by Jim Wellman General Centers Projects / Information Installation of the Photo Voltaic (PV-Electricity producing) systems is nearing completion. Currently Marinette, Oakmont, Quail Run Maintenance, Lakes Pro and WB/WC Maintenance are online and producing electrical power. Bell, Sundial and Fairway Center’s will be online in the next couple of weeks. Lakeview […]
Assistant General Manager Report – June 2013
Director of Golf Report – June 2013
by Brian Duthu Pro Shops For the third consecutive month revenue exceeded prior year actual and budget. Green Fee/ Cart Fee revenue exceeded budget by $2158, despite a decline in rounds played over prior year. Merchandise revenue was $499 under budget and Driving Range revenue exceeded budget by $1557. Year […]
Treasurer Report – June 2013
The balance of unrestricted funds as of May 31, 2013 was $12,343,778 which includes a $2.5M cash reserve. Restricted funds include the Preservation and Improvement Fund (“PIF”) and the Capital Reserve Fund. As of May 31, 2013, PIF had a balance of $11,962,536 plus $704,572 collected in May that was […]
RCSC Goes Solar – What does that mean?
June 25, 2013 FOR IMMEDIATE RELEASE As more and more Sun City residents have chosen to lease photovoltaic (“PV”) solar systems for their private residences, they have become better informed about the process of doing so and how it works. However, RCSC would like to explain what it means for […]
Bowling Center Updates
May 31, 2013 Last week a Brunswick software upgrade was completed at Bell Lanes and Lakeview Lanes. The software upgrade included hardware to bring both centers into compliance with Payment Card Industry (PCI) standards. PCI compliance is necessary to ensure that all credit card data is transmitted securely. The cost […]
General Manager Report – May 2013
By Jan Ek Financial Report: Overall we have operated through April 30, 2013 well within our operating and capital budgets year-to-date. All divisions, excluding golf, have positive variances from budget and golf made an overall improvement in its bottom line in April, decreasing the negative variance from budget to $115,310 […]
Treasurer Report – May 2013
The balance of unrestricted funds as of April 30, 2013 was $12,870,501 which includes a $2.5M cash reserve. Restricted funds include the Preservation and Improvement Fund (“PIF”) and the Capital Reserve Fund. As of April 30, 2013, PIF had a balance of $11,262,487 plus $778,368 collected in April that was […]
Director of Golf Report – May 2013
By Brian Duthu Pro Shops For the second consecutive month total revenue exceeded prior year and budget. Daily Green Fee/Cart Fee Revenue exceeded prior year by 8% and budget by 7%. Merchandise exceeded prior year by 10% and was 1% under budget. Driving range revenue exceeded prior year by 3% […]
Assistant General Manager Report – May 2013
By Jim Wellman General Centers Projects / Information Installation of the Photo Voltaic (PV-Electricity producing) systems is nearing completion. We expect all locations to be completed by early June except Lakeview Center due to unforeseen APS transformer and entrance equipment (SES) relocations. Marinette and Oakmont Centers are currently online and […]
Book in Hand
If variety is indeed the spice of life, then members of the Book in Hand Club have a spicy spring ahead of them. The Book Club, which meets at 1 p.m. 2nd Fridays in Room 217 of Fairway Center. Maricopa County Fairway Branch librarians order the books a month in advance […]