Publications

Date Title
January 28, 2026 Financial Reports and Budgets;
Other Financial Documents

Lead Water Service Line Replacement Spending Report - July 1, 2025 - December 31, 2025
January 27, 2026 Financial Reports and Budgets;
Meeting Minutes

Finance and Budget Committee Meeting Minutes
January 27, 2026 Financial Reports and Budgets;
Monthly Financial Reports

Monthly Financial Report_January 2026
January 27, 2026 Financial Reports and Budgets;
Meeting Package

Finance and Budget Committee Meeting Package
January 26, 2026 Operational and Environmental Information;
Three Party Consent Decree Quarterly Reports

2025 4TH QUARTER 3-PARTY CONSENT DECREE STATUS REPORT
January 26, 2026 Operational and Environmental Information;
Long-Term Control Plan Consent Decree Quarterly Reports

2025 4TH QUARTER LONG TERM CONTROL PLAN CONSENT DECREE STATUS REPORT
January 26, 2026 Operational and Environmental Information;
CSO Division Quarterly Operation Reports

2025 4TH QUARTER COMBINED SEWER OVERFLOW FACILITIES QUARTERLY REPORT
January 23, 2026 Financial Reports and Budgets;
Budget Review Materials

FY27 OPC Budget Briefing_1.23.26
January 22, 2026 Financial Reports and Budgets;
Budget Review Materials

FY26-35 Proposed CIP Budget
January 22, 2026 Board of Director's Library;
Audit Committee

Audit and Risk Committee Meeting Package
January 22, 2026 Board of Director's Library;
Audit Committee

Audit and Risk Committee Meeting Minutes
January 22, 2026 Operational and Environmental Information;
Meeting Package

Environmental Quality and Operations Committee Meeting Package
January 22, 2026 Operational and Environmental Information;
Meeting Minutes

Environmental Quality and Operations Committee Meeting Minutes
January 16, 2026 Financial Reports and Budgets;
Budget Review Materials

Wholesale Customer Briefing
January 15, 2026 Financial Reports and Budgets;
Budgets

FY 2027 Proposed Budget Book
January 15, 2026 Financial Reports and Budgets;
Budget Review Materials

FY 2027 Budget Workshop Presentation
January 13, 2026 Financial Reports and Budgets;
Budgets

Debt Outstanding Table (1-1-2026)
December 19, 2025 Operational and Environmental Information;
Annual Reports

FY2025 CRIAC Report
December 02, 2025 Operational and Environmental Information;
Annual Reports

Lead Service Line Replacement Report for FY2025
December 01, 2025 Financial Reports and Budgets;
Monthly Financial Reports

Monthly Financial Report_December 2025
November 19, 2025 Newsletters, Brochures, and Presentations;
What's on Tap

What's On Tap Winter 25 Issue
November 07, 2025 Operational and Environmental Information;
Lead Service Line Replacement Reports

Lead Service Line Replacement Report for FY2025
November 05, 2025 Newsletters, Brochures, and Presentations;
Presentations

FY26 Approved Contractor List
November 01, 2025 Financial Reports and Budgets;
Monthly Financial Reports

Monthly Financial Report_November 2025
October 31, 2025 Newsletters, Brochures, and Presentations;
CSO Update

FALL, 2025 CSO UPDATE

Upcoming Meeting

Board of Directors Meeting

April 24, 2023

Monday 9:00 AM

Announcement

Graphic invitation to Community Day on September 19 from 10:30 a.m. t0 3 p.m.
Go Behind the Scenes at the Potomac River Tunnel Project Community Day

DC Water Opens the West Potomac Park Construction Site to the Public for Tours, Activities and More

Ever wonder what it takes to build a 5.5-mile tunnel beneath the nation’s capital? On Saturday, September 19, DC Water invites the community for a rare opportunity to experience one of the District’s largest infrastructure projects up close and underground.

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 17, 2026
Thursday, 9:30 AM

Upcoming Events

Sep 19
Sep 19
Sep 19

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.