| LIFE IN SOLERA | MAY 2026 | 7
March 31, 2026, the Board of Directors approved
the budget for 2026 – 2027. The budget was created
during three meetings during the month of March
with the Finance Committee, Treasurer, President, and
our General Manager. At right are listed the Expense
Accounts, the percent of the budget for each line-item-
category and the monthly assessment for each category.
The new assessment of $316 is effective on June
1, 2026. Please make sure if you make your own
payments online, by check, or by other means that are
not automatically changed each year, that you make
the changes.
Finance
Committee
Utilities 29% $90.52
Pool 0% $1.58
Landscape Maint. 10% $30.46
Contract Maint. 3% $9.65
Repair & Man. 2% $5.68
Property Protection 11% $35.05
Recreation 7% $21.74
Community Events 1% $1.94
Administration 14% $45.16
Legal 0% $1.29
Reserve Funding 23% $74.29
2026-2027
Assessments
The percent of the items at
left equals 100%. The cost
equals $317.36, however there is
a reduction of the total of $1.00
and the amount is rounded
down to $316.
~ Marcia Casem, Chairperson