Arlington Ridge Community Development District. Adopted Budget FY 2018

Size: px
Start display at page:

Download "Arlington Ridge Community Development District. Adopted Budget FY 2018"

Transcription

1 Adopted Budget FY 2018

2 Table of Contents Pages General Fund General Fund Narrative Restaurant Capital Reserve 20 Debt Service 21 Debt Service Fund Series 2006A Amortization 22

3 General Fund Adopted Operating Budget Adopted Projected Total Adopted Budget Actual thru Next Projected Budget FY /30/17 3 9/30/17 FY 2018 Revenues Interest Earnings $ 2,000 $ 1,058 $ $ 1,058 $ 2,000 Special Assessments Tax Roll $ 899,826 $ 917,162 $ $ 917,162 $ 967,390 Off Roll O&M Payment Agreement $ 210,369 $ 157,777 $ 52,592 $ 210,369 $ 142,805 Off Roll Golf Course $ 23,033 $ 23,033 $ $ 23,033 $ 23,033 Off RollCB Arlington Landco, LLC (Phase 3 Unplatted) $ 93,900 $ 93,900 $ $ 93,900 $ 63,000 Off RollCB Arlington Landco, LLC (Phase 3 Platted) $ $ $ $ $ 158,161 Off RollCB Arlington Landco, LLC ( 4 Lots) $ $ $ $ $ 6,142 Other Miscellaneous Revenues Events $ 10,000 $ 16,385 $ 4,000 $ 20,385 $ 10,000 Sales Banquets $ 8,000 $ 1,841 $ 500 $ 2,341 $ 8,000 Lexington Spa $ 6,000 $ 1,903 $ 750 $ 2,653 $ 6,000 Proceeds from Lot Sales CB Arlington Landco, LLC $ 150,000 $ 190,000 $ 12,500 $ 202,500 $ 210,000 Mortgage Interest Received CB Arlington Landco, LLC $ 25,000 $ 9,067 $ 3,500 $ 12,567 $ 25,000 CB Arlington Landco Restaurant Contribution $ 50,000 $ 21,764 $ 21,817 $ 43,581 $ Miscellaneous Income $ $ 6,205 $ $ 6,205 $ Balance Forward from PY $ 90,166 $ 1,085,110 $ $ 1,085,110 $ Total Revenues $ 1,568,295 $ 2,525,205 $ 95,659 $ 2,614,659 $ 1,621,531 Expenditures Administrative Supervisor Fees $ 24,000 $ 8,600 $ 3,000 $ 11,600 $ 24,000 Tax Collector Fee $ 15,274 $ 13,604 $ $ 13,604 $ 19,348 Administration Services $ 4,500 $ $ $ $ District Management $ 21,100 $ 37,835 $ 12,500 $ 50,335 $ 50,000 District Engineer $ 5,000 $ 3,063 $ $ 3,063 $ 5,000 Disclosure Report $ 5,000 $ 5,500 $ $ 5,500 $ 5,000 Trustee Fees $ 16,166 $ 3,717 $ $ 3,717 $ 5,000 Property Taxes $ 11,326 $ 10,709 $ $ 10,709 $ 11,326 Assessment Roll $ 5,000 $ 7,917 $ $ 7,917 $ 5,000 Financial Consulting Services $ 5,000 $ $ $ $ ing Services $ 18,000 $ $ $ $ Auditing Services $ 4,200 $ 4,200 $ $ 4,200 $ 4,200 Arbitrage Rebate Calculation $ 1,000 $ $ 1,000 $ 1,000 $ 1,000 Rentals & Leases $ 23,033 $ 23,033 $ $ 23,033 $ 23,033 Public Officials Liability Insurance $ 4,815 $ 5,135 $ $ 5,135 $ 4,815 Miscellaneous Expense $ 1,000 $ 2,147 $ 500 $ 2,647 $ 3,000 Legal Advertising $ 3,000 $ 2,504 $ 357 $ 2,861 $ 5,000 Dues, License, & Fees $ 2,400 $ 266 $ $ 266 $ 175 Information Technology $ 2,640 $ 2,040 $ 554 $ 2,594 $ 2,220 Agenda Fees $ 3,600 $ $ $ $ Mileage $ $ $ $ $ 1,500 Printing and Binding $ $ $ $ $ 1,000 District Counsel $ 75,000 $ 57,770 $ 12,000 $ 69,770 $ 75,000 Administration Subtotal $ 251,054 $ 188,040 $ 29,911 $ 217,951 $ 245,617 1

4 General Fund Adopted Operating Budget Adopted Projected Total Adopted Budget Actual thru Next Projected Budget FY /30/17 3 9/30/17 FY 2018 Field Towncenter Administration Gross Wages $ 90,250 $ 50,543 $ 18,750 $ 69,293 $ 123,306 Workers Comp Insurance $ $ $ $ $ 4,209 Employee Benefits $ $ $ $ $ 5,287 Payroll Taxes: Employee FICA $ $ $ $ $ 10,732 Employee FUTA $ $ $ $ $ 680 Employee SUTA $ $ $ $ $ 37 Electric Utility Services $ 2,700 $ 1,699 $ 540 $ 2,239 $ 2,700 Rental & Leases $ 2,400 $ 998 $ 375 $ 1,373 $ 1,488 General Liability/Property Insurance $ 38,979 $ 33,534 $ $ 33,534 $ 33,677 Pest Control $ 325 $ 243 $ 81 $ 324 $ 325 Water & Sewer $ 1,746 $ 1,115 $ 415 $ 1,530 $ 1,746 Repairs & Maintenance $ 8,000 $ 172 $ $ 172 $ 8,000 Telephone, Fax, Internet $ $ 2,543 $ 854 $ 3,397 $ Computer Services $ 1,200 $ 675 $ $ 675 $ 1,200 Office Supplies $ 3,000 $ 4,952 $ 200 $ 5,152 $ 3,000 Janitorial Service $ 1,098 $ 1,155 $ 478 $ 1,633 $ 1,600 Special Events $ 27,500 $ 21,313 $ 3,000 $ 24,313 $ 27,500 Towncenter Administration Subtotal $ 177,198 $ 118,942 $ 24,693 $ 143,635 $ 225,487 Gate House Security Contract $ 102,132 $ 76,602 $ 25,534 $ 102,137 $ 102,137 Telephone/Fax $ $ 1,828 $ 773 $ 2,601 $ Electric Utility Services $ 2,631 $ 1,969 $ 750 $ 2,719 $ 3,000 Street Lights $ 91,210 $ 64,914 $ 21,750 $ 86,664 $ 91,510 Water & Sewer $ 476 $ 358 $ 114 $ 472 $ 476 Repair & Maintenance $ 2,000 $ 21 $ $ 21 $ 2,000 Gate House Subtotal $ 198,449 $ 145,692 $ 48,921 $ 194,613 $ 199,123 Common Area/Recreation Electric Utility Services $ 10,686 $ 8,094 $ 2,850 $ 10,944 $ 10,686 Aquatic Maintenance (Golf Split) $ 1,800 $ 704 $ 264 $ 968 $ 1,800 Landscape Maintenance $ 254,878 $ 188,476 $ 62,415 $ 250,891 $ 258,982 Irrigation Repairs & Maintenance $ 37,539 $ 21,430 $ 6,750 $ 28,180 $ 30,000 Roadway Repair & Maintenance $ 91,000 $ 1,660 $ $ 1,660 $ 10,000 Water & Sewer $ 8,925 $ 10,251 $ 2,475 $ 12,726 $ 12,000 Repair & Maintenance $ 30,000 $ 1,499 $ $ 1,499 $ 30,000 Landscape Replacement Plants, Shrubs, Trees $ 95,000 $ 78,607 $ 8,330 $ 86,937 $ 45,000 Landscape Mulch $ 20,000 $ 20,800 $ $ 20,800 $ 20,000 Field Operations $ 6,000 $ $ $ $ Operating Supplies $ $ 177 $ $ 177 $ 750 Janitorial Service $ 1,750 $ 1,348 $ 156 $ 1,504 $ 1,750 Holiday Decorations $ 15,000 $ 15,685 $ $ 15,685 $ 15,000 Tennis Court Maintenance & Supplies $ 1,500 $ $ $ $ 1,500 Common Area/Recreation Subtotal $ 574,078 $ 348,730 $ 83,240 $ 431,970 $ 437,468 2

5 General Fund Adopted Operating Budget Adopted Projected Total Adopted Budget Actual thru Next Projected Budget FY /30/17 3 9/30/17 FY 2018 Fairfax Hall Electric Utility Services $ 13,147 $ 7,071 $ 2,600 $ 9,671 $ 13,147 Pest Control $ 1,044 $ 783 $ 267 $ 1,050 $ 1,044 Water & Sewer $ 1,200 $ 756 $ 261 $ 1,017 $ 1,200 Repairs & Maintenance $ 22,000 $ 4,872 $ $ 4,872 $ 22,000 Janitorial Service $ 3,750 $ 2,968 $ 789 $ 3,757 $ 4,500 Fairfax Hall Subtotal $ 41,141 $ 16,450 $ 3,917 $ 20,367 $ 41,891 Social Center Electric Utility Services $ 4,799 $ 3,570 $ 1,225 $ 4,795 $ 4,799 Pest Control $ 924 $ 693 $ 231 $ 924 $ 924 Repairs & Maintenance $ 4,000 $ 3,166 $ 500 $ 3,666 $ 4,000 Operating Supplies $ $ 444 $ $ 444 $ 500 Janitorial Service $ 3,477 $ 2,687 $ 984 $ 3,671 $ 4,200 Dues, Licenses & Fees $ 1,714 $ 1,310 $ 38 $ 1,348 $ 2,200 Social Center Subtotal $ 14,914 $ 11,870 $ 2,978 $ 14,848 $ 16,623 Lexington Spa Electric Utility Services $ 27,437 $ 20,137 $ 6,762 $ 26,899 $ 29,000 Pest Control $ 804 $ 603 $ 201 $ 804 $ 804 Pool Maintenance $ 16,500 $ 12,375 $ 4,125 $ 16,500 $ 16,500 Water & Sewer $ 20,831 $ 15,039 $ 5,400 $ 20,439 $ 24,000 Instructor (s) $ 15,000 $ 4,700 $ 1,500 $ 6,200 $ 15,000 Repairs & Maintenance $ 15,000 $ 16,012 $ 1,500 $ 17,512 $ 15,000 HVAC Repairs & Maintenance $ 1,000 $ 1,808 $ $ 1,808 $ 1,000 Operating Supplies $ 600 $ 288 $ $ 288 $ 600 Janitorial Service $ 10,614 $ 8,743 $ 3,006 $ 11,749 $ 13,000 Due, License, & Fees $ 675 $ 471 $ $ 471 $ 675 Lexington Spa Subtotal $ 108,461 $ 80,176 $ 22,494 $ 102,670 $ 115,579 Restaurant Repairs & Maintenance $ 18,000 $ 7,015 $ 171 $ 7,186 $ Operations $ 175,000 $ 33,868 $ $ 33,868 $ Capital Outlay (General) $ 10,000 $ $ $ $ Transfer Out Restaurant Fund $ $ 600 $ 45,633 $ 46,233 $ 50,000 Restaurant Subtotal $ 203,000 $ 41,484 $ 45,804 $ 87,288 $ 50,000 Contingency $ $ $ $ $ 39,743 Field Expenditures Subtotal $ 1,317,241 $ 763,344 $ 232,048 $ 995,392 $ 1,125,914 Maintenance Reserve Transfer to Capital Reserve $ $ 500,000 $ 250,000 $ 750,000 $ 250,000 Total Expenditures $ 1,568,295 $ 1,451,384 $ 511,959 $ 1,963,343 $ 1,621,531 Excess Revenues/ (Expenditures) $ $ 1,073,821 $ (416,300) $ 651,316 $ 3

6 Revenues: Arlington Ridge Interest Income The District will earn interest on balances invested during the year Assessments On Roll The District will levy a NonAd Valorem Assessment on all the assessable property within the District in order to pay for its operating and maintenance expenditures incurred during the Fiscal Year. Assessments Off Roll O&M Payment Agreement The District will levy a NonAd Valorem Assessment on all the assessable property within the District in order to pay for its operating and maintenance expenditures incurred during the Fiscal Year. Per the O&M Payment Agreement, the District levies these assessments directly to the certified platted lots owned by CB Arlington Landco, LLC. Assessments Off Roll Golf Course The District will levy a NonAd Valorem Assessment on all the assessable property within the District in order to pay for its operating and maintenance expenditures incurred during the Fiscal Year. The District levies these assessments directly to the property owners. The District receives one annual payment representing the Golf Course assessments from CB Arlington Landco, LLC. Assessments Off Roll CB Arlington Landco, LLC (Phase 3 Unplatted) Per the O&M Payment Agreement, the SPE property owner, CB Arlington Landco, LLC, and the District agreed to pay special assessments necessary to fund the District s administrative allocation of operation and maintenance costs for each Fiscal Year not to exceed $303 per planned unit in Parcel 3. The assessments are paid in four quarterly payments throughout the Fiscal Year based upon 207 planned units. Assessments Off Roll CB Arlington Landco, LLC (Phase 3 Platted) The District will levy a NonAd Valorem Assessment on all the assessable property within the District in order to pay for its operating and maintenance expenditures incurred during the Fiscal Year. The District levies these assessments directly to the property owners. The assessments are paid in four quarterly payments throughout the Fiscal Year based upon 103 platted units in Phase 3. Assessments Off Roll CB Arlington Landco, LLC (4 Lots) The District will levy a NonAd Valorem Assessment on all the assessable property within the District in order to pay for its operating and maintenance expenditures incurred during the Fiscal Year. The District levies these assessments directly to the property owners. The District receives one annual payment representing the 4 new Golf Course lots from CB Arlington Landco, LLC. Events Represents admission tickets sold for events throughout the year at Fairfax hall for all residents in the District. Banquets The District allows members of the public to rent Fairfax Hall for various functions such as parties, weddings, anniversaries, etc. 4

7 Lexington Spa The District provides various services at Lexington Spa. The services include, but are not limited to, group fitness classes, manicures and pedicures, massages, etc. Proceeds from Lot Sales CB Arlington Landco, LLC The District sold SPE property to CB Arlington Landco, LLC with the agreement that the Note shall provide for principal payments at each closing of the sale of any of the existing CB lots to a homebuyer. The amount of the principal payments shall equal $3,500 of each of the remaining existing CB lots sold during the term of the Note, but the District shall not be paid less than $210,000 at the end of the third year of this agreement. Mortgage Interest Received CB Arlington Landco, LLC Represents interest on the unpaid balance of the Note and shall accrue at a rate of four percent (4%) per annum, and shall be paid quarterly in arrears throughout the tem of the Note. Administrative Expenditures: Supervisors Fees The amount paid to each supervisor for the time devoted to District business and meetings is determined by Chapter 190, Florida Statutes, at $200 per meeting. Amount is based on five supervisors receiving fees for two meetings per month. Tax Collector Fees Represents 2% collection costs of the total assessments levied by the District payable to Lake County Tax Collector. District Management The District has contracted with GMSCentral Florida, LLC to provide ing and Administrative Services for the District in accordance with the Management Agreement. The services include, but are not limited to, attendance of monthly board meetings, recording and transcription of board meetings, administrative services, budget preparation, financial reporting, annual audits, etc. District Engineer The District's engineer, Riddle Newman Engineering, Inc. will be providing general engineering services to the District, which includes preparation and attendance of monthly board meetings. Disclosure Report The District is required by the Securities and Exchange Commission to comply the Rule 15(c)(2) 12(b)(5), which relates to additional reporting requirements for unrated bond issues. The District has contracted with Governmental Management Services Central Florida, LLC to provide these services. Trustee Fees The District will pay annual trustee fees to US Bank, N.A. for the Special Assessment Bonds, Series 2006A. Property Taxes Represents estimated fees charged by the Lake County Tax Collector s Office for all assessable property within the District. 5

8 Assessment Roll The District contracts with GMSCentral Florida, LLC for calculating, levying and certification of the District s Annual NonAd valorem Maintenance Assessments with the Lake County Tax Collector and maintenance of the lien book. Auditing Services The District is required to annually conduct an audit of its financial records by an Independent Certified Public ing Firm. The District hired McDirmit Davis & Company, LLC to prepare the audit of the financials records. Arbitrage Rebate Calculation The District is required to have an arbitrage rebate calculation on the District s Series 2006A Special Assessment Bonds. Rentals & Leases Per the O&M Agreement, the District agreed to enter into a lease agreement with CB Arlington Landco, LLC in an annual lease amount equal to the O&M Assessment levied on the Golf Course to provide, among other things, needed storage space for the District s operations and maintenance activities and to provide maintenance of certain District owned lakes on the Golf Course. Public Officials Liability Insurance EGIS Insurance and Risk Advisors provide the District s annual insurance coverage for the following policies: Description +Admin+ +Field+ General'Liability $'''''''''' - $''''''''' 4,363 $''''''''' 4,363 POL/EPLI $''''''' 4,815 $''''''''''''' - $''''''''' 4,815 Property $'''''''''' - $''''''' 29,314 $''''''' 29,314 Total $ ,815 $ ,677 $ ,492 Miscellaneous Expense Represents any miscellaneous expenses incurred by the District that were not previously budgeted. Legal Advertising The District is required to advertise various notices for monthly Board meetings, public hearings, etc. in a newspaper of general circulation. The District purchases all legal advertising ads through The Daily Commercial and Orlando Sentinel. Dues, License, & Fees The District is required to pay an annual fee to the Department of Economic Opportunity of $175. This is the only expense under this category for the District. Information Technology Costs related to District's accounting and information systems, District's website creation and maintenance, electronic compliance with Florida Statutes and other electronic data requirements. 6

9 Mileage Represents the reimbursable costs on vehicle mileage for District employees during travel. Printing and Binding Printing and Binding agenda packages for board meetings, printing of computerized checks, stationary, envelopes, etc. District Counsel The District's legal counsel, Hopping Green & Sams, will be providing general services, which include attendance and preparation for monthly board meetings. Also, services include reviewing contracts, agreements, resolutions, rule amendments, etc. Towncenter Administration Expenditures: Gross Wages The District currently has a General Manager, administration assistant, and special events coordinator to handle the daytoday operations of the District. The General Fund allocates 60% of the General Manager s wages. The remaining amounts are allocated to the Restaurant Fund. The District also has one general maintenance employee to handle the buildings maintenance. Workers Comp Insurance The District provides Workers Compensation Insurance for each of its employees based upon statutory requirements and rates determined by RetailFirst Insurance Company. Employee Benefits Full time employees are reimbursed to purchase individual benefits. The following are the benefit providers: Provider Insurance Florida(Blue Health VSP Vision Florida(Blue Dental Guardian Dental Employee FICA Represents the estimated amount due for Social Security (6.2%) and Medicare (1.45%) based upon the proposed salaries and wages. Employee FUTA The District pays Federal Unemployment Tax for each employee based upon current rate structures. Employee SUTA The District pays State Unemployment Tax for each employee based upon current rate structures. 7

10 Electric Utility Services The District has the following utility account with Duke Energy to provide electricity. Duke%Energy 12646/71240 $%%%%%%%%%%% 175 $%%%%%%%% 2,100 Contingency $%%%%%%%%%%% 600 Total $ ,700 Rentals & Leases The expense related to leasing a copier from Ralex Business Solutions and estimated costs of copies. Description -Monthly- Amount- -Annual- Amount- Ralex&Business&Services Copier&Lease $&&&&&&&&&&&&& 99 $&&&&&&&&& 1,188 Ralex&Business&Services Copies $&&&&&&&&&&&&& 25 $&&&&&&&&&&&& 300 Total $ ,488 General Liability/Property Insurance EGIS Insurance and Risk Advisors provide the District s annual insurance coverage for the following policies: Description +Admin+ +Field+ General'Liability $'''''''''' - $''''''''' 4,363 $''''''''' 4,363 POL/EPLI $''''''' 4,815 $''''''''''''' - $''''''''' 4,815 Property $'''''''''' - $''''''' 29,314 $''''''' 29,314 Total $ ,815 $ ,677 $ ,492 Pest Control The estimated costs for Deans Services to provide monthly pest control services. Location,Monthly, Amount,,Annual, Amount, Dean's'Services $''''''''''''' 27 $''''''''''' 325 Total $,,,,,,,,,, 325 8

11 Water & Sewer The District has the following account with City of Leesburg to provide water and wastewater services. City%of%Leesburg $%%%%%%%%%%% 140 $%%%%%%%% 1,680 Contingency $%%%%%%%%%%%%% 66 Total $ ,746 Repairs & Maintenance Any costs related to miscellaneous repairs and maintenance that occur during the fiscal year. Computer Services Represents any costs related to repairs to the District s computers. MMD Computers completes all computer repairs for the District. Office Supplies Any supplies that may need to be purchased during the Fiscal Year, e.g., paper, minute books, file folders, labels, paper clips, etc. Janitorial Service The District is under contract with Globiser, Inc. to provide monthly janitorial services and supplies. Globiser,*Inc.* N/A $****************** 104 $************* 1,242 Janatorial*Supplies/Deoderizing $**************** 358 Total $ ,600 Special Events Represents monthly events and organized functions provided for all residents of Arlington Ridge CDD. The amount includes estimated costs for supplies, entertainment, catering, etc. Gate House Expenditures: Security Contract The District is under contract with Allied Universal to furnish all labor, supervision, and uniforms necessary to provide the Gate Access Control Services. + Allied&Universal SE46201 $&&&&&&&&&&& 8,511 $&&& 102,137 Total $+ 102,137 9

12 Electric Utility Services The District has the following utility accounts with Duke Energy to provide electricity. Duke%Energy 44218/97443 $%%%%%%%%%%% 165 $%%%%%%%% 1,980 Duke%Energy 58073/08028 $%%%%%%%%%%%%% 58 $%%%%%%%%%%% 696 Contingency $%%%%%%%%%%% 324 Total $ ,000 Street Lights The District has the following utility accounts with Duke Energy to provide electricity to all streetlights within the community. Duke%Energy 51375/94583 $%%%%%%%% 6,000 $%%%%%% 72,000 Duke%Energy 93531/65008 $%%%%%%%% 1,500 $%%%%%% 18,000 Phase%3%Streetlights $%%%%%%%%%%% 300 Contingency $%%%%%%%% 1,210 Total $ ,510 Water & Sewer The District has the following account with City of Leesburg to provide water and wastewater services. City%of%Leesburg $%%%%%%%%%%%%% 35 $%%%%%%%%%%% 420 Contingency $%%%%%%%%%%%%% 56 Total $ Repairs & Maintenance Any costs related to miscellaneous repairs and maintenance that occur during the fiscal year. 10

13 Common Area/Recreation Expenditures: Arlington Ridge Electric Utility Services The District has the following utility accounts with Duke Energy and SECO Energy to provide electricity. The District also pays Arlington Ridge Golf Management, LLC for a portion of the golf course utilities. Duke%Energy $%%%%%%%%%%%%% 23 $%%%%%%%%%%% 276 SECO%Energy $%%%%%%%%%%%%% 26 $%%%%%%%%%%% 316 Arlington%Ridge%Golf%Management,%LLC $%%%%%%%%%%% 270 $%%%%%%%% 3,240 Arlington%Ridge%Golf%Management,%LLC $%%%%%%%%%%% 500 $%%%%%%%% 6,000 Contingency $%%%%%%%%%%% 854 Total $ ,686 Aquatic Maintenance (Golf Split) Represents 50% of aquatic maintenance performed by Down to Earth at the Distric s main entrance. The bill is split between 50/50 between the District and Arlington Ridge Golf Management, LLC. Landscape Maintenance The District is under contract with Floralawn Inc. to provide monthly landscaping services. The services include mowing once a week during March November and once every other week during NovemberMarch, lawn and shrub spray application, and RV area maintenance. The details of monthly costs are as follows: Description -Monthly- Amount- -Annual- Amount- Floralawn Lawn)Maintenance $)))))))) 14,533 $))))))) 174,392 Floralawn Lawn)&)Shrub)Spray $)))))))))) 5,822 $))))))))) 69,870 Floralawn RV)Area)Maintenance)&)Pond)Mowing $))))))))))))) 810 $))))))))))) 9,720 Additional)Work)Proposals $))))))))))) 5,000 Total $ ,982 Irrigation Repairs & Maintenance The District is under contract with Floralawn Inc. to inspect and test the irrigation systems one time per month. Description -Monthly- Amount- -Annual- Amount- Floralawn Irrigation,Check $,,,,,,,, 1,800 $,,,,,, 21,600 Irrigation,Repairs $,,,,,,,, 8,400 Total $ ,000 11

14 Roadway Report & Maintenance Represents estimated expenditures for any maintenance of roadways and sidewalks. Water & Sewer The District has the following account with City of Leesburg to provide water and wastewater services. The District also pays Arlington Ridge Golf Management, LLC for a portion of the golf course water and wastewater. City%of%Leesburg $%%%%%%%%%%%%% 15 $%%%%%%%%%%% 180 City%of%Leesburg $%%%%%%%%%%%%%%% 5 $%%%%%%%%%%%%% 60 City%of%Leesburg $%%%%%%%%%%% 300 $%%%%%%%% 3,600 Arlington%Ridge%Golf%Management,%LLC $%%%%%%%%%%% 650 $%%%%%%%% 7,800 Contingency $%%%%%%%%%%% 360 Total $ ,000 Repairs & Maintenance Any costs related to miscellaneous repairs and maintenance that occur during the fiscal year. Landscape Replacement Plants, Shrubs, Trees Any costs related to replacing plants, shrubs, and trees throughout the District. The District is under contract with Floralawn Inc. to perform annual installations up to four times a year in designated areas and maintain annuals to ensure a healthy appearance. Landscape Mulch Represents the cost for new mulch throughout the District. The District is under contract with Floralawn Inc. to install new mulch twice a year. Operating Supplies Estimated costs of supplies purchased for operating and maintaining the common area. Janitorial Service The District is under contract with Globiser, Inc. to provide monthly janitorial services and supplies. Globiser,*Inc.* N/A $******************** 52 $**************** 621 Janatorial*Supplies $************* 1,129 Total $ ,750 Holiday Decorations Any costs related to props used to decorate the District for the holiday seasons. This includes yearly installation of lights by Holiday Lighting. Tennis Court Maintenance & Supplies Represents costs of supplies and maintenance performed at the tennis court. 12

15 Fairfax Hall Expenditures: Arlington Ridge Electric Utility Services The District has the following utility account with Duke Energy to provide electricity. Duke%Energy 05778/36116 $%%%%%%%%%%% 950 $%%%%%% 11,400 Contingency $%%%%%%%% 1,747 Total $ ,147 Pest Control The estimated costs for Deans Services to provide monthly pest control services. Location,Monthly, Amount,,Annual, Amount, Dean's'Services $''''''''''''' 87 $'''''''' 1,044 Total $,,,,,,, 1,044 Water & Sewer The District has the following account with City of Leesburg to provide water and wastewater services. City%of%Leesburg $%%%%%%%%%%%%% 90 $%%%%%%%% 1,080 Contingency $%%%%%%%%%%% 120 Total $ ,200 Repairs & Maintenance Any costs related to miscellaneous repairs and maintenance that occur during the fiscal year. Janitorial Service The District is under contract with Globiser, Inc. to provide monthly janitorial services and supplies. This includes an additional $125 for set ups and deep cleaning for each event in Fairfax Hall. Globiser,*Inc.* N/A $****************** 242 $************* 2,898 Globiser,*Inc.*(Events) $************* 1,500 Janatorial*Supplies $**************** 102 Total $ ,500 13

16 Social Center Expenditures: Arlington Ridge Electric Utility Services The District has the following utility account with Duke Energy to provide electricity. Duke%Energy $%%%%%%%%%%% 375 $%%%%%%%% 4,500 Contingency $%%%%%%%%%%% 299 Total $ ,799 Pest Control The estimated costs for Deans Services to provide monthly pest control services. Location,Monthly, Amount,,Annual, Amount, Dean's'Services $''''''''''''' 77 $''''''''''' 924 Total $,,,,,,,,,, 924 Repairs & Maintenance Any costs related to miscellaneous repairs and maintenance that occur during the fiscal year. Operating Supplies Estimated costs of supplies purchased for operating and maintaining the social center. Janitorial Service The District is under contract with Globiser, Inc. to provide monthly janitorial services and supplies. Globiser,*Inc.* N/A $****************** 328 $************* 3,933 Janatorial*Supplies $**************** 267 Total $ ,200 14

17 Dues, License, & Fees The following represents the estimated cost for license and membership subscriptions for the fiscal year: Description -Annual- Amount- ASCAP Performing-Rights-License $ Motion-Picture Motion-Picture-Unbrella-License $ BMI Music-License $ SECAC,-Inc Music-License $ Netflix Monthly-Services $ National-Telecom-Department SirusXM-Annual-Service $ Contingency $ Total $ ,200 Lexington Spa Expenditures: Electric Utility Services The District has the following utility account with Duke Energy to provide electricity. Duke%Energy 88726/99239 $%%%%%%%% 2,250 $%%%%%% 27,000 Contingency $%%%%%%%% 2,000 Total $ ,000 Pest Control The estimated costs for Deans Services to provide monthly pest control services. Location,Monthly, Amount,,Annual, Amount, Dean's'Services $''''''''''''' 67 $''''''''''' 804 Total $%%%%%%%%%%%

18 Pool Maintenance The District is under contract with Rottermond Pool & Spa Maintenance, LLC to provide pool maintenance three times per week. The services include, but are not limited to, cleaning of pool and spa, brushing tile, vacuuming pool and spa, service and cleaning filters and pool grates, equipment checks, cleaning of skimmer baskets, test and check chemical readings and apply chemicals to achieve proper chemical balance. 'Monthly' Amount' 'Annual' Amount' Rottermond)Pool)&)Spa $)))))))))))))) 1,375 $)))))))))))) 16,500 Total $''''''''''' 16,500 Water & Sewer The District has the following account with City of Leesburg to provide water and wastewater services. City%of%Leesburg $%%%%%%%%%%% 750 $%%%%%%%% 9,000 City%of%Leesburg $%%%%%%%% 1,200 $%%%%%% 14,400 Contingency $%%%%%%%%%%% 600 Total $ ,000 Instructor(s) Represents the amount paid monthly to Susan Kaplan for teaching group exercise classes three days a week. Repairs & Maintenance Any costs related to miscellaneous repairs and maintenance that occur during the fiscal year. HVAC Repairs & Maintenance Any costs related to miscellaneous repairs and maintenance to the HVAC unit during the fiscal year. Operating Supplies Estimated costs of supplies purchased for operating and maintaining the Lexington Spa. Janitorial Service The District is under contract with Globiser, Inc. to provide monthly janitorial services and supplies. Globiser,*Inc.* N/A $*************** 1,001 $*********** 12,006 Janatorial*Supplies $**************** 994 Total $ ,000 16

19 Dues, License, & Fees The following represents the estimated cost for license and membership subscriptions for the fiscal year: Description -Annual- Amount- Restaurant Expenditures: Florida(Department(of(Health Entry(Pool(Permit $((((((((((( 250 Florida(Department(of(Health Lap(Pool(Permit $((((((((((( 250 Florida(Department(of(Health Spa(Permit $((((((((((( 125 DBPR Cosmetology(Salon(License $((((((((((((( 40 Contingency $((((((((((((( 10 Total $ Transfer Out Restaurant Fund Represents the District s obligated amount to transfer to the Restaurant should there be a shortfall in the operating account. Other Expenditures Contingency Represents unforeseen costs not budgeted in other line items. Maintenance Reserve Transfer to Capital Reserve Funds allocated annually to insure available cash for ongoing operations of the District and for major repair or replacement of capital items. 17

20 Restaurant Fund Adopted Operating Budget Adopted Projected Total Adopted Budget Actual thru Next Projected Budget FY /30/17 3 9/30/17 FY 2018 Revenues Food Sales $ 206,402 $ 160,708 $ 88,458 $ 249,166 $ 516,714 Beer Sales $ 19,470 $ 21,960 $ 11,250 $ 33,210 $ 47,117 Liquor Sales $ 36,216 $ 30,943 $ 15,521 $ 46,464 $ 87,643 Wine Sales $ 9,634 $ 9,147 $ 4,129 $ 13,276 $ 23,314 Miscellaneous Income $ $ 90 $ $ 90 $ CB Arlington Landco Restaurant Contribution $ $ $ $ $ 50,000 Transfer In General Fund $ $ $ 45,633 $ 45,633 $ 50,000 Total Revenues $ 271,722 $ 222,848 $ 164,991 $ 387,839 $ 774,788 Controllable Expenditures Advertising and Promotion $ 700 $ 560 $ 300 $ 860 $ 1,400 Management Fees $ $ $ $ $ 6,000 Bank Service charges $ 140 $ 208 $ 60 $ 268 $ 280 Cash (over) Short $ $ 1,042 $ $ 1,042 $ Cable/ Satellite TV $ 4,354 $ 1,331 $ 1,182 $ 2,513 $ 8,710 Cleaning Contracts $ 7,000 $ 3,195 $ 2,232 $ 5,427 $ 14,000 Cleaning Supplies $ 4,900 $ 3,329 $ 2,100 $ 5,429 $ 9,800 Computer and Internet $ 1,750 $ 454 $ 150 $ 604 $ 3,500 Copier and Printing $ 735 $ $ 315 $ 315 $ 1,470 Grease Trap Maintenance $ 1,800 $ $ 771 $ 771 $ 3,600 Kitchen Supplies $ 2,450 $ 1,310 $ 750 $ 2,060 $ 4,900 Linens $ 1,225 $ 1,467 $ 525 $ 1,992 $ 2,450 Musical Entertainment $ 3,500 $ 875 $ 500 $ 1,375 $ 7,000 Misc Expense $ 280 $ 374 $ 120 $ 494 $ 560 Office Supplies $ 140 $ 1,514 $ 60 $ 1,574 $ 280 Paper Supplies $ 1,750 $ 4,380 $ 750 $ 5,130 $ 3,500 Postage and Delivery $ 175 $ $ 75 $ 75 $ 350 Repairs and Maintenance $ 10,500 $ 5,807 $ 2,250 $ 8,057 $ 21,000 Restaurant Supplies/Smallwares $ 6,300 $ 1,831 $ 900 $ 2,731 $ 12,600 Telephone Expense $ 2,142 $ 2,154 $ 918 $ 3,072 $ 4,284 Uniforms $ 770 $ 4,536 $ 330 $ 4,866 $ 1,540 Utilities $ 25,200 $ 10,145 $ 6,750 $ 16,895 $ 50,400 Total Controllable $ 75,811 $ 44,511 $ 21,038 $ 65,549 $ 157,624 Payroll Expenditures Gross Wages $ 113,484 $ 108,304 $ 72,000 $ 180,304 $ 249,892 Payroll Processing Fee $ 1,750 $ 473 $ 255 $ 728 $ 3,500 Workers Comp Insurance $ 3,598 $ $ 1,542 $ 1,542 $ 7,962 Employee Recruiting and Retention $ 420 $ 185 $ 75 $ 260 $ 840 Employee Benefits $ 7,756 $ $ 3,324 $ 3,324 $ 15,524 Payroll Taxes $ 10,472 $ 10,654 $ 4,488 $ 15,142 $ Employee FICA $ $ $ $ $ 20,304 Employee FUTA $ $ $ $ $ 126 Employee SUTA $ $ $ $ $ 2,344 Total Payroll $ 137,480 $ 119,616 $ 81,684 $ 201,300 $ 300,493 18

21 Restaurant Fund Adopted Operating Budget Adopted Projected Total Adopted Budget Actual thru Next Projected Budget FY /30/17 3 9/30/17 FY 2018 NonControllable Expenditures Computer Software and Technology $ 550 $ 200 $ 90 $ 290 $ 1,100 Credit Card Fees $ 5,600 $ 5,527 $ 2,400 $ 7,927 $ 11,200 Liquor Liability $ 5,000 $ 940 $ 300 $ 1,240 $ 10,000 Repairs & Maintenance $ $ 754 $ 300 $ 1,054 $ 25,000 Capital Outlay $ $ $ $ $ 25,000 Equipment Rental $ 1,610 $ 1,662 $ 690 $ 2,352 $ 3,220 Dues and License $ 946 $ $ 946 $ Contingency $ $ $ $ $ 3,134 Total Non Controllable $ 12,760 $ 10,029 $ 3,780 $ 13,809 $ 78,654 COGS Food $92,881 $50,414 $ 33,000 $ 83,414 $ 185,762 Beer $7,788 $7,791 $ 3,338 $ 11,128 $ 15,576 Liquor $14,486 $3,673 $ 3,000 $ 6,673 $ 28,973 Wine $3,854 $4,314 $ 1,652 $ 5,965 $ 7,707 Total COGS $ 119,009 $ 66,192 $ 40,989 $ 107,181 $ 238,018 Total Expenditures $ 345,060 $ 240,347 $ 147,492 $ 387,839 $ 774,788 Excess Revenue/(Expenditures) $ (73,338) $ (17,500) $ 17,500 $ $ 19

22 Capital Reserve Fund Adopted Budget Adopted Projected Total Adopted Budget Actual thru Next Projected Budget FY /30/17 3 9/30/17 FY 2018 Revenues Interest Earnings Maintenance Reserve General Fund Carry Forward Surplus Total Revenues $ $ 144 $ 75 $ 219 $ 250 $ $ 500,000 $ 250,000 $ 750,000 $ 250,000 $ $ $ $ $ 655,206 $ $ 500,144 $ 250,075 $ 750,219 $ 905,456 Expenditures Capital Outlay Total Expenditures Excess Revenues/(Expenditures) $ $ 95,013 $ $ 95,013 $ $ $ 95,013 $ $ 95,013 $ $ $ 405,131 $ 250,075 $ 655,206 $ 905,456 Reserve Study Funding Plan ( Next 5 Years) Planned Budgeted Funding Interest Expenses Balance Balance Variance Beginning Balance $ 632,497 Fiscal Year 2018 $ 309,222 $ 27,963 $ 9,611 $ 960,071 $ 905,456 $ 54,615 Fiscal Year 2019 $ 318,499 $ 26,018 $ 411,318 $ 893,270 Fiscal Year 2020 $ 328,054 $ 35,507 $ 37,752 $ 1,219,079 Fiscal Year 2021 $ 337,896 $ 37,886 $ 294,763 $ 1,300,098 Fiscal Year 2022 $ 348,033 $ 37,533 $ 396,997 $ 1,288,667 20

23 Debt Service Series 2006A Adopted Budget Adopted Projected Total Adopted Budget Actual thru Next Projected Budget FY /30/17 3 9/30/17 FY 2018 Revenues Special Assessments Tax Roll (1) $ 589,980 $ 601,935 $ $ 601,935 $ 518,498 Special Assessments Prepayments $ $ 653,462 $ 74,057 $ 727,519 $ Interest Income $ $ 2,349 $ 700 $ 3,049 $ Carry Forward Surplus (2) $ 122,113 $ 864,346 $ $ 864,346 $ 641,487 Total Revenues $ 712,093 $ 2,122,092 $ 74,757 $ 2,196,849 $ 1,159,985 Expenditures Attorney Fees $ $ 3,180 $ $ 3,180 $ Tax Collector $ 12,292 $ 9,357 $ $ 9,357 $ 10,370 Special Call 11/1 $ $ 500,000 $ $ 500,000 $ 450,000 Interest Expense 11/1 $ 210,788 $ 210,788 $ $ 210,788 $ 179,575 Special Call 5/1 $ $ 420,000 $ $ 420,000 $ Principal Expense 5/1 $ 215,000 $ 215,000 $ $ 215,000 $ 185,000 Interest Expense 5/1 $ 151,901 $ 197,038 $ $ 197,038 $ 167,200 Total Expenditures $ 589,980 $ 1,555,362 $ $ 1,555,362 $ 992,145 Excess Revenues/(Expenditures) $ 122,113 $ 566,730 $ 74,757 $ 641,487 $ 167,840 * Excess Revenues needed to pay the 11/1/18 Interest Payment $ 161,975 (1) Maximum Annual Debt Service less Prepaid Assessments received. (2) Net of Debt Service Reserve funds. 21

24 Special Assessment Bonds, Series 2006 Period Annual Annual Ending Principal Principal Interst Rate Interest Debt 11/01/17 $179, $179, /01/18 $6,080,000 $185, % $167, /01/18 $162, $514, /01/19 $5,895,000 $195, % $162, /01/19 $156, $513, /01/20 $5,700,000 $210, % $156, /01/20 $150, $517, /01/21 $5,490,000 $220, % $150, /01/21 $144, $515, /01/22 $5,270,000 $235, % $144, /01/22 $138, $518, /01/23 $5,035,000 $245, % $138, /01/23 $131, $515, /01/24 $4,790,000 $260, % $131, /01/24 $124, $516, /01/25 $4,530,000 $275, % $124, /01/25 $117, $516, /01/26 $4,255,000 $290, % $117, /01/26 $109, $516, /01/27 $3,965,000 $305, % $109, /01/27 $100, $514, /01/28 $3,660,000 $325, % $100, /01/28 $91, $517, /01/29 $3,335,000 $340, % $91, /01/29 $82, $514, /01/30 $2,995,000 $360, % $82, /01/30 $72, $514, /01/31 $2,635,000 $380, % $72, /01/31 $62, $514, /01/32 $2,255,000 $405, % $62, /01/32 $50, $517, /01/33 $1,850,000 $425, % $50, /01/33 $39, $515, /01/34 $1,425,000 $450, % $39, /01/34 $26, $516, /01/35 $975,000 $475, % $26, /01/35 $13, $515, /01/36 $500,000 $500, % $13, $513, Total $6,080,000 $3,897, $9,977,

25 Annual Assessment Levy Fiscal Year 2018 Operation and Maintenance Assesment Net Per Unit Property Units Gross Per Unit 4% Discount Net Assessments Platted Parcels Phase 1A/1B 162 $1, $1, $248, Phase 1A/1B/1C 192 $1, $1, $294, Phase $1, $1, $566, Total Phase 1 & $1,110, Tax Roll 630 $1, $967, Off Roll O&M Payment Agreement 93 $1, $142, Total Phase 1 & $1,110, Off Roll Golf Course 1 $23, Off Roll Phase 3 Unplatted (1) 210 $ $63, Off Roll Phase 3 Platted 103 $1, $1, $158, Off Roll New Lots (Golf) 4 $1, $1, $6, Total O&M Assessments $1,360, Debt Service Assessment Phase 1A/1B 126 $780 $749 $94,349 Phase 1A/1B/1C $850 $816 $128,520 Phase $1,050 $1,008 $178,416 Off Roll New Lots (Golf) 4 $850 $816 $3,264 Golf Course 1 $118,697 $113,949 $113,949 Total Debt Service Assessment $518,498

Arlington Ridge Community Development District. Unaudited Financial Reporting April 30, 2018

Arlington Ridge Community Development District. Unaudited Financial Reporting April 30, 2018 Arlington Ridge Community Development District Unaudited Financial Reporting April 30, 2018 TABLE OF CONTENTS 1 Balance Sheet 24 General Fund Income Statement 56 Restaurant Income Statement 7 Capital Reserve

More information

Arlington Ridge Community Development District. Unaudited Financial Reporting March 31, 2018

Arlington Ridge Community Development District. Unaudited Financial Reporting March 31, 2018 Arlington Ridge Community Development District Unaudited Financial Reporting March 31, 2018 TABLE OF CONTENTS 1 Balance Sheet 24 General Fund Income Statement 56 Restaurant Income Statement 7 Capital Reserve

More information

Arlington Ridge Community Development District. Unaudited Financial Reporting August 31, 2018

Arlington Ridge Community Development District. Unaudited Financial Reporting August 31, 2018 Arlington Ridge Community Development District Unaudited Financial Reporting August 31, 2018 TABLE OF CONTENTS 1 Balance Sheet 2-4 General Fund Income Statement 5-6 Restaurant Income Statement 7 Capital

More information

Arlington Ridge Community Development District. Unaudited Financial Reporting July 31, 2018

Arlington Ridge Community Development District. Unaudited Financial Reporting July 31, 2018 Arlington Ridge Community Development District Unaudited Financial Reporting July 31, 2018 TABLE OF CONTENTS 1 Balance Sheet 2-4 General Fund Income Statement 5-6 Restaurant Income Statement 7 Capital

More information

Six Mile Creek Community Development District Approved Budget FY 2017

Six Mile Creek Community Development District Approved Budget FY 2017 Six Mile Creek Community Development District Approved Budget FY 2017 5/10/16 Table of Contents 12 General Fund 36 General Fund Narrative 7 Debt Service Fund Series 2007 8 Debt Service Fund Series 2015

More information

Adopted Budget. Fiscal Year Amelia Concourse Community Development District

Adopted Budget. Fiscal Year Amelia Concourse Community Development District Adopted Budget Fiscal Year 2019 Amelia Concourse TABLE OF CONTENTS General Fund Budget Page 12 Budget Narrative Page 38 Debt Service Fund Series 2007 Budget Page 9 Amortization Schedule Page 10 Series

More information

Windsor at Westside Community Development District. Proposed Budget

Windsor at Westside Community Development District. Proposed Budget Proposed Budget FY 2018 Table of Contents 1-2 General Fund 3-7 General Fund Narrative 8 Debt Service Fund Series 2015 9-10 Amortization Schedule Series 2015 11 Debt Service Fund Series 2016 12-13 Amortization

More information

Proposed Budget Fiscal Year Heron Isles Community Development District

Proposed Budget Fiscal Year Heron Isles Community Development District Proposed Budget Fiscal Year 2019 Heron Isles Community Development District May 3, 2018 TABLE OF CONTENTS General Fund Budget Page 1 Exhibit "A" Page 2 Narrative Page 36 Debt Service Fund Budget Series

More information

Windsor at Westside Community Development District. Proposed Budget

Windsor at Westside Community Development District. Proposed Budget Proposed Budget FY 2019 Table of Contents 1-2 General Fund 3-7 General Fund Narrative 8 Debt Service Fund Series 2015 9-10 Amortization Schedule Series 2015 11 Debt Service Fund Series 2016 12-13 Amortization

More information

Adopted Budget Fiscal Year Heron Isles Community Development District

Adopted Budget Fiscal Year Heron Isles Community Development District Adopted Budget Fiscal Year 2019 Heron Isles Community Development District August 2, 2018 TABLE OF CONTENTS General Fund Budget Page 1 Exhibit "A" Page 2 Narrative Page 36 Debt Service Fund Budget Series

More information

Adopted Budget Fiscal Year Ridgewood Trails Community Development District

Adopted Budget Fiscal Year Ridgewood Trails Community Development District Adopted Budget Ridgewood Trails Community Development District September 5, 2018 General Fund Adopted Actual Projected Next Total Projected Adopted Description Budget FY2018 thru 7/31/2018 2 Months thru

More information

Adopted Budget Fiscal Year East Homestead Community Development District

Adopted Budget Fiscal Year East Homestead Community Development District Adopted Budget Fiscal Year 2018 East Homestead Community Development District August 11, 2017 TABLE OF CONTENTS General Fund Budget Page 12 Narrative Page 37 Debt Service Fund Series 2011B Budget Page

More information

Falcon Trace. Community Development District Adopted Budget FY 2019

Falcon Trace. Community Development District Adopted Budget FY 2019 Falcon Trace Community Development District Adopted Budget FY 2019 Table of Contents 1 2-5 6 7 8 General Fund General Fund Narrative Capital Reserve Fund Debt Service Fund - Series 2007 Amortization Schedule

More information

Deer Run. Community Development District. Proposed Budget

Deer Run. Community Development District. Proposed Budget Proposed Budget FY 2017 Table of Contents 1-2 General Fund 3-7 General Fund Narrative 8 Debt Service Fund - Series 2008 9 Debt Assessments Chart 10 Amortization Schedule - Series 2008 11 Settlement Monitoring

More information

Falcon Trace. Community Development District Adopted Budget FY 2018

Falcon Trace. Community Development District Adopted Budget FY 2018 Falcon Trace Community Development District Adopted Budget FY 2018 Table of Contents 1 2-5 6 7 8 General Fund General Fund Narrative Capital Reserve Fund Debt Service Fund - Series 2007 Amortization Schedule

More information

Adopted Budget Fiscal Year Vizcaya in Kendall Community Development District

Adopted Budget Fiscal Year Vizcaya in Kendall Community Development District Adopted Budget Fiscal Year 2018 Vizcaya in Kendall September 20, 2017 Vizcaya In Kendall TABLE OF CONTENTS General Fund Budget Page 12 Budget Narrative Page 37 Debt Service Fund Series 2012A1/A2 Budget

More information

Approved Budget Fiscal Year Amelia Walk Community Development District

Approved Budget Fiscal Year Amelia Walk Community Development District Approved Budget Fiscal Year 2019 Amelia Walk May 15, 2018 TABLE OF CONTENTS General Fund Budget Page 12 Reserve Allocations Page 3 Budget Narrative Page 48 Debt Service Fund Series 2012A1 Budget Page 9

More information

Proposed Budget Fiscal Year Vizcaya in Kendall Community Development District

Proposed Budget Fiscal Year Vizcaya in Kendall Community Development District Proposed Budget Fiscal Year 2019 Vizcaya in Kendall May 16, 2018 Vizcaya In Kendall TABLE OF CONTENTS General Fund Budget Page 12 Budget Narrative Page 37 Debt Service Fund Series 2012A1/A2 Budget Page

More information

Storey Park Community Development District. Adopted Budget

Storey Park Community Development District. Adopted Budget Adopted Budget FY 2018 Table of Contents 1-2 General Fund 3 Phase 1 Assessment Area Allocation Chart 4-7 General Fund Narrative 8 Debt Service Fund 9-10 Amortization Schedule Fiscal Year 2018 General Fund

More information

Montecito. Community Development District. Proposed Budget

Montecito. Community Development District. Proposed Budget Proposed Budget FY 2019 Table of Contents Pages General Fund 1-2 General Fund Narrative 3-11 Capital Reserve Fund 12 Disaster Reserve Fund 13 Debt Service Fund 14 Assessment Allocation Chart 15-16 General

More information

Adopted Budget. Fiscal Year Aberdeen Community Development District

Adopted Budget. Fiscal Year Aberdeen Community Development District Adopted Budget Fiscal Year 2019 Aberdeen August 28, 2018 TABLE OF CONTENTS General Fund Budget Page 1-2 Budget Narrative Page 3-8 Debt Service Fund Series 2005 Budget Page 9-10 Series 2006-1 Budget Page

More information

TSR Community Development District. Adopted Budget

TSR Community Development District. Adopted Budget Community Development District Adopted Budget FY 2019 Table of Contents 1-3 General Fund 4-13 General Fund Narrative 14 Debt Service Fund Series 2015 15-16 Amortization Schedule Series 2015 17 Debt Service

More information

Brandy Creek. Adopted Budget. Community Development District. Fiscal Year 2019

Brandy Creek. Adopted Budget. Community Development District. Fiscal Year 2019 Adopted Budget July 11, 2018 BUDGET Table of Contents General Fund Budget. Page 1 Narrative Administrative and Maintenance...Page 2-7 Series 2013A Debt Service Fund Budget... Page 8-9 Series 2006/2015

More information

Narcoossee. Community Development District. Adopted Budget FY 2016

Narcoossee. Community Development District. Adopted Budget FY 2016 Adopted Budget FY 2016 Table of Contents 1-11 General Fund 12 Capital Reserve Fund - Nona Crest 13 Capital Reserve Fund - La Vina 14 Capital Reserve Fund - Nona Preserve 15 Capital Reserve Fund - Parcels

More information

WATERGRASS. Community Development District II. Annual Operating and Debt Service Budget. Fiscal Year Version 4 - Final Budget:

WATERGRASS. Community Development District II. Annual Operating and Debt Service Budget. Fiscal Year Version 4 - Final Budget: Version 4 - Final Budget: (Adopted 8/15/18) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-3 Budget Narrative 4-9

More information

ESTANCIA AT WIREGRASS

ESTANCIA AT WIREGRASS Version 3 - Final Budget (Adopted at the 08/28/18 Meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-3 Exhibit

More information

Adopted Budget Fiscal Year Reserve Community Development District #2

Adopted Budget Fiscal Year Reserve Community Development District #2 Adopted Budget Fiscal Year 2019 Reserve Community Development District #2 July 19, 2018 Reserve Community Development District #2 TABLE OF CONTENTS General Fund Budget Page 1 Budget Narrative Page 2-4

More information

WATERGRASS. Community Development District II. Annual Operating and Debt Service Budget. Fiscal Year 2017

WATERGRASS. Community Development District II. Annual Operating and Debt Service Budget. Fiscal Year 2017 Version 3 - Final Budget: (Adopted on 8/17/16) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-3 Budget Narrative

More information

Turnbull Creek. Community Development District. Approved Budget Fiscal Year 2019

Turnbull Creek. Community Development District. Approved Budget Fiscal Year 2019 Approved Fiscal Year 2019 June 12, 2018 TABLE OF CONTENTS General Fund Summary of Revenues and Expenditures Page 12 Narrative Administrative and Maintenance Page 310 Debt Service Fund Series 2015A1A2 Page

More information

Greater Lakes/Sawgrass Bay Community Development District

Greater Lakes/Sawgrass Bay Community Development District Greater Lakes/Sawgrass Bay Community Development District http://glsbcdd.org Proposed Budget for Fiscal Year 2018/2019 Presented by: Rizzetta & Company, Inc. 8529 South Park Circle Suite 330 Orlando, Florida

More information

Adopted Budget Fiscal Year Bartram Springs Community Development District

Adopted Budget Fiscal Year Bartram Springs Community Development District Adopted Budget Bartram Springs Community Development District July 09, 2018 TABLE OF CONTENTS General Fund Budget Page 1-2 Narrative Page 3-9 Capital Reserve Budget Page 10 Debt Service Fund Budget Series

More information

VILLA SOL. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 2 - Approved Tentative Budget

VILLA SOL. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 2 - Approved Tentative Budget VILLA SOL Annual Operating and Debt Service Budget Version 2 - Approved Tentative Budget (Approved at 6/04/2018 meeting) Prepared by: VILLASOL Table of Contents Page # OPERATING BUDGET Summary of Revenues,

More information

Lakeside Plantation Community Development District

Lakeside Plantation Community Development District Revised Table of Contents General Fund - Income Statement Pages 1-2 General Fund - Narrative Pages 3-8 Capital Reserve Fund - Income Statement Page 9 Debt Service Fund - Income Statement Page 10 Series

More information

Candler Hills East. Community Development District. Adopted Budget

Candler Hills East. Community Development District. Adopted Budget Adopted Budget FY 2017 Table of Contents 1 General Fund 2-6 General Fund Narrative 7 Capital Reserves Fund 8 Debt Service Fund - Series 2006 9 Amortization Schedule - Series 2006 COMMUNITY DEVELOPMENT

More information

Remington Community Development District Adopted Budget Fiscal Year 2016

Remington Community Development District Adopted Budget Fiscal Year 2016 Remington Adopted Budget Presented by: Table of Contents 110 General Fund 11 Pavement Management Fund 12 Capital Projects Fund 13 Debt Service Fund Series 20081 1415 Debt Service Fund Series 20082 COMMUNITY

More information

Proposed Budget Fiscal Year South-Dade Venture Community Development District

Proposed Budget Fiscal Year South-Dade Venture Community Development District Proposed Budget Fiscal Year 2019 SouthDade Venture May 24, 2018 SouthDade Venture TABLE OF CONTENTS General Fund Budget Page 12 Capital Reserve Schedule Page 3 Assessment Summary Table Page 4 Budget Narrative

More information

HERITAGE LAKE PARK. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2013

HERITAGE LAKE PARK. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2013 Version 5 - Adopted Budget: (Adopted at 8/10/2012 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-4 Budget

More information

LEXINGTON OAKS. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2012

LEXINGTON OAKS. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2012 Annual Operating and Debt Service Budget Version 7 - Adlpted Budget (Adopted at meeting 8/18/11) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and

More information

Brandy Creek. Adopted Budget. Community Development District. Fiscal Year 2018

Brandy Creek. Adopted Budget. Community Development District. Fiscal Year 2018 Adopted Budget August 23, 2017 Table of Contents General Fund Budget. Page 1 Narrative Administrative and Maintenance...Page 2-9 Series 2013A Debt Service Fund Budget.. Page 10-11 Series 2006/2015 Debt

More information

Annual Operating and Debt Service Budget Fiscal Year 2014

Annual Operating and Debt Service Budget Fiscal Year 2014 OAKSTEAD FINAL BUDGET Adopted 8/20/13 Prepared by: OAKSTEAD Table of Contents Page # OPERATING BUDGET Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-3 Budget Narrative 4-9 Exhibit A

More information

River's Edge. Community Development District. Adopted Budget Fiscal Year 2018

River's Edge. Community Development District. Adopted Budget Fiscal Year 2018 River's Edge Adopted Budget Fiscal Year 2018 August 16, 2017 River's Edge TABLE OF CONTENTS General Fund Summary of Revenues and Expenses Page 13 Narrative Page 412 Debt Service Fund Bond Series 2008A

More information

LEXINGTON OAKS. Community Development District. Annual Operating and Debt Service Budgets. Fiscal Year 2018

LEXINGTON OAKS. Community Development District. Annual Operating and Debt Service Budgets. Fiscal Year 2018 s Version 6 - Final Budget: (Adopted at 8/17/17 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances 1-3 Exhibit A

More information

Venetian Community Development District

Venetian Community Development District Venetian Community Development District www.venetiancdd.org Proposed Budget for Fiscal Year 2017/2018 Presented by: Rizzetta & Company, Inc. 9530 Marketplace Road Suite 206 Fort Myers, Florida 33912 Phone:

More information

Community Development District Final Annual Operating Budget Fiscal Year 2014 Proposed August 22, 2013

Community Development District Final Annual Operating Budget Fiscal Year 2014 Proposed August 22, 2013 Final Annual Operating Budget Fiscal Year 2014 Proposed August 22, 2013 Final Annual Operating Budget Fiscal Year 2014 Table of Contents Section 1: Budget Introduction Section 2: Operating Budget Fund

More information

Diamond Hill Community Development District

Diamond Hill Community Development District Diamond Hill Community Development District Diamondhillcdd.org Proposed Budget for Fiscal Year 219/22 Presented by: Rizzetta & Company, Inc. 9428 Camden Field Parkway Riverview, Florida 33578 Phone: 813-533-295

More information

Belmont Community Development District

Belmont Community Development District Belmont Community Development District Budget Proposal Packet for Fiscal Year 2016/2017 Presented by: Rizzetta & Company, Inc. Tampa Office 3434 Colwell Ave.; Suite 200 Tampa, FL 33614 813.933.5571 rizzetta.com

More information

River's Edge. Community Development District. Adopted Budget Fiscal Year 2017

River's Edge. Community Development District. Adopted Budget Fiscal Year 2017 River's Edge Adopted Budget Fiscal Year 2017 August 17, 2016 River's Edge TABLE OF CONTENTS General Fund Summary of Revenues and Expenses Page 1-2 Narrative Page 3-11 Debt Service Fund Bond Series 2008A

More information

Talavera Community Development District

Talavera Community Development District Talavera Community Development District for Presented by: Rizzetta & Company, Inc. Wesley Chapel Office 5844 Old Pasco Rd.; Suite 100 Wesley Chapel, FL 33544 813.994.1001 rizzetta.com General Fund REVENUES

More information

HERITAGE OAK PARK. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2019

HERITAGE OAK PARK. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2019 Version 5 - Final Budget (Adopted at the 08/16/18 Meeting) Prepared by: Table of Contents Page # OPERATING BUDGETS Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-3 Exhibit A - Allocation

More information

Annual Operating and Debt Service Budget Fiscal Year 2019

Annual Operating and Debt Service Budget Fiscal Year 2019 Adopted Budget Adopted on 8/9/2018 Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-2 Budget Narrative 3-7 Reserve

More information

Amended Operating Budget Fiscal Year 2010

Amended Operating Budget Fiscal Year 2010 Amended Operating As Revised August 4, 2010 WWW.DMSUS.COM Amended Operating Table of Contents Section 1: Introduction Section 2: Operating Fund Balance Projections Section 3: Operating Comparative Analysis

More information

Long Lake Ranch Community Development District

Long Lake Ranch Community Development District Long Lake Ranch Community Development District Budget Proposal Packet for Fiscal Year 2016/2017 Presented by: Rizzetta & Company, Inc. Wesley Chapel Office 5844 Old Pasco Rd.; Suite 100 Wesley Chapel,

More information

Adopted Budget Fiscal Year Orchid Grove Community Development District

Adopted Budget Fiscal Year Orchid Grove Community Development District Adopted Budget Fiscal Year 2019 Orchid Grove Community Development District July 12, 2018 TABLE OF CONTENTS General Fund Budget Page 1 Narrative Page 2-5 Debt Service Fund Series 2013 Budget Page 6 Amortization

More information

Baytree Community Development District

Baytree Community Development District Adopted Budget FY 2017 Presented by: Table of Contents 1-10 General Fund 11-12 Capital Projects Fund 13 Pavement Management Fund 14 Community Beautification Fund 15 O&M Assessment Calculation 16 IOB Roadway

More information

Heritage Isle at Viera Community Development District

Heritage Isle at Viera Community Development District Heritage Isle at Viera Community Development District http://heritageisleatvieracdd.org Proposed Budget for Fiscal Year 2017/2018 Presented by: Rizzetta & Company, Inc. 8529 South Park Circle Suite 330

More information

Concord Station Community Development District

Concord Station Community Development District Concord Station Community Development District concordstationcdd.com Adopted Budget for Fiscal Year 2018/2019 Presented by: Rizzetta & Company, Inc. 5844 Old Pasco Road, Suite 100 Pasco, Florida 33544

More information

MEADOW POINTE. Community Development District. Annual Operating Budget. Fiscal Year Version 3 - Final Budget (Adopted at August 1, 2013 meeting)

MEADOW POINTE. Community Development District. Annual Operating Budget. Fiscal Year Version 3 - Final Budget (Adopted at August 1, 2013 meeting) Version 3 - Final Budget (Adopted at August 1, 2013 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-2 Exhibit A - Allocation

More information

VISTA LAKES. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 4 - Adopted Budget:

VISTA LAKES. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 4 - Adopted Budget: Version 4 - Adopted Budget: (Adopted at 8/9/2012 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-2 Budget

More information

WATERCHASE. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2015

WATERCHASE. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2015 WATERCHASE Version 2 - Approved Tentative Budget (approved at 5/13/14 meeting) Prepared by: WATERCHASE Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes

More information

Adopted Budget Fiscal Year Coral Bay Community Development District

Adopted Budget Fiscal Year Coral Bay Community Development District Adopted Budget Coral Bay Community Development District June 14, 2018 Coral Bay Community Development District TABLE OF CONTENTS General Fund Budget Page 12 Schedule of Major Projects Page 3 Narrative

More information

WATERCHASE. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2018

WATERCHASE. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2018 Version 1 - Approved Tentative Budget (Approved at May 9, 2017 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances..

More information

Approved Budget Fiscal Year Durbin Crossing Community Development District

Approved Budget Fiscal Year Durbin Crossing Community Development District Approved Budget Durbin Crossing June 26, 2017 TABLE OF CONTENTS General Fund Budget Page 1-2 Budget Narrative Page 3-13 Debt Service Fund Series 2005A Budget Page 14 Series 2005A Amortization Schedule

More information

HERITAGE ISLES. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 2 - Approved Tentative Budget:

HERITAGE ISLES. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 2 - Approved Tentative Budget: Version 2 - Approved Tentative Budget: (Approved 5/16/2018) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances 1-2 Exhibit

More information

Lexington Oaks Community Development District

Lexington Oaks Community Development District May 26, 2016 Lexington Oaks Severn Trent Management Services 210 N. University Drive Suite 702 Coral Springs, Florida 33071 Telephone: (954) 753-5841 Fax: (954) 345-1292 Board of Supervisors Lexington

More information

South Fork East. Community Development District. Final Operating Budget Fiscal Year Proposed Approved August 23rd, 2012.

South Fork East. Community Development District. Final Operating Budget Fiscal Year Proposed Approved August 23rd, 2012. Final Operating Budget Fiscal Year 2013 Proposed Approved August 23rd, 2012 WWW.DMS-US.COM Final Operating Budget Fiscal Year 2013 Table of Contents Section 1: Budget Introduction Section 2: Operating

More information

CORY LAKES COMMUNITY DEVELOPMENT DISTRICT ADOPTED BUDGET FISCAL YEAR 2019 UPDATED JULY 24, 2018

CORY LAKES COMMUNITY DEVELOPMENT DISTRICT ADOPTED BUDGET FISCAL YEAR 2019 UPDATED JULY 24, 2018 ADOPTED BUDGET UPDATED JULY 24, 2018 TABLE OF CONTENTS Description Page Number(s) General Fund 1-4 Definitions of general fund expenditures 5-9 Debt Service Fund - Series 2013 Bonds 10 Amortization Schedule

More information

Tara Community Development District

Tara Community Development District Tara Community Development District Financial Statements (Unaudited) October 31, 2018 Prepared by: Rizzetta & Company, Inc. taracdd.org rizzetta.com Balance Sheet As of 10/31/2018 (In Whole Numbers) Total

More information

Adopted Budget Fiscal Year Turtle Run Community Development District

Adopted Budget Fiscal Year Turtle Run Community Development District Adopted Budget Fiscal Year 2017 Turtle Run Community Development District July 11, 2016 Turtle Run Community Development District TABLE OF CONTENTS General Fund Budget Page 1-2 Budget Narrative Page 3-7

More information

STEVENS PLANTATION. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2018

STEVENS PLANTATION. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2018 Version 1.1 - Adopted Budget: (Adopted 8/3/17) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances 1-2 Budget Narrative 3-6

More information

LIVE OAK NO. 2. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2017

LIVE OAK NO. 2. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2017 Version 2 - Approved Tentative Budget (Approved at May 17, 2016 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances..

More information

Urban Orlando. Community Development District. Operating and Debt Service Budget. Fiscal Year Adopted Budget on August 18th, 2010.

Urban Orlando. Community Development District. Operating and Debt Service Budget. Fiscal Year Adopted Budget on August 18th, 2010. Operating and Debt Service Budget Fiscal Year 2011 Adopted Budget on August 18th, 2010 Prepared by Table of Contents GENERAL FUND BUDGET Summary of Revenue & Expenditures Page 1-2 Budget Narrative Page

More information

THE HAMMOCKS. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 2 - Adopted Budget:

THE HAMMOCKS. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Version 2 - Adopted Budget: Version 2 - Adopted Budget: (Adopted 7/11/2018) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances 1-2 Exhibit A - Allocation

More information

Venetian Community Development District

Venetian Community Development District Venetian Community Development District Vcdd.org Adopted Presented by: Rizzetta & Company, Inc. 9530 Marketplace Road Suite 206 Fort Myers, Florida 33912 Phone: 239-936-0913 rizzetta.com Adopted Budget

More information

FLEMING ISLAND PLANTATION

FLEMING ISLAND PLANTATION Annual Operating and Debt Service Budget Version 1.3 - Final Budget (Adopted at 8/28/2018 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET Summary of Revenues, Expenditures and Changes in

More information

Magnolia West Community Development District

Magnolia West Community Development District Magnolia West Community Development District Financial Statements (Unaudited) November 30, 2018 Prepared by: Rizzetta & Company, Inc. magnoliawestcdd.org rizzetta.com Balance Sheet As of 11/30/2018 (In

More information

Southaven Community Development District. Financial Statements (Unaudited) May 31, 2016

Southaven Community Development District. Financial Statements (Unaudited) May 31, 2016 Southaven Community Development District Financial Statements (Unaudited) May 31, 2016 Prepared by Rizzetta & Company, Inc. District Manager Balance Sheet As of 5/31/2016 (In Whole Numbers) Capital Projects

More information

Trout Creek Community Development District

Trout Creek Community Development District Trout Creek Community Development District Financial Statements (Unaudited) November 30, 2017 Prepared by: Rizzetta & Company, Inc. troutcreekcdd.org rizzetta.com Balance Sheet As of 11/30/2017 (In Whole

More information

Montecito Community Development District, (City of Satellite Beach, Florida)

Montecito Community Development District, (City of Satellite Beach, Florida) , (City of Satellite Beach, Florida) Special Assessment Bonds, Series 2006A, $5,690,000, Cusip: 61237KAA0 (Due May 1, 2037) Special Assessment Bonds, Series 2006B, $21,875,000, Cusip: 61237KAB8 (Due May

More information

BRIGER. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2020

BRIGER. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2020 Version 1 - Approved Tentative Budget: (Approved at 3/25/19 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances 1

More information

Park Place Community Development District

Park Place Community Development District Final Operating Fiscal Year 2015 October 23, 2014 Final Operating Fiscal Year 2015 Table of Contents Section 1: Introduction Section 2: GF100 Administrative Operating Fund Balance Projections, Comparative

More information

CFM Community Development District

CFM Community Development District CFM Community Development District www.cfmcdd.org Approved Proposed Budget for Fiscal Year 2018/2019 Presented by: Rizzetta & Company, Inc. 9530 Marketplace Road Suite 206 Fort Myers, Florida 33912 Phone:

More information

Encore Community Development District

Encore Community Development District 1 Encore Community Development District www.encorecdd.org Approved Proposed Budget for Fiscal Year 2018/2019 Presented by: Rizzetta & Company, Inc. 9428 Camden Field Parkway Riverview, Florida 33578 Phone:

More information

Trails Community Development District

Trails Community Development District Trails Community Development District Financial Statements (Unaudited) May 31, 2017 Prepared by: Rizzetta & Company, Inc. St. Augustine Office 2806 N Fifth Street, Unit 403 St. Augustine, Florida 32084

More information

LIVE OAK NO. 1. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2019

LIVE OAK NO. 1. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2019 LIVE OAK NO. 1 Version 1 - Approved Tentative Budget (Approved at May 15, 2017 meeting) Prepared by: LIVE OAK NO. 1 Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures

More information

Annual Operating and Debt Service Budget

Annual Operating and Debt Service Budget Annual Operating and Debt Service Budget (Tentative) Prepared By Table of Contents Page OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances 1-3 Budget Narrative

More information

Encore Community Development District

Encore Community Development District 1 Encore Community Development District www.encorecdd.org Adopted Budget for Fiscal Year 2018/2019 Presented by: Rizzetta & Company, Inc. 9428 Camden Field Parkway Riverview, Florida 33578 Phone: 813-533-2950

More information

Annual Operating and Debt Service Budget

Annual Operating and Debt Service Budget Version 2 - Approved Tentative Budget: (Approved at May 6, 2014 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund 003 Summary of Revenues, Expenditures and Changes in Fund Balances..

More information

HERITAGE BAY. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2017

HERITAGE BAY. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2017 Version 6 - Final Budget (Adopted August 4, 2016) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund Summary of Revenues, Expenditures and Changes in Fund Balances.. 1-2 Amortization Schedule..

More information

TAMPA PALMS OPEN SPACE AND TRANSPORTATION. Annual Operating and Debt Service Budget

TAMPA PALMS OPEN SPACE AND TRANSPORTATION. Annual Operating and Debt Service Budget Version 1 - Approved Tentative Budget: (Approved at May 5, 2015 meeting) Prepared by: Table of Contents Page # OPERATING BUDGET General Fund 003 Summary of Revenues, Expenditures and Changes in Fund Balances..

More information

Cascades at Groveland Community Development District. Financial Statements (Unaudited) April 30, 2015

Cascades at Groveland Community Development District. Financial Statements (Unaudited) April 30, 2015 Cascades at Groveland Community Development District Financial Statements (Unaudited) April 30, 2015 Prepared by Rizzetta & Company, Inc. District Manager Balance Sheet As of 4/30/2015 (In Whole Numbers)

More information

CEDAR HAMMOCK. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Approved Tentative Budget

CEDAR HAMMOCK. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year Approved Tentative Budget Annual Operating and Debt Service Budget Approved Tentative Budget Version 1-3_20_18 Prepared by: Budget Overview Table of Contents Page # OPERATING BUDGET Summary of Revenues, Expenditures and Changes

More information

(i) Sale of property by the dependent special district to private developers, including:

(i) Sale of property by the dependent special district to private developers, including: Stevens Plantation (City of St. Cloud, Florida), Special Assessment Revenue Bonds, Series 2003A, $7,055,000 and Special Assessment Revenue Bonds, Series 2003B, $20,150,000, Dated: November 20, 2003 1.

More information

The Groves Community Development District. Financial Statements (Unaudited) October 31, 2014

The Groves Community Development District. Financial Statements (Unaudited) October 31, 2014 The Groves Community Development District Financial Statements (Unaudited) October 31, 2014 Prepared by Rizzetta & Company, Inc. District Manager Balance Sheet As of 10/31/2014 Debt Service General Fund

More information

Meadow Pointe II Community Development District

Meadow Pointe II Community Development District Meadow Pointe II Community Development District Operating and Debt Service Budget Fiscal Year 2011 (Adopted Budget) 8/18/2010 Prepared by v.6 Meadow Pointe II Community Development District Table of Contents

More information

Majorca Isles Community Development District

Majorca Isles Community Development District Revised Proposed Budget Fiscal Year 2018 Majorca Isles Community Development District June 2, 2018 PDMS FIRM L.L.C. Majorca Isles Community Development District TABLE OF CONTENTS General Fund Budget Page

More information

The Groves Community Development District

The Groves Community Development District The Groves Community Development District for Fiscal Year 2016/2017 Presented by: Rizzetta & Company, Inc. 5824 Old Pasco Road Suite100 Wesley Chapel, Florida 33544 Phone: 8139941001 rizzetta.com General

More information

Trails Community Development District

Trails Community Development District Trails Community Development District Financial Statements (Unaudited) April 30, 2018 Prepared by: Rizzetta & Company, Inc. trailscdd.org rizzetta.com Balance Sheet As of 4/30/2018 (In Whole Numbers) Debt

More information

HERITAGE ISLES. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2017

HERITAGE ISLES. Community Development District. Annual Operating and Debt Service Budget. Fiscal Year 2017 Version 5.0 - Final Budget: (Adopted on 8/24/16) Prepared by: Table of Contents OPERATING BUDGET Page # General Fund Summary of Revenues, Expenditures and Changes in Fund Balances 1-2 Exhibit A - Allocation

More information

Country Walk Community Development District

Country Walk Community Development District Country Walk Community Development District Financial Statements (Unaudited) January 31, 2019 Prepared by: Rizzetta & Company, Inc. countrywalkcdd.org rizzetta.com Balance Sheet As of 1/31/2019 (In Whole

More information

June 28, 2017 Meadow Pointe II Severn Trent Services, Management Services Division 210 North University Drive, Suite 702 Coral Springs, Florida

June 28, 2017 Meadow Pointe II Severn Trent Services, Management Services Division 210 North University Drive, Suite 702 Coral Springs, Florida Agenda Page 1 Meadow Pointe II JULY 5, 2017 AGENDA PACKAGE June 28, 2017 Meadow Pointe II Severn Trent Services, Management Services Division 210 North University Drive, Suite 702 Coral Springs, Florida

More information