Mar 17, 2026 | Monthly Operations Report
The District kicked off 2026 in a strong position, with stable finances, reliable operations, and continued progress on major infrastructure and planning efforts. Revenues are tracking slightly ahead of budget, while investments in maintenance, asset management, and...
Feb 15, 2026 | Monthly Operations Report
January was a steady and productive month for the District, with continued focus on financial stability, operational performance, and advancing priority projects. Revenues and cash balances remain strong, supporting ongoing capital improvement efforts and system...
Jan 20, 2026 | Monthly Operations Report
The District closed out 2025 in a position of financial strength and operational resilience. While December revenues were slightly below monthly projections, year-to-date performance remained favorable and cash balances grew to approximately $19.85 million. Legal...
Dec 15, 2025 | Monthly Operations Report
The District concluded October and November in a stable financial and operational position. Revenues were slightly ahead of budget, cash reserves remained strong at $18.8 million, and customer delinquency levels stayed low. A major legal milestone was achieved with a...
Sep 5, 2025 | Monthly Operations Report
System Maintenance & Improvements In August, crews completed critical projects including a hydrant replacement on Sitting Bull Road, a new water service line on Curley Bear Road, and multiple valve insertions. Work also continued on planning and coordination for...