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Form 8038-G <br />(Rev. November 2000) <br />Department of the Treasury <br />Internal Revenue Service <br />Information Return for Tax -Exempt Governmental Obligations <br />► Under Internal Revenue Code section 149(e) <br />► See separate Instructions. <br />Caution: If the issue price is under $100,000, use Form 8038 -GC. <br />OMB No. 1545-0720 <br />Reporting Authority If Amended Return, check here ► ❑ <br />1 <br />Issuer's name <br />2 Issuer's employer identification number <br />Indian River County <br />3 <br />Number and street (or P.O. box if mail is not delivered to street address) <br />Room/suite <br />4 Report number <br />15 <br />1840 25th Street <br />16 <br />5 <br />City, town, or post office, state, and ZIP code <br />18 <br />6 Date of issue <br />Vero Beach, FI <br />LZ. <br />4/01/2004 <br />7 <br />Name of issue <br />(c) Stated redemption <br />price at maturity <br />8 CUSIP number <br />A/C 7297850-001 <br />21 <br />n/a $ 393,169.00 <br />9 <br />Name and title of officer or legal representative whom the IRS may call for more information10 <br />..Telephone number of officer or legal representative <br />% <br />Ms. Francis Sherwood <br />( 772 ) 567-8000 <br />Type of Issue (check applicable box(es) and enter the issue price) See instructions and attach schedule <br />11 <br />12 <br />13 <br />14 <br />15 <br />16 <br />17 <br />18 <br />19 <br />20 <br />❑ Education . . . . . . . . . . . . . . . . . . . . . . . . . <br />E3 Health and hospital . . . . . . . . . . . . . . . . . . . . . . . <br />❑ Transportation . . . . . . . . . . . . . . . . . . . <br />0 Public safety . . . . . . . . . . . . . . . . . . . . <br />❑ Environment (including sewage bonds) . . . . . . . . . . . . . <br />ElHousing . . . . . . . . . . . . . . . . . . . . . . . . . . . . <br />❑ Utilities . . . . . . . . . . . . . . . . . . . . . ... . . . . , <br />❑ Other. Describe ► <br />If obligations are TANS or RANs, check box ► El obligations are BANS, check box ► El <br />If obligations are in the form of a lease or installment sale, check box 10-0 <br />11 <br />12 <br />13 <br />14 <br />393,169.00 <br />15 <br />16 <br />17 <br />18 <br />LZ. <br />IVIII Description of Obligations. Complete for the entire issue for which this form is beinq filed. <br />(a) Final maturity date (b) Issue price <br />(c) Stated redemption <br />price at maturity <br />(d) Weighted: <br />average maturity <br />(e) Yield <br />21 <br />n/a $ 393,169.00 <br />$ n/a <br />7 years <br />% <br />Uses of Proceeds of Bond Issue(including underwriters' discount <br />22 <br />23 <br />24 <br />25 <br />26 <br />27 <br />28 <br />29 <br />30 <br />Proceeds used for accrued interest . . . . . . . . . . . . . . . . . .. . . . <br />Issue price of entire issue (enter amount from line 21, column (b)) . . . . . . . <br />Proceeds used for bond issuance costs (including underwriters' discount) . 24 n/a <br />Proceeds used for credit enhancement . . . . . . . . . . . . 25 n/a <br />Proceeds allocated to reasonably required reserve or replacement fund . . 26 n/a <br />Proceeds used to currently refund prior issues . . . . . . . . 27 n/a <br />Proceeds used to advance refund prior issues . . . . . . . . 28 n/a <br />Total (add lines 24 through 28) . . . . . . . . . <br />Nonrefunding proceeds of the issue subtract line 29 from line 23 and enter amount here) . <br />22 <br />n/a <br />23 <br />n/a <br />29 <br />n/a <br />30 <br />n/a <br />JiM Description of Refunded Bonds (Complete this part only for refunding bonds.) <br />31 Enter the remaining weighted average maturity of the bonds to be currently refunded . . . No. n/a years <br />32 Enter the remaining weighted average maturity of the bonds to be advance refunded ► n/a years <br />33 Enter the last date on which the refunded bonds will be called . . . . . . . . . . . ► n/a <br />34 Enter the date(s) the refunded bonds were issued ► n/a <br />FUMM Miscellaneous <br />35 Enter the amount of the state volume cap allocated to the issue under section 141(b)(5) 35 n/a <br />36a Enter the amount of gross proceeds invested or to be invested in a guaranteed investment contract (see instructions) 36a n/a <br />b Enter the final maturity date of the guaranteed investment contract ► <br />37 Pooled financings: a Proceeds of this issue that are to be used to make loans to other governmental units 37a <br />b If this issue is a loan made from the proceeds of another tax-exempt issue, check box ► ❑ and enter the name of the <br />issuer ► and the date of the issue ► <br />38 If the issuer has designatedthe issue under section 265(b)(3)(B)(i)(III) (small issuer exception), check box ► ❑ <br />39 If the issuer has elected to pay a penalty in lieu of arbitrage rebate, check box . . . . . . . . . . . . ► ❑ <br />40 If the issuer has identified a hedge, check box► ❑ <br />Under penalties of perjury, I declare that I have examined this return and accompanying schedules and statements, and to the best of my knowledge <br />and belief, they are true, correct, and complete. <br />Sign , <br />Here 05/04/2004 ' Caroline D. Ginn, Chairman <br />Signature of issuer's authorized repretkfitative Date Type or print name and title <br />For Paperwork Reduction Act Notice, see page 2 of the Instructions. cat. No.63MS Form 8038-G (Rev. 11-2000) <br />