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• <br /> TIF DISTRICT NO. 1 & 3 <br /> CASH FLOW PROJECTION <br /> Tax Debt Cash <br /> Increment Service Other Balance <br /> 1994 797,070.36 <br /> 1995 210,900.02 -109,322.50 -52,000.00 (1) 846,647.88 <br /> 1996 -130,810.00 715,837.88 <br /> 1997 -121,585.00 594,252.88 <br /> 1998 -112,200.00 482,052.88 <br /> (1) Library Bond Debt Obligation <br /> 410 <br /> • EXHIBIT A <br /> TIFCASH.XLS <br /> 11/21/95 <br />