Metropolitan Sewer District (Metro) operations are funded by revenue from rates and fees charged for wastewater collection. In addition to the day-to-day operations, Metro’s Annual Operating Budget also funds the replacement of aging pipe, maintenance, and improvements to system performance.
These reports are prepared in compliance with generally accepted accounting principles and include audited financial statements.
For the year ending June 30, 2020, Metro has completed its first Comprehensive Annual Financial Report (CAFR), a detailed presentation of Metro’s financial position and activities for the fiscal year and is organized in four main sections. The Introductory Section includes a financial overview and organization charts. The Financial Section includes the independent auditor’s report, management’s discussion, and analysis, audited basic financial statements and notes, and supporting schedules. The Statistical Section contains selected economic, financial trend, and demographic information on a multi-year basis. The Compliance section has independent auditor’s reports on compliance and internal control.
View the financial reports: