Publications

Date Title
October 28, 2025 Operational and Environmental Information;
CSO Division Quarterly Operation Reports

2025 3RD QUARTER COMBINED SEWER OVERFLOW FACILITIES QUARTERLY REPORT
October 28, 2025 Operational and Environmental Information;
Long-Term Control Plan Consent Decree Quarterly Reports

2025 3RD QUARTER LONG TERM CONTROL PLAN CONSENT DECREE STATUS REPORT
October 28, 2025 Operational and Environmental Information;
Three Party Consent Decree Quarterly Reports

2025 3RD QUARTER 3-PARTY CONSENT DECREE STATUS REPORT
October 16, 2025 Newsletters, Brochures, and Presentations;
Presentations

LSR Cost Proposal Revised
October 16, 2025 Newsletters, Brochures, and Presentations;
Presentations

LPRAP Payment Request Revised
October 01, 2025 Financial Reports and Budgets;
Monthly Financial Reports

Monthly Financial Report_October 2025
September 01, 2025 Financial Reports and Budgets;
Monthly Financial Reports

Monthly Financial Report_September 2025
August 19, 2025 Newsletters, Brochures, and Presentations;
What's on Tap

What's on Tap, Volume 27, Preparedness Issue
August 01, 2025 Financial Reports and Budgets;
Monthly Financial Reports

Monthly Financial Report_August 2025
July 28, 2025 Operational and Environmental Information;
Three Party Consent Decree Quarterly Reports

2025 2nd QUARTER 3-PARTY CONSENT DECREE STATUS REPORT
July 28, 2025 Operational and Environmental Information;
CSO Division Quarterly Operation Reports

2025 2nd QUARTER COMBINED SEWER OVERFLOW FACILITIES QUARTERLY REPORT
July 28, 2025 Operational and Environmental Information;
Long-Term Control Plan Consent Decree Quarterly Reports

2025 2nd QUARTER LONG TERM CONTROL PLAN CONSENT DECREE STATUS REPORT
July 23, 2025 Financial Reports and Budgets;
Monthly Financial Reports

Monthly Financial Report July 2025
July 15, 2025 Financial Reports and Budgets;
Budgets

DC Water Bond Ratings July 2025
July 11, 2025 Financial Reports and Budgets;
Budgets

Debt Outstanding Table 7-1-2025
June 25, 2025 Operational and Environmental Information;
Water Quality Report

2025 ANNUAL DRINKING WATER QUALITY REPORT
June 12, 2025 Newsletters, Brochures, and Presentations;
What's on Tap

WHAT'S ON TAP, VOLUME 27, SUMMER ISSUE - DC WATER CARES EDITION
June 10, 2025 Financial Reports and Budgets;
Comprehensive Annual Financial Reports

2017 Green Bond Report
June 10, 2025 Financial Reports and Budgets;
Comprehensive Annual Financial Reports

2014 Green Bond Report
June 10, 2025 Financial Reports and Budgets;
Comprehensive Annual Financial Reports

2015 Green Bond Report
June 10, 2025 Financial Reports and Budgets;
Comprehensive Annual Financial Reports

2016 Green Bond Report
June 01, 2025 Financial Reports and Budgets;
Monthly Financial Reports

Monthly Financial Report June 2025
May 08, 2025 Financial Reports and Budgets;
Budgets

FY26 Approved Capital Improvement Plan
May 08, 2025 Financial Reports and Budgets;
Budgets

FY26 Approved Capital Financing, Cash and Debt
May 08, 2025 Financial Reports and Budgets;
Budgets

FY 2026 Approved Budget Book

Upcoming Meeting

Board of Directors Meeting

April 24, 2023

Monday 9:00 AM

Announcement

Map: Temporary closure of the southbound curb lane on Rock Creek and Potomac Parkway NW
TRAFFIC ADVISORY: Rock Creek and Potomac Parkway Weekend Lane Closure Beginning September 19

DC CLEAN RIVERS – POTOMAC RIVER TUNNEL PROJECT

Drivers should expect a temporary southbound lane closure on Rock Creek and Potomac Parkway NW between F St and Virginia Ave on Saturday, September 19, and Sunday, September 20, 2026. The closure will be in place from 7 a.m. to 7 p.m. each day, weather permitting.

Latest Blog Post
Emergency supplies arranged on a table, including bottled water, canned food, a backpack, first aid kit, flashlight, phone, medication and other essential items.
Simple Ways to Stay Prepared at Home
A few simple steps can help your household prepare for severe weather and temporary water or sewer service interruptions.
Upcoming Meeting
Date
September 22, 2026
Tuesday, 9:30 AM

Upcoming Events

Customer Service Center Announcement

Payment Plan Incentive: provides a credit back of 50% of the last 3 payments made. Eligible participants are residential customers who have had an outstanding balance for 60 days or greater and with an outstanding balance of $500 or more.