Other Reports & Documents

Financial Transaction Report

In compliance with state law, SLVWD submits a “Special Districts Financial Transaction Report” to the State Controller’s Office within seven months after the close of a fiscal year. SLVWD's Financial Transaction report and other information is made available on the California State Controller's office website.

Employee Compensation Report

In compliance with state law, SLVWD submits an "Employee Compensation Report" to the California State Controller's Office each calendar year. The information is provided to the State Controller's Office, but may not be published on their website until later in the year. Any questions related to the local government compensation report, please contact the Finance Department.

Financial Reserves

Establishing reserve funds are important to a successful and stable, financial operation of SLVWD. Adequate reserves ensure that customers experience both stable rates for service and the security that the District can respond to emergencies, especially regarding water and wastewater quality issues. Adequate reserves ensure that the District will at all times have sufficient funding available to meet its operating, capital and debt service cost obligations, together with future debt or capital obligations, as well as any unfunded mandates, including costly regulatory requirements. The District Manager and the Board typically perform an annual review of the policy during the budget process. 

Additional Documents