Budget Management

The information contained herein are the complete and final documents. If a hard copy of the documents are required, you may print a copy from the PDF version provided below.

City of Temecula 2023 Budget Presentation

The City of Temecula's Fiscal Year 2023-24 Annual Operating Budget and Fiscal Years 2024-28 Capital Improvement Program were presented during the June 13, 2023 City Council Meeting. Click below to watch the full presentation. 

Annual Operating Budget

AOB Budget Cover
The Operating Budget is developed after a considerable review process. Departmental budget submittals are prepared and reviewed by line-item in connection with projected revenues. Detailed measurable performance objectives are developed utilizing a unified set of Citywide strategic goals. Expenditure and 5-year revenue projections are developed to identify the future impacts of proposed staffing and program changes, as well as the impact of proposed capital improvement projects. The result is that this document is a conservative, balanced budget that provides for quality services while effectively utilizing available resources.

Capital Improvement Program (CIP) Budget

CIP Budget Cover

The purpose of the CIP Budget document is to serve as a planning tool, which coordinates the financing and scheduling of major projects undertaken by the City. The CIP Budget document has been prepared in accordance with generally accepted accounting principles. This document is dynamic and, consequently, must be revised annually to address changing needs, priorities, and financial conditions. The capital improvements presented in this document are the City’s major projects, which exceed $30,000 in cost, have long-term life spans, and are generally non-recurring. These projects include land and right of way acquisition, design, construction or rehabilitation of public buildings or facilities, public infrastructure design and construction, park design and construction, and redevelopment projects.

Purchase Copies of the Budget

The Annual Operating Budget and Capital Improvement Program document may be purchased from the City for $35 each. Please contact the Finance Department at 951-694-6430 for the details.

Looking for the CAFR or other financial statements, visit Financial Reports.