The following statements are available for the directors on the First working day of each month:
- Monthly cash flow summary
- List of all transactions for the month
- Reserve Fund summary of income and expenses
- Detailed list of Reserve fund investments
- List of residents who are prepaid or in arrears
- Comparison of monthly expenses compared to the budget
- Comparison of yearly expenses compared to the budget
- Pre-authorized payment plans or Debit cards accepted
Download Forms
DOWNLOAD PAP Form – CONDO rev
DOWNLOAD Status Request Form