The Treasury department is responsible for the administration of all financial matters relating to the Township including payment of accounts, billing and collection of receivables and property taxes, employee payroll, capital forecasts, annual operating budgets and all other matters relating to these functions.
The CAO and Manager of Treasury Services are responsible to prepare the long term capital forecast and annual estimates of revenues and expenditures. Financial control within the organization is a large part of this position. As well, the CAO is constantly on the lookout for grants to assist the Township.
Tax Due Dates
NOTE: Your interim tax amount is calculated based on 50% of your previous year's taxes. Your total tax liability for the current year will be calculated and billed in June and your interim levy deducted from it.
Ramara Asset Management Plan - "It will serve as a strategic, tactical, and financial document, ensuring the management of the municipal infrastructure follows sound asset management practices and principles." Posted 2014-05-16 14:43:59