Financial Information
The Rodeo Sanitary District operates under a fiscal year budget cycle beginning July 1 and ending June 30. Sewer Service Charges are established to cover the cost of the operation, maintenance, and capital improvements to the sanitary sewer system.
The Fiscal Year 2024-2025 Operations Budget is $3.1 million, and the planned Capital Expenditures are $1.7 million.
The rate for each user category is based on the specific property address use code. Residential properties are charged a flat fee while non-residential and commercial properties are charged at a metered rate of water used.
Government Code (GC) section 53891 requires the financial transactions of each local agency to be submitted to the State Controller’s Office (SCO) within seven months after the close of the fiscal year. The report must contain underlying data from audited financial statements prepared in accordance with generally accepted accounting principles, if this data is available. To view the latest District reports, please click here for the Controller’s website.
To view the compensation for the Rodeo Sanitary District employees, please visit the California State Controller’s Office (SCO) Government Compensation in California (GCC).
- Budgets
- Fiscal Year 2024-2025 Operations Budget
- Fiscal Year 2024-2025 Capital Budget
- 5-year Capital Improvement Program Fiscal Year 2023-2024 Update
- Fiscal Year 2023-2024 Operations Budget
- Fiscal Year 2023-2024 Capital Budget
- Fiscal Year 2022-2023 Operations Budget
- Fiscal Year 2022-2023 Capital Budget
- Annual Financial Statements and Independent Auditor's Report
- 2023 Final Audit Report
- 2022 Final Audit Report
- 2021 Final Audit Report
- 2020 Final Audit Report
- 2019 Final Audit Report
- Other Financial Documents
- Disclosure of Reimbursements 2023-2024
- Survey of Public Agency Sewer Service Charges
- Financial Transactions Report 2023
- Disclosure of Reimbursements 2022-2023
- Expense Reimbursement
- Financial Reserves Policy