FINANCIALS
This is a brief overview of the Financial Budget for the year ending June 30, 2020:

  • Current monthly assessment is $166 per household.
  • Annual home owner total Annual Assessment Dollars is $6.2 million.
  • Our Annual Operating Budget is $14.4 million.
  • Annual revenue equals 43%; Home owner assessments (Net of Reserve Contributions). 57% is generated from our two Golf Courses; the Timbers at the Lodge Restaurant and Lounge; the Timber Creek Catering services; and other Administrative Revenues.
  • The balance of the Capital Improvement Savings Account is approximately $1 million.
  • Total assets of the Community equal $44.6 million.
  • The operating fund balance equals $1.9 million.
  • The year-end Total Reserve Fund Balance is $9.4 million.
  • Total percentage of Reserves are Funded, equals approximately 100%.
  • The Community has NO debt.
For a more detailed look at Sun City Roseville Community's financial strength, click here to view the most current Audited Statement.
Photo of Sun City Roseville sign