BUDGET 2019

Incomes
Tax $8 185 870
Payments in lieu of taxes $39 017
Other income $638 750
Transfers $644 014
Total incomes – Administration fund $9 741 947
Expenditures
General administration $1 425 466
Public security $1 764 020
Transportation $2 283 563
Environmental health $992 380
Health and Wellness $2 067
Urban planning and development $479 138
Recreation and culture $645 224
Financing costs $233 411
Fixed assets $1 916 678
Total expenditures – Administration fund $9 741 947

 

2019 Incomes

Tax · 84.03%
Transfers · 6.61%
Other income · 6.56%
Payments in lieu of taxes · 0.40%

2019 Expenditures

Transportation · 23.44%
Fixed assets · 19.67%
Environmental health · 10.20%
Health and wellness · 0.02%
Public security · 18.10%
Financing costs · 2.40%
Recreation and culture · 6.62%
Urbanization and development planning · 4.92%
General administration · 14.63%

 

IMPACT ON TAX BILL

  • Rate : $0.70
  • Garbage collection : $137
  • Ecocentres : $45
  • Septic pumping: $81
  • Municipal road maintenance : $0.60 per linear metre
  • Municipal waterworks (Rue Sylvie sector) : $229,41
  • Municipal sewer system (Rue Sylvie sector) : $385.27