Kingsbury General Improvement District
2024-2025
SUMMARY ANNUAL REPORT
A complete detailed report is available at the Kingsbury GID offices or KGID.org
located at 255 Kingsbury Grade, Stateline, NV
between the hours of 7 a.m. to Noon and 12:30 p.m. to 4:30 p.m.
on the days of Monday - Thursday
Actual Prior
Year Ending
6/30/23
Estimated Current
Year Ending
6/30/24
Final Approved
Budget
Year Ending
6/30/25
General Fund
Total Available Revenues 2,141,319 2,536,058 2,397,576
Total Expenditures 1,511,516 1,343,240 3,392,992
Water Fund
Total operating revenues 4,748,647 4,870,292 4,889,612
Total operating expenses 3,311,159 3,533,946 4,004,900
Total non-operating revenues 268,275 539,631 2,695,198
Total non-operating expenses 340,133 306,437 272,609
Sewer Fund
Total operating revenues 1,900,146 1,880,947 1,879,498
Total operating expenses 1,773,742 1,906,045 2,219,207
Total non-operating revenues 136,637 203,085 176,809
Total non-operating expenses 1,296 - -
Pub Date: June 15, 2024 Ad # 44117