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Budget

The Township of Georgian Bluffs is committed to transparency and accountability in managing your tax dollars. The budget outlines how funds are allocated to services, infrastructure, and community priorities. This page provides information about our budgeting process, current budget details, and how you can participate.


The budget is the Township’s financial plan for the year. It is divided into two main parts:

  • Operating Budget: Funds day-to-day services like road maintenance, parks, waste management, and fire protection.
  • Capital Budget: Supports long-term investments, such as building new infrastructure, replacing aging equipment, and major repairs.

2024 Budget

The 2024 Budget focuses on advancing Georgian Bluffs as an affordable, connected community with a strong emphasis on infrastructure. The budget process was enhanced to promote collaboration between Council, staff, and the community, ensuring transparency and engagement.

  • Infrastructure Projects:

    • Continued work on the Pottawatomi Water System.
    • Multi-year replacement programs for Emery Bridge and Sideroad 3 Bridge.
    • Continuation of the road surface treatment program.
  • Community Initiatives:

    • Initiation of the Corporate Climate Action Plan.
    • Upgrades to technology, including laptop replacements, budget software, and website improvements.
    • Investment in community events.
    • Additional staff resources to support major infrastructure projects.

The 2024 Budget resulted in a 9.19% increase in the residential municipal tax rate over 2023, equating to an increase of $14 per month for the average residential taxpayer. This ensures that the total tax-supported budget of $12.9 million effectively funds community services and infrastructure improvements.

2025 Draft Budget

The 2025 Budget is currently in development, with final approval anticipated in January of 2025. The 2025 Draft Budget focuses on strategic investments in infrastructure and community enhancements, reflecting resident feedback and supporting essential services.

  • Roads: $1.5 million allocated to the Hard Top Surface Preservation Program, with plans to increase this to $2 million over the next five years.

  • Bridges: $5.589 million investment over three years for the design, engineering, and replacement of critical bridges and culverts.

  • Parks and Recreation: $1.65 million directed to various recreational and park improvements, with a grant application submitted to the Community Sport & Recreation Infrastructure Fund (CSRIF) to cover up to 50% of this work.

  • Sidewalks and Walkways: Continued annual investment of $100,000 for replacement, a program started in 2024.

  • Climate Action Plan: $123,000 carried forward to support ongoing implementation.

The proposed budget includes a 5.58% tax impact for residential property owners, outlining priorities to support essential services and improve the community’s quality of life.


Historical Budget Documents

To review budget documents prior to 2024, contact the Treasury department at 519-376-2729 and an accessible copy will be provided to you.

Audited Financial Statements

For historic Financial Statements, please contact the finance department at finance@georgianbluffs.ca or by calling 519-376-2729.


Tax Breakdown Tool

Tax Breakdown Calculator

Enter the amount of property taxes you pay annually to see how your tax dollars are divided among services:

Tax Breakdown

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