1994-18 Levying Assessments
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RESOLUTION NO. 94-18
RESOLUTION OF THE BOARD OF DIRECTORS OF
SAN DIEGUITO WATER DISTRICT LEVYING
ASSESSMENTS OF FISCAL YEAR 1994-95
WHEREAS, it has been determined by the County Assessor of the
county of San Diego that the total value of all lands within San
Dieguito Water District subject to assessment for obligation bonds
and indebtedness of the district approved by the voters prior to
July 1, 1978, is the sum of $1,128,235,066.
WHEREAS, the sum of $78,503.00 is necessary to make annual
payments for the interest and principal on general obligation bonds
and other indebtedness of the District approved by the voters prior
to July 1, 1978; and
NOW, THEREFORE, IT IS HEREBY RESOLVED, DETERMINED AND ORDERED
by the Board of Directors of San Diegui to Water District as
follows:
1. That an assessment be and it is hereby levied on all lands
within the District in the amount of $.00703 upon each $100.00
assessed valuation of lands within the District, said levy being
sufficient to produce a total sum of $78,503.00, after allowance
being made for anticipated delinquencies as required by Section
25801 of the Water Code of the State of California.
2. That the Secretary or Assistant Secretary of the District be,
and he is hereby authorized and directed to transmit to the County
Auditor of the County of San Diego a statement of the rates fixed.
3. That in addition to the foregoing assessment to pay bond
principal and interest, the District elects to receive the full
amount of property tax revenues allocated to it pursuant to Chapter
6 of Part 0.5 of Division 1 of the Revenue and Taxation Code of the
State of California.
PASSED AND ADOPTED at a regular meeting of the Board of
Directors of San Dieguito Water District held on the 24th day of
August, 1994, by the following vote to wit:
AYES:
NOES:
ABSENT:
ABSTAIN:
Directors Wiegand, Bond, Hane, DuVivier & Davis
None
None ,
None
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TAX AMOUNT AND RATE CERTIFICATE
ahe Governing Board of the San Dieguito Water District
..,istrict of San Diego County does hereby certify to the Board of Supervisors and/or the
Auditor of the County of San Diego, 'that said Governing Board has determined the amount of
money to be raised by taxation, and fixed the rates of taxation for said District by
designating the number of cents on each one hundred dollars ($100) of assessed valuation
to be levied on the Current Secured Tax Roll, for each taxing entity in the District.
The amounts and rates so determined for the fiscal year beginning July 1, 19~ are:
Payment of
Name of Entity Principal & Interest All Other Purposes
Parent District, Improve-
ment Districts, Annexations Amount Rate* Amount Rate*
or Exclusions .00000 .00000
966 G.O. Bonds 4th Issue Maximum
.,.+ n;u;C!;nn 00703 Allowed
*NOTE:
Rates should be reported
in 5 decimal places.
By:
Title:
AUDITOR'S USE ONLY
Number of copies received:
One [::J
Two [::J
Other [::J
.If two copies received, one sent to the Board of Supervisors on
ATTACHMENT 8
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San Dieguito Water District
Resolution No. 94-18
Page 2
STATE OF CALIFORNIA)
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COUNTY OF SAN DIEGO)
I, Murray Warden, Secretary of the Board of Directors of San
Diegui to Water District, DO HEREBY CERTIFY that the above and
foregoing is a full, true and corrected copy of Resolution No. 94-
18 of said Board and that the same has not been amended or
appealed.
Dated:
August 24, 1994
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BUDGET REQUIREMENTS AND MEANS OF FINANCING
FUND NO.
Board of Supervisors
Room 306, County Administration Center
1600 Pacific Highway
San Diego, California 92101
County Auditor and Controller
Property Tax Services, Room 164
1600 Pacific Highway
San Diego, California 92101
The fi na 1 budget as adopted by the San Diegui to Water Di stri ct,
Fund Number for the fiscal year ending June 30, 19~, is hereby
submitted as required by Code , Section
BUDGET REQUIREMENTS
EXDenditure Classification
1. Total Salaries and Employee Benefits:
General Fund
Voter Approved
Debt Service
(1)
1,389,610
2. Total Service and Supplies:
411f. Total Other Charges: (1)
4. Total Fixed Assets: (1)
(1)
3,537,410
568,820
108,420
5. Reserves:
General Reserve; Balance
Required Budget year end
Other (Specify)
6. Total Reserves
7. TOTAL REQUIREMENTS (2)
5,495,840
108,420
Please list your contact for questions about budgets, tax rates and special
assessments.
Name Mnrtn D. Lund~ren
Telephone No.
633-2653
(1) Please attach detail
(2) This line MUST agree with "Total Means of Financing" line 13 on next page.
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ATTACHMENT 4A
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MEANS OF FINANCING
Excenditure Classification
General Fund
Voter 'Approved
Debt Service
8. Fund Balance Available (Refer to
Requirements Letter page 3, No.1)
809,155
9. Reserves:
General Reserve; Prior Year
June 30, Balance.
10. Estimated Revenue
1% Proposition 13
Special District Augmentation
Other
11. SUBTOTAL - Available Financing
(Add lines 8, 9, and 10)
200.000
4,486,685
12. Amount to be raised by Property
Taxes (1)
13. TOTAL MEANS OF FINANCING (2)
. (Add lines 11 and 12) (Refer to
Letter page 4, item 3)
xxxxxxxxxxxxxxx
107,380
14.
15. By
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5,495,840
District
107,380
tdJ
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633-2611
Telephone
11: ~idem:xm Secretary
urr y Warden
(1) Amount to be raised by Taxes:
The Auditor will deduct, where applicable;
Estimated: 1. Unsecured Homeowners' Property Tax Reduction.
2. Unsecured Tax Roll Collections.
(2) "Total Means of Financing" must equal "Total Requirements" on previous page.
NOTE: IF YOU ALSO SUBMIT A TAX RESOLUTION FROM YOUR BOARD, PLEASE BE SURE THAT THE AMOUNT
ON LINE 12, ABOVE, AGREES WITH THE AMOUNT IN YOUR RESOLUTION.
AUDITOR'S USE ONLY
Number of Budgets Received I( ) 2( ) If rec'd, date to Audits
If 2 received, Date copy sent to BIS
Other ( )
4111Þ~ty Auditor
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Clerk of the Board
CJ
File Copy
CJ
ATTACHMENT 4A