Public Notice — Surprise
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Marley Park Community Facilities District published its summary schedule of estimated revenues and expenditures for Fiscal Year 2027, showing adopted/adjusted and actual 2026 expenditures and beginning fund balances for 2027. It reports totals for general, special, debt, and other funds.
Key Takeaways
- FY2027 budget summary published for Marley Park CFD
- 2026 adopted/adjusted expenditures total $2,344,000
- 2026 actual expenditures reported (partial amounts shown)
- Fund categories include general, special, debt, capital, and enterprise
What to do next
- 1
Review full budget document
Obtain the complete FY2027 budget from Marley Park CFD or the City of Surprise for line‑item details and revenue sources.
- 2
Contact the issuing agency
Reach out to the Marley Park Community Facilities District or City of Surprise finance department for questions or clarifications.
Frequently asked questions
- What is this Marley Park CFD notice about?
- It summarizes estimated revenues and expenditures for Fiscal Year 2027 and reports 2026 adopted and actual expenditures.
- How much were the 2026 adopted/adjusted expenditures?
- The notice lists 2026 adopted/adjusted expenditures totaling $2,344,000 across funds.
- Does this notice state taxes or assessments?
- No specific tax rates or assessment amounts are listed; it provides overall fund expenditure totals.
The suggestions and answers above are AI-generated for general information only. They can be wrong, and we don't take responsibility for their accuracy. Talk to a qualified professional before acting on them.
Legal terms in this notice
- Community Facilities District (CFD)
- A local government entity that funds public infrastructure and services through bonds and special assessments.
- Beginning fund balance
- Amount of money available in a fund at the start of a fiscal year.
Full Notice Text
Publish: Surprise Independent, May 13, 20, 2026/42719_1 Marley Park Community Facilities District Summary Schedule of estimated revenues and expenditures/expenses Fiscal Year 2027 lelscal c Enterprise Internal Total yea, h General Special Debt Capital Permanent Funds Service All Funds Fund Revenue Fund Service Fund Pro'ects Fund Fund Available Funds 2026 Ado|ted/ad'usted bud|eted ex|enditure/ex|enses* E 227,300 2.116.700 2,344.000 2026 Actual expenditures/expense-s** 227.300 2.115.100 Beginning fund balance/(deficit) or net position/(dehcit) 2027 at July 1***