The Financial Plan

Revenue to fund the required improvements and water supply acquisition will be derived from several sources in accordance with the District's financial plan. System development charges (SDCs) are collected from all new customers at the time of connection to the system and provide revenues for capital improvements and reserves. SDCs also include a fee for water supply acquisition.

User charges and surcharges are collected from all connected customers. They are based on cost of service, and provide revenues for day-to-day operation of the District. Surcharges for repair and replacement, and water acquisition are deposited into designated funds to meet future needs. System development charges, user charges, and surcharges are reviewed and adjusted as required to ensure adequate revenues.


 


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