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Documents

Budget Information

Change in District’s Revenue from 3/31/2022 to 3/31/2023: $45,894; 2.54%
Change in District’s Expenses from 3/31/2022 to 3/31/2023: $156,666; 9.54%

  • Budget- FYE 3/31/2023
    Maintenance Tax Revenue (Budgeted)- $1,583,000.00
    Debt Service Tax Revenue (Estimated)- $1,582,069.83
  • Budget- FYE 3/31/2022
    Maintenance Tax Revenue (Budgeted)- $1,386,406.00
    Debt Service Tax Revenue (Estimated)- $1,376,908.16
  • Budget- FYE 3/31/2021
    Maintenance Tax Revenue (Budgeted)- $1,147,041.00
    Debt Service Tax Revenue (Estimated)- $3,649,050.00

Financial Information

Financial Audits

District Bonds

Tax Information

The District assesses ad valorem taxes on all taxable property within the District in order to pay its debt obligations and to continue to operate and maintain the District’s water and sewer systems. The Board of Directors is committed to levying only the taxes needed to meet these obligations and has lowered the District’s tax rate whenever possible, as seen below.

  • Adopted 2022 Tax Rate (per $100 of assessed valuation)- $1.019
    Maintenance & Operations: $0.224
    W/S/D Debt Service: $0.515
    Road Debt Service: $0.28
  • Adopted 2021 Tax Rate (per $100 of assessed valuation)- $1.03
    Maintenance & Operations: $0.235
    W/S/D Debt Service: $0.585
    Road Debt Service: $0.21
  • Adopted 2020 Tax Rate (per $100 of assessed valuation)- $1.05
    Maintenance & Operations: $0.26
    W/S/D Debt Service: $0.67
    Road Debt Service: $0.12