Section 27304 Of Chapter 16. Disposition And Maintenance Of Adequate District Revenues From California Streets And Highways Code >> Division 16. >> Part 3. >> Chapter 16.
27304
. After the completion of construction of the works, the board
shall, in the month of July in each year, cause a tax to be levied
and collected in the manner provided in Chapter 11 of this part. The
amount of such tax, after deducting any available and applicable
moneys on hand (exclusive of moneys in the reserve interest fund) and
the estimated amount of revenues of the works for the ensuing 12
months, which estimated amount shall not exceed the actual revenues
for the preceding 12 months or, if the works have not been in
operation for as long as 12 months, not to exceed an amount computed
on the basis of the average daily revenues for the lesser period,
shall be sufficient to produce the sums required to be set aside into
separate funds by Section 27300, as well as any deficit in such
funds and the principal and interest of any outstanding revenue and
tax anticipation notes.