2022 Tax Information
SCHOOLS | 2022 |
---|---|
Foundation-Other | 8.713 Mils |
Sunrise School Division | 13.311 Mills |
GENERAL MUNICIPAL | 2022 |
General Municipal | 13.075 Mills |
Regional Library | 0.250 Mills |
Recreation District | 0.813 Mills |
Arena | 0.657 Mills |
Fire Department | 0.885 Mills |
Community Centre | 0.164 Mills |
Reserve Replenishment | 1.898 Mills |
UTILITY DEBENTURES | 2022 |
Local Improvement 32/04 - Water Plant Upgrade | 1.353 Mills |
Local Improvement 103/10 & 116/10 - Infrastructure | 1.347 Mills |
TOTAL 2022 MILL RATES | 2022 |
Residential | 33.753 Mills |
Commercial | 42.466 Mills |
Reminder: Tax dollars due are determined by assessment values. For any additional information feel free to call Municipal Assessment at 204-785-5092
Payments:
- 2022 taxes are due September 23, 2022.
- Arrears on your tax notice are as of May 31, 2022.
- Post dated cheques are accepted as well as online banking.
- Monthly Installment payments can be made at any time
- Cash, cheque, debit or e-transfer (see "Methods of Payment")
- If paying directly through your financial institution, please allow 4 to 5 days for processing the transaction.
- Payments received after September 29, 2022 will incur interest penalties.
Penalty:
- Penalties are calculated @ 1.25 % per month.
Payable To:
Town of Lac du Bonnet
Box 339
Lac du Bonnet, MB R0E 1A0
Phone 204-345-8693
Fax 204-345-8694
Email: townldb@mymts.net
Where to Pay:
Town Office (in person or by postal mail)
- Office Hours: 8:30 a.m to 4:30 p.m Monday to Friday (closed for lunch 12:00 p.m. to 1:00 p.m.)
Financial Institutions:
- Royal Bank Of Canada (RBC)
- Credit Unions (Canada) (Locally Sunova Credit Union)
Revenues | |
---|---|
Grants in Lieu | $275,498.23 |
Other Revenues | $930,556.50 |
Taxes | $2,041,080.49 |
Expenditures | |
Allowance for Taxes | $0.00 |
Health and Welfare | $5,000.00 |
Environmental Development | $127,354.19 |
Economic Development | $11,000.00 |
Reserve | $187,670.00 |
Environmental Health | $147,100.00 |
Recreation | $192,963.16 |
Debenture Debt | $194,124.47 |
Protective Services | $250,672.25 |
Government Services | $686,755.43 |
Transportation | $516,860.00 |
Fiscal Services | $651,224.19 |