LCSD FY2026-27 P&L Budget
Linne Community Services District FY2026-27 Profit and Loss Budget

Linne CSD
Linne Community Services District FY2026-27 Profit and Loss Budget
2. Consent Items A. Approval of January 21, 2026 Meeting Minutes B. Approval of Quarterly Treasurer Report 3. Old Business A. Review proposed FEMA projects. Director Stack B. Review bids received for 2026 Road Maintenance. Director Brown & Konsmo LCSD 2026 Road Maintenance Bid Summary 4. New Business A. Appointment of new Director. Director Stack
The attached financial reports present the District’s financial position and activity for the current fiscal year through March 31, 2026. Together, the Profit & Loss Statement, Balance Sheet, and Statement of Cash Flows provide a complete picture of year-to-date activity and overall financial health.
The attached financial reports present the district’s financial position and activity for the current fiscal year through January 21, 2026. Together, the Profit & Loss Statement, Balance Sheet, and Statement of Cash Flows provide a complete picture of both year-to-date activity and the district’s overall financial health.
3. New Business A. Review & approval of Fiscal Year 2025-26 Budget B. Review of 2026 road maintenance scope within the multi-year plan for planning purposes; approval will be requested at January 2026 meeting C. Request for erosion prevention on hillside just passed bulletin board on Stagecoach
Balance Sheet Standard As of June 30, 2025 Profit and Loss Standard July 2024 through June 2025 Statement Of Cash Flows July 2024 through June 2025
2. Consent Items 2.1 Approval of last regular meeting minutes of October 10, 2024. 2.2 Approval Treasurer Report and 2025 Budget. 2.3 Proposal, (Director Brown) to BOD and Public discussion on establishing an emergency reserve amount for the approved 2024/2025 budget. 3. Old Business A. FEMA update report-Director-Stack. B. New Directors Positions. C. Waiver Form.
1. Consent Agenda A. Minutes from previous meeting to be reviewed for approval B. Treasurer’s Report 2. Old Business A. Sandy Creek repairs update 3. New Business A. Review budget for standard road maintenance outside of Sandy Creek repairs B. Audit cost update
1. Consent Agenda A. Minutes from previous meeting to be reviewed for approval B. Treasurer’s Report 2. Old Business A. FEMA Project repair, review package 3. New Business A. Liability Program Audit/Internal Controls B. Road Maintenance bid Review C. Resolution to appropriate funding for road maintenance. Treasurer: budget review FY2022-23 close (final P&L for current
1. Consent Agenda A. Minutes from previous meeting to be reviewed for approval B. Treasurer’s Report 2. Old Business A. Review of Simplification of Draft Road Policy/Encroachment B. Audit update C. Retaining Wall Stagecoach 3. New Business A. Horseshoe Way letter B. Sandy Creek email C. Election Fees