EAST MONTGOMERY COUNTY MUNICIPAL UTILITY DISTRICT NO. 7

The information provided on this page is for East Montgomery County Municipal Utility District No. 7.  Below you can find links to information related to the financial and bookkeeping records for the District.

DISTRICT INFO
BUDGETS
FINANCIALS
TAX INFO

DISTRICT INFORMATION

BOARD OF DIRECTORS

Beau Kaleel
President
Term Expires: May 2023

Erin Shedd
Vice President
Term Expires: May 2025

Al Valencia
Secretary
Term Expires: May 2025

Kimberley L. Prause
Asst. Secretary
Term Expires: May 2023

CONTACT INFORMATION

Mailing Address
9 Greenway Plaza, suite 1000
Houston, Texas 77046
Phone: (713) 653-5709
Email: mcraig@coatsrose.com

MEETING INFORMATION

The District generally meets on the fourth Wednesday of the month at 11:00 a.m. at 9 Greenway Plaza, Suite 1000, Houston, Texas 77046.

2022

2022-06-22 – Regular: Agenda | Minutes
2022-05-25 – Regular: Agenda | Meeting canceled due to no quorum.
2022-04-27 – Regular: Agenda | Minutes
2022-03-30 – Regular: Agenda | Minutes
2022-02-23 – Regular: Agenda | Minutes

Residents of the district have the right to request the designation of a meeting location within the district under Water Code Section 49.062(g). A description of this process can be found at https://www.tceq.texas.gov/waterdistricts.

BUDGET INFORMATION

APPROVED BUDGET – 5/31/2018
APPROVED BUDGET – 5/31/2019
APPROVED BUDGET – 5/31/2020
APPROVED BUDGET – 5/31/2021

Change in the District’s Revenue from 2020 to 2021: $179,170; 64.89%
Change in the District’s Expenses from 2020 to 2021: $209,850; 85.89%

The amount of property tax revenue budgeted for maintenance and operations for the preceding two years and current year:

  • 2019: $17,630.00
  • 2020: $119,000.00
  • 2021: $179,995.00

The amount of property tax revenue budgeted for debt service for the preceding two years and current year:

  • 2019: $22,808.92
  • 2020: $128,119.37
  • 2021: $294,548.62

For additional Budget information, please click on the above Approved Budget link.

FINANCIAL INFORMATION (ANNUAL AUDIT)

FINANCIAL REPORT – 5/31/2019

For additional Audit information, please click on the above Financial Report link. There are no Financial Reports available prior to 5/31/2019.

TAX INFORMATION

Adopted 2019 Tax Rate (per $100 of assessed valuation) – Total $1.30
Maintenance & Operations: $0.63
Debt Service: $0.67

Adopted 2020 Tax Rate (per $100 of assessed valuation) – Total $1.30
Maintenance & Operations: $0.43
Debt Service: $0.87

Adopted 2021 Tax Rate (per $100 of assessed valuation) – Total $1.30
Maintenance & Operations: $0.41
Debt Service: $0.40
Contract Rate: $0.49

Proposed 2022 Tax Rate (per $100 of assessed valuation) – Total TBD
Maintenance & Operations: TBD
Debt Service: TBD