San Luis, Arizona—During the regular Council Meeting held on June 25, 2025, Mayor Riedel and the City Council adopted the Fiscal Year 2026 budget. The adopted budget will take effect on July 1, 2025.
The Fiscal Year 2025-2026 budget totals $143,178,500.00 across all operating and capital funds. This figure includes $52,159,270.00 for capital improvement projects, which include:
- Highway 95 Water and Sewer Project
- Merrill Avenue Improvements Phase II
- Joe Orduño and East Community Parks Upgrades
- Water Storage Tanks Rehabilitations and Upgrades
- West Wastewater Treatment Plan Expansion
Many of the services provided to San Luis residents are financed through General Funds. These funds cover expenses such as police and fire services, as well as the maintenance of the city streets, parks, and other infrastructure. General Fund revenues primarily come from local city sales tax and state-shared revenues.
Other services are financed through separate self-supporting enterprises or utility funds. These include water, wastewater, and solid waste services, which are funded through user fees. Additional services and the capital program are supported by special revenue and capital project funds, which include revenue sources such as federal and state grants, development fees, and bonds.
The budget reflects the City of San Luis's commitment to addressing current needs and future challenges through careful planning and strategic investment. It also highlights the city's commitment to fostering growth, supporting a thriving economy, preserving the environment, and enhancing public services while maintaining financial sustainability.
For further information on the Fiscal Year 2026 budget, please visit https://www.sanluisaz.gov/141/Annual-Budget.