Special Districts Annual Reports

Top 250 Special Districts with the Largest Total Revenues

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Fiscal Year 2022 - 2023
Padre Dam Municipal Water District
Rank 183
Total Assets $445,491,392
Total Liabilities $127,773,316
Cash and Investments (1) $123,606,059
Total Capital Assets, Net of Accumulated Depreciation/Amortization (1) $275,056,284
Fund Balances (Deficits) Nonspendable (2) $0
Fund Balances (Deficits) Restricted (2) $0
Fund Balances (Deficits) Committed (2) $0
Fund Balances (Deficits) Assigned (2) $0
Fund Balances (Deficits) Unassigned (2) $0
Total Fund Balances (Deficits) $0
Net Position (Deficit) Net Investment in Capital Assets (3) $719,990,517
Net Position (Deficit) Restricted (3) $8,858,361
Net Position (Deficit) Unrestricted (3) ($388,721,591)
Total Net Position (Deficit) $340,127,287
Transit - Accumulated Earnings $0
Total Revenues $84,323,348
Total Expenditures $71,706,594
(1) Included in Total Assets. (2) Included in Total Fund Balances (Deficits). (3) Included in Total Net Position (Deficit).