The Castle Pines North Metro District is supported and funded by property taxes and user fees, including monthly bills for water, wastewater and storm water, as well as tap and infrastructure fees for new connections to the water and wastewater systems. The yearly budget and all financial statements are public record and are available at the Metro District office.
Capital Improvement Projects Funded by Property Taxes and Fees
Capital funds are being expended for the procurement of the acquisition of renewable water resources including storage treatment and transmission. Please visit our Renewable Water page for further information and updates regarding this topic.
Budget Reports2013 Annual Budget (pdf)
Monthly Financial ReportsCurrent Monthly Financial Report
Bonding MethodsBonding Methods and Amount: Descriptions and definitions of Bonding methods used in Castle Pines North. Downloadable PDF
A fee schedule is now available for review. These fees include those for Metro District Center Rentals, Park Pavilions, Park Land Dedication Fees and Utilities. These fees include those costs for cleaning, trash removal, maintenance, set up/break down, etc. If you have questions, or comments, about these fees, please contact the District Office. Please be specific with your comments, and include which fee(s) you are addressing. The schedule shows the annual fees beginning 2009 and proposed through 2013. Past fees for 2008 are also shown for comparison of what was charged in 2008.
View the latest District Independent Audit Report - 2011.
Previous Audit Reports:
Identity Theft Protection Program
View CPNMD's compliance policy with the Federal Trade Commission's "Identity Theft Protection Program".
Financial Documents - Public Availability
Financial documents are available for public view by contacting Jim Worley, District Manager at 303-242-3262. Fees for copies and research may be applied.