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RESOLUTION NO. CFD EM2 RES ____ A RESOLUTION OF THE BOARD OF DIRECTORS OF THE EASTMARK COMMUNITY FACILITIES DISTRICT NO. 2 (CITY OF MESA, ARIZONA) APPROVING THE TENTATIVE BUDGET OF THE DISTRICT FOR THE FISCAL YEAR BEGINNING JULY 1, 2026 AND ENDING JUNE 30, 2027, AND SETTING A HEARING DATE FOR THE BUDGET AND TAX LEVY. BE IT RESOLVED BY THE BOARD OF DIRECTORS OF THE EASTMARK COMMUNITY FACILITIES DISTRICT NO. 2 (CITY OF MESA, ARIZONA), as follows: Section 1. The statements and schedules contained in the budget attached hereto as Exhibit A and incorporated by reference herein, are hereby approved for the purpose as hereinafter set forth as the tentative budget for the Eastmark Community Facilities District No. 2 (City of Mesa, Arizona) (the “District”) for the fiscal year 2026-27. The statements and estimates of the operation and maintenance expenses of the District, the costs of capital improvements and other expenditures for public infrastructure and the amount needed to pay any general obligation bonds of the District (collectively, the “District Expenditures”), which are to be paid from ad valorem taxes collected in the District, are hereby filed with the District Clerk. Section 2. The District Clerk is authorized and directed to cause to be mailed to the governing body of the City of Mesa, Arizona and published in the manner prescribed by law, a notice that the District Board will meet for the purpose of conducting a final hearing for District taxpayers on the statements and estimates of District Expenditures filed with the District Clerk and on the adoption of the fiscal year 2026-27 Annual Budget for the District; said hearing to be conducted at 7:30 a.m. on May 21, 2026, at the Mesa City Council Chambers, 20 East Main Street, Mesa, Arizona 85201, with final approval of the District’s tax levy on May 21, 2026, same time and place. PASSED AND ADOPTED by the Board of Directors of the Eastmark Community Facilities District No. 2 (City of Mesa, Arizona), on May 7, 2026. District Chairman ATTEST: District Clerk APPROVED AS TO FORM: District Special Counsel EXHIBIT A TO RESOLUTION NO. CFD EM2 RES ____ [Budget] See following page. Sources Use of Fund Balance 108,536 $ Revenue Used For: Property Tax Operations 46,610 $ Property Tax General Obligation Debt Service 363,556 $ Property Assessments Assessment District Debt Service 35,950 $ Total Revenue 446,116 $ Total Sources 554,652 $ Uses Expenditures Operations: Description: Accounting Audit Work, Software License, Staff Time 29,815 $ Budget Staff Time 7,362 $ Clerk Publishing, Staff Time 1,586 $ Engineering Staff Time 21,034 $ Legal Staff Time, Outside Legal Counsel 10,000 $ Treasurer Staff Time 10,517 $ Operating Contingency 40,000 $ Total Operations 120,314 $ Debt Service: Description: Principal General Obligation and Special Assessment Bonds 220,000 $ Interest General Obligation and Special Assessment Bonds 213,888 $ Fees Bank Charges 450 $ Total Debt Service 434,338 $ Total Expenditures 554,652 $ Total Uses 554,652 $ Sources More/(Less) Than Uses - $ Eastmark Community Facilities District No. 2 Fiscal Year 2026-27 Tentative Budget 1 of 1