Category: General

Management Report – June 2023

FINANCE: Financials: The Recreation Centers of Sun City, Inc. (RCSC) ended May within its operating and capital budget year to date. All Divisions except Food & Beverage have met or…
Read more

Treasurer’s Report – January 2023

The balance of unrestricted funds as of December 31, 2022 was $18,191,898 which includes a $2.5M cash reserve. Restricted funds include the Preservation and Improvement Fund (“PIF”) and the Capital…
Read more

Management Report – November 2022

Finance: Financial Report The Recreation Centers of Sun City, Inc. (RCSC) ended October 2022 within its operating and capital budget year to date. All Divisions except Food & Beverage and…
Read more

Treasurer’s Report – November 2022

The balance of unrestricted funds as of October 31, 2022, was $18,865,303 which includes a $2.5M cash reserve. Restricted funds include the Preservation and Improvement Fund (“PIF”) and the Capital…
Read more

Treasurer’s Report – March 2022

by Darla Akins, Treasurer The balance of unrestricted funds as of February 28, 2022 was $19,202,548 which includes a $2.5M cash reserve. Restricted funds include the Preservation and Improvement Fund…
Read more

Management Report – February 2022

Finance: Financial Report The Recreation Centers of Sun City, Inc. (RCSC) ended January 2022 within its operating and capital budget year to date. All Divisions have met or exceeded their…
Read more

Treasurer’s Report – February 2022

by Darla Akins, Treasurer The balance of unrestricted funds as of January 31, 2022 was $18,315,618 which includes a $2.5M cash reserve. Restricted funds include the Preservation and Improvement Fund…
Read more
The Original Fun City!
Copyright © 2024 Recreation Centers of Sun City. All rights reserved.