Mountain House Community Services District
Debt Service Fund
2021/2022 Proposed Budget
Debt Service Fund Summary
The Debt Service Division provides funding for the District’s infrastructure. The division provides funding for the District’s outstanding debt.
Budget Highlights
- $4,906,339 is included for Traffic Impact Fees.
- $4,710,940 is included for Community Facilities Fees.
- $4,816,305 is included for the Water Debt Service.
- $3,310,587 is included for Wastewater Debt Service.
- $1,288,511 is included for Stormwater Debt Service.