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As part of our services we maintain an annual budget that covers the cost to run the operation, which includes purchasing water and sanitation services from the City; verifying the monthly usage by each customer and billing for water and sewage usage. The budget also provides for building a reserve fund for repair, maintenance and replacement of the water lines, having sufficient insurance to cover losses and damages, paying off bond debt, having an annual financial audit, paying a salary for the Manager and the monthly water testing services and reporting.

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