...d fringe benefits: $1,328,807 Fournisseurs: 968 717 $ Suppliers: $968,717 Frais de financement: (176 182 $) Financing costs: ($176,182) Remboursemen t en capital dette à long terme...
Learn more...806 338 $ Suppliers: $806,338 Assurances : 517 $ Insurance: $517 Frais de financement: 250 900 $ Financing costs: $250,900 Remboursement en capital dette à long terme : 94...
Learn more...Suppliers: $812,006 Achat d'eau : (176 063 $) Water purchase: ($176,063) Frais de financement: (142 760 $) Financing costs: ($142,760) Remboursement en capital dette à long terme :...
Learn more...173 $ CMM Share: $328,173 Ass urances: 75 959 $ Insurance: $75,959 Frais de financement: 163 $ Financing costs: $163 Total des déboursés : 2 679 684 $. Total disbursem...
Learn more...nge benefits: $1,163,833 Fournisseurs: 1 316 189 $ Suppliers: $1,316,189 Frais de financement: 7 952 $ Financing costs: $7,952 Total des déboursés : 2 487 974 $. Total disbu...
Learn more...0 2235 HANOVER 1681086 SANDRA ZELBOVITCH 9340 -78 -4993 -9-000 -0000 CROISSANT GENEVA 1680478 FIDUCIE GLOBAL FINANCE 9341 -39 -1812 -4-000 -0000 6-8 LAZARD 1681586 DANIEL SCHMELKA 9441 -88 -2313 -7-000 -0031 CHEMIN BATES...
Learn more...2235 HANOVER 1681086 SANDRA ZELBOVITCH 9340 -78 -4993 -9-000 -0000 CROISSANT GENEVA 1680478 FIDUCIE GLOBAL FINANCE 9341 -38 -3036 -0-000 -0000 33 KINDERSLEY 1681694 NICOLE GOUGEON 9341 -39 -1812 -4-000 -0000 6-8 LAZARD...
Learn more...penses - Council and Town Manager: $205 Assurances : 58 500 $ Insurance: $58,500 Frais de financement : 163 102 $ Financing costs: $163,102 Total des déboursés : 4 074 514 $ Total disbursem...
Learn more...09 406-$10 621$1 233 100$1 265 400$32 300 MAINTENANCE – TOWN BUILDINGS$325 293$323 506$1 787$592 400$494 700-$97 700 OTHER – FINANCE (BAD DEBTS AND CONTINGENCIES)$3 773-$7 131$10 904$13 000$6 800-$6 200 $6 395 661$5 967 316$428 345$9 796 700$9 274 75...
Learn more...MM : 479 466 $ CMM share: $479,466 Assurances : 277 519 $ Insurance: $277,519 Frais de financement : 150 000 $ Financing costs: $150,000 Remboursement en capital - Dette à long terme : 1...
Learn more...L 38 176 397 $ Endettement La dette à long terme au 31 décembre 2022 s’établit à 47,7 M$. Les investissements à financer en fin d’année s’élèvent à 8,8 M$. Les sommes affectées au remboursement de la dette à long terme et les montants...
Learn more...Montreal apportionment: $34,352,698 Achat d'eau : 817 904 $ Water purchase: $817,904 Frais de financement : 42 798 $ Financing costs: $42,798 Total des déboursés : 41 121 095 $ Total disbursem...
Learn more...aiming for a 2024 tax increase based on forecast inflation; Report on the 2024 Operating Budget 2 • Manage the Town’s finances in a realistic manner sustainable over the long term. Accordingly, the Town’s 2024 operating budget totals $130,149...
Learn more...t économique1 643 300 $ 1 887 400 $ 14,85 % Loisirs et culture (incluant les parcs)18 375 175 $ 19 050 275 $ 3,67 % Frais de financement 1 714 100 $ 2 067 500 $ 20,62 % Remboursement en capital –dette 4 111 000 $ 4 108 000 $ -0,07 % Administration –F...
Learn more...t Loisirs et culture (1) 18 375 175 19 050 275 675 100 3.67% Recreation and culture (1) Frais de financement1 714 100 2 067 500 353 400 20.62%Financing costs Remboursement en capital - Dette à l...
Learn more...22.18% MAINTENANCE – TOWN BUILDINGS 592 400 $ 697 200 $ 104 800 $ 17.69% OTHER – FINANCE (BAD DEBTS AND CONTINGENCIES) 13 000 $ 12 000 $ (1 000) $ -7.69% 9 796 700 $...
Learn more...rt CMM : 468 394 $ CMM share: $468,394 Assurances : 6 063 $ Insurance: $6,063 Frais de financement : 410 922 $ Financing costs: $410,922 Remboursement en capital - Dette à long terme : 76...
Learn more...- Élus et Directrice générale : 415 $ Function expenses - Council and Town Manager: $415 Frais de financement : 317 263 $ Financing costs: $317,263 Remboursement en capital - Dette à long terme : 1...
Learn more...on – Élus et Directrice générale : 72 $ Function expenses – Council and Town Manager: $72 Frais de financement : 891 093 $ Financing costs: $891,093 Remboursement en capital – Dette à long terme : 426...
Learn more...balance, preserving the Town’s financial health and maintaining sound, responsible and sustainable management of municipal finances. In a demanding economic environment, the 2026 operating budget is aligned with a long-term vision focused on resi...
Learn more...ent Loisirs et culture (1) 18 689 150 19 976 050 1 286 900 6.89% Recreation and culture (1) Frais de financement2 535 400 4 091 300 1 555 900 61.37%Financing costs Remboursement en capital - Dette à lon...
Learn more...3.39% MAINTENANCE – TOWN BUILDINGS 697 200 $ 744 800 $ 47 600 $ 6.83% OTHER – FINANCE (BAD DEBTS AND CONTINGENCIES) 12 000 $ 298 200 $ 286 200 $ 2385.00% 10 928 000 $...
Learn more...1 954 100 66 700 3,53 %Loisirs et culture (incluant les parcs)19 050 275 18 689 150 (361 125) -1,90 %Frais de financement 2 067 500 2 535 400 467 900 22,63 %Remboursement en capital –dette4 108 000 3 583 200 (524 800)...
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