Each year, Council approves a budget that is primarily made up of operating, capital, and water/wastewater.
Operating - The operating budget consists of annual revenues and expenditures to provide municipal services such as winter control, parks maintenance, garbage collection, by-law enforcement and fire services.
Capital - The capital budget funds infrastructure assets that enable or support service delivery. It includes the cost of purchase, construction, repair, and renewal of assets such as roads, bridges, fleet, equipment, and community centres, and other major infrastructure projects.
Water and Wastewater - The water and wastewater budgets are user fee funded budgets that enable the Township to provide sustainable water and sewer services, maintain current infrastructure and equipment.
Funding of operating and capital budgets is achieved through user fees, service charges, reserves, grants, and property taxation. The amount of revenue required from property taxation determines the tax rates each year.
The following Budget Documents are currently available for review. Additional reports and supplemental information may also be added. Be sure to subscribe to this page for updates.
Prior Year Budget Documents
2024 |
2024 Water System Operating and Capital Budget |
2023 |
2023 Operating Budget Report #1 |
2022 |
2021 |
2020 |
Contact Us