Financial Information
By the Numbers
DSRSD submits a Financial Transactions Report annually to the State Controller's Office (SCO). Visit the SCO database by clicking on this link to the Controller's "By the Numbers" website. Select "Special Districts" and in the search field, type "Dublin San Ramon Services District" to view the DSRSD's revenues and expenses from this report.
To view compensation data, visit Special Districts in the "Government Compensation in California" database. In the Search field (illustrated at right), type "Dublin San Ramon Service District" (no "s" at the end of "Service") and click "Find Next." Click on our name to view compensation data.
Please visit the Careers section of our website for more information about our compensation and benefit programs and salaries.
Financial Documents
DSRSD operates on a fiscal year (FY), which runs from July 1 through June 30. Financial documents issued in the past five fiscal years are provided below.
Operating Budgets
Capital Improvement Program
- Ten Year Plan, FY 2026-2035, and Two-Year Budget, FY 2026-2027
- Ten Year Plan, FY 2024-2033, and Two-Year Budget, FY 2024-2025
- Ten Year Plan, FY 2022-2031, and Two-Year Budget, FY 2022-2023
- Ten Year Plan, FY 2020-2029, and Two-Year Budget, FY 2020-2021
- Ten Year Plan, FY 2018-2027, and Two Year Budget, FY 2018-2019
Warrant List
- Warrant List for Period 12/01/2025 - 12/31/2025
- Warrant List for Period 11/01/2025 - 11/30/2025
- Warrant List for Period 10/01/2025 - 10/31/2025
- Warrant List for Period 09/01/2025 - 09/30/2025
- Warrant List for Period 08/01/2025 - 08/31/2025
- Warrant List for Period 07/01/2025 - 07/31/2025
- Warrant List for Period 06/01/2025 - 06/30/2025
- Warrant List for Period 05/01/2025 - 05/31/2025
- Warrant List for Period 04/01/2025 - 04/30/2025
- Warrant List for Period 03/01/2025 - 03/31/2025
- Warrant List for Period 02/01/2025 - 02/28/2025
- Warrant List for Period 01/01/2025 - 01/31/2025
Annual Comprehensive Financial Reports
Annual Capacity Reserve Fee Report
Water and sewer connection fees and capacity charges are collected into separate water and sewer replacement and expansion capital funds. Reporting of these funds will be made publicly available within 180 days after the last day of each fiscal year, per California Government Code Section 66013.
