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OPERATIONS, DEBTS AND FEES OF THE GVR METROPOLITAN DISTRICT The primary sources of revenue for payment of operating costs are from property taxes, program fees and from system development charges. The District’s total budget is authorized from property tax revenue generated by a current total mill levy of 22.002 mills for calendar year 2010. The initial infrastructure of the District was funded by authorizing debt in the form of bonds beginning in 1984. The District’s outstanding debt principal, as of December 31, 2009 was $4,315,000. The District has authorized debt repayment in 2010 through a mill levy of 8.837 mills. Current infrastructure of the District is funded by system development charges, which are charged to developers for commercial construction within the District. The system development charge for 2010 is $5,300 per single family equivalent. The District charges fees for its community recreational programs. Funds received from other outside sources, such as the Colorado Conservation Trust fund, are also used to support community programs as well as maintenance of District facilities, which benefit the community in general. The District applies for and uses grants and contracts whenever possible and feasible to enhance community programs and public common areas. Other Benefits of the Metro District: Services |
OFFICE HOURS M - F The District & HOA offices will be closed for Memorial Day, Monday, May 28, 2012
2012 SUMMER DAY CAMP ~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~
COMMUNITY GARAGE SALE!!!
Need help with Basic Computer Concepts, Word, Powerpoint or Outlook? For more information on any of our Community Programs, please call La Vetta Murray, Community Program Manager at 303-307-3243.
NEW PROGRAMS
Last updated:
May 18, 2012
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