Budget & Audited Financial Statements
The annual budget is a projection of PV Water’s finances for each fiscal year which runs July 1 through June 30. It is based upon the many assumptions and projections contained in each year’s budget document. It is not unusual for the budget to be amended during the year as grant revenues, weather changes and other factors affect water usage and PV Water's cash flow. Following the close of the fiscal year, PV Water undergoes an annual audit. The Budget, Amended Budget, Audited Financial Statements, and Cash Reserve Policy for the most recent fiscal years are available for download from the table below. Older information is available upon request and can be obtained by contacting PV Water.
California State Controller's Website (Compensation & Financial Transactions Reports)
To jump to the California State Controller's website to review Government Compensation in California, please use the following link: GCC : Home (ca.gov).
To jump to PV Water's "Special District Detail" on the California State Controller's website, please use the following link: GCC : Pajaro Valley Water Management Agency (2020) << Special Districts (ca.gov)
To jump to the California State Controller's website to review Special Districts Finanical Data, please use the following link: https://districts.bythenumbers.sco.ca.gov/#!/year/default
Fiscal Year
|
Budget |
Amended
|
Audited
|
Cash
|
---|---|---|---|---|
2023-2024 |
Adopted Budget | |||
2022-2023 | Amended Budget | Adopted Cash Reserve Policy | ||
2021-2022 |
Adopted Budget | Audited Financial Statements | Adopted Cash Reserve Policy | |
2020-2021 |
Adopted Budget | Amended Budget | Audited Financial Statements | Adopted Cash Reserve Policy |
2019-2020 |
Adopted Budget | Audited Financial Statements | Adopted Cash Reserve Policy | |
2018-2019 |
Adopted Budget | Adopted Cash Reserve Policy |
- Last updated on .