Operating CD held with THIRD COAST BANK SSB
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Description
Bissonnet Municipal Utility District holds a $100,000.00 operating fund CD with THIRD COAST BANK, SSB at 0.75% interest maturing July 14, 2021. The deposit diversifies district investments.
Contract Details
Vendor
THIRD COAST BANK SSB
Agency
Bissonnet Mud, TX
Contract Type
FINANCIAL_SERVICES
Document Date
November 12, 2025
Contract Term
07/14/2020 – 07/14/2021
Renewal Date
2021-07-14
Renewal Info
CD matures on 2021-07-14; district may choose renewal or alternative investment.
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