The Treasury Department is responsible for the collection of property taxes and other revenues, co-ordination of the current and capital budget estimates, preparation of financial statements, maintenance of accounting records, payments to suppliers, provision of payroll and auditing services.
The Treasurer monitors the Township's short and long-term corporate financial planning, develops, manages and monitors reserve funds, banking and insurance strategies, securities and asset management and associated by-law preparation.
Tax payments - use your roll number as the payment account
Invoices, licences and other payments - use your full ten (10) digit phone number as your account number and add “0’s” after the number to fill the required space
Most license forms are available in a fillable PDF format and that can be completed online and then faxed or emailed to the office. Submit your payment and when submitting the license fee application choose the payment format accordingly. Once we’ve received the application and appropriate payment we’ll mail out your dog tags.
For more information, please review the documentation below:
Audited Financial Statements
Municipal Performance Measures
Asset Management Plan
Notice: A copy of the audited financial statements, the notes to the financial statement, the auditor's report and tax rate information will be made available at no cost to any taxpayer or resident of the municipality upon request.
For further information, please contact the Treasurer, Jean Hughes.