Day: July 22, 2022

Management Report – July 2022

Finance: Financial Report The Recreation Centers of Sun City, Inc. (RCSC) ended June 2022 within its operating and capital budget year to date. All Divisions except Food & Beverage and…
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Treasurer’s Report – July 2022

The balance of unrestricted funds as of June 30, 2022 was $20,192,648 which includes a $2.5M cash reserve. Restricted funds include the Preservation and Improvement Fund (“PIF”) and the Capital…
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