|2|62-002.00|29600|Water Treatment Plant|WATER UTILITY|2|Revenue Bonds|Waterworks Construction Bonds 2020|4555000.00|225000.00 2022|Perry|62|3|0411|2|TELL CITY CIVIL CITY|2|62-002.00|29600|Water Treatment Plant|WATER UTILITY|2|Revenue Bonds|Waterworks SRF Revenue Bonds 2017|1501000.00|81000.00 2022|Perry|62|3|0463|2|CANNELTON CIVIL CITY|2|62-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|FLOOD CONTROL|.00| 2022|Perry|62|3|0463|2|CANNELTON CIVIL CITY|2|62-001.00|29604|Water Utility|WATER|11|Notes and Loans Payable - Short Term|2002 STATE REVOLVING LOAN|.00| 2022|Perry|62|3|0463|2|CANNELTON CIVIL CITY|2|62-001.00|29603|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Bond|2438000.00|24000.00 2022|Perry|62|3|0824|2|TROY CIVIL TOWN|3|62-003.00|29607|Water Utility|WATER|2|Revenue Bonds|Water Treatment Facility|2220800.00|41400.00 2022|Perry|62|4|6325||PERRY CENTRAL COMMUNITY SCHOOL CORPORATION|5|62-007.00|0||Governmental Activities|1|General Obligation Bonds|common school fund loan|| 2022|Perry|62|4|6325||PERRY CENTRAL COMMUNITY SCHOOL CORPORATION|5|62-007.00|0||Governmental Activities|1|General Obligation Bonds|retirement/severance bond|| 2022|Perry|62|4|6325||PERRY CENTRAL COMMUNITY SCHOOL CORPORATION|5|62-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|technology loan|| 2022|Perry|62|4|6340||CANNELTON CITY SCHOOL CORPORATION|5|62-005.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Payment|| 2022|Perry|62|4|6350||TELL CITY-TROY TOWNSHIP SCHOOL CORPORATION|5|62-006.00|0||Governmental Activities|1|General Obligation Bonds|School Severance, Series 2015|| 2022|Perry|62|6|0024|2|PERRY COUNTY PORT AUTHORITY|15|62-024.00|30028|Port offloading services for local businesses|Perry Co Port|10|Notes and Loans Payable - Long Term|1255 - Note Payable - Waterworks Loan|1888613.57|106782.78 2022|Perry|62|6|0024|2|PERRY COUNTY PORT AUTHORITY|15|62-024.00|30028|Port offloading services for local businesses|Perry Co Port|10|Notes and Loans Payable - Long Term|1302.1 New Borrow - Mtg Payable|1221632.35|95912.92 2022|Perry|62|6|0024|2|PERRY COUNTY PORT AUTHORITY|15|62-024.00|30028|Port offloading services for local businesses|Perry Co Port|10|Notes and Loans Payable - Long Term|1304 - Note Payable - SIP 2|277757.00|158772.00 2022|Perry|62|6|0024|2|PERRY COUNTY PORT AUTHORITY|15|62-024.00|30028|Port offloading services for local businesses|Perry Co Port|10|Notes and Loans Payable - Long Term|1305.2 - Note Payable - Bond|1255000.00|.00 2022|Perry|62|6|0024|2|PERRY COUNTY PORT AUTHORITY|15|62-024.00|30028|Port offloading services for local businesses|Perry Co Port|10|Notes and Loans Payable - Long Term|1307 - Backhoe Loader CAT|166690.56|27682.20 2022|Perry|62|6|0024|2|PERRY COUNTY PORT AUTHORITY|15|62-024.00|30028|Port offloading services for local businesses|Perry Co Port|10|Notes and Loans Payable - Long Term|1308 - Gondola|147573.45|12735.17 2022|Perry|62|6|0024|2|PERRY COUNTY PORT AUTHORITY|15|62-024.00|30028|Port offloading services for local businesses|Perry Co Port|10|Notes and Loans Payable - Long Term|1309 - Note Payable Locomotives|248050.20|57651.40 2022|Perry|62|6|1064|2|PERRY COUNTY SOLID WASTE MANAGEMENT DISTRICT|16|62-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Bobcat Loan|4273.35|4273.35 2022|Pike|63|1|0000|2|PIKE COUNTY|1|63-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Manual Monitor/Defibrillators (5)|32781.03|32781.03 2022|Pike|63|3|0455|2|PETERSBURG CIVIL CITY|2|63-001.00|29608|Sewer|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Bonds 2015|810137.50|140000.00 2022|Pike|63|3|0455|2|PETERSBURG CIVIL CITY|2|63-001.00|29609|Water Utility|WATER|2|Revenue Bonds|Water Line Improvements 2011|796351.20|74000.00 2022|Pike|63|3|0825|2|SPURGEON CIVIL TOWN|3|63-002.00|0||Governmental Activities|14|Other - Long Term|SEWER|60000.00|.00 2022|Pike|63|3|0825|2|SPURGEON CIVIL TOWN|3|63-002.00|0||Governmental Activities|2|Revenue Bonds|SEWER'|515000.00|.00 2022|Pike|63|3|0826|2|WINSLOW CIVIL TOWN|3|63-003.00|29611|collects payments, maintains services|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bond|344000.00|27000.00 2022|Pike|63|4|6445||PIKE COUNTY SCHOOL CORPORATION|5|63-013.00|0||Governmental Activities|1|General Obligation Bonds|Renovation of and improvements to school facilities|| 2022|Pike|63|6|0020|2|JEFFERSON TWP REGIONAL SEWER DISTRI|21|63-020.00|0||Governmental Activities|1|General Obligation Bonds|OLD NATIONAL LOAN|128146.54|23086.75 2022|Pike|63|6|0968|2|JEFFERSON-MARION TOWNSHIP FIRE|18|63-018.00|0||Governmental Activities|15|Other - Short Term|NEW FIREHOUSE|626086.16| 2022|Pike|63|7|0024|2|PRIDES CREEK CONSERVANCY|28|63-017.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Property Development|41541.73| 2022|Porter|64|1|0000|2|PORTER COUNTY|1|64-000.00|0||Governmental Activities|2|Revenue Bonds|$20,000,000 Storm Water District Revenue Bonds, Series 2017|17300000.00|825000.00 2022|Porter|64|1|0000|2|PORTER COUNTY|1|64-000.00|0||Governmental Activities|2|Revenue Bonds|$30,000,000 County Revenue Bonds, Series 2017|24230000.00|1390000.00 2022|Porter|64|2|0008|2|PORTAGE TOWNSHIP|7|64-019.00|0||Governmental Activities|1|General Obligation Bonds|Fire Station and Equipment General Obligation Notes Series 2017|260000.00|170000.00 2022|Porter|64|2|0008|2|PORTAGE TOWNSHIP|7|64-019.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bond|955000.00|470000.00 2022|Porter|64|2|0008|2|PORTAGE TOWNSHIP|7|64-019.00|0||Governmental Activities|1|General Obligation Bonds|Township Improvement Projects|4025000.00|315000.00 2022|Porter|64|2|0011|2|WASHINGTON TOWNSHIP|7|64-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of fire apparatus-Spencer Fire Trucks|400000.00|52101.98 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018|2380000.00|200000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Refunding Bonds, Series 2012|745000.00|290000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Refunding Bonds, Series 2015|1900000.00|250000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2019 (VJW The Brooks LLC Project)|6080000.00|300000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Tax Increment Revenue Bonds, Series 2018 (Vale View)|674000.00|20000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Park and Recreation District Refunding Bonds, Series 2015|1980000.00|160000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds, Series 2015A|2015000.00|80000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Refunding Bonds, Series 2019|3160000.00|1230000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Refunding Bond, Series 2016A|.00|.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Refunding Bond, Series 2016B|610000.00|240000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Lease Rental Revenue Bonds, Series 2022 (Parking Garage)|15560000.00|.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2015 (Pratt Paper IN LLC Project)|3855000.00|1055000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2019 (St Paul Valparaiso LLC Project)|1650000.00|.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Tax Increment Revenue Bonds, Series 2022 (Hageman Project)|3239000.00|3239000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29208||STORM WATER|2|Revenue Bonds|Stormwater Mgmt District Revenue Refunding Bonds, Series 2019|1890000.00|520000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29208||STORM WATER|2|Revenue Bonds|Stormwater Mgmt. District Revenue Bonds of 2017|9920000.00|160000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29209||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds 2015|8235000.00|1370000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29209||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2011|817000.00|79000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29209||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2015|1785000.00|120000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29209||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2019|4990000.00|240000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29210||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds 2018|1990000.00|475000.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29210||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2013|.00|.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29210||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2014 Series A|9980000.00|.00 2022|Porter|64|3|0204|2|VALPARAISO CIVIL CITY|2|64-001.00|29210||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2014 Series B|4900000.00|585000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATION BOND, SERIES 2020|3305000.00|540000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|1|General Obligation Bonds|PARK DISTRICT BONDS, SERIES 2014|965000.00|375000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|1|General Obligation Bonds|SPECIAL IMPROVEMENT DISTRICT BONDS, SERIES 2005 (MARINA SHORES)|5112000.00|264000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|2022 ADVANCE FUNDING PROGRAM|.00| 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|2|Revenue Bonds|ECONOMIC DEV. TAX INCREMENT REVENUE BONDS, SERIES 2016 (FOUNDERS)|3548056.65|295000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|2|Revenue Bonds|EDIT REVENUE BONDS 2013 (FRONIUS)|.00|.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT BONDS, SERIES 2013|2875000.00|395000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAX INCREMENT REFUNDING BONDS, SERIES 2015|7170000.00|1655000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAX INCREMENT REFUNDING BONDS, SERIES 2017A|2570000.00|400000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAX INCREMENT REFUNDING BONDS, SERIES 2017B|.00|.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|0||Governmental Activities|2|Revenue Bonds|REDEVELOPMENT DISTRICT TAX INCREMENT REFUNDING BONDS, SERIES 2022|3945000.00|275000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|30518||SEWAGE|2|Revenue Bonds|SEWAGE WORKS REFUNDING BONDS, SERIES 2017|12125000.00|1205000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|30518||SEWAGE|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS, SERIES 2016|4830000.00|275000.00 2022|Porter|64|3|0303|2|PORTAGE CIVIL CITY|2|64-002.00|30518||SEWAGE|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS, SERIES 2017|2940000.00|170000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|0||Governmental Activities|1|General Obligation Bonds|2018 GO BOND Paving and sidewalks|565000.00|375000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|0||Governmental Activities|1|General Obligation Bonds|Construction of a new municipal building at 15th Avenue and paying the costs of issuance GO 2010|605000.00|165000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|0||Governmental Activities|1|General Obligation Bonds|Park District construction and improvements together with the necessary appurtenances, related improvments and equipment and paying the costs of issuance|760000.00|210000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|29211|Manages and maintains the stormwater system|STORM WATER|1|General Obligation Bonds|2021 SW Bond for Capital Projects|919000.00|96000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District tax increment revenue bonds of 2016|1975000.00|240000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|0||Governmental Activities|2|Revenue Bonds|Rev Bond 2012|645000.00|135000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|0||Governmental Activities|2|Revenue Bonds|Urschel Revenue Bond|16510000.00|1270000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|29212|Processes and maintains the waste water system|WASTEWATER|2|Revenue Bonds|SRF LOAN 2013A|2984000.00|240000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|29212|Processes and maintains the waste water system|WASTEWATER|2|Revenue Bonds|SRF LOAN 2013B|8187000.00|656000.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|29212|Processes and maintains the waste water system|WASTEWATER|2|Revenue Bonds|SRF LOAN 2015A|1038824.00|83104.00 2022|Porter|64|3|0510|2|CHESTERTON CIVIL TOWN|3|64-004.00|29212|Processes and maintains the waste water system|WASTEWATER|2|Revenue Bonds|SRF LOAN 2015B|137500.00|11000.00 2022|Porter|64|3|0827|2|BEVERLY SHORES CIVIL TOWN|3|64-003.00|0||Governmental Activities|1|General Obligation Bonds|Governmental Activites|644000.00|140000.00 2022|Porter|64|3|0830|2|HEBRON CIVIL TOWN|3|64-006.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Station Addition|218783.26|26376.54 2022|Porter|64|3|0830|2|HEBRON CIVIL TOWN|3|64-006.00|0||Governmental Activities|14|Other - Long Term|Taxable Economic Development Revenue Bonds, Series 2022(Park Ridge)|12600000.00|.00 2022|Porter|64|3|0830|2|HEBRON CIVIL TOWN|3|64-006.00|29214|provide sewer disposal and treatment|WASTEWATER|2|Revenue Bonds|New Sewer Plant & Public Works Buildings 2019|7261000.00|283000.00 2022|Porter|64|3|0830|2|HEBRON CIVIL TOWN|3|64-006.00|29214|provide sewer disposal and treatment|WASTEWATER|2|Revenue Bonds|Upgrade Sewer Plant 2005|390000.00|90000.00 2022|Porter|64|3|0830|2|HEBRON CIVIL TOWN|3|64-006.00|29622|provide drainage for residents ie.,basins,liftstations, etc|STORMWATER|2|Revenue Bonds|Stormwater Bonds 2018|1035000.00|80000.00 2022|Porter|64|3|0833|2|PORTER CIVIL TOWN|3|64-010.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|495000.00|80000.00 2022|Porter|64|3|0833|2|PORTER CIVIL TOWN|3|64-010.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds 2010A|1165000.00|315000.00 2022|Porter|64|3|0833|2|PORTER CIVIL TOWN|3|64-010.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds, Series 2015|3900000.00|.00 2022|Porter|64|3|0834|2|PINES CIVIL TOWN|3|64-009.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2020 Ford Turck Purchase via Porter Bank|13777.86| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A0517|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A0523|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A0562|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A2900|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A2916|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #A2957|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0109|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B0154|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan #B02237|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|2021 Tax Anticipation Warrants - Debt Service|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|2021 Tax Anticipation Warrants - Other Funds|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|2022 Tax Anticipation Warrants - Operations Fund|| 2022|Porter|64|4|6460||BOONE TOWNSHIP SCHOOL CORPORATION|5|64-052.00|0||Governmental Activities|12|Tax Anticipation Warrants - Long Term|2022 Tax Anticipation Warrants - Pension Fund|| 2022|Porter|64|4|6470||DUNELAND SCHOOL CORPORATION|5|64-026.00|0||Governmental Activities|1|General Obligation Bonds|G.O. Bond of 2015|| 2022|Porter|64|4|6470||DUNELAND SCHOOL CORPORATION|5|64-026.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Fund Loan B0040|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|1|General Obligation Bonds|2009 Quality School Construction Bond|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A1921 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A1967 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A2844 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A2903 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|A2938 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0041 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0140 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0190 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0261 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0273 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0382 Common School Loan|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Series 2017A Note|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Series 2017B note|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Series 2019|| 2022|Porter|64|4|6510||EAST PORTER COUNTY SCHOOL CORPORATION|5|64-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Series 2021|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|1|General Obligation Bonds|2019 Solar Project|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|1|General Obligation Bonds|Pension Debt|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Capital Improvement Note 2019|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS 0246 Technology|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS 0287 Technology|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS 1947 Technology|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS 2867 Technology|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS 450 HS/BGE Remodel|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS 504 HS Lab/HVAC|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS 557 WWTP/Restroom Renovations|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS B0067 Technology|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|CS B0117 Technology|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|STA 0270 Technology|| 2022|Porter|64|4|6520||PORTER TOWNSHIP SCHOOL CORPORATION|5|64-028.00|0||Governmental Activities|2|Revenue Bonds|Vet Mem 2005 Waste Water Treatment Plant|| 2022|Porter|64|4|6530||UNION TOWNSHIP SCHOOL CORPORATION|5|64-027.00|0||Governmental Activities|1|General Obligation Bonds|2006 Pension Bonds|| 2022|Porter|64|4|6530||UNION TOWNSHIP SCHOOL CORPORATION|5|64-027.00|0||Governmental Activities|1|General Obligation Bonds|2009 QSCB|| 2022|Porter|64|4|6530||UNION TOWNSHIP SCHOOL CORPORATION|5|64-027.00|0||Governmental Activities|1|General Obligation Bonds|2010 QSCB|| 2022|Porter|64|4|6530||UNION TOWNSHIP SCHOOL CORPORATION|5|64-027.00|0||Governmental Activities|1|General Obligation Bonds|2020 Wheeler-Union Twp Series 2020|| 2022|Porter|64|4|6530||UNION TOWNSHIP SCHOOL CORPORATION|5|64-027.00|0||Governmental Activities|1|General Obligation Bonds|2021 Wheeler-Union Twp Series 2021|| 2022|Porter|64|4|6550||PORTAGE TOWNSHIP SCHOOL CORPORATION|5|64-025.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds 2018|| 2022|Porter|64|4|6550||PORTAGE TOWNSHIP SCHOOL CORPORATION|5|64-025.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds 2019|| 2022|Porter|64|4|6550||PORTAGE TOWNSHIP SCHOOL CORPORATION|5|64-025.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds 2020|| 2022|Porter|64|4|6550||PORTAGE TOWNSHIP SCHOOL CORPORATION|5|64-025.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond Series 2006|| 2022|Porter|64|4|6550||PORTAGE TOWNSHIP SCHOOL CORPORATION|5|64-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Porter|64|4|6560||VALPARAISO COMMUNITY SCHOOL CORPORATION|5|64-024.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds|| 2022|Porter|64|4|6560||VALPARAISO COMMUNITY SCHOOL CORPORATION|5|64-024.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Porter|64|6|0046|2|NORTHERN IND COMMUTER TRANS DISTRIC|39|64-046.00|29764|Commuter Railroad|Northern Indiana Commuter Transportation District|2|Revenue Bonds|Positive Train Control|75955000.00|2600000.00 2022|Porter|64|6|0499|2|Portage Redevelopment Authority|36|64-060.00|0||Governmental Activities|2|Revenue Bonds|Series 2015 RDA Lease Rental|6475068.74|539931.26 2022|Porter|64|6|1084|2|PORTER CO AIRPORT AUTHORITY|25|64-045.00|0||Governmental Activities|2|Revenue Bonds|Airport Revenue Refunding and Improvement Bonds|3635000.00|265000.00 2022|Porter|64|7|0025|2|WHITE OAK CONSERVANCY DISTRICT|27|64-048.00|29219|Water Operating Fund|Water|2|Revenue Bonds|Waterworks Revenue Bonds of 2017|970547.50|30000.00 2022|Porter|64|7|0026|2|VALPARAISO LAKES CONSERVANCY|27|64-030.00|29221|water purchased from Valparaiso City Utilities|Water|10|Notes and Loans Payable - Long Term|office renovation|97585.21|31530.36 2022|Porter|64|7|0028|2|DAMON RUN CONSERVANCY DISTRICT|28|64-039.00|0||Governmental Activities|1|General Obligation Bonds|Ad Valorem Special Benefits Property Tax Refunding Bonds, Series 2019|2820000.00|350000.00 2022|Posey|65|1|0000|2|POSEY COUNTY|1|65-000.00|0||Governmental Activities|2|Revenue Bonds|JAIL ADDITION|9432113.23|670000.00 2022|Posey|65|1|0000|2|POSEY COUNTY|1|65-000.00|0||Governmental Activities|2|Revenue Bonds|WESTERN BYPASS|5249650.00|5300000.00 2022|Posey|65|2|0004|2|HARMONY TOWNSHIP|7|65-009.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Firetruck purchase|347580.00| 2022|Posey|65|3|0419|0|MOUNT VERNON CIVIL CITY|2|65-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds of 2006 (TIF)|.00|.00 2022|Posey|65|3|0419|0|MOUNT VERNON CIVIL CITY|2|65-001.00|29224|Sewage Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2017 (SRF)|1097000.00|63000.00 2022|Posey|65|3|0419|0|MOUNT VERNON CIVIL CITY|2|65-001.00|29224|Sewage Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2001, Series A (SRF)|.00|.00 2022|Posey|65|3|0419|0|MOUNT VERNON CIVIL CITY|2|65-001.00|29224|Sewage Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2009 (SRF)|1090288.00|139000.00 2022|Posey|65|3|0419|0|MOUNT VERNON CIVIL CITY|2|65-001.00|29224|Sewage Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2011 (SRF)|4750000.00|422000.00 2022|Posey|65|3|0419|0|MOUNT VERNON CIVIL CITY|2|65-001.00|29224|Sewage Utility|WASTEWATER|2|Revenue Bonds|Sewge Works Revenue Bonds of 2006 (SRF)|94957.00|25000.00 2022|Posey|65|3|0419|0|MOUNT VERNON CIVIL CITY|2|65-001.00|29225|Water Utility|WATER UTILITY|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2020 (1)|10695000.00|850000.00 2022|Posey|65|3|0419|0|MOUNT VERNON CIVIL CITY|2|65-001.00|29225|Water Utility|WATER UTILITY|2|Revenue Bonds|Waterworks Revenue Bonds of 2017 (1)|10400000.00|260000.00 2022|Posey|65|3|0835|2|CYNTHIANA CIVIL TOWN|3|65-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Street Light Renovation|50904.14| 2022|Posey|65|3|0835|2|CYNTHIANA CIVIL TOWN|3|65-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Utility Truck|12026.80| 2022|Posey|65|3|0835|2|CYNTHIANA CIVIL TOWN|3|65-002.00|29226|Billing Wastewater Utility Services to Residents. Billing is done on a monthly basis.|WASTEWATER|11|Notes and Loans Payable - Short Term|Utility Truck|6013.52| 2022|Posey|65|3|0835|2|CYNTHIANA CIVIL TOWN|3|65-002.00|29227|Billing Water Utility Services to Residents. Billing is done on a monthly basis.|WATER|11|Notes and Loans Payable - Short Term|Utility Truck|6013.39| 2022|Posey|65|3|0837|2|NEW HARMONY CIVIL TOWN|3|65-004.00|29230||WASTEWATER|2|Revenue Bonds|Sewage Utility Construction|9000.00|9000.00 2022|Posey|65|3|0837|2|NEW HARMONY CIVIL TOWN|3|65-004.00|29230||WASTEWATER|2|Revenue Bonds|Sewage Utility Rehabilitation|68000.00|68000.00 2022|Posey|65|3|0837|2|NEW HARMONY CIVIL TOWN|3|65-004.00|29231||WATER|2|Revenue Bonds|Water Utility Rehabilitation|96000.00|4000.00 2022|Posey|65|3|0837|2|NEW HARMONY CIVIL TOWN|3|65-004.00|29231||WATER|2|Revenue Bonds|Water Utility Rehabilitation|811000.00|33000.00 2022|Posey|65|3|0838|2|POSEYVILLE CIVIL TOWN|3|65-005.00|29233|sewer|WASTEWATER|1|General Obligation Bonds|Sewage treatment plant|542168.00|258924.00 2022|Posey|65|3|0838|2|POSEYVILLE CIVIL TOWN|3|65-005.00|29234|water|WATER|1|General Obligation Bonds|Well field|383725.00|10425.00 2022|Posey|65|3|0838|2|POSEYVILLE CIVIL TOWN|3|65-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|LED STREET LIGHT UPDATE|36226.82|6157.20 2022|Posey|65|3|0838|2|POSEYVILLE CIVIL TOWN|3|65-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|UTILITY TRUCK F250 2021|34236.92|9321.68 2022|Posey|65|4|6600||M.S.D. NORTH POSEY COUNTY SCHOOL CORPORATION|5|65-017.00|0||Governmental Activities|14|Other - Long Term|Guaranteed Energy Savings|| 2022|Posey|65|5|0188|2|POSEYVILLE CARNEGIE LIBRARY|6|65-021.00|0||Governmental Activities|1|General Obligation Bonds|Library Improvements|444608.00|35000.00 2022|Posey|65|6|1067|2|POSEY COUNTY SOLID WASTE MANAGEMENT DISTRICT|16|65-025.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|bank loan|50849.84|11368.06 2022|Pulaski|66|1|0000|2|PULASKI COUNTY|1|66-000.00|0||Governmental Activities|1|General Obligation Bonds|Pulaski Co Jail Renovation Project|5080000.00|225000.00 2022|Pulaski|66|3|0839|2|FRANCESVILLE CIVIL TOWN|3|66-001.00|29236|SEWAGE COLLECTION & TREATMENT|WASTEWATER|2|Revenue Bonds|Wasterwater Utility|245000.00|55000.00 2022|Pulaski|66|3|0839|2|FRANCESVILLE CIVIL TOWN|3|66-001.00|29237||WATER|2|Revenue Bonds|Water Utility|93000.00|45000.00 2022|Pulaski|66|3|0840|2|MEDARYVILLE CIVIL TOWN|3|66-002.00|29238|Enterprise|WASTEWATER|2|Revenue Bonds|Wastewater Utility|314637.50|33175.00 2022|Pulaski|66|3|0840|2|MEDARYVILLE CIVIL TOWN|3|66-002.00|29239|Enterprise|WATER|2|Revenue Bonds|Water Utility|441110.00|85330.00 2022|Pulaski|66|3|0841|2|MONTEREY CIVIL TOWN|3|66-003.00|29240|sewer|WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Improvement Project|10500.00|3500.00 2022|Pulaski|66|3|0841|2|MONTEREY CIVIL TOWN|3|66-003.00|29240|sewer|WASTEWATER|2|Revenue Bonds|sewer project|241000.00|10000.00 2022|Pulaski|66|3|0842|2|WINAMAC CIVIL TOWN|3|66-004.00|29242||WASTEWATER|2|Revenue Bonds|2010 Sewage Works SRF Loan|672000.00|78000.00 2022|Pulaski|66|3|0842|2|WINAMAC CIVIL TOWN|3|66-004.00|29242||WASTEWATER|2|Revenue Bonds|2016 Sewage Works Refunding Bonds Series 2016|2350000.00|370000.00 2022|Pulaski|66|3|0842|2|WINAMAC CIVIL TOWN|3|66-004.00|29243||WATER|2|Revenue Bonds|2013 Waterworks Revenue & Refunding Revenue Bonds|865000.00|205000.00 2022|Pulaski|66|4|6620||EASTERN PULASKI COMMUNITY SCHOOL CORPORATION|5|66-017.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds|| 2022|Pulaski|66|4|6630||WEST CENTRAL SCHOOL CORPORATION|5|66-018.00|0||Governmental Activities|1|General Obligation Bonds|Middle School addition & remodel existing buildings|| 2022|Pulaski|66|4|6630||WEST CENTRAL SCHOOL CORPORATION|5|66-018.00|0||Governmental Activities|1|General Obligation Bonds|School Security|| 2022|Pulaski|66|4|6630||WEST CENTRAL SCHOOL CORPORATION|5|66-018.00|0||Governmental Activities|1|General Obligation Bonds|Wind Turbine|| 2022|Pulaski|66|5|0189|2|FRANCESVILLE PUBLIC LIBRARY|6|66-020.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental|700000.00|40000.00 2022|Pulaski|66|5|0190|2|MONTEREY PUBLIC LIBRARY|6|66-021.00|0||Governmental Activities|1|General Obligation Bonds|Renovation and Repairs to Building|282222.50|29748.75 2022|Pulaski|66|5|0191|2|PULASKI COUNTY PUBLIC LIBRARY|6|66-019.00|0||Governmental Activities|1|General Obligation Bonds|2019 Go Bond Construction|1750000.00|45080.00 2022|Pulaski|66|5|0191|2|PULASKI COUNTY PUBLIC LIBRARY|6|66-019.00|0||Governmental Activities|1|General Obligation Bonds|Renovation/Addition to the Library|.00|.00 2022|Pulaski|66|6|0024|2|Star City Regional Sewer District|21|66-024.00|29721|Sewage Removal System|Star City Sewer District|1|General Obligation Bonds|Construction of Sewer System|506000.00|10000.00 2022|Pulaski|66|6|0024|2|Star City Regional Sewer District|21|66-024.00|29721|Sewage Removal System|Star City Sewer District|1|General Obligation Bonds|Construction of Sewer System|802000.00|17000.00 2022|Putnam|67|1|0000|2|PUTNAM COUNTY|1|67-000.00|0||Governmental Activities|2|Revenue Bonds|Edgelea Subdivision Road Project|1015000.00|80000.00 2022|Putnam|67|1|0000|2|PUTNAM COUNTY|1|67-000.00|0||Governmental Activities|2|Revenue Bonds|EOC Bond|215000.00|80000.00 2022|Putnam|67|1|0000|2|PUTNAM COUNTY|1|67-000.00|0||Governmental Activities|6|Claims and Judgments|911 Software loan|148428.08| 2022|Putnam|67|2|0002|2|CLOVERDALE TOWNSHIP|7|67-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire truck purchase|56588.59|15163.88 2022|Putnam|67|2|0013|2|WASHINGTON TOWNSHIP|7|67-018.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Equipment Debt Fund for purchase of a fire truck|58443.19| 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bond|1500000.00|35000.00 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|EDIT Loan|.00|.00 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Police Vehicles|.00| 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Police Vehicles|25269.00| 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Purchase Fire Truck|330935.00| 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|29245|Provide Sewage service to each resident in the City|WASTEWATER|11|Notes and Loans Payable - Short Term|Vactor Truck|281398.91| 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|29245|Provide Sewage service to each resident in the City|WASTEWATER|11|Notes and Loans Payable - Short Term|Wastewater Building|.00| 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|29245|Provide Sewage service to each resident in the City|WASTEWATER|11|Notes and Loans Payable - Short Term|Wastewater Truck|.00| 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|0||Governmental Activities|14|Other - Long Term|Tax Increment Revenue Bond|485000.00|15000.00 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|29245|Provide Sewage service to each resident in the City|WASTEWATER|2|Revenue Bonds|New Waste Water Treatment Plant|.00|.00 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|29246|Provide retail and wholesale water service to city and surrounding areas|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2014|2080813.00|135701.00 2022|Putnam|67|3|0404|2|GREENCASTLE CIVIL CITY|2|67-001.00|0||Governmental Activities|5|Lines of Credit|Police Vehicles|54207.92| 2022|Putnam|67|3|0844|2|CLOVERDALE CIVIL TOWN|3|67-003.00|29252|WATER|WATER|1|General Obligation Bonds|2015 REFUNDING WATERWORKS BONDS|.00|.00 2022|Putnam|67|3|0844|2|CLOVERDALE CIVIL TOWN|3|67-003.00|0||Governmental Activities|2|Revenue Bonds|2014 Redevelopment Refunding Bonds|267599.44|17773.12 2022|Putnam|67|3|0844|2|CLOVERDALE CIVIL TOWN|3|67-003.00|29251|WASTEWATER|WASTEWATER|2|Revenue Bonds|2003 Sewage Works Revenue Bonds|176000.00|86000.00 2022|Putnam|67|3|0844|2|CLOVERDALE CIVIL TOWN|3|67-003.00|29251|WASTEWATER|WASTEWATER|2|Revenue Bonds|2006 Sewage Works Revenue Bonds|877000.00|110000.00 2022|Putnam|67|3|0844|2|CLOVERDALE CIVIL TOWN|3|67-003.00|29251|WASTEWATER|WASTEWATER|2|Revenue Bonds|2007 Sewaage Works Revenue Bonds|278000.00|42000.00 2022|Putnam|67|3|0845|2|ROACHDALE CIVIL TOWN|3|67-004.00|29253|Wastewater Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|Stormwater Improvements|91825.00|5240.00 2022|Putnam|67|3|0845|2|ROACHDALE CIVIL TOWN|3|67-004.00|29254|Water Utility|WATER|10|Notes and Loans Payable - Long Term|Water MLine Extension & Water Meters|76860.00|4451.00 2022|Putnam|67|3|0845|2|ROACHDALE CIVIL TOWN|3|67-004.00|29255|Gas Utility|GAS|10|Notes and Loans Payable - Long Term|Gas Replacement Project|454000.00|9000.00 2022|Putnam|67|3|0845|2|ROACHDALE CIVIL TOWN|3|67-004.00|29255|Gas Utility|GAS|10|Notes and Loans Payable - Long Term|Gas Replacement Project|954000.00|19000.00 2022|Putnam|67|3|0846|2|RUSSELLVILLE CIVIL TOWN|3|67-005.00|29256|suppy drinking water to residents|RUSSELLVILLE WATER UTILITY|2|Revenue Bonds|WATER TOWER & IMPROVEMENTS|420500.00|21940.00 2022|Putnam|67|3|0965|2|FILLMORE CIVIL TOWN|3|67-034.00|29257|Public Sewer System|WASTEWATER|2|Revenue Bonds|Wastewater 1996 Series A|478300.00|14200.00 2022|Putnam|67|3|0965|2|FILLMORE CIVIL TOWN|3|67-034.00|29257|Public Sewer System|WASTEWATER|2|Revenue Bonds|Wastewater 1996 Series B|93365.00|2800.00 2022|Putnam|67|3|0965|2|FILLMORE CIVIL TOWN|3|67-034.00|29258|Public Water System|WATER|2|Revenue Bonds|WATER BOND 2000|195000.00|8000.00 2022|Putnam|67|4|6705||SOUTH PUTNAM COMMUNITY SCHOOL CORPORATION|5|67-022.00|0||Governmental Activities|1|General Obligation Bonds|South Putnam Community School Corporation Pension Bond|| 2022|Putnam|67|4|6715||NORTH PUTNAM COMMUNITY SCHOOL CORPORATION|5|67-021.00|0||Governmental Activities|1|General Obligation Bonds|Facility Updates|| 2022|Putnam|67|4|6715||NORTH PUTNAM COMMUNITY SCHOOL CORPORATION|5|67-021.00|0||Governmental Activities|1|General Obligation Bonds|Roachdale HVAC|| 2022|Putnam|67|4|6750||CLOVERDALE COMMUNITY SCHOOL CORPORATION|5|67-019.00|0||Governmental Activities|1|General Obligation Bonds|Pension Liability|| 2022|Putnam|67|4|6750||CLOVERDALE COMMUNITY SCHOOL CORPORATION|5|67-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A0440|| 2022|Putnam|67|4|6755||GREENCASTLE COMMUNITY SCHOOL CORPORATION|5|67-020.00|0||Governmental Activities|1|General Obligation Bonds|HVAC/Security Upgrades|| 2022|Putnam|67|4|6755||GREENCASTLE COMMUNITY SCHOOL CORPORATION|5|67-020.00|0||Governmental Activities|14|Other - Long Term|Pension/Severance|| 2022|Putnam|67|6|0337|2|Putnam County Airport Authority|25|67-043.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of Dixie Chopper Building|734828.93|52037.69 2022|Putnam|67|6|0978|2|FLOYD TWP FIRE DISTRICT|18|67-038.00|0||Governmental Activities|1|General Obligation Bonds|PURCHASE OF TANKER TRUCK|251786.32|32782.00 2022|Putnam|67|6|1150||PUTNAM COUNTY HOSPITAL|4|67-025.00|0||Governmental Activities|1|General Obligation Bonds|Revolving Draw|| 2022|Putnam|67|7|9996|2|VAN BIBBER LAKE CONSERVANCY|27|67-030.00|29260||Wastewater|2|Revenue Bonds|Sewage Works Revenue Bonds of 2002|.00|.00 2022|Putnam|67|7|9996|2|VAN BIBBER LAKE CONSERVANCY|27|67-030.00|29261||Water|2|Revenue Bonds|1992 Revenue Bonds|96901.46|.00 2022|Randolph|68|1|0000|2|RANDOLPH COUNTY|1|68-000.00|0||Governmental Activities|2|Revenue Bonds|Special Purpose Series 2020 Communication|3000000.00|86400.00 2022|Randolph|68|2|0011|2|WHITE RIVER TOWNSHIP|7|68-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Construction of new fire station|154182.92|78487.44 2022|Randolph|68|3|0425|2|WINCHESTER CIVIL CITY|2|68-002.00|0||Governmental Activities|2|Revenue Bonds|Series 2021 Lease Rental Imp. & Refunding Bond Tax Exempt|1590000.00|55000.00 2022|Randolph|68|3|0425|2|WINCHESTER CIVIL CITY|2|68-002.00|0||Governmental Activities|2|Revenue Bonds|Series 2021 Lease Rental Revenue Refunding Bond Taxable|2650000.00|260000.00 2022|Randolph|68|3|0425|2|WINCHESTER CIVIL CITY|2|68-002.00|0||Governmental Activities|2|Revenue Bonds|Streets and Sidewalks 2011|107654.00|69424.00 2022|Randolph|68|3|0425|2|WINCHESTER CIVIL CITY|2|68-002.00|0||Governmental Activities|2|Revenue Bonds|Wind Turbine 2012 A|1735000.00|160000.00 2022|Randolph|68|3|0425|2|WINCHESTER CIVIL CITY|2|68-002.00|29262|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2016|1257000.00|72000.00 2022|Randolph|68|3|0425|2|WINCHESTER CIVIL CITY|2|68-002.00|29262|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Wastewater Utility Improvements 2015|285000.00|80000.00 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2019 Fire Truck Purchase|152278.00|10430.00 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Washer/Extractor|2344.44| 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Pickup Truck Purchase|23789.64| 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Police cars - 2017 Tahoe & 2019 Charger|54404.11| 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|29263||WASTEWATER|11|Notes and Loans Payable - Short Term|Pickup Truck Purchase|23789.64| 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|29264||WATER|11|Notes and Loans Payable - Short Term|Pickup Truck Purchase|23789.64| 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|0||Governmental Activities|2|Revenue Bonds|Housing Development Infrastructure|1205000.00|.00 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|29263||WASTEWATER|2|Revenue Bonds|Wastewater Plant Project|8150000.00|166000.00 2022|Randolph|68|3|0446|2|UNION CITY CIVIL CITY|2|68-001.00|29264||WATER|2|Revenue Bonds|2009 Water Filter Replacement|122000.00|16000.00 2022|Randolph|68|3|0847|2|FARMLAND CIVIL TOWN|3|68-004.00|0||Governmental Activities|1|General Obligation Bonds|2019 TANKER FIRE TRUCK|50344.14|35333.56 2022|Randolph|68|3|0847|2|FARMLAND CIVIL TOWN|3|68-004.00|29265||WASTEWATER|1|General Obligation Bonds|SEWAGE REVENUE BOND OF 2005|136743.00|45000.00 2022|Randolph|68|3|0847|2|FARMLAND CIVIL TOWN|3|68-004.00|29265||WASTEWATER|1|General Obligation Bonds|SEWAGE REVENUE BOND OF 2016|822551.00|57000.00 2022|Randolph|68|3|0849|2|LYNN CIVIL TOWN|3|68-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|payment on grass medic truck|55379.36|33919.31 2022|Randolph|68|3|0849|2|LYNN CIVIL TOWN|3|68-005.00|29267|sewage|WASTEWATER|2|Revenue Bonds|2019 SRF Sewage Improvement|611038.42|31000.00 2022|Randolph|68|3|0850||MODOC CIVIL TOWN|3|68-006.00|0||Governmental Activities|1|General Obligation Bonds|sewage|| 2022|Randolph|68|3|0851|2|PARKER CIVIL TOWN|3|68-007.00|29775|Municipatlity|Wastewater|1|General Obligation Bonds|Sewage Utility Bond Payment|632716.46|69870.00 2022|Randolph|68|3|0852|2|RIDGEVILLE CIVIL TOWN|3|68-008.00|0||Governmental Activities|2|Revenue Bonds|sewagerevenuebonds,series2022|223500.00|27000.00 2022|Randolph|68|4|6795||UNION SCHOOL CORPORATION|5|68-025.00|0||Governmental Activities|1|General Obligation Bonds|Building|| 2022|Randolph|68|4|6795||UNION SCHOOL CORPORATION|5|68-025.00|0||Governmental Activities|1|General Obligation Bonds|Holding Company|| 2022|Randolph|68|4|6805||RANDOLPH SOUTHERN SCHOOL CORPORATION|5|68-024.00|0||Governmental Activities|1|General Obligation Bonds|Energy Savings/Renovation 2013|| 2022|Randolph|68|4|6805||RANDOLPH SOUTHERN SCHOOL CORPORATION|5|68-024.00|0||Governmental Activities|1|General Obligation Bonds|PE Reno/Roof/Chiller|| 2022|Randolph|68|4|6805||RANDOLPH SOUTHERN SCHOOL CORPORATION|5|68-024.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Revenue for Operations Fund|| 2022|Randolph|68|4|6820||MONROE CENTRAL SCHOOL CORPORATION|5|68-021.00|0||Governmental Activities|1|General Obligation Bonds|Severance Bond|| 2022|Randolph|68|4|6820||MONROE CENTRAL SCHOOL CORPORATION|5|68-021.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Construct/Tech Loans|| 2022|Randolph|68|4|6820||MONROE CENTRAL SCHOOL CORPORATION|5|68-021.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Tax Anticiaption|| 2022|Randolph|68|4|6825||RANDOLPH CENTRAL SCHOOL CORPORATION|5|68-022.00|0||Governmental Activities|1|General Obligation Bonds|2019 GO Bonds|| 2022|Randolph|68|4|6825||RANDOLPH CENTRAL SCHOOL CORPORATION|5|68-022.00|0||Governmental Activities|1|General Obligation Bonds|2021 GO Bonds|| 2022|Randolph|68|4|6825||RANDOLPH CENTRAL SCHOOL CORPORATION|5|68-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School|| 2022|Randolph|68|4|6825||RANDOLPH CENTRAL SCHOOL CORPORATION|5|68-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Land|| 2022|Randolph|68|4|6835||RANDOLPH EASTERN SCHOOL CORPORATION|5|68-023.00|0||Governmental Activities|1|General Obligation Bonds|Renovation/Improvements - UCJSHS|| 2022|Randolph|68|4|6835||RANDOLPH EASTERN SCHOOL CORPORATION|5|68-023.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A0497 - Construction|| 2022|Randolph|68|4|6835||RANDOLPH EASTERN SCHOOL CORPORATION|5|68-023.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan A0559 - Construction|| 2022|Randolph|68|6|0033|2|L & M REGIONAL WATER DISTRICT|22|68-033.00|30009|L & M Regional Water District|Water|2|Revenue Bonds|Construction and Improvement|171000.00|7000.00 2022|Ripley|69|3|0447|2|BATESVILLE CIVIL CITY|2|69-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|EDIT Revenue Bonds Series 2016|410000.00|10000.00 2022|Ripley|69|3|0447|2|BATESVILLE CIVIL CITY|2|69-001.00|29694||STORM WATER|10|Notes and Loans Payable - Long Term|Stormwater Series 2016|1230000.00|24000.00 2022|Ripley|69|3|0447|2|BATESVILLE CIVIL CITY|2|69-001.00|0||Governmental Activities|2|Revenue Bonds|EDIT Refunding Revenue Bonds Series 2014|1022000.00|131000.00 2022|Ripley|69|3|0447|2|BATESVILLE CIVIL CITY|2|69-001.00|0||Governmental Activities|2|Revenue Bonds|EDIT-Thrive Market Revenue Bonds Series 2015|296000.00|18000.00 2022|Ripley|69|3|0447|2|BATESVILLE CIVIL CITY|2|69-001.00|0||Governmental Activities|2|Revenue Bonds|EDIT-Woodmizer Revenue Bonds Series 2015|520000.00|70000.00 2022|Ripley|69|3|0447|2|BATESVILLE CIVIL CITY|2|69-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Lease Rental Refunding Bonds of 2020|2290000.00|80000.00 2022|Ripley|69|3|0447|2|BATESVILLE CIVIL CITY|2|69-001.00|29695||WATER FUND|2|Revenue Bonds|Waterworks Revenue Bonds of 2019|18444105.00|336473.00 2022|Ripley|69|3|0856|2|OSGOOD CIVIL TOWN|3|69-004.00|29951|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Osgood Municipal Sewage Works of 1996|.00|.00 2022|Ripley|69|3|0856|2|OSGOOD CIVIL TOWN|3|69-004.00|29951|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Osgood Municipal Sewage Works of 2011|1129000.00|29000.00 2022|Ripley|69|3|0856|2|OSGOOD CIVIL TOWN|3|69-004.00|29951|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Osgood Sewage Works Revenue Bonds of 2021|875000.00|55000.00 2022|Ripley|69|3|0856|2|OSGOOD CIVIL TOWN|3|69-004.00|29952|Water Utility|WATER|2|Revenue Bonds|Osgood Municipal Water Utility Series A|1930000.00|46000.00 2022|Ripley|69|3|0856|2|OSGOOD CIVIL TOWN|3|69-004.00|29952|Water Utility|WATER|2|Revenue Bonds|Osgood Municipal Water Utility Series B|107000.00|2000.00 2022|Ripley|69|3|0856|2|OSGOOD CIVIL TOWN|3|69-004.00|29952|Water Utility|WATER|2|Revenue Bonds|Osgood Waterworks Revenue Bonds 2019|1691456.73|34000.00 2022|Ripley|69|3|0857|2|SUNMAN CIVIL TOWN|3|69-005.00|29954|Sewer treatment plant|WASTEWATER|1|General Obligation Bonds|Wastewater Treatment Plant|318000.00|37900.00 2022|Ripley|69|3|0857|2|SUNMAN CIVIL TOWN|3|69-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Loan 72053 - Town Hall Property Purchase|68881.53|14385.08 2022|Ripley|69|3|0857|2|SUNMAN CIVIL TOWN|3|69-005.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Loan 72712 - Eastern Avenue|30223.09|12749.70 2022|Ripley|69|3|0858|2|VERSAILLES CIVIL TOWN|3|69-006.00|29957|Water plant|WATER|2|Revenue Bonds|water line replacement Benham Rd|670000.00|63000.00 2022|Ripley|69|3|0955|2|HOLTON CIVIL TOWN|3|69-007.00|29958||WASTEWATER|1|General Obligation Bonds|USDA Sewer Bond|157000.00|11000.00 2022|Ripley|69|4|6895||BATESVILLE COMMUNITY SCHOOL CORPORATION|5|69-020.00|0||Governmental Activities|1|General Obligation Bonds|BPS Bonds 2014|| 2022|Ripley|69|4|6895||BATESVILLE COMMUNITY SCHOOL CORPORATION|5|69-020.00|0||Governmental Activities|1|General Obligation Bonds|GO BOND 2021|| 2022|Ripley|69|4|6895||BATESVILLE COMMUNITY SCHOOL CORPORATION|5|69-020.00|0||Governmental Activities|1|General Obligation Bonds|IVY Tech Bonds|| 2022|Ripley|69|4|6895||BATESVILLE COMMUNITY SCHOOL CORPORATION|5|69-020.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0134|| 2022|Ripley|69|4|6900||JAC-CEN-DEL COMMUNITY SCHOOL CORPORATION|5|69-019.00|0||Governmental Activities|1|General Obligation Bonds|HVAC Upgrade|| 2022|Ripley|69|4|6910||MILAN COMMUNITY SCHOOLS|5|69-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans|| 2022|Ripley|69|4|6910||MILAN COMMUNITY SCHOOLS|5|69-022.00|0||Governmental Activities|14|Other - Long Term|2021 Projects|| 2022|Ripley|69|4|6910||MILAN COMMUNITY SCHOOLS|5|69-022.00|0||Governmental Activities|14|Other - Long Term|2022 Project|| 2022|Ripley|69|4|6910||MILAN COMMUNITY SCHOOLS|5|69-022.00|0||Governmental Activities|14|Other - Long Term|QZAB|| 2022|Ripley|69|4|6910||MILAN COMMUNITY SCHOOLS|5|69-022.00|0||Governmental Activities|14|Other - Long Term|Trane Project|| 2022|Ripley|69|5|0200||OSGOOD PUBLIC LIBRARY|6|69-025.00|0||Governmental Activities|1|General Obligation Bonds|New Construction of Library Branch Building, Milan Indiana|| 2022|Ripley|69|6|0026|2|SOUTHEASTERN IND REG PLANNING|33|69-026.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Mortgage|216000.00|216000.00 2022|Ripley|69|6|0030|2|FRIENDSHIP REGIONAL SEWER DISTRICT|21|69-030.00|0||Governmental Activities|1|General Obligation Bonds|USDA Developmental Loan|306000.00|12000.00 2022|Rush|70|1|0000|2|RUSH COUNTY|1|70-000.00|0||Governmental Activities|1|General Obligation Bonds|Courthouse Roof|2990000.00|100000.00 2022|Rush|70|2|0006|2|POSEY TOWNSHIP|7|70-009.00|0||Governmental Activities|1|General Obligation Bonds|Fire Equipment Debt|90200.00|89916.41 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|1|General Obligation Bonds|General Revenue Bonds Series 2019A|2865000.00|45000.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|1|General Obligation Bonds|General Revenue Bonds Series 2019B|210000.00|60000.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|1|General Obligation Bonds|General Revenue Bonds Series 2021 City Stellar|785000.00|30000.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|1|General Obligation Bonds|General Revenue Bonds Series 2021 RDC Stellar|1085000.00|50000.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|1|General Obligation Bonds|General Revenue Bonnds Series 2021 Park Stellar|1085000.00|50000.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Bonds Series 2020|1395000.00|60000.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|29959|Provide for wastewater of City Residents|WASTEWATER|13|Tax Anticipation Warrants - Short Term|Fund land acquisition for Diamond Pet Foods|1770000.00| 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|29960|Provide water for City Residents|WATER|13|Tax Anticipation Warrants - Short Term|/Water tower for new construction|3730000.00| 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Bonds Series 2018|2880000.00|110000.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|2|Revenue Bonds|Lease Revenue Bonds Series 2022|3242000.00|36000.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|2|Revenue Bonds|Non Taxable Revenue Bonds Series 2022B Diamond Pet Foods|930000.00|.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Revenue Bonds Series 2022 Diamond Pet Foods|28941000.00|.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|29959|Provide for wastewater of City Residents|WASTEWATER|2|Revenue Bonds|Improvements and Additions|3338619.00|208753.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|29959|Provide for wastewater of City Residents|WASTEWATER|2|Revenue Bonds|Repairs & Construction|744300.00|22300.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|29959|Provide for wastewater of City Residents|WASTEWATER|2|Revenue Bonds|Repairs & Construction|3539265.00|204660.00 2022|Rush|70|3|0420|2|RUSHVILLE CIVIL CITY|2|70-001.00|29960|Provide water for City Residents|WATER|2|Revenue Bonds|Construction/Annexation|586000.00|18000.00 2022|Rush|70|3|0859|2|CARTHAGE CIVIL TOWN|3|70-002.00|29961|Sewer Operating Account|WASTEWATER|2|Revenue Bonds|SCHEDULE OF AMORTIAZTION OF $1,958,000 PRINCIPAL AMOUNT OF SEWAGE WORKS REVENUE BONDS OF 2010|1607188.13|3106.00 2022|Rush|70|3|0860|2|GLENWOOD CIVIL TOWN|3|70-003.00|30242|Water Utility|Water Utility|1|General Obligation Bonds|Water Improvement|135000.00|14000.00 2022|Rush|70|3|0860|2|GLENWOOD CIVIL TOWN|3|70-003.00|30243|Wastewater Utility|Sewer Utility|1|General Obligation Bonds|IInstall Wastewater System|317000.00|11000.00 2022|Rush|70|3|0860|2|GLENWOOD CIVIL TOWN|3|70-003.00|30242|Water Utility|Water Utility|2|Revenue Bonds|Water Improvement - SRF|68000.00|1000.00 2022|Rush|70|3|0860|2|GLENWOOD CIVIL TOWN|3|70-003.00|30242|Water Utility|Water Utility|2|Revenue Bonds|Water Improvement - To Be Forgiven|165000.00|.00 2022|Rush|70|4|6995||RUSH COUNTY SCHOOL CORPORATION|5|70-016.00|0||Governmental Activities|1|General Obligation Bonds|Fitness Center|| 2022|Rush|70|4|6995||RUSH COUNTY SCHOOL CORPORATION|5|70-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Elementary|| 2022|Rush|70|6|0020|2|ANDERSON TWP REG. WATER & SEWER DIS|21|70-020.00|30010|Wastewater|Wastewater|10|Notes and Loans Payable - Long Term|iUtility System|14208.57|14208.57 2022|Rush|70|6|0020|2|ANDERSON TWP REG. WATER & SEWER DIS|21|70-020.00|30011|Water Utility|Water|10|Notes and Loans Payable - Long Term|Water Tower|10791.42|10791.42 2022|Rush|70|6|0023|2|WESTERN RUSH CO REGIONAL SEWER DIST|21|70-023.00|29627|we are a sewer plant|waste water|2|Revenue Bonds|Rual Developement bond|709037.50|23300.00 2022|Rush|70|6|1150||RUSH MEMORIAL HOSPITAL|4|70-019.00|0||Governmental Activities|5|Lines of Credit|Miscellaneous|| 2022|St. Joseph|71|1|0000|2|ST. JOSEPH COUNTY|1|71-000.00|0||Governmental Activities|1|General Obligation Bonds|2016 Special Taxing District Bonds|6650000.00|535000.00 2022|St. Joseph|71|1|0000|2|ST. JOSEPH COUNTY|1|71-000.00|0||Governmental Activities|1|General Obligation Bonds|2017 GO Bonds Guaranteed Energy Savings|7275000.00|695000.00 2022|St. Joseph|71|1|0000|2|ST. JOSEPH COUNTY|1|71-000.00|0||Governmental Activities|1|General Obligation Bonds|2019 Special Tax Bonds (South Shore Double Tracking)|9375000.00|.00 2022|St. Joseph|71|1|0000|2|ST. JOSEPH COUNTY|1|71-000.00|0||Governmental Activities|1|General Obligation Bonds|2022 General Obligation HIghway Bonds|5800000.00|1850000.00 2022|St. Joseph|71|1|0000|2|ST. JOSEPH COUNTY|1|71-000.00|0||Governmental Activities|2|Revenue Bonds|2014 CEDIT Revenue Bonds (PASP)|5495000.00|510000.00 2022|St. Joseph|71|1|0000|2|ST. JOSEPH COUNTY|1|71-000.00|0||Governmental Activities|2|Revenue Bonds|2015 Economic Development Bonds (General Sheet Metal)|2350000.00|255000.00 2022|St. Joseph|71|2|0002|2|CLAY TOWNSHIP|7|71-022.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Purchase of Fire Apparatus - Pierce 100' Ladder Truck|628146.00| 2022|St. Joseph|71|2|0008|2|MADISON TOWNSHIP|7|71-028.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck|366218.63| 2022|St. Joseph|71|2|0009|2|OLIVE TOWNSHIP|7|71-029.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Construction Loan|607216.17|42023.37 2022|St. Joseph|71|2|0010|2|PENN TOWNSHIP|7|71-030.00|0||Governmental Activities|1|General Obligation Bonds|Penn Township Series 2019|2420000.00|585000.00 2022|St. Joseph|71|2|0012|2|UNION TOWNSHIP|7|71-032.00|0||Governmental Activities|14|Other - Long Term|2018 Lease Rental Bonds|1820000.00|90000.00 2022|St. Joseph|71|2|0013|2|WARREN TOWNSHIP|7|71-033.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2022|1270000.00|105000.00 2022|St. Joseph|71|2|0013|2|WARREN TOWNSHIP|7|71-033.00|0||Governmental Activities|14|Other - Long Term|Fire Station Lease Rental Bonds, Series 2022A|5810000.00|50000.00 2022|St. Joseph|71|2|0013|2|WARREN TOWNSHIP|7|71-033.00|0||Governmental Activities|14|Other - Long Term|Fire Station Lease Rental Bonds, Series 2022B|5810000.00|50000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|1|General Obligation Bonds|DS0165 - 2017 Park District General Obligation Bonds, Series A-K|10515000.00|865000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|1|General Obligation Bonds|DS0168 - 2018 General Obligation Bonds (Fire Station #9 Project)|4190000.00|215000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|DS0139 - 2015 Century Center Energy QECB Conservation Bond (Banc of America)|2781851.00|303221.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29967|Supplies residents of the City of South Bend with clean and drinkable water|WATER|10|Notes and Loans Payable - Long Term|DS0068 - 2009 Water Works Improvements - SRF Loan|196030.00|25513.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|14|Other - Long Term|DS0039 - 2012 Bldg Corp Mortgage Bonds (Fire Station/Police Dept Renovations), Refunding 2003|770000.00|770000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|14|Other - Long Term|DS0116 - 2013 Bldg Corp Mortgage Bonds (Fire Station/Tower)|3715000.00|265000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0005 - 2011 South Bend Downtown Central Development Area TIF (Refunding 2003)|3595000.00|1750000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0006 - 2011 Airport Development Area TIF (Refunding 2003)|2050000.00|1000000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0054 - 2015 Eddy Street Commons - Lease Rental Revenue Bonds & Refunding 2008|21430000.00|1665000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0062 - 2013 Century Center Special Tax Bonds (Refunding 2008)|1245000.00|350000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0133 - 2014 St. Joseph County PSAP (EDIT) Rev Bonds|1595198.50|148053.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0135 - 2015 South Bend Redevelopment Authority Lease Rental Revenue Bonds|19540000.00|1090000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0141 - 2015 Economic Development Income Tax Revenue Bonds (Park Projects)|4080000.00|240000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0163 - 2017 Taxable Economic Development Revenue Bonds (Eddy Street Phase II)|23585000.00|760000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0169 - 2018 Redevelop District Bonds (Park Improvements)|8865000.00|725000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0175 - 2018 Economic Develop Rev Bonds (Potawatomi Zoo Project)|2810000.00|200000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0200 - 2019 Redevelop Authority Bonds (South Shore Double Tracking Project)|6380000.00|720000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0210 - 2020 Taxable Economic Development Tax Increment Revenue Bonds (Community Education Center Project)|3930000.00|225000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0215 - 2021 Bldg Corp LIT Lease Rental Revenue Bonds (Infrastructure Projects)|7120000.00|395000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0221 - 2022 Morris Performing Arts Center Revenue Bonds|6290000.00|190000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|0||Governmental Activities|2|Revenue Bonds|DS0222 - 2022 Economic Develop Revenue Bonds (Zoo Project)|5595000.00|215000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29966|Allows the residents of the City of South Bend to have access to municipal wastewater treatment|WASTEWATER|2|Revenue Bonds|DS0080 - 2020 Sewage Works Refunding Revenue Bonds (Refund 2010)|3885000.00|420000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29966|Allows the residents of the City of South Bend to have access to municipal wastewater treatment|WASTEWATER|2|Revenue Bonds|DS0101 - 2012 Sewage Works Revenue Bonds|14205000.00|1220000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29966|Allows the residents of the City of South Bend to have access to municipal wastewater treatment|WASTEWATER|2|Revenue Bonds|DS0105 - 2013A Sewage Works Revenue Bonds (Refunding 1998 & 2004)|1420000.00|705000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29966|Allows the residents of the City of South Bend to have access to municipal wastewater treatment|WASTEWATER|2|Revenue Bonds|DS0145 - 2015 Sewage Works Revenue Bonds (Refunding 2006, 2007, & 2007B)|8885000.00|2895000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29966|Allows the residents of the City of South Bend to have access to municipal wastewater treatment|WASTEWATER|2|Revenue Bonds|DS0219 - 2021 Sewage Works Refunding Revenue Bonds (Refund 2009 & 2011)|11175000.00|1180000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29967|Supplies residents of the City of South Bend with clean and drinkable water|WATER|2|Revenue Bonds|DS0025 - 2012 Water Works Refunding Revenue Bonds, Refund 2002|.00|.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29967|Supplies residents of the City of South Bend with clean and drinkable water|WATER|2|Revenue Bonds|DS0069 - 2019 Amended Water Works Revenue Bonds of 2009, Series B|2690000.00|325000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29967|Supplies residents of the City of South Bend with clean and drinkable water|WATER|2|Revenue Bonds|DS0099 - 2012 Water Works Revenue Bonds|4685000.00|405000.00 2022|St. Joseph|71|3|0103|2|SOUTH BEND CIVIL CITY|2|71-002.00|29967|Supplies residents of the City of South Bend with clean and drinkable water|WATER|2|Revenue Bonds|DS0156 - 2016 Water Works Refunding Bonds (Refund 2000 & 2006)|1220000.00|290000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|0||Governmental Activities|2|Revenue Bonds|Fire Station #4|1199986.00|266668.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|0||Governmental Activities|2|Revenue Bonds|MDA Lease Rental Rev 2021|41320000.00|2095000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|0||Governmental Activities|2|Revenue Bonds|TIF Battell Center|745000.00|35000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|0||Governmental Activities|2|Revenue Bonds|TIF series 2017 Economic Dev.|1155000.00|1155000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29970|Electric Utility|ELECTRIC|2|Revenue Bonds|Electric 2021|29340000.00|1580000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29972|Sewer, Wastewater|WASTEWATER|2|Revenue Bonds|Sewage 2010A|1076000.00|129000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29972|Sewer, Wastewater|WASTEWATER|2|Revenue Bonds|Sewage 2015|15640000.00|3200000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29972|Sewer, Wastewater|WASTEWATER|2|Revenue Bonds|Sewage 2017A|11395000.00|1100000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29972|Sewer, Wastewater|WASTEWATER|2|Revenue Bonds|Sewage 2017B|18910000.00|1110000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29972|Sewer, Wastewater|WASTEWATER|2|Revenue Bonds|Sewage 2018|11465000.00|465000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29973|Water Utility|WATER|2|Revenue Bonds|Water 2013|.00|.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29973|Water Utility|WATER|2|Revenue Bonds|Water 2018|12395000.00|592000.00 2022|St. Joseph|71|3|0117|2|MISHAWAKA CIVIL CITY|2|71-001.00|29973|Water Utility|WATER|2|Revenue Bonds|Water 2021|51340000.00|1830000.00 2022|St. Joseph|71|3|0862|2|LAKEVILLE CIVIL TOWN|3|71-004.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|wetland barn|305779.19| 2022|St. Joseph|71|3|0862|2|LAKEVILLE CIVIL TOWN|3|71-004.00|29975|to dispose of sewage for the town of Lakeville thru the pond system|SEWER UTILITY|2|Revenue Bonds|2020 Sewer Bond|1126506.00|70000.00 2022|St. Joseph|71|3|0862|2|LAKEVILLE CIVIL TOWN|3|71-004.00|29976|water for the Town|WATER UTILITY|2|Revenue Bonds|1997 Water Project|310000.00|16000.00 2022|St. Joseph|71|3|0863|2|NEW CARLISLE CIVIL TOWN|3|71-005.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2013|60000.00|60000.00 2022|St. Joseph|71|3|0863|2|NEW CARLISLE CIVIL TOWN|3|71-005.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2022|950000.00|25000.00 2022|St. Joseph|71|3|0863|2|NEW CARLISLE CIVIL TOWN|3|71-005.00|29977||ELECTRIC|2|Revenue Bonds|Electric Utility Revenue Bonds of 2007|190000.00|40000.00 2022|St. Joseph|71|3|0863|2|NEW CARLISLE CIVIL TOWN|3|71-005.00|29978||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2007|190000.00|90000.00 2022|St. Joseph|71|3|0864|2|NORTH LIBERTY CIVIL TOWN|3|71-006.00|29980||WASTEWATER|14|Other - Long Term|SRF|1946151.00|127000.00 2022|St. Joseph|71|3|0864|2|NORTH LIBERTY CIVIL TOWN|3|71-006.00|29981|Water Operations|WATER|2|Revenue Bonds|Waterworks Utility Revenue and Refunding of 2021|1194850.00|74160.00 2022|St. Joseph|71|3|0867|2|WALKERTON CIVIL TOWN|3|71-009.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2021|397000.00|83000.00 2022|St. Joseph|71|3|0867|2|WALKERTON CIVIL TOWN|3|71-009.00|0||Governmental Activities|14|Other - Long Term|2017 Ambulance|.00|.00 2022|St. Joseph|71|3|0867|2|WALKERTON CIVIL TOWN|3|71-009.00|0||Governmental Activities|14|Other - Long Term|AD VALOREM PROPERTY TAX LEASE RENTAL BONDS, SERIES 2013|1090000.00|85000.00 2022|St. Joseph|71|3|0867|2|WALKERTON CIVIL TOWN|3|71-009.00|0||Governmental Activities|2|Revenue Bonds|Park District Bonds of 2020|307000.00|85000.00 2022|St. Joseph|71|3|0867|2|WALKERTON CIVIL TOWN|3|71-009.00|29984|Wastewater utility|WASTEWATER|2|Revenue Bonds|Wastewater Sewage Works Bonds of 2014|2517000.00|50000.00 2022|St. Joseph|71|3|0867|2|WALKERTON CIVIL TOWN|3|71-009.00|29985|Water utility|WATER|2|Revenue Bonds|Water Tower / Distribution Improvement|.00|.00 2022|St. Joseph|71|3|0867|2|WALKERTON CIVIL TOWN|3|71-009.00|29985|Water utility|WATER|2|Revenue Bonds|Water Treatment Plant Water Bonds 2018|4152599.00|200352.00 2022|St. Joseph|71|4|7150||JOHN GLENN SCHOOL CORPORATION|5|71-011.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2011|| 2022|St. Joseph|71|4|7150||JOHN GLENN SCHOOL CORPORATION|5|71-011.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2019|| 2022|St. Joseph|71|4|7150||JOHN GLENN SCHOOL CORPORATION|5|71-011.00|0||Governmental Activities|1|General Obligation Bonds|Retirement/Severance Bonds-Pension 2002|| 2022|St. Joseph|71|4|7150||JOHN GLENN SCHOOL CORPORATION|5|71-011.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A2701 Technology Upgrades|| 2022|St. Joseph|71|4|7150||JOHN GLENN SCHOOL CORPORATION|5|71-011.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan A2913 Technology Upgrades|| 2022|St. Joseph|71|4|7150||JOHN GLENN SCHOOL CORPORATION|5|71-011.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan B0010 Technology Equipment|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2017|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2018|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Fall 2014|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Fall 2016|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Fall 2017|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Fall 2018|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Fall 2019|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Spring 2014|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Spring 2015|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Spring 2016|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Spring 2017|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Spring 2019|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology Springl 2018|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology STAA 2014|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology STAA 2016|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology STAA 2017|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology STAA 2018|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology STAA 2019|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Technology STAA 2020|| 2022|St. Joseph|71|4|7175||PENN-HARRIS-MADISON-SCHOOL CORPORATION|5|71-013.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|to cover debt in case our tax distribution came in late|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|1|General Obligation Bonds|Energy Saviings - 2011|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|1|General Obligation Bonds|Energy Savings - 2014|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: A0524|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: A0568|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: A0807|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: A2898|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: A2964|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: A2990|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: B0023|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: B0118|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: B0165|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: B0208|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: B0249|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: B0290|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: B0314|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: C0001|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSF Loan: C0016|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|2021 TAW|| 2022|St. Joseph|71|4|7200||MISHAWAKA CITY SCHOOL CORPORATION|5|71-012.00|0||Governmental Activities|14|Other - Long Term|Energy Savings - 2011 (QZAB)|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2018|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2019|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2020A|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2021A|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, series 2021B|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|1|General Obligation Bonds|Lincoln Primary School construction|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds Series 2006|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|14|Other - Long Term|Common School Fund Loan A1982|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|14|Other - Long Term|Common School Fund Loan B0133|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|14|Other - Long Term|Common School Fund Loan B0172|| 2022|St. Joseph|71|4|7205||SOUTH BEND COMMUNITY SCHOOL CORPORATION|5|71-014.00|0||Governmental Activities|14|Other - Long Term|Common School Loan B0292|| 2022|St. Joseph|71|4|7215||UNION-NORTH UNITED SCHOOL CORPORATION|5|71-015.00|0||Governmental Activities|1|General Obligation Bonds|2013 Bond- LaVille Elementary & Jr/Sr High School Needs|| 2022|St. Joseph|71|4|7215||UNION-NORTH UNITED SCHOOL CORPORATION|5|71-015.00|0||Governmental Activities|1|General Obligation Bonds|2017 Bond- LaVille Elementary & LaVille Jr./Sr. High School Needs|| 2022|St. Joseph|71|4|7215||UNION-NORTH UNITED SCHOOL CORPORATION|5|71-015.00|0||Governmental Activities|15|Other - Short Term|Fall 2017 Common School Loan|| 2022|St. Joseph|71|4|7215||UNION-NORTH UNITED SCHOOL CORPORATION|5|71-015.00|0||Governmental Activities|15|Other - Short Term|Spring 2017 Common School Loan|| 2022|St. Joseph|71|4|7215||UNION-NORTH UNITED SCHOOL CORPORATION|5|71-015.00|0||Governmental Activities|15|Other - Short Term|Spring 2018 Common School Loan|| 2022|St. Joseph|71|5|0203|2|MISHAWAKA PUBLIC LIBRARY|6|71-017.00|0||Governmental Activities|1|General Obligation Bonds|General Obligations Bond of 2017|585000.00|290000.00 2022|St. Joseph|71|5|0203|2|MISHAWAKA PUBLIC LIBRARY|6|71-017.00|0||Governmental Activities|1|General Obligation Bonds|General Obligations Bond of 2020|3590000.00|325000.00 2022|St. Joseph|71|5|0204|2|NEW CARLISLE PUBLIC LIBRARY|6|71-018.00|0||Governmental Activities|1|General Obligation Bonds|Renovation|990000.00|70000.00 2022|St. Joseph|71|5|0205|2|WALKERTON PUBLIC LIBRARY|6|71-020.00|0||Governmental Activities|1|General Obligation Bonds|New Library Building|415000.00|80000.00 2022|St. Joseph|71|5|0206|2|ST. JOSEPH COUNTY PUBLIC LIBRARY|6|71-019.00|0||Governmental Activities|1|General Obligation Bonds|Construction & equipping of new Community Education Center (Series 2018)|1735000.00|855000.00 2022|St. Joseph|71|5|0206|2|ST. JOSEPH COUNTY PUBLIC LIBRARY|6|71-019.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2020|4745000.00|70000.00 2022|St. Joseph|71|5|0206|2|ST. JOSEPH COUNTY PUBLIC LIBRARY|6|71-019.00|0||Governmental Activities|1|General Obligation Bonds|Renovation & construction of Main Library (Series 2019)|9185000.00|100000.00 2022|St. Joseph|71|6|0048|2|ST JOSEPH CO REGIONAL WATER SEWER|20|71-048.00|29704|Wastewater Utility|Wastewater Utility|2|Revenue Bonds|Sewage Works Revenue Bonds of 2009|288000.00|8000.00 2022|St. Joseph|71|6|0048|2|ST JOSEPH CO REGIONAL WATER SEWER|20|71-048.00|29704|Wastewater Utility|Wastewater Utility|2|Revenue Bonds|Sewage Works Revenue Bonds of 2011|1741000.00|143000.00 2022|St. Joseph|71|6|0048|2|ST JOSEPH CO REGIONAL WATER SEWER|20|71-048.00|29704|Wastewater Utility|Wastewater Utility|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020|2755166.04|50000.00 2022|St. Joseph|71|6|0866|2|ST. JOSEPH AIRPORT|25|71-042.00|0||Governmental Activities|1|General Obligation Bonds|2019 Refunding Bonds|5800000.00|970000.00 2022|St. Joseph|71|6|0867||SOUTH BEND PUBLIC TRANSPORTATION|14|71-035.00|0||Governmental Activities|15|Other - Short Term|Short Term Loan|| 2022|St. Joseph|71|6|0867||SOUTH BEND PUBLIC TRANSPORTATION|14|71-035.00|0||Governmental Activities|5|Lines of Credit|Operating Loan|| 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2018 Dodge Durango-Sheriff Commissary|.00|.00 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Highway 2020 Trucks x2, Paver,Trailers,Loader, Broce Broom Loan 4147|302897.04|302897.04 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Highway Equipment 2020|302897.04|302897.04 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Microvote General Corp|66489.47|66489.47 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Sheriff's 2019 Dodge Rams x3 -Loan 0910|32146.09|32146.09 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Sheriff's 2020 Dodge Durango & 2020 Ram x 2 - Loan 4976|30673.78|30673.78 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Sheriff's 2020 Dodge Durango x 3 - Loan - 9002|54537.35|54537.35 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Sheriff's 2020 Dodge Ram-Commissary-Loan 0955|9756.64|9756.64 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Sheriff's 2020 Jeep - Commissary - Loan -10955|8151.19|8151.19 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Dev Revenue Bond of 2014|4039737.50|4039737.50 2022|Scott|72|1|0000|2|SCOTT COUNTY|1|72-000.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds Series 2014 ATA|689000.00|689000.00 2022|Scott|72|3|0435|2|SCOTTSBURG CIVIL CITY|2|72-001.00|29988|Scottsburg Wastewater Treament|WASTEWATER|14|Other - Long Term|WWTP BOT Lease Agreement|14955000.00|410000.00 2022|Scott|72|3|0435|2|SCOTTSBURG CIVIL CITY|2|72-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Bond|7500000.00|450000.00 2022|Scott|72|3|0435|2|SCOTTSBURG CIVIL CITY|2|72-001.00|29989|Scottsburg Water Utility|WATER|2|Revenue Bonds|Waterworks Refunding Bond|1445000.00|115000.00 2022|Scott|72|3|0435|2|SCOTTSBURG CIVIL CITY|2|72-001.00|29989|Scottsburg Water Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bond 2019|918000.00|94000.00 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Austin Redev. project 2015 contract no. 1|687898.19|86016.75 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Austin Redev. project 2015 contract no. 2|38138.93|1637.56 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|29990|Wastewater Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Belt Filter Press|209624.47|40183.57 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2018 International 7400 Packer|23690.79| 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2021 Chevrolet Silverado Truck|37927.50| 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2022 Durango Pursuit Vehicle|39992.00| 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|John Deere Tractor with Side Cut|72677.24| 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|29990|Wastewater Utility|WASTEWATER|11|Notes and Loans Payable - Short Term|2023 SILVERADO|45931.00| 2022|Scott|72|3|0868|2|CITY OF AUSTIN|2|72-002.00|29990|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewage Refunding Revenue Bonds|4315000.00|135000.00 2022|Scott|72|4|7230||SCOTT COUNTY DISTRICT NO. 1 SCHOOL CORPORATION|5|72-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Building Corporation Bonds|| 2022|Scott|72|4|7230||SCOTT COUNTY DISTRICT NO. 1 SCHOOL CORPORATION|5|72-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Pension Bonds|| 2022|Scott|72|4|7230||SCOTT COUNTY DISTRICT NO. 1 SCHOOL CORPORATION|5|72-008.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School|| 2022|Scott|72|4|7255||SCOTT COUNTY DISTRICT NO. 2 SCHOOL CORPORATION|5|72-009.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds of 2020|| 2022|Scott|72|4|7255||SCOTT COUNTY DISTRICT NO. 2 SCHOOL CORPORATION|5|72-009.00|0||Governmental Activities|1|General Obligation Bonds|HVAC at SHS (GO 2016)|| 2022|Scott|72|6|0013|2|SCOTT COUNTY REGIONAL SEWER DISTRIC|21|72-013.00|30012|Regional sewer service|Sewer|2|Revenue Bonds|Revenue Bonds of 2001|147000.00|5000.00 2022|Scott|72|6|0013|2|SCOTT COUNTY REGIONAL SEWER DISTRIC|21|72-013.00|30012|Regional sewer service|Sewer|2|Revenue Bonds|Revenue Bonds of 2010|631284.00|60000.00 2022|Scott|72|7|0035|2|STUCKER FORK CONSERVANCY DISTRICT|28|72-012.00|29991||Water|2|Revenue Bonds|Taxable Waterworks Revenue Bonds, Series 2020|2360000.00|19000.00 2022|Scott|72|7|0035|2|STUCKER FORK CONSERVANCY DISTRICT|28|72-012.00|29991||Water|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2014|835000.00|270000.00 2022|Scott|72|7|0035|2|STUCKER FORK CONSERVANCY DISTRICT|28|72-012.00|29991||Water|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2020|4285000.00|230000.00 2022|Scott|72|7|0035|2|STUCKER FORK CONSERVANCY DISTRICT|28|72-012.00|29991||Water|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2014|4000000.00|.00 2022|Scott|72|7|0035|2|STUCKER FORK CONSERVANCY DISTRICT|28|72-012.00|29991||Water|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2017|2475000.00|115000.00 2022|Shelby|73|1|0000|2|SHELBY COUNTY|1|73-000.00|0||Governmental Activities|1|General Obligation Bonds|Geo Bond - Annex II|4306534.97|.00 2022|Shelby|73|1|0000|2|SHELBY COUNTY|1|73-000.00|0||Governmental Activities|1|General Obligation Bonds|Geo Bond - Highway Department|5815000.00|.00 2022|Shelby|73|1|0000|2|SHELBY COUNTY|1|73-000.00|0||Governmental Activities|1|General Obligation Bonds|Indiana Redevelopment District Bond 2021|7720000.00|320000.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|1|General Obligation Bonds|2011 Park Project Phase II Park Bond #3|735000.00|60000.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|1|General Obligation Bonds|2011-Park Project-Phase II-Redev. Bond|740000.00|70000.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|1|General Obligation Bonds|2016-Bond #5 Blue River Trails|1180000.00|420000.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|1|General Obligation Bonds|2018 Redevelopment BAN|2000000.00|.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|1|General Obligation Bonds|2018-New Maintenance Bldg & Upgrade Sewer Lines at BRMP|1010000.00|100000.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|1|General Obligation Bonds|2018-Park Project-Const. & Engr.,Purchase land-Wal-Mart TIF|1160000.00|280000.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|2|Revenue Bonds|2014-Cumulative Thoroughfare-Progress Parkway|830000.00|170000.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|2|Revenue Bonds|2019 - Tax Increment Revenue Bonds - Knauf Project|4873046.00|969404.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|0||Governmental Activities|2|Revenue Bonds|2022 Taxable Economic Dev Tax Inc Rev Bond (BH Pool, LP Project)|3200000.00|.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|29273||WASTEWATER|2|Revenue Bonds|2016-Improvements & Extension to the Utility|2130000.00|420000.00 2022|Shelby|73|3|0308|2|SHELBYVILLE CIVIL CITY|2|73-001.00|29993||STORM WATER|2|Revenue Bonds|2014-Infrastructure Improvements-Refinanced 2 Bonds-of Sew. Wrks 2003 & EDIT Bond of 2001|370000.00|170000.00 2022|Shelby|73|3|0869|2|MORRISTOWN CIVIL TOWN|3|73-002.00|29275|Provide wastewater disposal for customers.|MORRISTOWN WASTEWATER UTILITY|2|Revenue Bonds|2017 Refunding Revenue Bonds, 2017|3640000.00|415000.00 2022|Shelby|73|3|0869|2|MORRISTOWN CIVIL TOWN|3|73-002.00|29275|Provide wastewater disposal for customers.|MORRISTOWN WASTEWATER UTILITY|2|Revenue Bonds|Refunding Revenue Bonds, 2014|1265000.00|80000.00 2022|Shelby|73|3|0869|2|MORRISTOWN CIVIL TOWN|3|73-002.00|29276|Provide water service to customers.|MORRISTOWN MUNICIPAL WATER UTILITY|2|Revenue Bonds|2018 WaterWorks Revenue Bonds|3585000.00|167000.00 2022|Shelby|73|4|7285||SHELBY EASTERN SCHOOL CORPORATION|5|73-020.00|0||Governmental Activities|1|General Obligation Bonds|School Bonds|| 2022|Shelby|73|4|7360||SOUTHWESTERN CONSOLIDATED SHELBY COUNTY SCHOOLS|5|73-022.00|0||Governmental Activities|14|Other - Long Term|Ad Valorem Property Tax First Mortgage Bond, Series 2016|| 2022|Shelby|73|4|7360||SOUTHWESTERN CONSOLIDATED SHELBY COUNTY SCHOOLS|5|73-022.00|0||Governmental Activities|14|Other - Long Term|Ad Valorem Property Tax First Mortgage Bond, Series 2020|| 2022|Shelby|73|4|7365||SHELBYVILLE CENTRAL SCHOOL CORPORATION|5|73-021.00|0||Governmental Activities|1|General Obligation Bonds|2014 GO Renovation projects|| 2022|Shelby|73|4|7365||SHELBYVILLE CENTRAL SCHOOL CORPORATION|5|73-021.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO projects|| 2022|Shelby|73|5|0208|2|SHELBY COUNTY PUBLIC LIBRARY|6|73-023.00|0||Governmental Activities|1|General Obligation Bonds|Bond & Interest Redemption|1368125.00|416050.00 2022|Shelby|73|6|1013|2|SHELBY COUNTY RECYCLING DISTRICT|16|73-028.00|0||Governmental Activities|1|General Obligation Bonds|Construction of Building|3395000.00|255898.00 2022|Shelby|73|6|1150||MAJOR HEALTH PARTNERS|4|73-024.00|0||Governmental Activities|2|Revenue Bonds|Hospital Revenue Bonds, Series 2018|| 2022|Shelby|73|6|1150||MAJOR HEALTH PARTNERS|4|73-024.00|0||Governmental Activities|2|Revenue Bonds|Major Hospital Project - Series 2009 Bonds|| 2022|Shelby|73|6|1150||MAJOR HEALTH PARTNERS|4|73-024.00|0||Governmental Activities|2|Revenue Bonds|Series 2014 A Major Hospital Project|| 2022|Shelby|73|7|0036|2|WALDRON CONSERVANCY DISTRICT|27|73-027.00|29278|water|Water|1|General Obligation Bonds|new water plant|7500.00|.00 2022|Shelby|73|7|0036|2|WALDRON CONSERVANCY DISTRICT|27|73-027.00|29278|water|Water|1|General Obligation Bonds|new water tower|53100.00|9000.00 2022|Spencer|74|1|0000|2|SPENCER COUNTY|1|74-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 G4500 Chevy Ambulance Chassis|71706.43|33897.36 2022|Spencer|74|1|0000|2|SPENCER COUNTY|1|74-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Highway Department Distributor Truck|53830.57|53830.57 2022|Spencer|74|1|0000|2|SPENCER COUNTY|1|74-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Spencer County EMA / solid Waste New Building Loan|74594.14|74594.14 2022|Spencer|74|2|0009|2|OHIO TOWNSHIP|7|74-015.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck Loan|415459.00|115620.00 2022|Spencer|74|3|0458|2|ROCKPORT CIVIL CITY|2|74-001.00|29279|Wastewater Utility- Sewer|SEWER|2|Revenue Bonds|SEWAGE WORKS REVENUE BONDS OF 2015|973475.50|70000.00 2022|Spencer|74|3|0458|2|ROCKPORT CIVIL CITY|2|74-001.00|29280|Water Utility-Water|WATER|2|Revenue Bonds|ROCKPORT WATERWORKS REFUNDING REV BONDS OF 2005|338677.00|110000.00 2022|Spencer|74|3|0458|2|ROCKPORT CIVIL CITY|2|74-001.00|29280|Water Utility-Water|WATER|2|Revenue Bonds|WATER REV BONDS 2017|755983.75|144120.00 2022|Spencer|74|3|0870|2|CHRISNEY CIVIL TOWN|3|74-002.00|29639|Wastewater operations|Sewer Fund|2|Revenue Bonds|Sewer . Series 2000 B|79000.00|3000.00 2022|Spencer|74|3|0870|2|CHRISNEY CIVIL TOWN|3|74-002.00|29639|Wastewater operations|Sewer Fund|2|Revenue Bonds|Sewer, Series 2000A|108000.00|4000.00 2022|Spencer|74|3|0870|2|CHRISNEY CIVIL TOWN|3|74-002.00|29640|Water operations|Water Fund|2|Revenue Bonds|Water Series 1996|193000.00|11000.00 2022|Spencer|74|3|0870|2|CHRISNEY CIVIL TOWN|3|74-002.00|29640|Water operations|Water Fund|2|Revenue Bonds|Water Series 2022|1277000.00|31347.00 2022|Spencer|74|3|0871|2|DALE CIVIL TOWN|3|74-003.00|29281||WASTEWATER|2|Revenue Bonds|sewage works refunding revenue bonds, series 2014|479000.00|193000.00 2022|Spencer|74|3|0871|2|DALE CIVIL TOWN|3|74-003.00|29281||WASTEWATER|2|Revenue Bonds|sewage works revenue bonds, series 2022|2128070.00|1000.00 2022|Spencer|74|3|0871|2|DALE CIVIL TOWN|3|74-003.00|29282||WATER|2|Revenue Bonds|water works bond 2016|1135000.00|22000.00 2022|Spencer|74|3|0872|2|GENTRYVILLE CIVIL TOWN|3|74-004.00|29283|sewer utility|WASTEWATER|2|Revenue Bonds|Sewer System / Sreies A and Series B|353000.00|15000.00 2022|Spencer|74|3|0872|2|GENTRYVILLE CIVIL TOWN|3|74-004.00|29284|water utility|WATER|2|Revenue Bonds|Water System Improvements 2015|191000.00|14000.00 2022|Spencer|74|3|0873||GRANDVIEW CIVIL TOWN|3|74-005.00|29287|Public Utility|GAS|1|General Obligation Bonds|Bond Anticipation Note|| 2022|Spencer|74|3|0873||GRANDVIEW CIVIL TOWN|3|74-005.00|29285|Public Utility|WASTEWATER|2|Revenue Bonds|Wastewater Utility|| 2022|Spencer|74|3|0874|2|SANTA CLAUS CIVIL TOWN|3|74-006.00|0||Governmental Activities|2|Revenue Bonds|Amusement & Commercial Economic Deveolpment|1425000.00|125000.00 2022|Spencer|74|3|0874|2|SANTA CLAUS CIVIL TOWN|3|74-006.00|29288|sewer|WASTEWATER|2|Revenue Bonds|2021 WASTEWATER BONDS|4570000.00|190000.02 2022|Spencer|74|3|0874|2|SANTA CLAUS CIVIL TOWN|3|74-006.00|29289|water|WATER|2|Revenue Bonds|WATERWORKS REFUNDING REVENUE BONDS SERIES 2021|5060000.00|210000.00 2022|Spencer|74|4|7385||NORTH SPENCER COUNTY SCHOOL CORPORATION|5|74-017.00|0||Governmental Activities|1|General Obligation Bonds|School Severence 2013A Refunding|| 2022|Spencer|74|6|0025|2|MARIAH HILL REGIONAL SEWER DISTRICT|21|74-025.00|30351|Sewage|Wastewater|10|Notes and Loans Payable - Long Term|Installment Payments|62916.82|34500.00 2022|Spencer|74|6|0026|2|LUCE TWP REGIONAL SEWER DISTRICT|21|74-026.00|29667|Regional Sewage District|Luce Township Rural Sewer District|2|Revenue Bonds|Sewage Works Revenue Bonds of 2010|804000.00|162500.00 2022|Spencer|74|6|0028|2|FULDA REGIONAL SEWER DISTRICT|21|74-028.00|30013|Sewer Usage|Fulda Regional Sewer District|1|General Obligation Bonds|2004 SRF Loan|52837.00|25381.00 2022|Spencer|74|6|0960||CARTER FIRE PROTECTION DISTRICT|18|74-027.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Building Loan|| 2022|Starke|75|1|0000||STARKE COUNTY|1|75-000.00|0||Governmental Activities|1|General Obligation Bonds|Jail Construction|| 2022|Starke|75|2|0002|2|CENTER TOWNSHIP|7|75-005.00|0||Governmental Activities|1|General Obligation Bonds|Fire Debt|168333.33|100000.00 2022|Starke|75|2|0003|2|DAVIS TOWNSHIP|7|75-006.00|0||Governmental Activities|1|General Obligation Bonds|Ad Valorem Property Tax Lease Rental Bonds of 2014|494000.00|65000.00 2022|Starke|75|2|0006||OREGON TOWNSHIP|7|75-009.00|0||Governmental Activities|1|General Obligation Bonds|Purchase of fire apparatus|| 2022|Starke|75|2|0008||WASHINGTON TOWNSHIP|7|75-011.00|0||Governmental Activities|1|General Obligation Bonds|2008 Rescue / Pumper|| 2022|Starke|75|3|0449|2|KNOX CIVIL CITY|2|75-001.00|0||Governmental Activities|1|General Obligation Bonds|Payment of Fire Truck|555000.00|105000.00 2022|Starke|75|3|0449|2|KNOX CIVIL CITY|2|75-001.00|29291|Wastewater service to customers|WASTEWATER|2|Revenue Bonds|Wastewater Improvements|2455000.00|130000.00 2022|Starke|75|3|0449|2|KNOX CIVIL CITY|2|75-001.00|29292|Water Service to customers|WATER|2|Revenue Bonds|Waterworks Improvements|645000.00|130000.00 2022|Starke|75|3|0875|2|HAMLET CIVIL TOWN|3|75-002.00|29293|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Upgrade wastewater facilities|1020000.00|50000.00 2022|Starke|75|3|0876|2|NORTH JUDSON CIVIL TOWN|3|75-003.00|29295|Sewer services|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020, Series A|3709000.00|78000.00 2022|Starke|75|3|0876|2|NORTH JUDSON CIVIL TOWN|3|75-003.00|29295|Sewer services|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2020, Series B|309000.00|6000.00 2022|Starke|75|3|0876|2|NORTH JUDSON CIVIL TOWN|3|75-003.00|29296|Water servces|WATER|2|Revenue Bonds|2008 Water Bond|30000.00|30000.00 2022|Starke|75|3|0876|2|NORTH JUDSON CIVIL TOWN|3|75-003.00|29296|Water servces|WATER|2|Revenue Bonds|2018 Water Bond|1580000.00|1000.00 2022|Starke|75|4|7515||NORTH JUDSON-SAN PIERRE SCHOOL CORPORATION|5|75-015.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|| 2022|Starke|75|4|7515||NORTH JUDSON-SAN PIERRE SCHOOL CORPORATION|5|75-015.00|0||Governmental Activities|1|General Obligation Bonds|Pension/Severance Bond|| 2022|Starke|75|4|7515||NORTH JUDSON-SAN PIERRE SCHOOL CORPORATION|5|75-015.00|0||Governmental Activities|14|Other - Long Term|First Mortgage Bonds, Series 2017|| 2022|Starke|75|4|7515||NORTH JUDSON-SAN PIERRE SCHOOL CORPORATION|5|75-015.00|0||Governmental Activities|14|Other - Long Term|First Mortgage Bonds, Series 2021|| 2022|Starke|75|4|7525||KNOX COMMUNITY SCHOOL CORPORATION|5|75-013.00|0||Governmental Activities|1|General Obligation Bonds|Common School Loan|| 2022|Starke|75|4|7525||KNOX COMMUNITY SCHOOL CORPORATION|5|75-013.00|0||Governmental Activities|1|General Obligation Bonds|Holding company 2018 & 2000|| 2022|Starke|75|4|7525||KNOX COMMUNITY SCHOOL CORPORATION|5|75-013.00|0||Governmental Activities|1|General Obligation Bonds|Holding Company 2020|| 2022|Starke|75|4|7525||KNOX COMMUNITY SCHOOL CORPORATION|5|75-013.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond|| 2022|Starke|75|4|7525||KNOX COMMUNITY SCHOOL CORPORATION|5|75-013.00|0||Governmental Activities|1|General Obligation Bonds|QSCB|| 2022|Starke|75|5|0214|2|STARKE COUNTY PUBLIC LIBRARY|6|75-016.00|0||Governmental Activities|1|General Obligation Bonds|Expansion and remodel of main building|848591.00|123124.00 2022|Starke|75|6|0025|2|KOONTZ LAKE REG SEWER|21|75-025.00|29668|collection and treatment system|Koontz Lake Regional Sewer District|2|Revenue Bonds|construction of wastewater system|4652000.00|108000.00 2022|Starke|75|7|0037|2|BAILEY-COX-NEWTSON CONSERVANCY DISTRICT|28|75-019.00|0||Governmental Activities|1|General Obligation Bonds|Conservancy District Refunding Bonds of 2003|.00|.00 2022|Steuben|76|1|0000|2|STEUBEN COUNTY|1|76-000.00|0||Governmental Activities|1|General Obligation Bonds|Motorola Public Safety Communications System|1030000.00|1030000.00 2022|Steuben|76|3|0429|2|ANGOLA CIVIL CITY|2|76-001.00|29297|Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2010, Series A|185000.00|130000.00 2022|Steuben|76|3|0429|2|ANGOLA CIVIL CITY|2|76-001.00|29297|Utility|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2010, Series B|1312500.00|175000.00 2022|Steuben|76|3|0429|2|ANGOLA CIVIL CITY|2|76-001.00|29298|Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2012|.00|.00 2022|Steuben|76|3|0429|2|ANGOLA CIVIL CITY|2|76-001.00|29298|Utility|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2015|1765000.00|230000.00 2022|Steuben|76|3|0586|2|ASHLEY CIVIL TOWN|3|76-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|IBrightmark Improvement Project|1500000.00|.00 2022|Steuben|76|3|0586|2|ASHLEY CIVIL TOWN|3|76-002.00|29300|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sewer Treatment Improvements|1698000.00|48000.00 2022|Steuben|76|3|0586|2|ASHLEY CIVIL TOWN|3|76-002.00|29301|Water Utility|WATER|2|Revenue Bonds|Water Treatment Improvements|139000.00|68000.00 2022|Steuben|76|3|0878|2|FREMONT CIVIL TOWN|3|76-004.00|0||Governmental Activities|1|General Obligation Bonds|Fire Truck|.00|.00 2022|Steuben|76|3|0878|2|FREMONT CIVIL TOWN|3|76-004.00|29304||WASTEWATER|2|Revenue Bonds|2019 Wastewater|3375000.00|155000.00 2022|Steuben|76|3|0879|2|HAMILTON CIVIL TOWN|3|76-005.00|29306||WATER|1|General Obligation Bonds|water utility bond for towers and water plant|931000.00|120000.00 2022|Steuben|76|3|0880|0|HUDSON CIVIL TOWN|3|76-006.00|29307|Sewer purchase|WASTEWATER|2|Revenue Bonds|2005 Ashley Sewage Works|15888.72|9273.60 2022|Steuben|76|3|0881|2|ORLAND CIVIL TOWN|3|76-007.00|29309|water for the town of orland|WATER|1|General Obligation Bonds|BOND AND INTEREST|142620.00|26000.00 2022|Steuben|76|4|7605||FREMONT COMMUNITY SCHOOL CORPORATION|5|76-020.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2014 B General Renovation Projects|| 2022|Steuben|76|4|7605||FREMONT COMMUNITY SCHOOL CORPORATION|5|76-020.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2017 General Renovation Projects|| 2022|Steuben|76|4|7605||FREMONT COMMUNITY SCHOOL CORPORATION|5|76-020.00|0||Governmental Activities|1|General Obligation Bonds|GO Bond 2018 General Renovation Projects|| 2022|Steuben|76|4|7610||HAMILTON COMMUNITY SCHOOL CORPORATION|5|76-022.00|0||Governmental Activities|1|General Obligation Bonds|General Bond|| 2022|Steuben|76|4|7615||M.S.D. STEUBEN COUNTY SCHOOL CORPORATION|5|76-021.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds|| 2022|Steuben|76|4|7615||M.S.D. STEUBEN COUNTY SCHOOL CORPORATION|5|76-021.00|0||Governmental Activities|1|General Obligation Bonds|Pension Obligation Bonds|| 2022|Steuben|76|4|7615||M.S.D. STEUBEN COUNTY SCHOOL CORPORATION|5|76-021.00|0||Governmental Activities|14|Other - Long Term|Common School Loans|| 2022|Steuben|76|5|0215|2|CARNEGIE PUBLIC LIBRARY OF STEUBEN COUNT|6|76-023.00|0||Governmental Activities|1|General Obligation Bonds|Building expansion|.00|.00 2022|Steuben|76|5|0215|2|CARNEGIE PUBLIC LIBRARY OF STEUBEN COUNT|6|76-023.00|0||Governmental Activities|1|General Obligation Bonds|Remodel project|2350000.00|225000.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|10|Notes and Loans Payable - Long Term|2018 BOND ANTICIPATION NOTE|.00|.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|10|Notes and Loans Payable - Long Term|2019 BOND ANTICIPATION NOTE|2500000.00|.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|10|Notes and Loans Payable - Long Term|BAN A|2250000.00|2250000.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|10|Notes and Loans Payable - Long Term|BAN B|650000.00|.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|10|Notes and Loans Payable - Long Term|BAN C|650000.00|.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|2|Revenue Bonds|2009 USDA ORLAND BOND|.00|.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|2|Revenue Bonds|2014 REVENUE BOND|390000.00|390000.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|2|Revenue Bonds|2017 REVENUE BOND|748000.00|748000.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|2|Revenue Bonds|2018 REVENUE BOND|1190000.00|26000.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|2|Revenue Bonds|2019 REVENUE BOND|1079000.00|52000.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|2|Revenue Bonds|2020 REVENUE BOND (2009)|2810000.00|80000.00 2022|Steuben|76|6|0026|2|STEUBEN LAKES REGIONAL WASTE DISTRICT|21|76-026.00|30044|WASTEWATER|WASTEWATER|2|Revenue Bonds|2020 REVENUE BOND (2014)|37480000.00|440000.00 2022|Steuben|76|6|0033||HELMER REGIONAL SEWER DISTRICT|21|76-033.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|USDA LOAN|| 2022|Steuben|76|6|0036||HAMILTON LAKE CONSERVANCY DIST-SEWA|27|76-036.00|30038|Wastewater|Hamilton Lake Conservancy District|2|Revenue Bonds|SRF Loan|| 2022|Sullivan|77|2|0001|2|CASS TOWNSHIP|7|77-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Purchase of a 2019 International pumper firetruck|248007.20|39281.81 2022|Sullivan|77|2|0002|2|CURRY TOWNSHIP|7|77-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Protection Territory Building|227503.15|227503.15 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2017 Hyundai Excavator|.00|.00 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2017 Silverdao|.00|.00 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2019 Silverado|23201.81|11358.13 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Durango|24228.90|11907.00 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Silverado|40788.52|13061.29 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|30 W Washington St|402716.28|31688.74 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Blacktop 2 2018|99848.80|99848.80 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Blacktop 3 2019|308170.22|102319.72 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire SUV|11050.25|11024.35 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Lawn Mowers|.00|.00 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Police Cars 2|22840.86|22773.00 2022|Sullivan|77|3|0438|2|SULLIVAN CIVIL CITY|2|77-001.00|29310||WASTEWATER|10|Notes and Loans Payable - Long Term|State Revolving Wastewater 2006 & 2019|3740970.00|482000.00 2022|Sullivan|77|3|0882|2|CARLISLE CIVIL TOWN|3|77-002.00|29312|charge for sale of water to customers|WATER|2|Revenue Bonds|finance water utility project|3011000.00|131000.00 2022|Sullivan|77|3|0882|2|CARLISLE CIVIL TOWN|3|77-002.00|30428|charge for storm water service|STORM WATER|2|Revenue Bonds|finance storm water project|205000.00|10000.00 2022|Sullivan|77|3|0883|2|DUGGER CIVIL TOWN|3|77-003.00|29313|SEWER PLANT OPERATION|WASTEWATER|15|Other - Short Term|Sewage Works Revenue Bonds of 2009-Series A|.00| 2022|Sullivan|77|3|0883|2|DUGGER CIVIL TOWN|3|77-003.00|29313|SEWER PLANT OPERATION|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2009-Series A|.00|.00 2022|Sullivan|77|3|0884|2|FARMERSBURG CIVIL TOWN|3|77-004.00|0||Governmental Activities|1|General Obligation Bonds|SEWER REHAB|303000.00|8000.00 2022|Sullivan|77|3|0884|2|FARMERSBURG CIVIL TOWN|3|77-004.00|0||Governmental Activities|1|General Obligation Bonds|SEWER REHAB|474000.00|11000.00 2022|Sullivan|77|3|0884|2|FARMERSBURG CIVIL TOWN|3|77-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|SEWER REHAB|116803.71|36000.00 2022|Sullivan|77|3|0885|2|HYMERA CIVIL TOWN|3|77-005.00|30240|WASTEWATER UTILITY|WASTEWATER UTILITY|2|Revenue Bonds|State revolving fund loan|595927.15|73000.00 2022|Sullivan|77|3|0887|2|SHELBURN CIVIL TOWN|3|77-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2019 Police Car|10721.00|6250.39 2022|Sullivan|77|3|0887|2|SHELBURN CIVIL TOWN|3|77-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2020 Police SUV|35498.00|9683.14 2022|Sullivan|77|3|0887|2|SHELBURN CIVIL TOWN|3|77-007.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2021 Chevy Truck|24007.00|6698.00 2022|Sullivan|77|3|0887|2|SHELBURN CIVIL TOWN|3|77-007.00|0||Governmental Activities|2|Revenue Bonds|Sewer System Improvements|1066000.00|25000.00 2022|Sullivan|77|3|0887|2|SHELBURN CIVIL TOWN|3|77-007.00|0||Governmental Activities|2|Revenue Bonds|Storm Water System Improvements|650000.00|15000.00 2022|Sullivan|77|4|7645||NORTHEAST SCHOOL CORPORATION|5|77-017.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bonds|| 2022|Sullivan|77|4|7715||SOUTHWEST SCHOOL CORPORATION|5|77-018.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds|| 2022|Sullivan|77|4|7715||SOUTHWEST SCHOOL CORPORATION|5|77-018.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|SHS Bleachers|| 2022|Sullivan|77|6|1150||SULLIVAN COUNTY COMMUNITY HOSPITAL|4|77-024.00|0||Governmental Activities|2|Revenue Bonds|Renovations|| 2022|Sullivan|77|7|0038|2|ISLAND LEVEE CONSERVANCY DISTRICT|28|77-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|operations upgrades|20000.00|20000.00 2022|Sullivan|77|8|0400|2|Shelburn Redevelopment Authority|36|77-400.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Authority Taxable Lease Rental Bonds 2017|816000.00|48000.00 2022|Sullivan|77|8|0400|2|Shelburn Redevelopment Authority|36|77-400.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment Authority Taxable Lease Rental Bonds 2020|2366000.00|112000.00 2022|Switzerland|78|3|0888|2|PATRIOT CIVIL TOWN|3|78-002.00|29319|Water Distribution System|WATER UTILITY|2|Revenue Bonds|revenue bonds|.00|.00 2022|Switzerland|78|3|0888|2|PATRIOT CIVIL TOWN|3|78-002.00|29319|Water Distribution System|WATER UTILITY|2|Revenue Bonds|revenue bonds|4145231.38|390000.00 2022|Switzerland|78|4|7775||SWITZERLAND COUNTY SCHOOL CORPORATION|5|78-010.00|0||Governmental Activities|1|General Obligation Bonds|Jefferson Craig Addition 2015|| 2022|Switzerland|78|4|7775||SWITZERLAND COUNTY SCHOOL CORPORATION|5|78-010.00|0||Governmental Activities|1|General Obligation Bonds|Jefferson Craig QZAB Bonds 2009|| 2022|Switzerland|78|4|7775||SWITZERLAND COUNTY SCHOOL CORPORATION|5|78-010.00|0||Governmental Activities|14|Other - Long Term|Middle School Common School Fund 1999|| 2022|Tippecanoe|79|1|0000|2|TIPPECANOE COUNTY|1|79-000.00|0||Governmental Activities|2|Revenue Bonds|Fairgrounds EDIT Bond|15570000.00|1180000.00 2022|Tippecanoe|79|2|0012|2|WAYNE TOWNSHIP|7|79-021.00|0||Governmental Activities|1|General Obligation Bonds|Ambulance|107725.51|53748.00 2022|Tippecanoe|79|2|0013|2|WEA TOWNSHIP|7|79-022.00|0||Governmental Activities|1|General Obligation Bonds|Fire Vehicles|977000.00|115000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|1|General Obligation Bonds|2018 Park District Bonds|11025000.00|540000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2010C Redevelopment Lease Rental Refunding Bonds|290000.00|290000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2012 Redevelopment District Refunding Revenue Bonds|560000.00|220000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2013A Redevelopment Lease Rental Refunding Bonds|555000.00|155000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2013B Redevelopment Lease Rental Refunding Bonds|1305000.00|360000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2014 Lease Rental Consolidated TIF Bonds|.00|.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2014 Redevelopment District Bonds [Twyckenham]|5185000.00|135000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2017 Economic Dvpt Subord TIF Revenue Bonds|605000.00|605000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2019 Local Income Tax Revenue Bonds [Loeb Stadium]|16585000.00|425000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2020 Taxable Econ Dvpt Subord Revenue Bonds (Ellsworth)|3435000.00|.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2021 Taxable Econ Dvpt Subord Rev and Ref Bonds|9568000.00|336000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2021A Lease Rental Revenue Bonds|45000000.00|920000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2021B Lease Rental Revenue Bonds|9275000.00|315000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2022 Redevelopment Subord TIF Revenue Bonds|16000000.00|685000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|0||Governmental Activities|2|Revenue Bonds|2022 Redevelopment Taxable Convertible LR Refunding Bonds|13735000.00|280000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30035|Water Utility|Water Fund|2|Revenue Bonds|Water Works Revenue Bonds of 2018|16375000.00|820000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30036|Wastewater & Storm Utility|Water Pollution Control|2|Revenue Bonds|2013 Sewage Works Refunding Revenue Bonds|.00|.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30036|Wastewater & Storm Utility|Water Pollution Control|2|Revenue Bonds|2013 Sewage Works Revenue Bonds (Durkees Run)|.00|.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30036|Wastewater & Storm Utility|Water Pollution Control|2|Revenue Bonds|2014 Sewage Works Revenue Bonds|475000.00|475000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30036|Wastewater & Storm Utility|Water Pollution Control|2|Revenue Bonds|2016 Sewage Works Refunding Revenue Bonds|13290000.00|3595000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30036|Wastewater & Storm Utility|Water Pollution Control|2|Revenue Bonds|2017 Sewage Works Revenue Bonds|45665000.00|2240000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30036|Wastewater & Storm Utility|Water Pollution Control|2|Revenue Bonds|2021-A Sewage Works Refunding Revenue Bonds|1615000.00|.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30036|Wastewater & Storm Utility|Water Pollution Control|2|Revenue Bonds|2021-B Taxable Sewage Works Refunding Revenue Bonds|35230000.00|2805000.00 2022|Tippecanoe|79|3|0109|2|LAFAYETTE CIVIL CITY|2|79-001.00|30036|Wastewater & Storm Utility|Water Pollution Control|2|Revenue Bonds|2021-C Sewage Works Revenue Bonds|10235000.00|480000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|11|Notes and Loans Payable - Short Term|2019 Freightliner VT651 Street Sweeper|109929.00| 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|11|Notes and Loans Payable - Short Term|2019 Heil Sanitation Truck|.00| 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|11|Notes and Loans Payable - Short Term|Vactor Model 2115|135083.00| 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|0||Governmental Activities|2|Revenue Bonds|2011 WL Building Corp. First Mortgage Lease Rental Refunding Bonds - Police Station|225000.00|225000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|0||Governmental Activities|2|Revenue Bonds|2012 WL Economic Development Revenue Bonds (Metro FiberNet Project)|2240000.00|.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|0||Governmental Activities|2|Revenue Bonds|2015 WL Redevelopment District Tax Increment Revenue Bonds (KCB)|210000.00|10000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|0||Governmental Activities|2|Revenue Bonds|2015 WL Redevelopment District Tax Increment Revenue Bonds (Levee/Village)|210000.00|10000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|0||Governmental Activities|2|Revenue Bonds|2015 WL Redevelopment District Tax Increment Revenue Bonds (Sagamore)|210000.00|10000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|0||Governmental Activities|2|Revenue Bonds|2016 WL Taxable Economic Development Bonds (State Street)|51150000.00|1765000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bond 2017 - Refunded SRF 2006|4355000.00|675000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds 2014 - Refunded 2004B Bonds|7510000.00|1815000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds Series 2013|.00|.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2014 - Main Extension & Treatment Plant Upgrades|2050000.00|235000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2014B - Lift Station & Force Main|1725000.00|130000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2016 - CSO|16645000.00|645000.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds 2022 - River Road CSO-Dehart|7630000.00|.00 2022|Tippecanoe|79|3|0302|2|WEST LAFAYETTE CIVIL CITY|2|79-002.00|29322|Wastewater, Trash, Fats Oils Grease (FOG)|WASTEWATER|2|Revenue Bonds|Sewage Works SRF 2012 - Regional Lift Station & Force Main|2825000.00|240000.00 2022|Tippecanoe|79|3|0890|2|BATTLE GROUND CIVIL TOWN|3|79-003.00|29323|municipal sanitary sewer system|WASTEWATER|14|Other - Long Term|BOT Lease - lift station and sewer main|2900000.00|50000.00 2022|Tippecanoe|79|3|0890|2|BATTLE GROUND CIVIL TOWN|3|79-003.00|29323|municipal sanitary sewer system|WASTEWATER|2|Revenue Bonds|SRF Loan for Sewage Plant Upgrade|1952297.05|139000.00 2022|Tippecanoe|79|3|0891|2|CLARKS HILL CIVIL TOWN|3|79-004.00|29725|sewer|Town of Clarks Hill Sewer|11|Notes and Loans Payable - Short Term|SEWER PLANT IMPROVEMENTS|61854.27| 2022|Tippecanoe|79|3|0957||DAYTON CIVIL TOWN|3|79-005.00|0||Governmental Activities|1|General Obligation Bonds|Town Hall Building|| 2022|Tippecanoe|79|3|0957||DAYTON CIVIL TOWN|3|79-005.00|29327|town water|WATER|2|Revenue Bonds|2013 Water Refunding Bonds|| 2022|Tippecanoe|79|3|0964|2|SHADELAND CIVIL TOWN|3|79-006.00|0||Governmental Activities|1|General Obligation Bonds|NEW TOWN HALL COMPLEX|1305000.00|85000.00 2022|Tippecanoe|79|4|7855||LAFAYETTE SCHOOL CORPORATION|5|79-029.00|0||Governmental Activities|1|General Obligation Bonds|Construction/Equipment|| 2022|Tippecanoe|79|4|7855||LAFAYETTE SCHOOL CORPORATION|5|79-029.00|0||Governmental Activities|14|Other - Long Term|Construction/Equipment|| 2022|Tippecanoe|79|4|7865||TIPPECANOE SCHOOL CORPORATION|5|79-030.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2014-B|| 2022|Tippecanoe|79|4|7865||TIPPECANOE SCHOOL CORPORATION|5|79-030.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2017|| 2022|Tippecanoe|79|4|7865||TIPPECANOE SCHOOL CORPORATION|5|79-030.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2019A|| 2022|Tippecanoe|79|4|7865||TIPPECANOE SCHOOL CORPORATION|5|79-030.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2020A|| 2022|Tippecanoe|79|4|7865||TIPPECANOE SCHOOL CORPORATION|5|79-030.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2021A|| 2022|Tippecanoe|79|4|7865||TIPPECANOE SCHOOL CORPORATION|5|79-030.00|0||Governmental Activities|14|Other - Long Term|Common School Fund Loan A1955|| 2022|Tippecanoe|79|4|7865||TIPPECANOE SCHOOL CORPORATION|5|79-030.00|0||Governmental Activities|14|Other - Long Term|Common School Fund Loan A1983|| 2022|Tippecanoe|79|4|7865||TIPPECANOE SCHOOL CORPORATION|5|79-030.00|0||Governmental Activities|14|Other - Long Term|Common School Fund Loan A2876|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#1960|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#2798|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#A2977|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#A2993|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#B0032|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#B0094|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#B0124|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#B0177|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#B0181|| 2022|Tippecanoe|79|4|7875||WEST LAFAYETTE COMMUNITY SCHOOL CORPORATION|5|79-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|CSL#B0216|| 2022|Tippecanoe|79|5|0221||WEST LAFAYETTE PUBLIC LIBRARY|6|79-009.00|0||Governmental Activities|1|General Obligation Bonds|Library construction project 2003-2004|| 2022|Tippecanoe|79|5|0221||WEST LAFAYETTE PUBLIC LIBRARY|6|79-009.00|0||Governmental Activities|1|General Obligation Bonds|Library construction project 2019 bonds|| 2022|Tippecanoe|79|5|0221||WEST LAFAYETTE PUBLIC LIBRARY|6|79-009.00|0||Governmental Activities|2|Revenue Bonds|Library construction project 2020 bonds|| 2022|Tippecanoe|79|5|0280|2|TIPPECANOE COUNTY PUBLIC LIBRARY|6|79-008.00|0||Governmental Activities|1|General Obligation Bonds|2018|3635000.00|355000.00 2022|Tippecanoe|79|5|0280|2|TIPPECANOE COUNTY PUBLIC LIBRARY|6|79-008.00|0||Governmental Activities|1|General Obligation Bonds|2021|5195174.96|95000.00 2022|Tippecanoe|79|6|0040|2|Romney Regional Sewer District|21|79-041.00|30237|Regional sewer district|Romney regional sewer district|2|Revenue Bonds|USDA Bonds - Loan 2|215000.00|215000.00 2022|Tippecanoe|79|6|0040|2|Romney Regional Sewer District|21|79-041.00|30237|Regional sewer district|Romney regional sewer district|2|Revenue Bonds|USDA Bonds - Loans 1|881000.00|881000.00 2022|Tippecanoe|79|8|0042|2|West Lafayette Redevelopment Authority |39|79-042.00|0||Governmental Activities|2|Revenue Bonds|2010 Lease Rental Bond-Wabash Landing Garage|.00|.00 2022|Tippecanoe|79|8|0042|2|West Lafayette Redevelopment Authority |39|79-042.00|0||Governmental Activities|2|Revenue Bonds|2016 Lease Rental Bond-Williams Street|8180000.00|370000.00 2022|Tippecanoe|79|8|0042|2|West Lafayette Redevelopment Authority |39|79-042.00|0||Governmental Activities|2|Revenue Bonds|2019 Lease Rental Bond-City Hall|10910000.00|465000.00 2022|Tippecanoe|79|8|0042|2|West Lafayette Redevelopment Authority |39|79-042.00|0||Governmental Activities|2|Revenue Bonds|2019 Lease Rental Bond-Wellness Center|30130000.00|1220000.00 2022|Tipton|80|1|0000|2|TIPTON COUNTY|1|80-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Income Tax Revenue Bond 2008|330000.00|400000.00 2022|Tipton|80|1|0000|2|TIPTON COUNTY|1|80-000.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bond Series 2010|4087059.44|500000.00 2022|Tipton|80|1|0000|2|TIPTON COUNTY|1|80-000.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds, Series 2018 (Jail Project)|12553000.00|12036000.00 2022|Tipton|80|1|0000|2|TIPTON COUNTY|1|80-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds, Series 2018 (Roundabout US31/SR28)|1534035.05|1494701.11 2022|Tipton|80|2|0003|2|LIBERTY TOWNSHIP|7|80-007.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Ambulance Purchase|94228.20| 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2022|1250000.00|280000.00 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2015 Adminstrative Facilities Note|300000.00| 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2019 Pool Renovation Project/Splashpad|311511.00| 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2022 New Way Garbage Truck|211431.39| 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2022 Spencer Spartan Metro Star Fire Truck|546470.00| 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Income Tax Revenue Bonds, Series 2008 for Getrag in Tipton County|400000.00|70000.00 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|29329||STORM WATER|2|Revenue Bonds|Storm Water District Revenue Bonds, Series 2014( St.Water Systme and Treatment plant Improvement)|2046000.00|153000.00 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|29329||STORM WATER|2|Revenue Bonds|Storm Water District Revenue Bonds, Series 2019|6194000.00|2000.00 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|29329||STORM WATER|2|Revenue Bonds|Storm Water Revenue Bonds, Series 2012 (CSO)|1012000.00|104000.00 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|29330||WASTEWATER|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds, Series 2015|3230000.00|241000.00 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|29330||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2015|798000.00|92000.00 2022|Tipton|80|3|0428|2|TIPTON CIVIL CITY|2|80-001.00|29331||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2010|280000.00|135000.00 2022|Tipton|80|3|0892|2|KEMPTON CIVIL TOWN|3|80-002.00|30355|sewer system|Kempton Utilities|1|General Obligation Bonds|sewer system|299264.86|24364.32 2022|Tipton|80|3|0892|2|KEMPTON CIVIL TOWN|3|80-002.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|upgrade lighting|7125.16|6107.28 2022|Tipton|80|3|0893||SHARPSVILLE CIVIL TOWN|3|80-003.00|0||Governmental Activities|2|Revenue Bonds|WATER SYSTEM UP DATE|| 2022|Tipton|80|3|0894|2|WINDFALL CIVIL TOWN|3|80-004.00|30173|Wastewater|WASTEWATER|2|Revenue Bonds|IMPROVEMENTS|88056.00|.00 2022|Tipton|80|3|0894|2|WINDFALL CIVIL TOWN|3|80-004.00|30173|Wastewater|WASTEWATER|2|Revenue Bonds|IMPROVEMENTS|248100.00|.00 2022|Tipton|80|3|0894|2|WINDFALL CIVIL TOWN|3|80-004.00|30174|Water|WATER|2|Revenue Bonds|WATER SYSTEM UPDATE|2773121.00|.00 2022|Tipton|80|4|7935||TRI-CENTRAL COMMUNITY SCHOOLS|5|80-011.00|0||Governmental Activities|1|General Obligation Bonds|Renovations and improvements to facilities of the School Corporation and incident issuance costs|| 2022|Tipton|80|4|7935||TRI-CENTRAL COMMUNITY SCHOOLS|5|80-011.00|0||Governmental Activities|1|General Obligation Bonds|Retirement Liability|| 2022|Tipton|80|4|7935||TRI-CENTRAL COMMUNITY SCHOOLS|5|80-011.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Loan|| 2022|Tipton|80|4|7935||TRI-CENTRAL COMMUNITY SCHOOLS|5|80-011.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Operations Cash Flow|| 2022|Union|81|3|0895|2|LIBERTY CIVIL TOWN|3|81-001.00|30175|Serves Town Residents|WASTEWATER|2|Revenue Bonds|Wastewater Imp. Project 2.65% Int.|1645802.00|369210.00 2022|Union|81|3|0895|2|LIBERTY CIVIL TOWN|3|81-001.00|30176|Serves Town Residents and some outside of Town|WATER|2|Revenue Bonds|Water Bonds 2009 Int. rate of 3.63%|576041.08|98940.00 2022|Union|81|3|0896|2|WEST COLLEGE CORNER CIVIL TOWN|3|81-002.00|30177|Wastewater|WASTEWATER|1|General Obligation Bonds|USDA|1256000.00|30000.00 2022|Union|81|4|7950||UNION COUNTY SCHOOL CORPORATION|5|81-009.00|0||Governmental Activities|1|General Obligation Bonds|Pension Bond|| 2022|Vanderburgh|82|1|0000|2|VANDERBURGH COUNTY|1|82-000.00|0||Governmental Activities|2|Revenue Bonds|REVENUE BONDS|33610000.00|1795000.00 2022|Vanderburgh|82|2|0002||CENTER TOWNSHIP|7|82-004.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2018 Fire Engine Lease|| 2022|Vanderburgh|82|2|0007|2|SCOTT TOWNSHIP|7|82-009.00|0||Governmental Activities|1|General Obligation Bonds|Construction of Fire Station|570746.01|160000.00 2022|Vanderburgh|82|2|0007|2|SCOTT TOWNSHIP|7|82-009.00|0||Governmental Activities|1|General Obligation Bonds|PARK BOND|289379.13|111617.56 2022|Vanderburgh|82|2|0007|2|SCOTT TOWNSHIP|7|82-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|AMBULANCE - 1925|48596.26|48596.26 2022|Vanderburgh|82|2|0007|2|SCOTT TOWNSHIP|7|82-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|AMBULANCE - 1925|174577.73|47807.56 2022|Vanderburgh|82|2|0007|2|SCOTT TOWNSHIP|7|82-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Ambulance 5362|48185.43|48185.43 2022|Vanderburgh|82|2|0007|2|SCOTT TOWNSHIP|7|82-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|TRUCK - 8667|90695.88|90695.88 2022|Vanderburgh|82|2|0007|2|SCOTT TOWNSHIP|7|82-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|TRUCK - 8678|90695.31|90695.31 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|1|General Obligation Bonds|Bond Bank Note 2020 (Fire Equipment)|800000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Refunding Bonds of 2010|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Refunding Bonds, 2018 (Aquatics Center)|16805000.00|720000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|1|General Obligation Bonds|Parks District Bonds, Series 2022A|5020000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|1|General Obligation Bonds|Parks District Bonds, Series 2022B|4365000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|1|General Obligation Bonds|Parks District Refunding Bonds 2012 (MPZ 2003)|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|EFD Taxable Note Series 2021|205000.00|205000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|ERC TIF Series 2020 N. Main Lofts (House Investments Oz|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|ERC TIF Taxable Note 2020 (Refunding of ERC TIF Note 2018)|1688420.50|1688420.50 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|ERC/Mead JohnsonTaxable 10 Year Refunding Note|148920.23|13000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Dev. Series 2022 - House Investments Oz Project|1755000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Dev. Series 2022 Evansville Vision - Burkhardt|6970000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bond, Series 2015|1980000.00|1315000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|ERC TIF Revenue Note, Series 2020 Fifth & Main Project (Domo)|2332057.39|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|ERC TIF Revenue Note, Series 2021 Fifth & Main Project (Domo)|1673086.99|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Lease Rental Revenue Bonds, Series 2022 (new city garage)|26470000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Revenue Bonds - Jacobsville Project|12560000.00|525000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bond, Serier 2014, Haier Project|1265000.00|50000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Revenue Bonds Series 2016A Medical Project|14960000.00|605000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Revenue Bonds Series 2016B Medical Project|7855000.00|825000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Revenue Series 2015A Hotel Project|8495000.00|340000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2011, Berry Plastics Project)|12880000.00|1120000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Project - Bond Bank Bonds - Series 2013B|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Refunding of 2009 (SRF) (Reissued 2018)|27719000.00|1000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bond - 2012 E (Reissued 2018)|5965000.00|1000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bond 2008, Series B|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds , Series 2013A|3410000.00|3410000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2014A (SRF)|4577000.00|461000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2014B (SRF)|3742000.00|277000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2014C|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2014D (SRF)|24579000.00|1674000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2016A|22925000.00|560000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2018A (SRF)|14084000.00|755000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2018B-1 (SRF)|34993277.00|26723.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2018B-2 (SRF)|72334000.00|1000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2019A|30000000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2019B|74999000.00|1000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2020|16010000.00|3300000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds - Series 2021|49415000.00|2915000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2016B (SRF)|10420000.00|603000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2016C (SRF)|7476000.00|357000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2017A|18520000.00|895000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|Sewage Works Revenue Series 2010 B-1 (BAB)|19065000.00|1060000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|State Revolving Loan of 2004 - Replacement|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|State Revolving Loan of 2007 - Series A (SRF)|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|State Revolving Loan of 2010 (Reissued 2018)|7109000.00|1000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|State Revolving Loan of 2022A|28375000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|State Revolving Loan Series 2011 C (SRF)|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30178|Sewer Utility|EVANSVILLE MUNICIPAL SEWAGE WORKS|2|Revenue Bonds|State Revolving Loan Series 2011 D|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks District Project - Bond Bank 2013C|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks District Refunding Revenue Bonds Series 2016B|25560000.00|1240000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks District Revenue Bonds - 2013A|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks District Revenue Bonds - 2014B|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks District Revenue Bonds - Series 2021|21960000.00|3285000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks District Revenue Bonds 2016A|33255000.00|1620000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks District Revenue Bonds 2019A|36875000.00|1550000.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks Revenue Bond - 2022A|52550000.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks Revenue Bonds - Series 2018A-1 (SRF)|.00|.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks Revenue Bonds - Series 2018A-2 (SRF)|71532450.00|2983148.00 2022|Vanderburgh|82|3|0102|0|EVANSVILLE CIVIL CITY|2|82-001.00|30179|Water Utility|EVANSVILLE WATERWORKS|2|Revenue Bonds|Waterworks Revenue Bonds - Series 2020|30185000.00|245000.00 2022|Vanderburgh|82|3|0958|2|DARMSTADT CIVIL TOWN|3|82-002.00|0||Governmental Activities|1|General Obligation Bonds|Lease Rental Bond|1793000.00|80000.00 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|1|General Obligation Bonds|Go Bond 2016|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|1|General Obligation Bonds|Go Bond 2017|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|1|General Obligation Bonds|Go Bond 2018|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|1|General Obligation Bonds|Go Bond 2019|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|1|General Obligation Bonds|Go Bond 2020|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|1814|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|1866|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|1889|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|1923|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|1970|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2099|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2848|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2888|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2905|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2940|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|2983|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0005|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0043|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0085|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0098|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0142|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0183|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0192|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0227|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|B0264|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Banterra|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Energy Savings|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|First Federal|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|ONB|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|ONB Key Gov't Refi|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|S0001|| 2022|Vanderburgh|82|4|7995||EVANSVILLE-VANDERBURGH SCHOOL CORPORATION|5|82-011.00|0||Governmental Activities|13|Tax Anticipation Warrants - Short Term|Operations|| 2022|Vanderburgh|82|5|0265|2|EVANSVILLE-VANDERBURGH COUNTY PUBLIC LIBRARY|6|82-012.00|0||Governmental Activities|1|General Obligation Bonds|EVPL General Obligation Bond 2022|4000000.00|1415000.00 2022|Vanderburgh|82|5|0265|2|EVANSVILLE-VANDERBURGH COUNTY PUBLIC LIBRARY|6|82-012.00|0||Governmental Activities|14|Other - Long Term|EVPL Leasing Corp 2011 Ref 2002|395000.00|260000.00 2022|Vanderburgh|82|5|0265|2|EVANSVILLE-VANDERBURGH COUNTY PUBLIC LIBRARY|6|82-012.00|0||Governmental Activities|14|Other - Long Term|EVPL Leasing Corp 2013 Ref 2005|3870000.00|2560000.00 2022|Vanderburgh|82|6|0020|2|EVANSVILLE-VANDERBURGH CO BLDG AUTH|26|82-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Banterra Bank - Courts Expansion Project at Civic Center|2501716.19|.00 2022|Vanderburgh|82|6|0020|2|EVANSVILLE-VANDERBURGH CO BLDG AUTH|26|82-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Banterra Bank - EPD Storage Building $2M|129809.75|.00 2022|Vanderburgh|82|6|0020|2|EVANSVILLE-VANDERBURGH CO BLDG AUTH|26|82-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Note Payable - ESG Civic Center|2486648.19|159031.17 2022|Vanderburgh|82|6|0020|2|EVANSVILLE-VANDERBURGH CO BLDG AUTH|26|82-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Note Payable - ESG Jail|1655729.54|108841.96 2022|Vanderburgh|82|6|0020|2|EVANSVILLE-VANDERBURGH CO BLDG AUTH|26|82-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Note Payable - ESG ONEP|1057191.57|61137.05 2022|Vanderburgh|82|6|0020|2|EVANSVILLE-VANDERBURGH CO BLDG AUTH|26|82-020.00|0||Governmental Activities|2|Revenue Bonds|Jail & Centre Buildings|11235000.00|1805000.00 2022|Vanderburgh|82|6|0024||EVANSVILLE IMPROVEMENT BOND BANK|39|82-024.00|0||Governmental Activities|2|Revenue Bonds|Evansville Sewage Works Revenue Bond Series 2013A|| 2022|Vanderburgh|82|6|0024||EVANSVILLE IMPROVEMENT BOND BANK|39|82-024.00|0||Governmental Activities|2|Revenue Bonds|Evansville Water DistrictRevenue Bond Series 2013C|| 2022|Vanderburgh|82|6|1102||EVANSVILLE LEVEE AUTHORITY|29|82-021.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Levee Authority Taxable Note, Series 2018 (Greenway Slide)|| 2022|Vanderburgh|82|6|1190|2|EVANSVILLE-VANDERBURGH AIRPORT AUTHORITY|25|82-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Soalr Panel Loan|5663309.00|248464.00 2022|Vanderburgh|82|6|1190|2|EVANSVILLE-VANDERBURGH AIRPORT AUTHORITY|25|82-019.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Terminal Renovation Loan|7964893.00|588654.00 2022|Vermillion|83|1|0000|2|VERMILLION COUNTY|1|83-000.00|0||Governmental Activities|2|Revenue Bonds|Jail Rehab and Expansion|17000000.00|90000.00 2022|Vermillion|83|2|0001|2|CLINTON TOWNSHIP|7|83-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|HME Ahrens- Fox Pumper|293866.89|283599.38 2022|Vermillion|83|3|0427|2|CLINTON CIVIL CITY|2|83-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond series 2012|52000.00|36000.00 2022|Vermillion|83|3|0427|2|CLINTON CIVIL CITY|2|83-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Firehouse|1072727.71|48728.00 2022|Vermillion|83|3|0427|2|CLINTON CIVIL CITY|2|83-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Miscellaneous Equipment|242501.37|42000.00 2022|Vermillion|83|3|0427|2|CLINTON CIVIL CITY|2|83-001.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment District Tax Increment Revenue Bonds of 2011, Series B|141374.28|34000.00 2022|Vermillion|83|3|0427|2|CLINTON CIVIL CITY|2|83-001.00|30181|Treatment Plant, Under Ground Mains, and Service Lines|WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2018|1357500.00|72000.00 2022|Vermillion|83|3|0427|2|CLINTON CIVIL CITY|2|83-001.00|30181|Treatment Plant, Under Ground Mains, and Service Lines|WASTEWATER|2|Revenue Bonds|Sewer Bonds 2015|3426054.00|231000.00 2022|Vermillion|83|3|0427|2|CLINTON CIVIL CITY|2|83-001.00|30182|Wells, Water Pumps, Water Tower, Distribution System|WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2018|185000.00|.00 2022|Vermillion|83|3|0897|2|CAYUGA CIVIL TOWN|3|83-002.00|30184|water|WATER|2|Revenue Bonds|Water Utility Improvements|232065.00|.00 2022|Vermillion|83|3|0898|2|DANA CIVIL TOWN|3|83-003.00|30185|WASTEWATER SERVICE PROVIDER TO THE TOWN|WASTEWATER|1|General Obligation Bonds|USDA Rural Loan for Plant|1683390.43|61163.75 2022|Vermillion|83|3|0899|2|FAIRVIEW PARK CIVIL TOWN|3|83-004.00|30187|Wastewater Utility|WASTEWATER|1|General Obligation Bonds|construct wastewater system|3304687.50|265100.00 2022|Vermillion|83|3|0899|2|FAIRVIEW PARK CIVIL TOWN|3|83-004.00|30188|Water Utility|WATER|1|General Obligation Bonds|improvements to water system, new well|.00|.00 2022|Vermillion|83|3|0899|2|FAIRVIEW PARK CIVIL TOWN|3|83-004.00|30260|Storm Water|STORM WATER|1|General Obligation Bonds|Flood Control|222209.82|28156.10 2022|Vermillion|83|3|0900|2|NEWPORT CIVIL TOWN|3|83-005.00|29795|WASTEWATER|NEWPORT SEWER UTILITY|2|Revenue Bonds|Construction Loan from USAD|1198269.27|25722.95 2022|Vermillion|83|3|0902||UNIVERSAL CIVIL TOWN|3|83-007.00|0||Governmental Activities|1|General Obligation Bonds|UNIVERSAL WATER UTILITIES IMPROVEMENTS|| 2022|Vermillion|83|4|8010||NORTH VERMILLION COMMUNITY SCHOOL CORPORATION|5|83-017.00|0||Governmental Activities|1|General Obligation Bonds|Taxable GO Bonds of 2015|| 2022|Vermillion|83|4|8010||NORTH VERMILLION COMMUNITY SCHOOL CORPORATION|5|83-017.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Upgrading/renovating North Vermillion Jr.-Sr. High School|| 2022|Vermillion|83|4|8020||SOUTH VERMILLION COMMUNITY SCHOOL CORPORATION|5|83-018.00|0||Governmental Activities|1|General Obligation Bonds|Series 2018 HS Outdoor Project|| 2022|Vermillion|83|4|8020||SOUTH VERMILLION COMMUNITY SCHOOL CORPORATION|5|83-018.00|0||Governmental Activities|1|General Obligation Bonds|Series 2020 MS Roof Project|| 2022|Vermillion|83|5|0227|2|CLINTON PUBLIC LIBRARY|6|83-008.00|0||Governmental Activities|1|General Obligation Bonds|Renovatons and Repairs of Library Building|929061.56|63362.00 2022|Vermillion|83|5|0228||VERMILLION COUNTY PUBLIC LIBRARY|6|83-009.00|0||Governmental Activities|1|General Obligation Bonds|2013 Construction|| 2022|Vigo|84|1|0000|2|VIGO COUNTY|1|84-000.00|0||Governmental Activities|1|General Obligation Bonds|Jail Bond|.00|.00 2022|Vigo|84|1|0000|2|VIGO COUNTY|1|84-000.00|0||Governmental Activities|2|Revenue Bonds|Convention & Visitors Bureau/Innkeeper's Tax Revenue Bond|1545000.00|365000.00 2022|Vigo|84|1|0000|2|VIGO COUNTY|1|84-000.00|0||Governmental Activities|2|Revenue Bonds|Convention Center|18130000.00|1175000.00 2022|Vigo|84|1|0000|2|VIGO COUNTY|1|84-000.00|0||Governmental Activities|2|Revenue Bonds|Pfizer Project|.00|.00 2022|Vigo|84|2|0007|2|OTTER CREEK TOWNSHIP|7|84-011.00|0||Governmental Activities|1|General Obligation Bonds|New Firehouse|1255000.00|90000.00 2022|Vigo|84|2|0007|2|OTTER CREEK TOWNSHIP|7|84-011.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|New Fire Engine|.00| 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Training Academy|388113.00|42188.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2020 (Police Station Project)|11265000.00|250000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Refunding Revenue Bonds of 2020|5310000.00|440000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Bonds of 2007|.00|.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bond Series 2017|7125000.00|297000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds 2018 (Pyrolyx)|1695000.00|15000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds of 2011|.00|.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds Series 2015|735000.00|94000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Increment Revenue Bond of 2013|5545000.00|425000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Increment Revenue Bonds of 2011, Series A|560000.00|90000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Increment Revenue Bonds of 2015, Series A|645000.00|50000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|30191|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sanitary District Refunding Revenue Bonds Series 2021|7200000.00|655000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|30191|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sanitary District Refunding Revenue Bonds, Series 2020 A|14345000.00|1360000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|30191|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sanitary District Refunding Revenue Bonds, Series 2020 B|110000.00|110000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|30191|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sanitary District Revenue Bond of 2012 Series B|819567.00|78054.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|30191|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sanitary District Revenue Bonds of 2012 Series A (SRF)|105699000.00|5651000.00 2022|Vigo|84|3|0106|2|TERRE HAUTE CIVIL CITY|2|84-001.00|30191|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Sanitary District Revenue Bonds Series 2018|3577000.00|305000.00 2022|Vigo|84|3|0904||SEELYVILLE CIVIL TOWN|3|84-003.00|30192|WATER SERVICES|WATER UTILITY|2|Revenue Bonds|Waterworks Refunding Revenue Bonds of 2005|| 2022|Vigo|84|3|0904||SEELYVILLE CIVIL TOWN|3|84-003.00|30192|WATER SERVICES|WATER UTILITY|2|Revenue Bonds|Waterworks Revenue Bonds of 2012|| 2022|Vigo|84|3|0904||SEELYVILLE CIVIL TOWN|3|84-003.00|30268|SEWER UTILITY|SEWER UTILITY|2|Revenue Bonds|Sewage Works Revenue Bonds of 2004|| 2022|Vigo|84|3|0905|2|WEST TERRE HAUTE CIVIL TOWN|3|84-004.00|30193|Removes surface water from the streets of the town.|STORM WATER|2|Revenue Bonds|Storm Water Sewer|576000.00|12000.00 2022|Vigo|84|3|0905|2|WEST TERRE HAUTE CIVIL TOWN|3|84-004.00|30194|Collection and processing of waste water.|WASTEWATER|2|Revenue Bonds|Waste Water Bond|.00|.00 2022|Vigo|84|3|0905|2|WEST TERRE HAUTE CIVIL TOWN|3|84-004.00|30194|Collection and processing of waste water.|WASTEWATER|2|Revenue Bonds|Waste Water IFA Bond|.00|30000.00 2022|Vigo|84|3|0905|2|WEST TERRE HAUTE CIVIL TOWN|3|84-004.00|30195|Distributes water to residents of the community.|WATER|2|Revenue Bonds|Water Works Revenue Loan 7|3442000.00|70500.00 2022|Vigo|84|3|0905|2|WEST TERRE HAUTE CIVIL TOWN|3|84-004.00|30195|Distributes water to residents of the community.|WATER|2|Revenue Bonds|Water Works Revenue Loan 9|227500.00|5000.00 2022|Vigo|84|4|8030||VIGO COUNTY SCHOOL CORPORATION|5|84-017.00|0||Governmental Activities|1|General Obligation Bonds|2017 General Obligation Bonds|| 2022|Vigo|84|4|8030||VIGO COUNTY SCHOOL CORPORATION|5|84-017.00|0||Governmental Activities|1|General Obligation Bonds|2018 General Obligation Bonds|| 2022|Vigo|84|4|8030||VIGO COUNTY SCHOOL CORPORATION|5|84-017.00|0||Governmental Activities|1|General Obligation Bonds|2019 General Obligation Bonds|| 2022|Vigo|84|4|8030||VIGO COUNTY SCHOOL CORPORATION|5|84-017.00|0||Governmental Activities|1|General Obligation Bonds|2020 General Obligation Bonds|| 2022|Vigo|84|4|8030||VIGO COUNTY SCHOOL CORPORATION|5|84-017.00|0||Governmental Activities|1|General Obligation Bonds|2021 General Obligation Bonds|| 2022|Vigo|84|5|0229||VIGO COUNTY PUBLIC LIBRARY|6|84-025.00|0||Governmental Activities|1|General Obligation Bonds|Acquisition/renovation of building & building improvements|| 2022|Vigo|84|5|0229||VIGO COUNTY PUBLIC LIBRARY|6|84-025.00|0||Governmental Activities|1|General Obligation Bonds|Refinance Guaranteed Energy Savings contract|| 2022|Vigo|84|6|0038|2|THRALLS STATION REGIONAL SEWER DISTRICT|21|84-038.00|30043|Processes waste water for customers|Thralls Station Regional Sewer District|10|Notes and Loans Payable - Long Term|Construction of a water plant|2184000.00|.00 2022|Vigo|84|6|0038|2|THRALLS STATION REGIONAL SEWER DISTRICT|21|84-038.00|30043|Processes waste water for customers|Thralls Station Regional Sewer District|2|Revenue Bonds|Thralls Sewage Revenue Bond Anticipation Note, Series 2020 SRF BAN|970000.00|.00 2022|Vigo|84|6|0038|2|THRALLS STATION REGIONAL SEWER DISTRICT|21|84-038.00|30043|Processes waste water for customers|Thralls Station Regional Sewer District|2|Revenue Bonds|Thralls Sewage Revenue Bonds, Series 2020 SRF Loan|103000.00|.00 2022|Vigo|84|6|0346|2|Vigo County Capital Improvement Board|39|84-042.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATION BONDS SERIES 2019 CONVENTION CENTER PROJECT|18130000.00|1175000.00 2022|Vigo|84|6|0872|2|TERRE HAUTE INTERNATIONAL AIRPORT|25|84-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Hangar Building Loan|337620.61|29188.83 2022|Vigo|84|6|0872|2|TERRE HAUTE INTERNATIONAL AIRPORT|25|84-022.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|TIF Construction Loan|3132258.20|261071.93 2022|Vigo|84|6|0958|2|HONEY CREEK FIRE PROTECTION|18|84-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Equipment purchase|676775.31|165667.00 2022|Vigo|84|6|0981|2|LOST CREEK FIRE PROTECTION DISTRICT|18|84-029.00|0||Governmental Activities|14|Other - Long Term|lease for sparten pumper truck|537002.00|22586.00 2022|Vigo|84|6|1023|2|RILEY FIRE PROTECTION DISTRICT|18|84-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|THSB Note Payable|324416.00|19484.97 2022|Vigo|84|6|1023|2|RILEY FIRE PROTECTION DISTRICT|18|84-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|THSB Note Payable|468777.14|74456.00 2022|Vigo|84|6|1086|2|SUGAR CREEK TOWNSHIP FIRE DISTRICT|18|84-036.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Bank loan for administration building|302588.67|19474.82 2022|Vigo|84|6|1086|2|SUGAR CREEK TOWNSHIP FIRE DISTRICT|18|84-036.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|New fire engine/refurbished rescue truck|574510.67|136989.80 2022|Vigo|84|6|1086|2|SUGAR CREEK TOWNSHIP FIRE DISTRICT|18|84-036.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|New tanker|110000.00|20000.00 2022|Vigo|84|7|0049||HONEY CREEK-VIGO CONSERVANCY|28|84-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Construction and Flood Protection|| 2022|Vigo|84|7|0049||HONEY CREEK-VIGO CONSERVANCY|28|84-030.00|0||Governmental Activities|5|Lines of Credit|Cash Flow needs|| 2022|Vigo|84|7|0847|2|GREENFIELD BAYOU LEVEE & DITCH CONSERVANCY|28|84-035.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Loan 200348980|23459.92|9085.74 2022|Vigo|84|7|0847|2|GREENFIELD BAYOU LEVEE & DITCH CONSERVANCY|28|84-035.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Loan 4508600003269|30440.61|10538.99 2022|Wabash|85|1|0000|2|WABASH COUNTY|1|85-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Grossnickle Drain (562R) Reconstruction Loan|258594.84|55125.14 2022|Wabash|85|1|0000|2|WABASH COUNTY|1|85-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Heeter-Blickenstaff-Creager(571R) Reconstruction Loan|86256.90|21701.32 2022|Wabash|85|1|0000|2|WABASH COUNTY|1|85-000.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Revere Speicher (640BR) Reconstruction Loan|107058.86|31988.18 2022|Wabash|85|2|0006||PLEASANT TOWNSHIP|7|85-011.00|0||Governmental Activities|14|Other - Long Term|Purchase fire truck|| 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|0||Governmental Activities|2|Revenue Bonds|Development bonds Series 2022 (Kentner Creek)|2250000.00|7329.00 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|0||Governmental Activities|2|Revenue Bonds|Red. Comm. 2017 Bond|5694638.36|100319.00 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|0||Governmental Activities|2|Revenue Bonds|Red. Comm. Series 2009A Ford Meter Box|21765.00|21764.00 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|0||Governmental Activities|2|Revenue Bonds|Red. Comm. Series 2010 A Cinergy Metronet Project|.00|.00 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|0||Governmental Activities|2|Revenue Bonds|Red. Comm. Series 2011 B|796098.00|114828.00 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|0||Governmental Activities|2|Revenue Bonds|Red. Comm. Series 2018 A (10X / Engineered)|80966.20|91412.00 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Econ. Dev. Bonds Series 2011 Charlie Creek Inn|68380.92|18553.00 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|30230|Sewage|Wastewater Treatment Plant|2|Revenue Bonds|Sewage Works 2016|6280000.00|370000.00 2022|Wabash|85|3|0313|2|WABASH CIVIL CITY|2|85-001.00|30230|Sewage|Wastewater Treatment Plant|2|Revenue Bonds|Sewage Works 2021|12765000.00|405000.00 2022|Wabash|85|3|0511|2|NORTH MANCHESTER CIVIL TOWN|3|85-004.00|0||Governmental Activities|1|General Obligation Bonds|Taxable Redevelopment District Bonds, Series 2015|440000.00|30000.00 2022|Wabash|85|3|0511|2|NORTH MANCHESTER CIVIL TOWN|3|85-004.00|30198|Collects and manages water fees, while managing water service for the town.|WATER|10|Notes and Loans Payable - Long Term|State Revolving Fund Loan of 2009|1705000.00|216000.00 2022|Wabash|85|3|0511|2|NORTH MANCHESTER CIVIL TOWN|3|85-004.00|30197|Collects and manages wastewater fees, while managing sewer service for the town|WASTEWATER|2|Revenue Bonds|State Revolving Fund Loan 2013|1836130.00|157000.00 2022|Wabash|85|3|0906|2|LAFONTAINE CIVIL TOWN|3|85-002.00|30199|Wastewater Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|WASTEWATER IMPROVEMENTS|.00|.00 2022|Wabash|85|3|0906|2|LAFONTAINE CIVIL TOWN|3|85-002.00|30200|Water Utility|WATER|10|Notes and Loans Payable - Long Term|water upgrade 2009|347000.00|34000.00 2022|Wabash|85|3|0906|2|LAFONTAINE CIVIL TOWN|3|85-002.00|30199|Wastewater Utility|WASTEWATER|11|Notes and Loans Payable - Short Term|BAN FOR FUTURE WASTEWATER PROJECT|.00| 2022|Wabash|85|3|0907|2|LAGRO CIVIL TOWN|3|85-003.00|30202|Sewer|WASTEWATER|10|Notes and Loans Payable - Long Term|SEWER|93985.97|22609.16 2022|Wabash|85|3|0907|2|LAGRO CIVIL TOWN|3|85-003.00|30202|Sewer|WASTEWATER|2|Revenue Bonds|sewer works revenue|.00|.00 2022|Wabash|85|3|0907|2|LAGRO CIVIL TOWN|3|85-003.00|30202|Sewer|WASTEWATER|2|Revenue Bonds|sewer works revenue 2|.00|.00 2022|Wabash|85|3|0907|2|LAGRO CIVIL TOWN|3|85-003.00|30203|Water|WATER|2|Revenue Bonds|SRF|28803.06|1100.00 2022|Wabash|85|3|0907|2|LAGRO CIVIL TOWN|3|85-003.00|30203|Water|WATER|2|Revenue Bonds|Waterworkes Revenue #6|63007.64|5000.00 2022|Wabash|85|3|0907|2|LAGRO CIVIL TOWN|3|85-003.00|30203|Water|WATER|2|Revenue Bonds|Waterworks Revenue 2 #7|131855.55|6608.00 2022|Wabash|85|3|0908||ROANN CIVIL TOWN|3|85-005.00|30204|Utility|WASTEWATER UTILITY|1|General Obligation Bonds|SRF Sewer Upgrades|| 2022|Wabash|85|4|8045||MANCHESTER COMMUNITY SCHOOL CORPORATION|5|85-013.00|0||Governmental Activities|1|General Obligation Bonds|2019 General Obligation Bond|| 2022|Wabash|85|4|8045||MANCHESTER COMMUNITY SCHOOL CORPORATION|5|85-013.00|0||Governmental Activities|1|General Obligation Bonds|2020 General Obligation Bonds|| 2022|Wabash|85|4|8050||M.S.D. WABASH COUNTY SCHOOL CORPORATION|5|85-014.00|0||Governmental Activities|1|General Obligation Bonds|Finance Building and Grounds Projects, 2021|| 2022|Wabash|85|4|8050||M.S.D. WABASH COUNTY SCHOOL CORPORATION|5|85-014.00|0||Governmental Activities|1|General Obligation Bonds|Finance Buildings and Grounds Projects, 2016|| 2022|Wabash|85|4|8060||WABASH CITY SCHOOL CORPORATION|5|85-015.00|0||Governmental Activities|1|General Obligation Bonds|Renovation and improvements to facilities.|| 2022|Wabash|85|5|0232|2|WABASH PUBLIC LIBRARY|6|85-017.00|0||Governmental Activities|1|General Obligation Bonds|Expansion & Renovation|2415000.00|35000.00 2022|Wabash|85|6|1090|2|Laketon Regional Sewer District|21|85-023.00|29755|Wastewater Utility|Laketon Area Regional Sewer District|2|Revenue Bonds|USDA Loan|1801000.00|40000.00 2022|Warren|86|3|0909|2|PINE VILLAGE CIVIL TOWN|3|86-001.00|0||Governmental Activities|2|Revenue Bonds|Waste Water Project|891000.00|18000.00 2022|Warren|86|3|0911||WEST LEBANON CIVIL TOWN|3|86-003.00|30207|Wastewater Utility|WASTEWATER|2|Revenue Bonds|WEST LEBANON MUNICIPAL SEWAGE WORKS|| 2022|Warren|86|3|0912|2|WILLIAMSPORT CIVIL TOWN|3|86-004.00|30209||WASTEWATER|1|General Obligation Bonds|Wastewater Plant Refianced|1132576.75|84720.00 2022|Warren|86|3|0912|2|WILLIAMSPORT CIVIL TOWN|3|86-004.00|30209||WASTEWATER|10|Notes and Loans Payable - Long Term|Wastewater Plant Improvement|.00|.00 2022|Warren|86|3|0912|2|WILLIAMSPORT CIVIL TOWN|3|86-004.00|30210||WATER|2|Revenue Bonds|new water tower & water system|476017.00|40910.00 2022|Warren|86|4|8115||M.S.D. OF WARREN COUNTY SCHOOL CORPORATION|5|86-021.00|0||Governmental Activities|1|General Obligation Bonds|Construction|| 2022|Warren|86|5|0234|2|WILLIAMSPORT PUBLIC LIBRARY|6|86-006.00|0||Governmental Activities|1|General Obligation Bonds|Library/Learning Center Repairs and Improvements|358000.00|18000.00 2022|Warren|86|7|0043|2|JORDAN CREEK CONSERVANCY|28|86-020.00|0||Governmental Activities|2|Revenue Bonds|Drainage and Flood Control|.00|.00 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|1|General Obligation Bonds|ONB - General Obligation Series 2018|2106825.00|1460000.00 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|BFSL 2018 CAT Excavator|104780.00| 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|BFSL SS 125 Melter/Applicator|33872.00| 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|BFSL - 3 Landpride Mowers|41160.00| 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|BFSL 2018 JD Cab Tractor|20746.00| 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|BFSL 2020 International Distributor|133433.00| 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|ONB 3 - 2020 Dump Trucks|90640.00| 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|US Bancorp 2021 CAT M314 Excavator|165144.00| 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|2|Revenue Bonds|Parks and Recreation District Bond 2019|2077637.00|71162.00 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment 2021 - Epworth TIF|4680000.00|113438.00 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|2|Revenue Bonds|Redevelopment Refunding 2019|4315000.00|505000.00 2022|Warrick|87|1|0000|2|WARRICK COUNTY|1|87-000.00|0||Governmental Activities|2|Revenue Bonds|WC Redev. Dist 2015 Bond - ONB|5325000.00|143657.00 2022|Warrick|87|2|0007|2|OHIO TOWNSHIP|7|87-013.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|FIRE EQUIPMENT|1681263.38|317955.00 2022|Warrick|87|3|0423|2|BOONVILLE CIVIL CITY|2|87-001.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2021|1210000.00|485000.00 2022|Warrick|87|3|0423|2|BOONVILLE CIVIL CITY|2|87-001.00|0||Governmental Activities|14|Other - Long Term|Park District Bonds, Series 2020|1185000.00|55000.00 2022|Warrick|87|3|0423|2|BOONVILLE CIVIL CITY|2|87-001.00|0||Governmental Activities|2|Revenue Bonds|Annual Appropriation General Revenue Bonds of 2012, Series A|.00|.00 2022|Warrick|87|3|0423|2|BOONVILLE CIVIL CITY|2|87-001.00|30213|Provides water services|WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bonds, Series 2019|1775000.00|330000.00 2022|Warrick|87|3|0423|2|BOONVILLE CIVIL CITY|2|87-001.00|30213|Provides water services|WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2022|3657000.00|72000.00 2022|Warrick|87|3|0913|2|CHANDLER CIVIL TOWN|3|87-002.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds, Series 2015|399000.00|26000.00 2022|Warrick|87|3|0913|2|CHANDLER CIVIL TOWN|3|87-002.00|0||Governmental Activities|1|General Obligation Bonds|REDEVELOPMENT DISTRICT BONDS, SERIES 2014|80000.00|50000.00 2022|Warrick|87|3|0913|2|CHANDLER CIVIL TOWN|3|87-002.00|30214||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue and Refunding Revenue Bonds of 2015|3915000.00|3915000.00 2022|Warrick|87|3|0913|2|CHANDLER CIVIL TOWN|3|87-002.00|30214||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2009|446000.00|446000.00 2022|Warrick|87|3|0913|2|CHANDLER CIVIL TOWN|3|87-002.00|30214||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds of 2014 Series A|1415000.00|1415000.00 2022|Warrick|87|3|0913|2|CHANDLER CIVIL TOWN|3|87-002.00|30215||WATER|2|Revenue Bonds|Waterworks Refunding Revenue Bond of 2016|2190000.00|525000.00 2022|Warrick|87|3|0913|2|CHANDLER CIVIL TOWN|3|87-002.00|30215||WATER|2|Revenue Bonds|Waterworks Revenue Bonds of 2010|2794000.00|32000.00 2022|Warrick|87|3|0913|2|CHANDLER CIVIL TOWN|3|87-002.00|30215||WATER|2|Revenue Bonds|Waterworks Revenue Bonds, Series 2019|9179757.00|104545.00 2022|Warrick|87|3|0914|2|ELBERFELD CIVIL TOWN|3|87-003.00|30216|Sewer|WASTEWATER|2|Revenue Bonds|2019 Series A|1928000.00|31000.00 2022|Warrick|87|3|0914|2|ELBERFELD CIVIL TOWN|3|87-003.00|30216|Sewer|WASTEWATER|2|Revenue Bonds|2019 Series B|453100.00|7300.00 2022|Warrick|87|3|0914|2|ELBERFELD CIVIL TOWN|3|87-003.00|30217|Water|WATER|2|Revenue Bonds|Elberefeld Waterworks Municipal Bond|.00|.00 2022|Warrick|87|3|0915||LYNNVILLE CIVIL TOWN|3|87-004.00|30218|Wastewater Treatment Plant|WASTEWATER|2|Revenue Bonds|Build New Water Treatment Plant - Loan 92-05|| 2022|Warrick|87|3|0915||LYNNVILLE CIVIL TOWN|3|87-004.00|30218|Wastewater Treatment Plant|WASTEWATER|2|Revenue Bonds|Build New Water Treatment Plant - Loan 92-07|| 2022|Warrick|87|3|0915||LYNNVILLE CIVIL TOWN|3|87-004.00|30218|Wastewater Treatment Plant|WASTEWATER|2|Revenue Bonds|Update Wasstewater Treatment Plant - Loan 92-04|| 2022|Warrick|87|3|0915||LYNNVILLE CIVIL TOWN|3|87-004.00|30218|Wastewater Treatment Plant|WASTEWATER|2|Revenue Bonds|Update Wastewater Treatment Plant - Loan 92-02|| 2022|Warrick|87|3|0916|2|NEWBURGH CIVIL TOWN|3|87-005.00|29714|Operating|Wastewater Utility|2|Revenue Bonds|2012 Refunding bonds - utility improvments|.00|.00 2022|Warrick|87|3|0916|2|NEWBURGH CIVIL TOWN|3|87-005.00|29714|Operating|Wastewater Utility|2|Revenue Bonds|2014 Series A Wastewater utility improvements|1940000.00|915000.00 2022|Warrick|87|3|0916|2|NEWBURGH CIVIL TOWN|3|87-005.00|29714|Operating|Wastewater Utility|2|Revenue Bonds|2014 Sewage Works Revenue Bonds, Series B (SRF)|4808000.00|1000.00 2022|Warrick|87|3|0916|2|NEWBURGH CIVIL TOWN|3|87-005.00|29714|Operating|Wastewater Utility|2|Revenue Bonds|2016 Series A Wastewater Utility Improvements|13395000.00|160000.00 2022|Warrick|87|3|0916|2|NEWBURGH CIVIL TOWN|3|87-005.00|29714|Operating|Wastewater Utility|2|Revenue Bonds|2016 Series B Refunding Bonds Utility Improvements|7610000.00|615000.00 2022|Warrick|87|3|0916|2|NEWBURGH CIVIL TOWN|3|87-005.00|29714|Operating|Wastewater Utility|2|Revenue Bonds|2016 Sewage Works Revenue Bonds, Series C|5305000.00|1000.00 2022|Warrick|87|3|0916|2|NEWBURGH CIVIL TOWN|3|87-005.00|29714|Operating|Wastewater Utility|2|Revenue Bonds|2020 Refunding Bonds Series B Wastewater utility improvements|22030000.00|.00 2022|Warrick|87|3|0916|2|NEWBURGH CIVIL TOWN|3|87-005.00|29714|Operating|Wastewater Utility|2|Revenue Bonds|2020 Series A Wastewater utility improvements|8525000.00|860000.00 2022|Warrick|87|3|0917|2|TENNYSON CIVIL TOWN|3|87-006.00|30220||WASTEWATER|1|General Obligation Bonds|SEWER BOND|48446.78|9000.00 2022|Warrick|87|4|8130||WARRICK COUNTY SCHOOL CORPORATION|5|87-017.00|0||Governmental Activities|1|General Obligation Bonds|Construction of Career Center|| 2022|Warrick|87|4|8130||WARRICK COUNTY SCHOOL CORPORATION|5|87-017.00|0||Governmental Activities|1|General Obligation Bonds|Multiple Location Repairs|| 2022|Warrick|87|4|8130||WARRICK COUNTY SCHOOL CORPORATION|5|87-017.00|0||Governmental Activities|1|General Obligation Bonds|Multiple location roof and HVAC repairs|| 2022|Warrick|87|5|0235|2|Newburgh Chandler Public Library|6|87-019.00|0||Governmental Activities|1|General Obligation Bonds|building improvement projects|31260.71|640000.00 2022|Warrick|87|6|1032|2|WARRICK COUNTY SOLID WASTE|16|87-020.00|0||Governmental Activities|1|General Obligation Bonds|PROCESSING CENTER REFI 2022 PROJECT FUND|2666146.00|170000.00 2022|Warrick|87|6|1032|2|WARRICK COUNTY SOLID WASTE|16|87-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|KENWORTH ROLL OFF TRUCK|21688.80|23351.97 2022|Warrick|87|6|1032|2|WARRICK COUNTY SOLID WASTE|16|87-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|PROCESSING CENTER BUILDING|.00|.00 2022|Warrick|87|6|1032|2|WARRICK COUNTY SOLID WASTE|16|87-020.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|PROCESSING CENTER EQUIPMENT|.00|.00 2022|Warrick|87|8|0002|2|Boonville Redevelopment Authority|36|87-023.00|0||Governmental Activities|1|General Obligation Bonds|Redevelopment District Bonds, Series 2021|1210000.00|485000.00 2022|Warrick|87|8|0024|2|Newburgh Redevelopment Authority|36|87-024.00|0||Governmental Activities|2|Revenue Bonds|LEASE RENTAL REVENUE BOND SERIES 2020 - PARK|1860000.00|90000.00 2022|Warrick|87|8|0024|2|Newburgh Redevelopment Authority|36|87-024.00|0||Governmental Activities|2|Revenue Bonds|LEASE RENTAL REVENUE BONDS SERIES 2014 - STREETS & SIDEWALKS|1405000.00|100000.00 2022|Washington|88|1|0000|2|WASHINGTON COUNTY|1|88-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|2021 Dodge Chargers VIN 8893, 8894|58322.00| 2022|Washington|88|1|0000|2|WASHINGTON COUNTY|1|88-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|DeFibs|.00| 2022|Washington|88|1|0000|2|WASHINGTON COUNTY|1|88-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Medical Equipment|27045.26| 2022|Washington|88|1|0000|2|WASHINGTON COUNTY|1|88-000.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Sheriff Cars|47066.00| 2022|Washington|88|3|0431|2|SALEM CIVIL CITY|2|88-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|145 New Holland Tractor|14.97|.00 2022|Washington|88|3|0431|2|SALEM CIVIL CITY|2|88-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Alamo Samurai Mower|13.86|.00 2022|Washington|88|3|0431|2|SALEM CIVIL CITY|2|88-001.00|30222|Wastewater Utility|WASTEWATER|10|Notes and Loans Payable - Long Term|Sewer BAN 2020|.00|.00 2022|Washington|88|3|0431|2|SALEM CIVIL CITY|2|88-001.00|0||Governmental Activities|14|Other - Long Term|Walmart TIF|1447000.00|172000.00 2022|Washington|88|3|0431|2|SALEM CIVIL CITY|2|88-001.00|30222|Wastewater Utility|WASTEWATER|2|Revenue Bonds|Wastewater Utility|2020000.00|150000.00 2022|Washington|88|3|0923|2|NEW PEKIN CIVIL TOWN|3|88-007.00|30226|UTILITY|WASTEWATER|1|General Obligation Bonds|ADDITIONAL SEWER LINES|37480.00|6000.00 2022|Washington|88|3|0923|2|NEW PEKIN CIVIL TOWN|3|88-007.00|30226|UTILITY|WASTEWATER|1|General Obligation Bonds|LAGOON BUILT/ADDITIONAL SEWER LINES|66840.00|11000.00 2022|Washington|88|3|0923|2|NEW PEKIN CIVIL TOWN|3|88-007.00|30227|UTILITY|WATER|1|General Obligation Bonds|ADDITIONAL WATER LINES/UPDATING WATER LINES|41437.01|40000.00 2022|Washington|88|4|8205||SALEM COMMUNITY SCHOOL CORPORATION|5|88-012.00|0||Governmental Activities|1|General Obligation Bonds|Middle School Flood Recovery Loan|| 2022|Washington|88|4|8205||SALEM COMMUNITY SCHOOL CORPORATION|5|88-012.00|0||Governmental Activities|1|General Obligation Bonds|Saferoom Construction|| 2022|Washington|88|4|8205||SALEM COMMUNITY SCHOOL CORPORATION|5|88-012.00|0||Governmental Activities|1|General Obligation Bonds|Tech Bond 2020|| 2022|Washington|88|4|8205||SALEM COMMUNITY SCHOOL CORPORATION|5|88-012.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Land Payment Trent Nichols|| 2022|Washington|88|4|8215||EAST WASHINGTON SCHOOL CORPORATION|5|88-010.00|0||Governmental Activities|1|General Obligation Bonds|HVAC Projects - Main Gym, Aux Gym, and MS Gym|| 2022|Washington|88|4|8215||EAST WASHINGTON SCHOOL CORPORATION|5|88-010.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School - ES/MS Loan#A0428|| 2022|Washington|88|4|8220||WEST WASHINGTON SCHOOL CORPORATION|5|88-011.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2019|| 2022|Washington|88|4|8220||WEST WASHINGTON SCHOOL CORPORATION|5|88-011.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond 2021|| 2022|Washington|88|4|8220||WEST WASHINGTON SCHOOL CORPORATION|5|88-011.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan|| 2022|Washington|88|6|1026|2|WASHINGTON COUNTY SOLID WASTE MANAGEMENT|16|88-032.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Capital Development & Equipment|994517.45|220384.32 2022|Wayne|89|1|0000||WAYNE COUNTY|1|89-000.00|0||Governmental Activities|1|General Obligation Bonds|refinance jail building loan for lower interest|| 2022|Wayne|89|1|0000||WAYNE COUNTY|1|89-000.00|0||Governmental Activities|2|Revenue Bonds|purchase land and buildings for tourism|| 2022|Wayne|89|2|0002|2|BOSTON TOWNSHIP|7|89-016.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck and equipment|66206.62|23126.86 2022|Wayne|89|2|0010|2|JEFFERSON TOWNSHIP|7|89-024.00|0||Governmental Activities|1|General Obligation Bonds|Building Repair|.00|.00 2022|Wayne|89|2|0012|2|PERRY TOWNSHIP|7|89-026.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Purchase of Turnout Gear for VFD (new loan)|22776.14| 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|0||Governmental Activities|1|General Obligation Bonds|Park District Bonds of 2019|194000.00|194000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|0||Governmental Activities|2|Revenue Bonds|Economic Development Revenue Bonds, Series 2014 (Redev)|316000.00|85000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|0||Governmental Activities|2|Revenue Bonds|Tax Increment Revenue Bonds of 2015, Series A|1575000.00|70000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Economic Development Revenue Bonds, Series 2016 (Redev)|24412068.10|2042000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|0||Governmental Activities|2|Revenue Bonds|Taxable Tax Increment Revenue Bonds of 2015, Series B (Brownfield Bonds)|370500.00|28500.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|IN Brownfield Program Loan (2012 Series B)|478280.00|43480.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|Sanitary District Bonds of 2009, Series B|.00|580000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|Sanitary District Bonds of 2017 (SRF-WW16268906)|9615000.00|515000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|Sanitary District Bonds of 2019|15420000.00|720000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|Sanitary District Refunding Bonds Of 2019|4960000.00|520000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|Sanitary District Refunding Revenue Bonds (2015 Series B)|2630000.00|1300000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|SRFWW 2021D|6455000.00|1000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|Tertiary Building Modifications (WW09128902) (2009 Series A)|738000.00|82000.00 2022|Wayne|89|3|0111|2|RICHMOND CIVIL CITY|2|89-001.00|29336|Fee based sewer utility|WASTEWATER|2|Revenue Bonds|Wastewater/Stormwater Improvements (ES Interceptor, ph 3) (WW13049804) ((2012 Series A)|8810000.00|730000.00 2022|Wayne|89|3|0925||BOSTON CIVIL TOWN|3|89-002.00|29338|waste water|WASTEWATER|1|General Obligation Bonds|Sewer|| 2022|Wayne|89|3|0926|2|CAMBRIDGE CITY CIVIL TOWN|3|89-003.00|29339|BOND AND INTEREST|WATER UTILITY|14|Other - Long Term|SRF Loan|774556.00|78000.00 2022|Wayne|89|3|0926|2|CAMBRIDGE CITY CIVIL TOWN|3|89-003.00|29339|BOND AND INTEREST|WATER UTILITY|14|Other - Long Term|Waterworks Revenue Bonds|518217.00|.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|0||Governmental Activities|1|General Obligation Bonds|Fire Station #2|76504.00|24524.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29760|Stormwater|Centerville Stormwater|1|General Obligation Bonds|Flood Control Loan|167000.00|22000.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29760|Stormwater|Centerville Stormwater|2|Revenue Bonds|Stormwater - Series 2015A Refunding|157800.00|76600.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29762|Water|Centerville Water|2|Revenue Bonds|2020A Bonds - Water project|925180.00|282.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29762|Water|Centerville Water|2|Revenue Bonds|2020B Bonds - Water project|2357820.00|718.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29762|Water|Centerville Water|2|Revenue Bonds|Water Utility Bond 2002|68000.00|68000.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29762|Water|Centerville Water|2|Revenue Bonds|Water Utility Revenue Bonds Series 2010|158128.00|.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29763|Wastewater|Centerville Wastewater|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2018, Series B|486000.00|1000.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29763|Wastewater|Centerville Wastewater|2|Revenue Bonds|Sewage Works Revenue Bonds of 2018, Series A|1770000.00|1000.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29763|Wastewater|Centerville Wastewater|2|Revenue Bonds|Wastewater Bond SRF 2006|1019000.00|199000.00 2022|Wayne|89|3|0927|2|CENTERVILLE CIVIL TOWN|3|89-004.00|29763|Wastewater|Centerville Wastewater|2|Revenue Bonds|Wastewater Bond SRF 2007|235000.00|45000.00 2022|Wayne|89|3|0928|2|DUBLIN CIVIL TOWN|3|89-005.00|29340|ELECTRIC|ELECTRIC|10|Notes and Loans Payable - Long Term|Service Truck #2|3435.66|3435.66 2022|Wayne|89|3|0929|2|EAST GERMANTOWN CIVIL TOWN|3|89-006.00|29344||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series A|236000.00|6000.00 2022|Wayne|89|3|0929|2|EAST GERMANTOWN CIVIL TOWN|3|89-006.00|29344||WASTEWATER|2|Revenue Bonds|Sewage Works Revenue Bonds, Series B|283000.00|7000.00 2022|Wayne|89|3|0931|2|FOUNTAIN CITY CIVIL TOWN|3|89-008.00|29346|Water Utility|WATER UTILITY|2|Revenue Bonds|FOUNTAIN CITY WATER REVENUE BONDS, SERIES 2020|202000.00|8000.00 2022|Wayne|89|3|0931|2|FOUNTAIN CITY CIVIL TOWN|3|89-008.00|30279|STORM WATER UTILITY|STORM WATER UTILITY|2|Revenue Bonds|FOUNTAIN CITY STORM SANITARY SEWER REVENUE BONDS, SERIES 2022|1103000.00|20000.00 2022|Wayne|89|3|0932|2|GREENS FORK CIVIL TOWN|3|89-009.00|29347|Town's sewage collection and treatment|WASTEWATER|1|General Obligation Bonds|Rural Develpment Loans to build Sewer Utility|702597.00|702597.00 2022|Wayne|89|3|0934|2|MILTON CIVIL TOWN|3|89-011.00|29352||WASTEWATER|1|General Obligation Bonds|Wastewater Collection and Force Main|256000.00|21000.00 2022|Wayne|89|4|8305||NETTLE CREEK SCHOOL CORPORATION|5|89-031.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2012|| 2022|Wayne|89|4|8305||NETTLE CREEK SCHOOL CORPORATION|5|89-031.00|0||Governmental Activities|1|General Obligation Bonds|GO Bonds 2020|| 2022|Wayne|89|4|8305||NETTLE CREEK SCHOOL CORPORATION|5|89-031.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loan 2001|| 2022|Wayne|89|4|8355||WESTERN WAYNE SCHOOL CORPORATION|5|89-034.00|0||Governmental Activities|1|General Obligation Bonds|Finance of the renovation and improvements of Western Wayne Elementary, LMS/LHS, Administration buildings and buses.|| 2022|Wayne|89|4|8355||WESTERN WAYNE SCHOOL CORPORATION|5|89-034.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Common School Loans for Technology|| 2022|Wayne|89|4|8360||CENTERVILLE-ABINGTON COMMUNITY SCHOOL CORPORATION|5|89-030.00|0||Governmental Activities|1|General Obligation Bonds|G.O. Bond Bank of Oklahoma Financial (BOKF)|| 2022|Wayne|89|4|8360||CENTERVILLE-ABINGTON COMMUNITY SCHOOL CORPORATION|5|89-030.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Technology & Construction Common School Loans|| 2022|Wayne|89|4|8375||NORTHEASTERN WAYNE SCHOOL CORPORATION|5|89-032.00|0||Governmental Activities|1|General Obligation Bonds|Debt Service for teacher retirement|| 2022|Wayne|89|4|8385||RICHMOND COMMUNITY SCHOOL CORPORATION|5|89-033.00|0||Governmental Activities|1|General Obligation Bonds|2018 Bond|| 2022|Wayne|89|4|8385||RICHMOND COMMUNITY SCHOOL CORPORATION|5|89-033.00|0||Governmental Activities|1|General Obligation Bonds|2020 Bond|| 2022|Wayne|89|5|0238||CAMBRIDGE CITY PUBLIC LIBRARY|6|89-037.00|0||Governmental Activities|1|General Obligation Bonds|Building|| 2022|Wayne|89|5|0239|2|Centerville-Center Township Public Library|6|89-038.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bonds of 2018|1101854.07|155606.26 2022|Wells|90|1|0000|2|WELLS COUNTY|1|90-000.00|0||Governmental Activities|1|General Obligation Bonds|Jail Renovation|5285000.00|220000.00 2022|Wells|90|2|0004|2|JEFFERSON TOWNSHIP|7|90-009.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Truck Loan|150392.61|47567.72 2022|Wells|90|2|0006|2|LIBERTY TOWNSHIP|7|90-011.00|0||Governmental Activities|14|Other - Long Term|Fire Building|90000.00|60000.00 2022|Wells|90|2|0008|2|ROCKCREEK TOWNSHIP|7|90-013.00|0||Governmental Activities|14|Other - Long Term|Fire truck|68008.72|68008.72 2022|Wells|90|2|0009|2|UNION TOWNSHIP|7|90-014.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Fire Truck|77696.26| 2022|Wells|90|3|0408|2|BLUFFTON CIVIL CITY|2|90-001.00|29355|Wastewater Plant & Utility|WASTEWATER|11|Notes and Loans Payable - Short Term|BOND ANTICIPATION NOTE|2100000.00| 2022|Wells|90|3|0408|2|BLUFFTON CIVIL CITY|2|90-001.00|29354|Electric Utility|ELECTRIC|2|Revenue Bonds|Electric Substation BAN|6557388.25|.00 2022|Wells|90|3|0408|2|BLUFFTON CIVIL CITY|2|90-001.00|29355|Wastewater Plant & Utility|WASTEWATER|2|Revenue Bonds|SRF Bond/Loan|6815863.12|1036000.00 2022|Wells|90|3|0408|2|BLUFFTON CIVIL CITY|2|90-001.00|29356|Water Utility|WATER|2|Revenue Bonds|New Water Filtration Plant/SRF Loan|13266545.00|842448.00 2022|Wells|90|3|0938|2|OSSIAN CIVIL TOWN|3|90-002.00|29359|Utility|WASTEWATER|2|Revenue Bonds|2018A Sewage Plant Updates|2055000.00|330000.00 2022|Wells|90|3|0938|2|OSSIAN CIVIL TOWN|3|90-002.00|29359|Utility|WASTEWATER|2|Revenue Bonds|2018B Sewage Plant Updates|2500000.00|.00 2022|Wells|90|3|0938|2|OSSIAN CIVIL TOWN|3|90-002.00|29360|Utility|WATER|2|Revenue Bonds|2020 Waterworks Refunding Bond|2607486.58|81389.36 2022|Wells|90|3|0939|2|PONETO CIVIL TOWN|3|90-003.00|29361|Constructed wetlands|Town Of Poneto-Sewer|2|Revenue Bonds|SRF bond|219000.00|10000.00 2022|Wells|90|3|0940||UNIONDALE CIVIL TOWN|3|90-004.00|0||Governmental Activities|2|Revenue Bonds|sewage Works and Revenue Bond|| 2022|Wells|90|4|8425||SOUTHERN WELLS COMMUNITY SCHOOL CORPORATION|5|90-017.00|0||Governmental Activities|1|General Obligation Bonds|2018 Bond-Renovation projects-entire Corporation|| 2022|Wells|90|4|8425||SOUTHERN WELLS COMMUNITY SCHOOL CORPORATION|5|90-017.00|0||Governmental Activities|1|General Obligation Bonds|2019 Bond-Renoavtion projects-entire Corporation|| 2022|Wells|90|5|0244|2|WELLS COUNTY PUBLIC LIBRARY|6|90-019.00|0||Governmental Activities|1|General Obligation Bonds|Main Library Renovation|2270000.00|300000.00 2022|Wells|90|6|1092|2|Wells County Regional Sewer District|21|90-029.00|30327|Build and operate sewer utility to allow county residents to convert from septic to sewage service|Wells County Regional Sewer District|14|Other - Long Term|Series Bonds|7660519.00|21488.50 2022|Wells|90|6|1092|2|Wells County Regional Sewer District|21|90-029.00|30327|Build and operate sewer utility to allow county residents to convert from septic to sewage service|Wells County Regional Sewer District|5|Lines of Credit|Local line of credit extended by county council|52287.68| 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29364|Water Treatment Facility for supplying potable water to the citizens and industries of Monticello|WATER|15|Other - Short Term|Loan From Water Rent to Water Operating|58000.00| 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29364|Water Treatment Facility for supplying potable water to the citizens and industries of Monticello|WATER|15|Other - Short Term|Waterworks Bond Anticipation Notes for 2021|1952000.00| 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29363|Wastewater Treatment Facility and responsible for the sewer systema and storm sewers|WASTEWATER|2|Revenue Bonds|2009 Bond - Sewage Works National Homes Project|.00|.00 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29363|Wastewater Treatment Facility and responsible for the sewer systema and storm sewers|WASTEWATER|2|Revenue Bonds|2014 Bond-Sewage Works Revenue Bonds|2622050.00|183000.00 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29363|Wastewater Treatment Facility and responsible for the sewer systema and storm sewers|WASTEWATER|2|Revenue Bonds|2015A Sewage Works Revenue Bonds|4500.00|90.00 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29363|Wastewater Treatment Facility and responsible for the sewer systema and storm sewers|WASTEWATER|2|Revenue Bonds|2015B Sewage Works Revenue Bonds|11622789.00|719.00 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29363|Wastewater Treatment Facility and responsible for the sewer systema and storm sewers|WASTEWATER|2|Revenue Bonds|2020 Sewage Works Revenue Bonds|10082974.50|111000.00 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29364|Water Treatment Facility for supplying potable water to the citizens and industries of Monticello|WATER|2|Revenue Bonds|2009 Bond - Water Works National Homes Project|522925.00|275000.00 2022|White|91|3|0433|2|MONTICELLO CIVIL CITY|2|91-001.00|29364|Water Treatment Facility for supplying potable water to the citizens and industries of Monticello|WATER|2|Revenue Bonds|2013 Bond - Water Works Water Towers Improvements|1153070.00|155000.00 2022|White|91|3|0942|2|BROOKSTON CIVIL TOWN|3|91-002.00|29365||ELECTRIC|2|Revenue Bonds|Electric Project|875000.00|63452.50 2022|White|91|3|0942|2|BROOKSTON CIVIL TOWN|3|91-002.00|29366||WASTEWATER|2|Revenue Bonds|WASTEWATER PLANT|475000.00|144611.60 2022|White|91|3|0942|2|BROOKSTON CIVIL TOWN|3|91-002.00|29367||WATER|2|Revenue Bonds|WATER TOWER & WATER PLANT|512000.00|141476.80 2022|White|91|3|0943||BURNETTSVILLE CIVIL TOWN|3|91-003.00|29368|Monthly sewage payments received from residents|WASTEWATER|1|General Obligation Bonds|Sewage Works Bond 2008|| 2022|White|91|3|0944|2|CHALMERS CIVIL TOWN|3|91-004.00|29370|Removal of Sewage|WASTEWATER UTILITY|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2018|15300.00|15300.00 2022|White|91|3|0944|2|CHALMERS CIVIL TOWN|3|91-004.00|29370|Removal of Sewage|WASTEWATER UTILITY|2|Revenue Bonds|Sewage Works Revenue Bonds, Series 2018|784900.00|29400.00 2022|White|91|3|0944|2|CHALMERS CIVIL TOWN|3|91-004.00|29371|Distribution of Water|WATER UTILITY|2|Revenue Bonds|Water Utility System Improvements|122920.00|18300.00 2022|White|91|3|0945|2|MONON CIVIL TOWN|3|91-005.00|29372||WASTEWATER|2|Revenue Bonds|WASTEWATER IMPROVEMENT BONDS|987284.00|102000.00 2022|White|91|3|0946|2|REYNOLDS CIVIL TOWN|3|91-006.00|0||Governmental Activities|2|Revenue Bonds|WATER|69256.00|69256.00 2022|White|91|3|0947||WOLCOTT CIVIL TOWN|3|91-007.00|30275|DRINKING WATER|WATER|2|Revenue Bonds|WATER SYSTEM IMPROVEMENT|| 2022|White|91|4|8515||NORTH WHITE SCHOOL CORPORATION|5|91-021.00|0||Governmental Activities|1|General Obligation Bonds|2019 SOLAR PROJECT|| 2022|White|91|4|8515||NORTH WHITE SCHOOL CORPORATION|5|91-021.00|0||Governmental Activities|1|General Obligation Bonds|AD VALOREM PROPERTY TAX FIRST MORTGAGE BOND,2020|| 2022|White|91|4|8515||NORTH WHITE SCHOOL CORPORATION|5|91-021.00|0||Governmental Activities|1|General Obligation Bonds|PENSION BONDS|| 2022|White|91|4|8525||FRONTIER SCHOOL CORPORATION|5|91-020.00|0||Governmental Activities|14|Other - Long Term|2014 Ad Valorem Lease Rental|| 2022|White|91|4|8525||FRONTIER SCHOOL CORPORATION|5|91-020.00|0||Governmental Activities|14|Other - Long Term|2020 Ad Valorem Lease Rental|| 2022|White|91|4|8525||FRONTIER SCHOOL CORPORATION|5|91-020.00|0||Governmental Activities|15|Other - Short Term|Common School Fund Loan|| 2022|White|91|4|8535||TRI COUNTY SCHOOL CORPORATION|5|91-022.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATIONS BONDS OF NOV 2020|| 2022|White|91|4|8535||TRI COUNTY SCHOOL CORPORATION|5|91-022.00|0||Governmental Activities|1|General Obligation Bonds|GENERAL OBLIGATIONS BONDS OF OCT 2021|| 2022|White|91|6|0030|2|TWIN LAKES REGIONAL SEWER DISTRICT|21|91-030.00|30019|Government Municipalities|Sewer|2|Revenue Bonds|Sewage Works Refunding Revenue Bonds of 2021, Series A|8215000.00|.00 2022|White|91|6|0030|2|TWIN LAKES REGIONAL SEWER DISTRICT|21|91-030.00|30019|Government Municipalities|Sewer|2|Revenue Bonds|Taxable Sewage Works Refunding Revenue Bonds of 2021, Series B|32080000.00|1495000.00 2022|Whitley|92|1|0000|2|WHITLEY COUNTY|1|92-000.00|0||Governmental Activities|1|General Obligation Bonds|2014 Redevelopment Bond, Series A|2603037.71|439571.00 2022|Whitley|92|1|0000|2|WHITLEY COUNTY|1|92-000.00|0||Governmental Activities|1|General Obligation Bonds|2014 Redevelopment Bond, Series B|2050302.84|232118.00 2022|Whitley|92|1|0000|2|WHITLEY COUNTY|1|92-000.00|0||Governmental Activities|1|General Obligation Bonds|2021 Sotera Project|705000.00|64000.00 2022|Whitley|92|1|0000|2|WHITLEY COUNTY|1|92-000.00|0||Governmental Activities|2|Revenue Bonds|2010 Iotron Project, Series|.00|.00 2022|Whitley|92|2|0004|2|JEFFERSON TOWNSHIP|7|92-008.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|Fire Trucks|.00|.00 2022|Whitley|92|2|0006||SMITH TOWNSHIP|7|92-010.00|0||Governmental Activities|1|General Obligation Bonds|Fire station construction|| 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|0||Governmental Activities|1|General Obligation Bonds|Aquatic Center Bonding|530000.00|125000.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|City Hall remodel|590438.04|43339.81 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29374|utilty service|ELECTRIC|10|Notes and Loans Payable - Long Term|USA - C & R|214571.00|88812.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29374|utilty service|ELECTRIC|10|Notes and Loans Payable - Long Term|USDA - Impact Holdings|121822.32|50424.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29376|wastewater dispoal services|WASTEWATER|2|Revenue Bonds|sewer expansion - 2019 (2005-2006 refinancing bonds)|6025000.00|1300000.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29376|wastewater dispoal services|WASTEWATER|2|Revenue Bonds|sewer expansion 2010 bond|2053000.00|147000.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29376|wastewater dispoal services|WASTEWATER|2|Revenue Bonds|sewer expansion 2012 bond|353000.00|36000.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29376|wastewater dispoal services|WASTEWATER|2|Revenue Bonds|sewer expansion 2018 bond|4855000.00|2000.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29376|wastewater dispoal services|WASTEWATER|2|Revenue Bonds|sewer expansion USDA A|8375000.00|178000.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29376|wastewater dispoal services|WASTEWATER|2|Revenue Bonds|sewer expansion USDA B|1315108.00|42000.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29377|water services|WATER|2|Revenue Bonds|2013 refinanc|470000.00|107000.00 2022|Whitley|92|3|0432|2|COLUMBIA CITY CIVIL CITY|2|92-001.00|29377|water services|WATER|2|Revenue Bonds|Plant Expansion|787000.00|147000.00 2022|Whitley|92|3|0948|2|CHURUBUSCO CIVIL TOWN|3|92-002.00|0||Governmental Activities|1|General Obligation Bonds|General Obligation Bond|530000.00|45000.00 2022|Whitley|92|3|0948|2|CHURUBUSCO CIVIL TOWN|3|92-002.00|29378||WASTEWATER|1|General Obligation Bonds|2022 Sewer Bond|.00|.00 2022|Whitley|92|3|0948|2|CHURUBUSCO CIVIL TOWN|3|92-002.00|29378||WASTEWATER|1|General Obligation Bonds|sewer bond|121391.42|47000.00 2022|Whitley|92|3|0948|2|CHURUBUSCO CIVIL TOWN|3|92-002.00|29379||WATER|1|General Obligation Bonds|water bond|208455.06|70000.00 2022|Whitley|92|3|0948|2|CHURUBUSCO CIVIL TOWN|3|92-002.00|29379||WATER|10|Notes and Loans Payable - Long Term|Bond Anticipation Note|4961765.50|.00 2022|Whitley|92|3|0948|2|CHURUBUSCO CIVIL TOWN|3|92-002.00|29378||WASTEWATER|11|Notes and Loans Payable - Short Term|Bond Anticipation Note|.00| 2022|Whitley|92|3|0949|2|LARWILL CIVIL TOWN|3|92-003.00|29710|sewer sinking|sewer sinking|10|Notes and Loans Payable - Long Term|Line Credit|144619.17|12000.00 2022|Whitley|92|3|0950||SOUTH WHITLEY CIVIL TOWN|3|92-004.00|29381|Wastewater|WASTEWATER|2|Revenue Bonds|sewer pproject|| 2022|Whitley|92|3|0950||SOUTH WHITLEY CIVIL TOWN|3|92-004.00|29382|WATER|WATER|2|Revenue Bonds|WATERWORKS REVENUE BONDS 2017|| 2022|Whitley|92|4|8625||SMITH-GREEN COMMUNITY SCHOOL CORPORATION|5|92-016.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Tech Loan #B0072|| 2022|Whitley|92|4|8625||SMITH-GREEN COMMUNITY SCHOOL CORPORATION|5|92-016.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Tech Loan #B0120|| 2022|Whitley|92|4|8625||SMITH-GREEN COMMUNITY SCHOOL CORPORATION|5|92-016.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Tech Loan #B0171|| 2022|Whitley|92|4|8625||SMITH-GREEN COMMUNITY SCHOOL CORPORATION|5|92-016.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Tech Loan #B0209|| 2022|Whitley|92|4|8625||SMITH-GREEN COMMUNITY SCHOOL CORPORATION|5|92-016.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Tech Loan #B0253|| 2022|Whitley|92|4|8625||SMITH-GREEN COMMUNITY SCHOOL CORPORATION|5|92-016.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Tech Loan #B0291|| 2022|Whitley|92|4|8625||SMITH-GREEN COMMUNITY SCHOOL CORPORATION|5|92-016.00|0||Governmental Activities|11|Notes and Loans Payable - Short Term|Common School Tech Loan #B0316|| 2022|Whitley|92|4|8665||WHITLEY COUNTY CONSOLIDATED SCHOOL CORPORATION|5|92-025.00|0||Governmental Activities|1|General Obligation Bonds|2020 GO Bond|| 2022|Whitley|92|4|8665||WHITLEY COUNTY CONSOLIDATED SCHOOL CORPORATION|5|92-025.00|0||Governmental Activities|1|General Obligation Bonds|Refinancing obligation due retiring employees 2015|| 2022|Whitley|92|5|0251|2|South Whitley Community Public Library|6|92-019.00|0||Governmental Activities|5|Lines of Credit|Construction|82395.28| 2022|Whitley|92|6|0026||TRI-LAKES REGIONAL SEWER DISTRICT|21|92-026.00|29632|Wastewater|Wastewater|2|Revenue Bonds|Sewer System|| 2022|Whitley|92|6|0700|2|Whitley County Regional Water and Sewer District|20|92-030.00|30315||Wastewater|11|Notes and Loans Payable - Short Term|Bond Anticipation Note|.00| 2022|Whitley|92|6|0700|2|Whitley County Regional Water and Sewer District|20|92-030.00|30315||Wastewater|11|Notes and Loans Payable - Short Term|Bond Anticipation Note of 2022|10167.50| 2022|Whitley|92|7|0050|2|BLUE LAKE CONSERVANCY DISTRICT|27|92-028.00|0||Governmental Activities|10|Notes and Loans Payable - Long Term|REFUNDING REVENUE BONDS OF 016|659319.95|40000.00