Treasury Department
The responsibilities of the Treasury Department include the preparation of the annual budget and five-year capital plan, budget administration, tax rate calculations, capital financing and debenturing, management of municipal funds, coordination of the year-end audit, financial statement preparation and reporting, payroll processing, benefits administration, accounts payable and bulk purchasing, financial reporting to Council and assistance to all departments on financial matters.
Tax Department
Water and Sewer
Audited Financial Statement - 2009
Audited Financial Statement - 2010
Audited Financial Statement - 2011
