The subject of the contract is the service of granting and servicing a long-term PLN loan in the amount of PLN 10,000,000.00 (in words: ten million zlotys 00/100) intended to finance the planned budget deficit in 2023 and to repay previously incurred liabilities under loans and advances.
1) The loan will be repaid on the following dates and amounts:
No. Repayment date: by, Capital installment amount
1 2028-03-31 50 000,00
2 2028-04-30 50 000,00
3 2028-05-31 50 000,00
4 2028-06-30 50 000,00
5 2028-07-31 50 000,00
6 2028-08-31 50 000,00
7 2028-09-30 50 000,00
8 2028-10-31 50 000,00
9 2029-03-31 50 000,00
10 2029-04-30 50 000,00
11 2029-05-31 50 000,00
12 2029-06-30 50 000,00
13 2029-07-31 50 000,00
14 2029-08-31 50 000,00
15 2029-09-30 50 000,00
16 2029-10-31 50 000,00
17 2030-03-31 50 000,00
18 2030-04-30 50 000,00
19 2030-05-31 50 000,00
20 2030-06-30 50 000,00
21 2030-07-31 50 000,00
22 2030-08-31 50 000,00
23 2030-09-30 50 000,00
24 2030-10-31 50 000,00
25 2031-03-31 75 000,00
26 2031-04-30 50 000,00
27 2031-05-31 50 000,00
28 2031-06-30 50 000,00
29 2031-07-31 50 000,00
30 2031-08-31 50 000,00
31 2031-09-30 50 000,00
32 2031-10-31 50 000,00
33 2032-03-31 75 000,00
34 2032-04-30 50 000,00
35 2032-05-31 50 000,00
36 2032-06-30 50 000,00
37 2032-07-31 50 000,00
38 2032-08-31 50 000,00
39 2032-09-30 50 000,00
40 2032-10-31 50 000,00
41 2033-03-31 75 000,00
42 2033-04-30 50 000,00
43 2033-05-31 50 000,00
44 2033-06-30 50 000,00
45 2033-07-31 50 000,00
46 2033-08-31 50 000,00
47 2033-09-30 50 000,00
48 2033-10-31 50 000,00
49 2034-03-31 75 000,00
50 2034-04-30 50 000,00
51 2034-05-31 50 000,00
52 2034-06-30 50 000,00
53 2034-07-31 50 000,00
54 2034-08-31 50 000,00
55 2034-09-30 50 000,00
56 2034-10-31 50 000,00
57 2035-01-31 62 500,00
58 2035-02-28 62 500,00
59 2035-03-31 62 500,00
60 2035-04-30 62 500,00
61 2035-05-31 62 500,00
62 2035-06-30 62 500,00
63 2035-07-31 62 500,00
64 2035-08-31 62 500,00
65 2035-09-30 62 500,00
66 2035-10-31 62 500,00
67 2035-11-30 62 500,00
68 2035-12-31 62 500,00
69 2036-01-31 62 500,00
70 2036-02-29 62 500,00
71 2036-03-31 62 500,00
72 2036-04-30 62 500,00
73 2036-05-31 62 500,00
74 2036-06-30 62 500,00
75 2036-07-31 62 500,00
76 2036-08-31 62 500,00
77 2036-09-30 62 500,00
78 2036-10-31 62 500,00
79 2036-11-30 62 500,00
80 2036-12-31 62 500,00
81 2037-01-31 85 000,00
82 2037-02-28 85 000,00
83 2037-03-31 85 000,00
84 2037-04-30 85 000,00
85 2037-05-31 85 000,00
86 2037-06-30 85 000,00
87 2037-07-31 85 000,00
88 2037-08-31 85 000,00
89 2037-09-30 85 000,00
90 2037-10-31 85 000,00
91 2037-11-30 85 000,00
92 2037-12-31 65 000,00
93 2038-01-31 105 000,00
94 2038-02-28 105 000,00
95 2038-03-31 105 000,00
96 2038-04-30 105 000,00
97 2038-05-31 105 000,00
98 2038-06-30 105 000,00
99 2038-07-31 105 000,00
100 2038-08-31 105 000,00
101 2038-09-30 105 000,00
102 2038-10-31 105 000,00
103 2038-11-30 105 000,00
104 2038-12-31 95 000,00
105 2039-01-31 145 000,00
106 2039-02-28 145 000,00
107 2039-03-31 145 000,00
108 2039-04-30 145 000,00
109 2039-05-31 145 000,00
110 2039-06-30 145 000,00
111 2039-07-31 145 000,00
112 2039-08-31 145 000,00
113 2039-09-30 145 000,00
114 2039-10-31 145 000,00
115 2039-11-30 145 000,00
116 2039-12-31 155 000,00
117 2040-01-31 132 500,00
118 2040-02-29 132 500,00
119 2040-03-31 132 500,00
120 2040-04-30 132 500,00
121 2040-05-31 132 500,00
122 2040-06-30 132 500,00
123 2040-07-31 132 500,00
124 2040-08-31 132 500,00
125 2040-09-30 132 500,00
126 2040-10-31 132 500,00
127 2040-11-30 132 500,00
128 2040-12-31 142 500,00
Total 10 000 000,00
2) The loan repayment will be secured by a blank promissory note together with a promissory note declaration. Only the bill of exchange declaration will be countersigned by the treasurer. 3) Grace period for repayment of capital from the date of signing the contract until 31/03/2028 at the latest. 4) The contracting authority does not provide for a grace period in interest repayment and intends to start their repayment immediately after the loan is disbursed on a monthly basis. Interest will be repaid on a monthly basis by the date specified by the Contractor. The Contractor will be obliged to calculate interest and send the charge to the Ordering Party 10 days before the payment date. 5) A full description of the subject of the contract is contained in paragraph 1 SWZ.