...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)...
Learn more...unicipal du 16 juin 2026 Page 3 Achat d'eau : 1 020 474 $ Water purchase: $1,020,474 Frais de financement : 50 060 $ Financing costs: $50,060 Total des déboursés : 48 128 174 $ Total disbursement...
Learn more...at it will strengthen our corporate culture." Pictured, left to right: Pascal Gagné, Vice President Administration and Finance (SPPMM); Catherine Cobuzzi - Labor Relations Advisor for (SPPMM); Vincent Gasparini, Town of Mount Royal Member Repre...
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...to work on our infrastructures and sustainable actions. The next 2 year’s objectives will be: Rigorously managing public finances as we contend with high inflation. Keeping taxes at a low level, Building a new Sports and Community Centre, Buil...
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...he other municipal departments, the Treasurer’s Office and Material Resources provides expertise in the areas of accounting, finance, taxation, the budget process, information technology (IT) and procurement. All our financial documents (budgets, fi...
Learn moreMunicipal services (snow removal, sports and recreation, etc.) are largely financed by property tax revenues. This tax is calculated in proportion to the real value of each building on the property assessment roll. This tax is used to distribute th...
Learn more...ich includes that of the Town of Mount Royal and that of the Agglomeration of Montreal. The general property tax is used to finance the expenses of the Town of Mount Royal, including the share claimed by the agglomeration. Please note that the prop...
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