District Holds $100K CD with Third Coast Bank
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Description
South Shore Harbour MUD No. 7 maintains a $100,000.00 certificate of deposit with Third Coast Bank at an interest rate of 4.15%, maturing April 28, 2026. The CD remains part of the District’s operating fund investment portfolio.
Contract Details
Contract Amount
$100,000.00
Vendor
THIRD COAST BANK
Agency
South Shore Harbour Mud 7, TX
Contract Type
FINANCIAL_SERVICES
Document Date
March 10, 2026
Contract Term
April 28, 2025 – April 28, 2026
Renewal Date
2026-04-28
Renewal Info
CD scheduled to mature on 2026-04-28; renewal or rollover options not specified in the document.
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South Shore Harbour Municipal Utility District No. 7 Minutes 2026-03-10
South Shore Harbour Municipal Utility District No. 7 Minutes 2026-03-10
South Shore Harbour Municipal Utility District No. 7 Minutes 2026-03-10
South Shore Harbour Municipal Utility District No. 7 Minutes 2026-03-10
South Shore Harbour Municipal Utility District No. 7 Minutes 2026-03-10
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