Financial Reports/Audits
The Cash SUD provides for the processing of all financial data in a timely and cost-effective manner. This allows the department to monitor budgetary requirements, to invest the district's funds, and to comply with all city, state and federal laws.
Financial Reports and Budgets are presented, re-evaluated and voted on annually. Proposed Budget documents reflect the financial plan to be presented for the next fiscal year.
Related Documents
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Audits
- 2024 Cash SUD Audit ( PDF / 430 KB )
- 2023 Cash SUD Audit ( PDF / 442 KB )
- 2022 Cash SUD Audit ( PDF / 459 KB )
- 2021 Cash SUD Audit ( PDF / 1,052 KB )
- 2020 Cash SUD Audit ( PDF / 423 KB )
- 2019 Cash SUD Audit ( PDF / 648 KB )
- 2018 Cash SUD Audit ( PDF / 724 KB )
- 2017 Cash SUD Audit ( PDF / 583 KB )
- 2016 Cash Sud Audit ( PDF / 472 KB )