Laserfiche WebLink
T.F.R. ENTERPRISES, INC.AND SUBSIDIARIES <br /> NOTES TO CONSOLIDATED FINANCIAL STATEMENTS <br /> NOTE B—NOTES PAYABLE—continued <br /> 2017 2016 <br /> Note payable to Ford Motor Credit,due in monthly installments <br /> of 5910. includin_ interest at 0.00%,and secured by equipment <br /> of the company. Note was paid in full clurin the current year. S - S 7.279 <br /> Note payable to Ford Motor Credit,due in monthly installments <br /> of SI,S90, including interest at 0.00%,secured by equipment of <br /> the company. The Note was paid in full during the current year. - 5.670 <br /> Note payable to Bank of the West,due in monthly installments <br /> of 510,303, including interest at 4.25%,maturing <br /> October 28. 2019.and secured by equipment of the company. 102,529 378.076 <br /> Note payable to Prosperity Bank,due in monthly installments <br /> of S9.750, includine interest at 4.85%. maturing_ <br /> September 25.2028,and secured by equipment of the company. 969,589 1.037,109 <br /> Note payable to Prosperity Bank,due in monthly installments <br /> of S15,751, including interest at 6.2_5%, maturing <br /> September 15,2033,and secured by equipment of the company. 1,957.910 2.023.055 <br /> • Note payable to Prosperity Bank,due in monthly installments <br /> of S11,720.including interest at 4.75%, maturing: <br /> September 23, 2032,and secured by equipment of the company. 1.481.023 <br /> 4,787.331 4.213,809 <br /> Less current maturities (564.691) (929.673) <br /> S 4.222.6 40 S 3.284.136 <br /> Aggregate maturities for the years subsequent to December 31, 2017 are as follows: <br /> 2018 S 564,691 <br /> 2019 240.982 <br /> 3030 230.821 <br /> 2021 241258 <br /> 2022 256,378 <br /> Thereafter 3.251201 <br /> S 4.737.331 <br /> 12 <br />