HomeMy WebLinkAboutFinancial Statements 1995 poizi Lusw .66_,Lftft
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The Corporation of the
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Village of Port Burwell
Financial Statements
December 31, 1995
Doane Raymond r
Contents
Page
Auditors' Report 1
Consolidated Balance Sheet 2
Consolidated Statement of Operations 3-4
Notes to the Financial Statements 5-9
Doane Raymond
Chartered Accountants Doane Raymond T
Management Consultants
Canadian Member Firm of
Grant Thornton International
Auditors' Report
To the Members of Council, Inhabitants and Ratepayers of
The Corporation of the Village of Port Burwell
We have audited the consolidated balance sheet of The Corporation of the Village of Port Burwell as at
December 31, 1995 and the consolidated statement of operations for the year then ended. These
consolidated financial statements are the responsibility of the corporation's management. Our
responsibility is to express an opinion on these financial statements based on our audit.
We conducted our audit in accordance with generally accepted auditing standards. Those standards
require that we plan and perform an audit to obtain reasonable assurance whether the fmancial
statements are free of material misstatement. An audit includes examining, on a test basis, evidence
supporting the amounts and disclosures in the financial statements. An audit also includes assessing the
accounting principles used and significant estimates made by management, as well as evaluating the
overall financial statement presentation.
In our opinion, these consolidated financial statements present fairly, in all material respects, the
financial position of the corporation as at December 31, 1995 and the results of its operations and the
changes in its financial position for the year then ended in accordance with the accounting principles
disclosed in note 1 to the financial statements.
tltrA4—k d11"14
Tillsonburg, Ontario
February 22, 1996 Chartered Accountants
License Number 15898
22 Harvey Street
P.O. Box 247 1
Tillsonburg,Ontario
N4G 4H5
Tel: (519)842-3604
Fax: (519)842-2178
The Corporation of the Village of Port Burwell
Consolidated Balance Sheet
December 31 1995 1994
Assets
Unrestricted
Taxes receivable $ 36,761 $ 33,670
User charges receivable 44,612 45,008
Accounts receivable 111,038 99,166
Prepaid expenses 5,056 4,501
Mortgage receivable (note 4) 82,550 -
280,017 182,345
Restricted
Cash 51,141 40,038
Capital outlay financed by long term liabilities and to
be recovered in future years (note 1) 322,051 162,788
$ 653,209 $ 385,171
Liabilities
Current liabilities
Bank indebtedness $ 32,388 $ 2,902
Temporary loan 97,000 -
Accounts payable and accrued liabilities 81,012 205,471
Nevada funds payable - 45,799
210,400 254,172
Net long term liabilities (note 7) 322,051 162,788
Fund Balances at the end of the year
To be used to offset (be recovered from)
taxation or user charges (note 8) 310 (52,017)
Capital operations not yet permanently financed (note 8) - (89,117)
Reserves (note 9) 69,307 69,307
Reserve funds (note 9) 51,141 40,038
$ 653,209 $ 385,171
Contingency (notes 10 and 11)
See accompanying notes to the financial statements
2
Doane Raymond
The Corporation of the Village of Port Burwell
Consolidated Statement of Operations
Unaudited Audited Audited
Budget Actual Actual
Year Ended December 31 1995 1995 1994
SOURCES OF FINANCING:
Taxation and user charges
Residential and farm taxation $ 445,322 $ 444,947 $ 419,675
Commercial and industrial taxation 48,059 64,331 58,811
Business taxation 16,777 16,761 15,889
Taxation from other governments 16,849 14,163 13,424
Water and sewer billings 288,000 234,645 219,405
User charges 145,111 119,387 101,515
960,118 894,234 828,719
Grants
Province of Ontario 215,068 193,522 288,027
Government of Canada 37,608 39,009 18,693
Other municipalities 6,259 8,731 6,379
258,935 241,262 313,099
Other
Sale of land (note 4) 150,000 157,550 -
Penalties on taxes 8,000 4,015 6,861
Investment income 2,000 2,459 1,347
Donations 68,000 92,194 4,926
228,000 256,218 13,134
Deduct
Amounts for county and school boards (315,448) (313,771) (297,186)
Proceeds from the issue of long term liabilities 238,951 229,475 162,788
Total sources of financing 1,370,556 1,307,418 1,020,554
MUNICIPAL FUND BALANCES
AT THE BEGINNING OF THE YEAR (note 8)
To be recovered from taxation or user charges (52,017) (52,017) (77,833)
Capital operations not yet permanently financed (89,117) (89,117) (37,000)
Total financing available during the year $ 1,229,422 $ 1,166,284 $ 905,721
See accompanying notes to the financial statements
3
Doane Raymond T
The Corporation of the Village of Port Burwell
Consolidated Statement of Operations
Unaudited Audited Audited
Budget Actual Actual
Year Ended December 31 1994 1995 1994
APPLIED TO:
Current operations
General government $ 400,000 $ 350,513 $ 202,925
Harbour 32,000 64,196 680
Fire protection 29,036 24,420 21,763
Other protection 16,474 26,499 29,214
Transportation services 116,370 109,557 121,253
Sanitary sewers 142,357 135,168 75,191
Waterworks system 106,545 96,714 76,438
Garbage collection 51,615 55,599 58,035
Recreation and cultural services 16,325 16,882 87,174
Planning and development 12,000 3,329 8,274
922,722 882,877 680,947
Capital
General government 41,000 27,110 58,155
Harbour 8,500 8,500 9,000
Protection to persons and property 6,500 16,854 10,762
Transportation services 172,500 176,074 133,062
Waterworks system 8,000 8,822 107,118
Recreation and cultural services 38,000 36,544 _ 38,695
274,500 273,904 356,792
Net appropriations to reserves and reserve funds 32,200 9,193 9,116
Total funds applied 1,229,422 1,165,974 1,046,855
MUNICIPAL FUND BALANCES
AT THE END OF THE YEAR (note 8)
To be used to offset (to be recovered from)
taxation or user charges - 310 (52,017)
Capital operations not yet permanently financed - - (89,117)
Total applications during the year $ 1,229,422 $ 1,166,284 $ 905,721
See accompanying notes to the financial statements
4
Doane Raymond T
The Corporation of the Village of Port Burwell
Notes to the Financial Statements
December 31, 1995
1. Summary of significant accounting policies
The consolidated financial statements of the Corporation of the Village of Port Burwell are the
representation of management prepared in accordance with accounting policies prescribed for Ontario
municipalities by the Ministry of Municipal Affairs. Since precise determination of many assets and
liabilities is dependent upon future events, the preparation of periodic financial statements necessarily
involves the use of estimates and approximations. These have been made using careful judgments.
(a) Basis of Consolidation
(i) These consolidated statements reflect the assets, liabilities, sources of financing and expenditures of
the revenue fund, capital fund, reserve funds and reserves and include the activities of all
committees of Council and Port Burwell Waterworks which is under the control of Council.
All interfund assets, liabilities, sources of financing and expenditures have been eliminated with
the exception of loans or advances between the reserve funds and any other fund of the
municipality and the resulting interest income and expenditures.
(ii) Non-consolidated entities
There are no non-consolidated entities.
(iii) Accounting for County and School Board Transactions
The taxation, other revenue, expenditures, assets and liabilities with respect to the operations of
the school boards and the County of Elgin, are not reflected in the municipal fund balances of
these financial statements. Overlevies (underlevies) are reported on the Consolidated Balance
Sheet as "other current liabilities" ("other current assets").
(iv) Trust funds and their related operations administered by the Village are not consolidated, but are
reported separately on the "Trust Funds Statement of Continuity and Balance Sheet".
(b) Basis of Accounting
(i) Sources of financing and expenditures are reported on the accrual basis of accounting with the
exception of principal and interest charges on long term liabilities which are charged against
operations in the period in which they are paid.
(ii) The accrual basis of accounting recognizes revenues as they become available and measurable;
expenditures are recognized as they are incurred and measurable as a result of receipt of goods or
services and the creation of a legal obligation to pay.
(iii) Capital Assets
The historical cost and accumulated amortization for capital assets are not recorded for municipal
purposes. Capital assets are reported as an expenditure on the Consolidated Statement of
Operations in the year of acquisition.
(iv) Capital Outlay to be Recovered in Future Years
"Capital outlay to be recovered in future years," which represents the outstanding principal portion
of unmatured long term liabilities for municipal expenditures is reported on the Consolidated
Balance Sheet.
5
Doane Raymond
The Corporation of the Village of Port Burwell
Notes to the Financial Statements
December 31, 1995
2. Operations of school boards and the County of Elgin
Further to note 1(a)(iii), the taxation, other revenues, expenditures and overlevies (underlevies) of the
school boards and the County of Elgin are comprised of the following:
School
Boards County
Taxation and user charges $ 217,205 $ 96,566
Requisitions 217,205 96,566
Overlevies (underlevies), end of year
3. Liability for vested sick leave benefits
The municipality joined OMERS at the start of 1995. All sick leave benefits were paid out in full
during 1994 and will no longer be accumulated.
4. Mortgage receivable
In 1995, the municipality sold land. The selling price of the land was $160,000 of which $75,000 was
received in 1995, $50,000 is to be received on June 1, 1996 and $35,000 on June 1, 1997. The
mortgage specifies that no interest is to be paid on the outstanding amount. For financial statement
purposes, the selling price and the unpaid balance has been reduced for imputed interest at a rate of 5%
on the long term component of the mortgage receivable.
5. Trust funds
Trust funds administered by the municipality amounting to $39,241 (1994 - $45,351) have not been
included in the Consolidated Balance Sheet nor have their operations been included in the Consolidated
Statement of Operations.
6. Pension agreement
The municipality makes contributions to the Ontario Municipal Employees Retirement Fund (OMERS),
which is a multi-employer plan, on behalf of 4 members of its staff. The plan is a defined benefit plan
which specifies the amount of the retirement benefit to be received by the employees based on the
length of service and rates of pay.
The amount contributed to OMERS for 1995 was $8,298 for current service and is included as an
expenditure on the Consolidated Statement of Operations. At December 31, 1995, the municipality had
no past service obligation to the plan.
6
Doane Raymond T
The Corporation of the Village of Port Burwell
Notes to the Financial Statements
December 31, 1995
7. Net long term liabilities
(a) The balance of net long term liabilities reported on the Consolidated Balance Sheet is made up of
the following:
1995 1994
Total long term liabilities incurred by the municipality
including those incurred on behalf of school boards,
other municipalities and municipal enterprises and
outstanding at the end of the year amount to $ 322,051 $ 162,788
(b) Of the net long term liabilities reported in (a) of this note, $322,051 in principal
payments are payable from 1996 to 2000 and are recoverable from general municipal
revenues.
(c) Principal and interest payments pertaining to net long term liabilities reported in the
Consolidated Statement of Operations were $70,212 and $15,755 respectively.
8. Municipal fund balances
The balances on the Consolidated Statement of Operations of municipal equity (deficit) of $310 (1994 -
$(141,134)) at the end of the year are comprised of the following:
1995 1994
For general reduction (increase) of taxation $ 3,236 $ (25,143)
For general reduction (increase) of user charges
- Water 14,862 15,455
- Sewer (17,788) (16,143)
- Recreation - (25,363)
- Museum - (823)
310 (52,017)
Acquisition of capital assets to be financed
from taxation or user charges - (89,117)
$ 310 $ (141,134)
7
Doane Raymond a
The Corporation of the Village of Port Burwell
Notes to the Financial Statements
December 31, 1995
9. Reserves and reserve funds
The total balance of reserves and reserve funds of $69,307 (1994 - $69,307) and $51,141 (1994 -
$40,038) respectively are made up of the following:
1995 1994
Reserves set aside for specific purpose by Council
For working capital $ 54,307 $ 54,307
For waterworks purposes 15,000 15,000
$ 69,307 $ 69,307
Reserve funds set aside for specific purpose by Council
For acquisition of fire truck $ 14,829 $ 14,139
For sewage treatment plant capital 27,854 21,793
For museum - 2,906
For development purposes 6,000 -
For seawall repair 2,458 1,200
$ 51,141 $ 40,038
10. Contingency - Ontario Clean Water Agency
In accordance with a service agreement entered into by the Village with the Ministry of Environment,
which was subsequently assumed by the Ontario Clean Water Agency, existing sewage and water
systems are owned and operated by the Agency. The Village is obligated to meet all operating costs
and repay the long term liabilities related to these projects.
Included in the "Consolidated Statement of Operations" are the 1995 charges from the Agency for
water of $32,854 and for sewage of$86,431 which the Village feels is full payment of 1995 fees.
The Agency states that the Village still owes $28,664 related to 1995 water operations. The Agency
has not reduced the amounts outstanding at year end for a credit to 1994-95 operations of which Port
Burwell's share is $12,150.
Negotiations are progressing to resolve this dispute.
No provision has been made in the consolidated financial statements as the outcome is not yet
determinable. Furthermore, the Village has sufficient water and general reserves to cover any required
payment in settlement of this issue.
8
Doane Raymond T
The Corporation of the Village of Port Burwell
Notes to the Financial Statements
December 31, 1995
10. Contingency - Ontario Clean Water Agency (continued)
Information received from the Agency as at December 31, 1995, indicates the following:
Total
Outstanding
Accumulated 1995 Debt Long Term
(Deficit) Charges Liabilities
Water systems $ (27,347) $ 4,243 $ 38,184
The operating surplus and long term liabilities indicated above are not reflected in the accompanying
consolidated financial statements.
11. Contingency - outstanding 1993 auditing and consulting fees
Prior auditors have filed a claim for 1993 auditing and consulting fees amounting to $36,394. In the
opinion of the Village and legal counsel, the municipality has a valid claim for non-payment of this
charge.
No provision has been made in the consolidated financial statements for the legal claim by the prior
auditors as the outcome is not yet determinable.
12. Social contract
The Social Contract Act requires municipalities to reduce expenditures by a specified amount in each of
the years 1993, 1994 and 1995. Unconditional grants will be reduced by a corresponding amount each
year. The sectoral agreement between the provincial government and the municipal sector, however,
provides for the automatic deferral of 25% of the 1993 social contract target amount and the
corresponding reduction of unconditional grants until 1996. For the Village of Port Burwell, the target
amount for each year is $1,378 and the deferred amount is $345.
13. Supervision
During 1993, the Village and its local boards and committees made application and was granted to be
made subject to an Order governing its financial and administrative affairs under Part II of the
Municipal Affairs Act. The Part II supervision was lifted effective January 24, 1995.
14. Reclassification
Certain 1994 balances have been reclassified to conform to the 1995 financial statement presentation.
9
Doane Raymond
ONTARIO
MINISTRY OF MUNICIPAL AFFAIRS AND HOUSING
1995 FINANCIAL INFORMATION RETURN
Please read instructions before completing
(Round amounts to nearest dollar)
Municipality: VILLAGE OF PORT BURWELL
Status: LOWER
Regn/Cty/Dist: ELGIN
Cnty/Mn Code: 3402 from Assessment Roll
Is this an upper tier municipality?: N (Y/N)
Are merged areas being reported?: N (Y/N)
Computer use:
1995 FINANCIAL INFORMATION RETURN
MUNICIPALITY: Village of Port Burwell
in the 1 K County CIMtcof: Rlg in
DECLARATION OF THE MUNICIPAL TREASURER
Pursuant to the determination of grants under the Ontario Unconditional Grants Act,and to the information
required by the Province under the Municipal Affairs Act,the following schedules are attached:
1 Analysis of Revenue Fund Revenues Attached
2LT Analysis of Taxation X
2UT Analysis of Upper Tier Requisitions and Direct Charges n/a
2MA Analysis of Taxation in Merged Areas n,La
3 Analysis of Current Revenue for Specific Functions X
4 Analysis of Revenue Fund Expenditures X
5 Analysis of Capital Operations X
6 Analysis of Capital Grants and Own Expenditures X
7 Analysis of Net Long Term Liabilities By Function X
8 Analysis of Long Term Liabilities and Commitments X
9LT Continuity of Upper Tier and School Board Levies X
10 Continuity of Reserves and Reserve Funds X
11 Analysis of Consolidated Year End Balances X
12 Statistical Data
X.
15 Ontario Financing of Capital Loan Repayments X
The schedules have been drawn up in accordance with the instructions provided by the Ministry of Municipal
Affairs and Housing. They represent the consolidated financial activities of the municipality, all local boards,
including joint boards where applicable and any other local corporate entities set up by the municipality to
provide services to ratepayers. The consolidated local boards and entities are:
' Port Burwell Waterworks •
•
•
•
•
•
•
•
•
•
•
Trust funds administered by the municipality and its local boards, harbour commissions, humane societies,
municipal non-profit housing corporations,provincial-municipal housing authorities,sinking funds,retirement or
pension plan funds, school boards, conservation authorities, children's aid societies, district health councils,
municipal hospitals and gas,telephone and hydro utilities are not consolidated.
The schedules have been prepared by Doane Raymond
(Auditor's lirm or name of Municipality)
Questions regarding the information contained in them should be addressed to
Brian Budarick
(Area code and telephone)
Date/,/ . 1996 ..
Mt nicer reasurer
Chartered Accountants Doane Raymond T
Management Consultants
Canadian Member Firm of
Grant Thornton International
ACCOUNTANT'S REPORT
IN ACCORDANCE WITH SCHEDULES 1 TO 11 AND 15 OF THE
FINANCIAL INFORMATION RETURN
To the Ministry of Municipal Affairs and Housing
Our audit of the consolidated financial statement of the Corporation of the Village of Port Burwell for
the year ended December 31, 1995 was made for the purpose of forming an opinion on the consolidated
financial statements referred to in our auditors' report to the Members of Council, Inhabitants and
Ratepayers dated February 22, 1996. Schedule 1 to 11 and 15 of the 1995 Financial Information Return
have not been prepared on the same basis as the consolidated financial statements.
For purposes of this report, we have performed, at your request, the following procedures in connection
with Schedules 1 to 11 and 15 of the Financial Information Return of the Corporation of the Village of
Port Burwell for the year ended December 31, 1995.
(a) We have compared the amounts disclosed on these schedules to the books and records
of the Village of Port Burwell and found them to be in agreement;
(b) We have added and cross-added all schedules and found them to be arithmetically
correct; and,
(c) We have checked the cross-references indicated in the "Cross-Reference to Other
Schedules" section for each of the above noted schedules, as outlined in the "Instructions
for Completing the 1995 Financial Information Return", and found all such cross
references to be in agreement.
The above noted procedures do not constitute and audit of these schedules. Therefore, we do no not
express an opinion on Schedules 1 to 11 and 15 of the 1995 Financial Information Return.
6-°114 -( 41-91e/
Tillsonburg, Ontario
May 9, 1996 Chartered Accountants
License Number 15898
22 Harvey Street
P.O. Box 247
Tillsonburg,Ontario
N4G 4H5
Tel: (519)842-3604
Fax: (519)842-2178
SCHEDULE 1 VILLAGE OF PORT BURWELL
ANALYSIS OF REVENUE FUND upper school
REVENUES total tier board own
For the year ending Dec 31, 1995 revenue purposes purposes purposes
Note: Upper tiers use column 4 only
1 2 3 4
$ $ $ $
Taxation
Taxation from schedule 2LT
(or requsitions from schedule 2UT) 1 526,039 92,348 217,205 216,486
Direct water billings on ratepayers
-- own municipality 2 93,553 93,553
-- other municipalities 3 2,568 2,568
Sewer surcharge on direct water billings
-- own municipality 4 138,523 138,523
-- other municipalities 5 0
Subtotal 6 760,683 92,348 217,205 451,130
Payments in lieu of taxes
Canada 7 0
Canada enterprises 8 0
Ontario
The Municipal Tax Assistance Act 9 10,721 3,193 7,528
The Municipal Act, section 160 10 0
Other 11 0
Ontario enterprises
Ontario Housing Corporation 12 0
Ontario Hydro 13 0
Liquor Control Board of Ontario 14 3,441 1,025 2,416
Other 15 0
Municipal enterprises 16 0
Other municipalities and enterprises 17 0
Subtotal 18 14,162 4,218 0 9,944
Ontario unconditional grants
Per household general 19 xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
Per household police 20 xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
Transitional and special assistance 22 106,360 106,360
Resource equalization 23 xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
General support 24 xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
Northern special support 25 xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
Apportionment guarantee 26 0
Revenue guarantee 27 xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
Subtotal 28 106,360 106,360
Revenues for specific functions
Ontario specific grants 29 27,712 27,712
Canada specific grants 30 22,343 22,343
Other municipalities--grants and fees 31 14,408 14,408
Fees, service charges and donations 32 109,836 109,836
Subtotal 33 174,299 0 0 174,299
Other revenue
Trailer revenue and licences 34 0
Licences and permits 35 12,648 12,648
Fines 37 0
Penalties and interest on taxes 38 4,015 4,015
Investment income--from own funds 39 2,459 2,459
--other 40 0
Sale of publications, equipment, etc. 42 0
Contributions from capital fund 43 0
Contributions from reserves and
reserve funds 44 3,007 3,007
Contributions from non consolidated
entities 45 0
46 0
47 0
48 0
Sale of Land 49 152,393 152,393
Subtotal 50 174,522 0 0 174,522
Total revenue 51 1,230,026 96,566 217,205 916,255
SCHEDULE 2LT VILLAGE OF PORT BURWELL
ANALYSIS OF TAXATION LOCAL TAXABLE ASSESSMENT
For the year ending Dec. 31, 1995
computer residential commercial
use and farm & industrial business
1 2 3
I. Own purposes $ $ $
(a) Levied by mill rate
General 01010 1,065,955 97,783 34,135
police villages at reduced rates 0102
farms at reduced rates 0103
. 01
. 01
Special area rates and police villages
. 01
. 01
. 01
. 01
. 01
•
01
•
01
Subtotal levied by mill rate xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
(b) Other charges on tax bills
Share of 'phone and 'graph taxn xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Local improvements xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Sewer and water service charges xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Sewer & water connect'n charges xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Fire service charges xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Minimum tax (differential only) xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Municipal drainage charges xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Garbage collection charges xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Business improvement area xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Subtotal special chg on tax bills xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Total own purposes taxation xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
II. Upper tier purposes
(a) Levied by mill rate
General 02010 1,065,955 97,783 34,135
Special purposes
02
02
02
02
Subtotal levied by mill rate xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
(b) Other charges on tax bills
Share of 'phone and 'graph taxn xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Local improvements xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Sewer and water service charges xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Sewer & water connect'n charges xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Fire service charges xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Subtotal special chg on tax bills xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Total upper tier taxation xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
III School board purposes
Elementary public
Elgin County Board of Education 0301 994,197 95,513 33,205
Adj. re. land exept from levy 0301
Share of 'phone and 'graph taxn xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Subtotal elementary public xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Elementary separate
Roman Catholic Separate Board 0401 71,758 2,270 930
0401
0401
Share of 'phone and 'graph taxn xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Subtotal elementary separate xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Secondary public
Elgin County Board of Education 0501 994,197 95,513 33,205
Adj. re. Land exept from levy 0501 0 0 0
Share of 'phone and 'graph taxn xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Subtotal secondary public xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Secondary separate
Roman Catholic Separate Board 0701 71,758 2,270 930
0701 0 0 0
0701 0 0 0
Share of 'phone and 'graph taxn xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Subtotal secondary separate xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
Total all school board taxation xxxxxxxxxx xxxxxxxxxx xxxxxxxxxx
VILLAGE OF PORT BURWELL
MILL RATES TAXES LEVIED SUPPLEMENTARY TAXES TOTAL TAXES
commercial
resident. industrial residential commercial residential commercial total
& farm & business and farm & industrial business and farm & industrial business cols 6 to 11
4 5 6 7 8 9 10 11 12
$ $ $ $ $ $ $
171.2930 201.5220 182,591 19,705 6,879 657 28 (16) 209,844
0
0
0
0
0
0
0
0
0
0
0
xxxxxxxxxx 01400 182,591 19,705 6,879 657 28 (16) 209,844
xxxxxxxxxx 01210 6,642 6,642
xxxxxxxxxx 01220 0
xxxxxxxxxx 01230 0
xxxxxxxxxx 01240 0
xxxxxxxxxx 01250 0
xxxxxxxxxx 01260 0
xxxxxxxxxx 01270 0
xxxxxxxxxx 01280 0
xxxxxxxxxx 01290 xxxxxxxxxx xxxxxxxxxx 0
xxxxxxxxxx 01300 0
xxxxxxxxxx 01310 0 6,642 0 0 0 0 6,642
xxxxxxxxxx 01320 182,591 26,347 6,879 657 28 (16) 216,486
72.6620 85.4850 77,454 8,360 2,918 786 11 89,529
0
0
0
0
xxxxxxxxxx 02400 77,454 8,360 2,918 786 11 0 89,529
xxxxxxxxxx 02210 2,819 2,819
xxxxxxxxxx 02220 0
xxxxxxxxxx 02230 0
xxxxxxxxxx 02240 0
xxxxxxxxxx 02250 0
xxxxxxxxxx 02300 0
xxxxxxxxxx 02310 0 2,819 0 0 0 0 2,819
xxxxxxxxxx 02320 77,454 11,179 2,918 786 11 0 92,348
91.9700 108.2000 91,436 10,334 3,593 272 15 105,650
(1,226) (1,226)
xxxxxxxxxx 03210 3,480 3,480
xxxxxxxxxx 03320 90,210 13,814 3,593 272 15 0 107,904
90.7680 106.7860 6,513 243 99 6,855
0
0
xxxxxxxxxx 04210 86 86
xxxxxxxxxx 04320 6,513 329 99 0 0 0 6,941
81.8400 96.2800 81,365 9,196 3,197 241 13 94,012
(1,103) (1,103)
xxxxxxxxxx 05210 3,099 3,099
xxxxxxxxxx 05320 80,262 12,295 3,197 241 13 0 96,008
83.0880 97.7510 5,962 222 91 6,275
0
0
xxxxxxxxxx 07210 77 77
xxxxxxxxxx 07320 5,962 299 91 0 0 0 6,352
xxxxxxxxxx 08320 182,947 26,737 6,980 513 28 0 217,205
SCHEDULE 3 VILLAGE OF PORT BURWELL
ANALYSIS OF CURRENT REVENUES other
FOR SPECIFIC FUNCTIONS Ontario municip'ties fees, service
For the year ending Dec 31, 1995 specific Canada grants, fees & charges &
grants* grants service charges donations
1 2 3 4
$ $ $ $
General government 1 2,212 4,582 72,537
Protection to persons and property
Fire 2
Police 3
Conservation authority 4
Protective inspection and control 5
. 6
Subtotal 7 0 0 0 0
Transportation services
Roadways 8 20,500 5,634
Winter control 9
Transit 10
Parking 11
Street lighting 12
Air transportation 13
Harbour 14 15,417 3,097 34,150
Subtotal 15 20,500 15,417 8,731 34,150
Environmental services
Sanitary sewer system 16
Storm sewer system 17
Waterworks system 18
Garbage collection 19
Garbage disposal 20
Pollution control 21
22
Subtotal 23 0 0 0 0
Health services
Public health services 24
Public health inspection and control 25
Hospitals 26
Ambulance services 27
Cemeteries 28
29
Subtotal 30 0 0 0 0
Social and family services
General assistance 31
Assistance to aged persons 32
Assistance to children 33
Day nurseries 34
35
Subtotal 36 0 0 0 0
Recreation and cultural services
Parks and recreation 37 5,000 2,344 352
Libraries 38 5,677
Other cultural 39 2,302
Subtotal 40 5,000 2,344 5,677 2,654
Planning and development
Planning and zoning 41 495
Commercial and industrial 42
Residential development 43
Agricultural and reforestation 44
Tile drainage/shoreline assistance 45 xxxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
46
Subtotal 47 0 0 0 495
Electricity 48
Gas 49
Telephone 50
Total 51 27,712 22,343 14,408 109,836
* includes Ontario financing of capital loans repayments (for details see schedule 15)
SCHEDULE 4 VILLAGE OF PORT
ANALYSIS OF REVENUE FUND materials,
EXPENDITURES salaries, services,
For the year ending Dec 31, 1995 wages and rents and transfers
employee net long term financial to own
benefits debt charges* expenses funds
1 2 3 4
$ $ $ $
General government 1 106,243 46,108 164,076 7,200
Protection to persons and property
Fire 2 11,395 13,025
Police 3
Conservation authority 4
Protective inspection and control 5 22,512 3,987
6
Subtotal 7 33,907 0 17,012 0
Transportation services
Roadways 8 63,843 44,688
Winter control 9 1,026
Transit 10
Parking 11
Street lighting 12
Air transportation 13
Harbour 14 64,196
Subtotal 15 63,843 0 109,910 0
Environmental services
Sanitary sewer system 16 29,230 105,938 5,000
Storm sewer system 17
Waterworks system 18 28,662 8,711 59,341
Garbage collection 19 55,600
Garbage disposal 20
Pollution control 21
22
Subtotal 23 57,892 8,711 220,879 5,000
Health services
Public health services 24
Public health inspection and control 25
Hospitals 26
Ambulance services 27
Cemeteries 28
29
Subtotal 30 0 0 0 0
Social and family services
General assistance 31
Assistance to aged persons 32
Assistance to children 33
Day nurseries 34
35
Subtotal 36 0 0 0 0
Recreation and cultural services
Parks and recreation 37 6,115 3,484
Libraries 38 2,937
Other cultural 39 7,282
Subtotal 40 6,115 0 13,703 0
Planning and development
Planning and zoning 41 3,329
Commercial and industrial 42
Residential development 43
Agricultural and reforestation 44
Tile drainage/shoreline assistance 45 xxxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
46
Subtotal 47 0 0 3,329 0
Electricity 48
Gas 49
Telephone 50
Total 51 268,000 54,819 528,909 12,200
* includes Ontario financing of capital loans repayments (for details see schedule 15)
BURWELL SCHEDULE 4 VILLAGE OF PORT BURWELL
ANALYSIS OF REVENUE FUND
EXPENDITURES
inter- For the year ending Dec 31, 1995
other functional total 8
transfers transfers expenditure $
5 6 7
$ $ $ Total of column 2 includes:
Payments to Ontario in respect of Down-
323,627 1 town Revitalization Program loans 81
Accrued interest (enter an amount only
24,420 2 if the change to the accrual basis
0 3 was made in this reporting year) 82
0 4
26,499 5 Interest portion of transit debt charges
0 6 included on line 10 83
0 0 50,919 7
108,531 8 Total of column 3 includes:
1,026 9 Ministry of the Environment
0 10 Provincial projects service charges
0 11 --water 52 23,244
O 12 --sewer 53 86,431
O 13 Provincial projects frontage and
64,196 14 connection charges--water 57
O 0 173,753 15 --sewer 58
Joint projects operating charges
140,168 16 --water 54
0 17 --sewer 55
96,714 18 O.P.P. policing contracts 56
55,600 19 Short term interest costs 60 8,337
0 20
O 21
O 22 Total of column 5 includes:
O 0 292,482 23 Grants to charitable and non-profit
organizations 62
O 24 Grants to universities and colleges 63
O 25 Contributions to UNCONSOLIDATED
0 26 joint local boards
0 27 Health unit 64
O 28 District welfare board 65
O 29 Home for the aged 66
O 0 0 30 Recreation board(s) 67
Fire area board 68
0 31 Suburban roads commission 69
0 32 70
0 33 71
0 34
0 35
0 0 0 36 Line 1 of column 7 includes:
Members of council 72 17,085
9,599 37
2,937 38
7,282 39 Line 51 of column 7 includes:
O 0 19,818 40 Payments in respect of long term commit-
ments and liabilities financed from revenue,
3,329 41 as approved by the Ontario Municipal Board
0 42 or Council, as the case may be. Exclude
0 43 debt charges reported in column 2. 73
0 44
xxxxxxxxxxxxx xxxxxxxxxxxxx 0 45
O 46
O 0 3,329 47
O 48
O 49
0 50
O 0 863,928 51
SCHEDULE 5 VILLAGE OF PORT BURWELL
ANALYSIS OF CAPITAL OPERATIONS
For the year ending Dec 31, 1995 1
Unfinanced capital outlay (Unexpended capital
financing) at the beginning of the year 1 89,117
Sources of financing
Contributions from own funds
Revenue fund 2
Reserves and reserve funds 3
Subtotal 4 0
Long term liabilities incurred
Central Mortgage and Housing Corporation 5
Ontario Municipal Improvement Corporation 7
Commercial Area Improvement Program 9
Other Ontario housing programs 10
Ontario Clean Water Agency 11
Other loans from Ontario Capital Corporations 50
Tile drainage and shoreline property
assistance programs 12
The Public
Serial debentures 13
Sinking fund debentures 14 0
CIBC 15 229,475
16
17
Subtotal * 18 229,475
Grants and loan forgiveness
Ontario 20 59,450
Canada 21 16,667
Other municipalities 22 0
Subtotal 23 76,117
Other financing
Prepaid special charges 24
Proceeds from sale of fixed assets 25 5,157
Investment income
From own funds 26
Other 27
Donations 28 52,271
30
31
Subtotal 32 57,428
Total sources of financing 33 363,020
Applications
Own expenditures
Short term interest costs 34
Other 35 273,903
Subtotal 36 273,903
Transfers of proceeds from long
term liabilities to:
Other municipalities 37
Unconsolidated local boards 38
Individuals 39
Subtotal 40 0
Transfers to reserves, reserve funds
and the revenue fund 41
Total applications 42 273,903
Unfinanced capital outlay (Unexpended capital
financing) at the end of the year 43 0
Amount reported in line 43 analysed as follows:
Unapplied capital receipts (negative) 44
To be recovered from:
--taxation or user charges within term of council 45
--proceeds from long term liabilities 46
--transfers from reserves and reserve funds 47
--other (specify) 48
Total unfinaced capital outlay
(unexpended capital financing) 49 0
*amount in line 18 raised on behalf of
other municipalities 19
SCHEDULE 6 VILLAGE OF PORT BURWELL
ANALYSIS OF CAPITAL GRANTS
AND OWN EXPENDITURES CAPITAL GRANTS
For the year ending Dec 31, 1995 TOTAL
Ontario Canada Other OWN
grants grants municip'ties EXPENDITURES
1 2 3 4
$ $ $ $
General government 1 16,667 16,667 27,110
Protection to persons and property
Fire 2 16,854
Police 3
Conservation authority 4
Protective inspection and control 5
6
Subtotal 7 0 0 0 16,854
Transportation services
Roadways 8 42,800 164,846
Winter control 9
Transit 10
Parking 11
Street lighting 12 11,227
Air transportation 13
Harbour 14 8,500
Subtotal 15 42,800 0 0 184,573
Environmental services
Sanitary sewer system 16
Storm sewer system 17
Waterworks system 18 (17) 8,822
Garbage collection 19
Garbage disposal 20
Pollution control 21
22
Subtotal 23 (17) 0 0 8,822
Health services
Public health services 24
Public health inspection and control 25
Hospitals 26
Ambulance services 27
Cemeteries 28
29
Subtotal 30 0 0 0 0
Social and family services
General assistance 31
Assistance to aged persons 32
Assistance to children 33
Day nurseries 34
35
Subtotal 36 0 0 0 0
Recreation and cultural services
Parks and recreation 37 36,228
Libraries 38
Other cultural 39 316
Subtotal 40 0 0 0 36,544
Planning and development
Planning and zoning 41
Commercial and industrial 42
Residential development 43
Agricultural and reforestation 44
Tile drainage/shoreline assistance 45 xxxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx xxxxxxxxxxxxx
46
Subtotal 47 0 0 0 0
Electricity 48
Gas 49
Telephone 50
Total 51 59,450 16,667 0 273,903
SCHEDULE 7 VILLAGE OF PORT BURWELL
ANALYSIS OF NET LONG TERM
LIABILITIES BY FUNCTION 1
For the year ending Dec 31, 1995 $
General government 1 99,645
Protection to persons and property
Fire 2 12,969
Police 3
Conservation authority 4
Protective inspection and control 5
. 6
Subtotal 7 12,969
Transportation services
Roadways 8 146,347
Winter control 9
Transit 10
Parking 11
Street lighting 12
Air transportation 13 14,786
Harbour 14 17,500
Subtotal 15 178,633
Environmental services
Sanitary sewer system 16
Storm sewer system 17
Waterworks system 18 30,804
Garbage collection 19
Garbage disposal 20
Pollution control 21
22
Subtotal 23 30,804
Health services
Public health services 24
Public health inspection and control 25
Hospitals 26
Ambulance services 27
Cemeteries 28
29
Subtotal 30 0
Social and family services
General assistance 31
Assistance to aged persons 32
Assistance to children 33
Day nurseries 34
35
Subtotal 36 0
Recreation and cultural services
Parks and recreation 37
Libraries 38
Other cultural 39
Subtotal 40 0
Planning and development
Planning and zoning 41
Commercial and industrial 42
Residential development 43
Agricultural and reforestation 44
Tile drainage/shoreline assistance 45
46
Subtotal 47 0
Electricity 48
Gas 49
Telephone 50
Total 51 322,051
SCHEDULE 8 VILLAGE OF PORT BURWELL
ANALYSIS OF LONG TERM
LIABILITIES AND COMMITMENTS 1
For the year ending Dec 31, 1995 $
1. Calculation of debt burden of the municipality
All debt issued by the municipality, predecessor
municipalities and consolidated entities
: To Ontario and agencies 1
: To Canada and agencies 2
: To other 3 322,051
Subtotal 4 322,051
Plus: All debt assumed by the
municipality from others 5
Less: All debt assumed by others
: Ontario -- special purpose loans 80
: Ontario -- other 81
: Schoolboards 7
: Other municipalities 8
Subtotal 9 0
Less: Ontario Clean Water Agency
debt retirement funds--sewer 10
--water 11
Own sinking funds (actual balances)
--general 12
--enterprises and other 13
Subtotal 14 0
Total 15 322,051
Amount reported in line 15 analysed as follows:
Sinking fund debentures 16
Installment (serial) debentures 17
Long term bank loans 18 322,051
Lease purchase agreements 19
Mortgages 20
Ontario Clean Water Agency 22
23
24
2. Total debt payable in foreign currencies
(net of sinking fund holdings)
U.S. $--Cdn $ equivalent incl in line 15 above 25
--par value of this amount in U.S.$ 26
Other --Cdn $ equivalent incl in line 15 27
--par value of this amount in 28
3. Interest earned on sinking funds and debt
retirement funds during the year
Own funds 29
Ontario Clean Water Agency--sewer 30
--water 31
4. Actuarial balance of own sinking funds
at year end 32
5. Long term commitments and contingencies at year end
Total Liability for accumulated
sick pay credits 33
Total liability under OMERS plans
--initial unfunded 34
(payable over _ yrs)(no. of employees _)
--actuarial deficiency 35
(payable over _ yrs)
Total liability for own pension funds
--initial unfunded 36
(payable over _ yrs)(no. of employees _)
--actuarial deficiency 37
(payable over _ yrs)
Outstanding loan guarantees 38
(payable over _ yrs)
Commitments and liabilities financed from revenue,
as approved by the Ontario Municipal Board or
Council, as the case may be
--hospital support 39
--university support 40
--leases and other agreements 41
Other (specify) . 42
. 43
. 44
Total 45 0
SCHEDULE 8 VILLAGE OF PORT BURWELL
ANALYSIS OF LONG TERM
LIABILITIES AND COMMITMENTS
For the year ending Dec 31, 1995
6. Ontario Clean Water Agency Provincial Projects total
accumulated outstanding
surplus capital debt
(deficit) obligations charges
1 2 3
$ $ $
Water projects--for this municipality only 46
--share of integrated project(s) 47 (27,347) 38,184 4,243
Sewer projects--for this municipality only 48
--share of integrated project(s) 49
principal interest
7. 1995 Debt Charges 1 2
Recovered from consolidated revenue fund $ $
--general tax rates* 50 31,900 14,208
--special area rates and special charges 51
--benefitting landowners 52
--user rates (consolidated entities) 53 7,164 1,547
Recovered from reserve funds 54
Recovered from unconsolidated entities
--hydro 55
--gas and telephone 57
-- 56 31,148
-- 58
- 59
Total 78 70,212 15,755
Line 78 includes:
Financing of one-time real estate purchase 90
Other lump sum (balloon) repayments of L.T. debt 91
8. Future principal and interest payments on EXISTING net debt
recoverable from the recoverable from recoverable from
consolidated revenue fund reserve funds unconsolidated entities
principal interest principal interest principal interest
1 2 3 4 5 6
$ $ $ $ $ $
1996 60 76,836 22,000
1997 61 76,836 17,000
1998 62 76,592 12,000
1999 63 45,896 7,000
2000 64 45,891 2,000
2001-2005 65
2006 onwards 79
Interest to be earned
on sinking funds* 69
Downtown revital-
ization program 70
Total 711 322,051 60,000 0 0 0 0
*includes interest to be earned on Ontario Clean Water Agency debt retirement funds
9. Future principal payments on EXPECTED NEW debt
1
$
1996 72
1997 73 40,000
1998 74 40,000
1999 75 40,000
2000 76 40,000
Total 77 160,000
10. Other notes; please submit other notes in paper copy, and attach supporting schedule as required.
principal interest
1 2
11. Long term debt refinanced: $ $
Repayment of Provincial Special Assistance 92
Other long term debt refinanced 93
* includes Ontario financing of capital loan repayments (for details see schedule 15)
SCHEDULE 9LT VILLAGE OF PORT BURWELL
CONTINUITY OF UPPER TIER AND
SCHOOL BOARD LEVIES
For the year ending Dec 31, 1995
balance at
beginning amounts supplementary total
of year requisitioned taxes expended
UPPER TIER
1 2 3 4
Included in general mill rate for upper tier purposes $ $ $ $
General requsition 1 88,732 797 89,529
Special purpose requisitions
Water rate 2
Transit rate 3
Sewer rate 4
Library rate 5
Road rate 6
7
8
Payments in lieu of taxes 9 4,218 4,218
Telephone and telegraph taxation 10 2,819 2,819
Subtotal levied by mill rate--general 11 0 95,769 797 96,566
Special purpose requisitions
Water 12
Transit 13
Sewer 14
Library 15
16
17
Subtotal levied by mill rate--special rates 18 0 0 0 0
Special charges 19
Direct water billings 20
Sewer surcharge on direct water billings 21
Total region or county 22 0 95,769 797 96,566
pupils'
balance at fees, share
beginning amounts supplementary of trailer
of year requisitioned taxes licences
SCHOOL BOARDS
1 2 3 4
Elementary public (specify) $ $ $ $
Elgin County Board of Education 30 108,843 287
Adj. re. land exept from levy 31 (1,226)
Elementary separate (specify)
Roman Catholic Separate Board 40 6,941
41
42
Secondary public (specify)
Elgin County Board of Education 50 96,857 254
Adj. re. land exept from levy 51 (1,103)
Elementary separate (specify)
Roman Catholic Separate Board 70 6,352
71
72
Total school boards 36 0 216,664 541 0
VILLAGE OF PORT BURWELL
telephone share of
and share of payments balance
amount telegraph Provincial in lieu of total at end
levied taxation grants taxes other raised of year
5 6 8 9 10 12 11
$ $ $ $ $ $ $
1
2
3
4
5
6
7
8
9
10
89,529 2,819 0 4,218 0 96,566 0 11
12
13
14
15
16
17
0 0 0 0 0 0 0 18
0 19
0 20
0 21
89,529 2,819 0 4,218 0 96,566 0 22
telephone share of pupils'
and payments fees, share balance
total amount telegraph in lieu of of trailer total at end
expended levied taxation taxes licences raised of year
5 6 7 8 9 10 11
$ $ $ $ $ $ $
107,904 104,424 3,480 107,904 0 30
0 31
6,941 6,855 86 6,941 0 40
0 41
0 42
96,008 92,909 3,099 96,008 0 50
0 51
6,352 6,275 77 6,352 0 70
0 71
0 72
217,205 210,463 6,742 0 0 217,205 0 36
SCHEDULE 10 VILLAGE OF PORT BURWELL
CONTINUITY OF RESERVES
AND RESERVE FUNDS 1
For the year ending Dec 31, 1995 $
Balance at beginning of year 1 109,345
Revenues
Contributions from revenue fund 2 12,200
Contributions from capital fund 3
Development Charges Act 67
Lot levies and subdivider contrbutions 60
Recreational land (the Planning Act) 61
Investment income--from own funds 5 1,910
--other 6
. 9
10
. 11
12
Total revenue 13 14,110
Expenditures
Transferred to capital fund 14
Transferred to revenue fund 15 3,007
Charges for long term liabilities
--principal and interest 16
. 63
. 20
21
Total expenditure 22 3,007
Balance at end of year for:
Reserves 23 69,307
Reserve funds 24 51,141
Total 25 120,448
analysed as follows:
Working funds 26 54,307
Contingencies 27
Ontario Clean Water Agency funds for renewals, etc
--sewer 28
--water 29
Replacement of equipment 30 14,829
Sick leave 31
Insurance 32
Workers' compensation 33
Capital expenditure--general administration 34
--roads 35
--sanitary and storm sewers 36 27,854
--parks and recreation 64
--library 65
--other cultural 66
--water 38
--transit 39
--housing 40
--industrial development 41
--other and unspecified 42 2,458
Development Charges Act 68 6,000
Lot levies and subdivider contributions 44
Recreational land (the Planning Act) 46
Parking revenues 45
Debenture debt 47
Exchange rate stabilization 48
Waterworks current purposes 49 15,000
Transit current purposes 50
Library current purposes 51
. 52
53
54
55
. 56
•
57
Total 58 120,448
SCHEDULE 11 VILLAGE OF PORT BURWELL
ANALYSIS OF CONSOLIDATED
YEAR END BALANCES 1 2
For the year ending Dec 31, 1995 $ $
ASSETS not in
Current assets chartered bank
Cash 1 18,753
Accounts receivable
Canada 2 5,178
Ontario 3 45,300
Region or county 4 5,634
Other municipalities 5
School boards 6 2,329 portion of
Waterworks 7 44,612 taxes rec'ble
Other (including unorganized areas) 8 52,597 for business
Taxes receivable taxes
Current year's levies 9 36,197 33
Previous year's levies 10 75 87
Prior years' levies 11 84 84
Penalties and interest 12 405 68
Less allowance for uncollectables (negative) 13
Investments (market value $)
Canada 14
Provincial 15
Municipal 16 portion of
Other 17 line 20 for
Other current assets 18 5,056 tax sale/tax
Capital outlay to be recovered in future years 19 322,051 registration
Other long term assets 20 82,550
Total 21 620,821
LIABILITIES not from
chartered
Current liabilities banks
Temporary loans--current purposes 22 97,000
--capital--Ontario 23
--Canada 24
--Other 25
Accounts payable and accrued liabilities
Canada 26 785
Ontario 27
Region or county 28 203
Other municipalities 29
School boards 30 (83)
Trade accounts payable 31 62,441
Other 32
Other current liabilities 33 17,666
Net long term liabilities
Recoverable from the Consolidated Revenue Fund
--general tax rates 34 322,051
--special area rates and special charges 35
--benefitting landowners 36
--user rates (consolidated entities) 37
Recoverable from Reserve Funds 38
Recoverable from unconsolidated entities 39
Less:Own holdings (negative) 40
Reserves and reserve funds 41 120,448
Accumulated net revenue (deficit)
General revenue 42 3,236
Special charges and special areas (specify)
. 43
44
. 45
. 46
Consolidated local boards (specify)
Transit operations 47
Water operations 48 14,862
Libraries 49
Cemeteries 50
Recreation, community centres and arenas 51
Sewer operations 52 (17,788)
. 53
. 54
. 55
Region or county 56
School boards 57
Unexpended capital financing/
(unfinanced capital outlay) 58
Total 59 620,821
SCHEDULE 12 VILLAGE OF PORT
STATISTICAL DATA
For the year ending Dec 31, 1995
1. Number of continuous full time employees as at Dec 31 1
Administration 1 3
Non—line Departmental Support Staff 2 1
Fire 3
Police 4
Transit 5
Public Works 6 1
Health Services 7
Homes for the Aged 8
Other Social Services 9
Parks and Recreation 10
Libraries 11
Planning 12
Total 13 5
continuous full
time employees
December 31 Other
1 2
2. Total expenditures during the year on: $ $
Wages and salaries 14 167,224 40,402
Employee benefits 15 23,571 2,443
3. Reductions of tax roll during the year 1
(Lower tier municipalities only) $
Cash collections: Current year's tax 16 543,371
Previous years' tax 17 33,106
Penalties and interest 18
Subtotal 19 576,477
Discounts allowed 20
Tax adjustments under section 362 and 263 of the
--amounts added to the roll (negative) 22
--amounts written off 23
Tax adjustments under sections 465,495 and 496 of the Municipal Act
--recoverable from upper tier and school boards 24
--recoverable from general municipal revenues 25
Transfers to tax sale and tax registration accounts 26
The Municipal Elderly Residents' Assistance Act
--reductions 27
--refunds 28
Other (specify) 80
Total reductions 29 576,477
Amounts added to the tax roll for collection
purposes only 30 25,701
Business taxes written off under subsection 495(1) of the Municipal Act 81
4. Tax due dates for 1995 1
Interim billings: Number of installments 31 2
Due date of first installment (MMDDYY) 32 22495
Due date of last installment (MMDDYY) 33 42195
Final billings: Number of installments 34 2
Due date of first installment (MMDDYY) 35 82595
Due date of last installment (MMDDYY) 36 102795
Supplementary taxes levied with a 1996 due date 37$ 0
long term financing requirements
approved by submitted but forecast not
5. Projected capital expenditures and long term gross the OMB not yet app'vd yet submitted
financing requirements as at December 31 expenditure or council by OMB/council to OMB/council
1 2 3 4
Estimated to take place $ $ $ $
In 1996 58 314,000 172,000
In 1997 59 300,000 200,000
In 1998 60
In 1999 61
In 2000 62
Total 63 614,000 0 0 372,000
balance loans
in fund outstanding
1 2
$ $
6. Ontario Home Renewal Plan trust fund at year end 82 37,176 21,308
SCHEDULE 12 VILLAGE OF PORT BURWELL
STATISTICAL DATA
For the year ending Dec 31, 1995
7. Analysis of direct water and sewer billings as water
at December 31
number of 1995 billings
residential residential all other computer
units units properties use only
1 2 3
$ $
In this municipality 39 459 89,423 4,130
In other municipalities (specify municipality)
40 7 2,568
41
42
43
64
sewer
number of 1995 billings
residential residential all other computer
units units properties use only
1 2 3
$ $
In this municipality 44 425 133,676 4,847
In other municipalities (specify municipality)
45
. 46
47
. 48
65
water sewer
Number of residential units in this municipality
receiving municipal water and sewer services but 1 2
which are not on direct billing 66
8. Selected investments of own sinking funds other
as at December 31 own municipalities,
municipality school boards Province Federal
1 2 3 4
$ $ $ $
Own sinking funds 83
9. Borrowing from own reserve funds 1
Loans or advances due to reserve funds as $
at December 31 84
10. Joint boards consolidated by this municipality this municipal-
contributions ity's share of
total board from this total municipal computer
expenditure municipality contributions use only
1 2 3
$ $
•
53
. 54
55
56
•
57
SCHEDULE 12 VILLAGE OF PORT BURWELL
STATISTICAL DATA
For the year ending Dec 31, 1995
VILLAGE OF PORT BURWELL
11. Applications to the Ontario Municipal tile drainage
Board or Council shoreline assist-
ance, downtown
revitalization, other other
electricity submitted submitted
gas, telephone to OMB to council total
1 2 4 3
$ $ $ $
Approved but not financed as at Dec. 31, 1994 67 89,117 89,117
Approved in 1995 68 140,358 140,358
Financed in 1995 69 229,475 229,475
No long term financing necessary 70 0
Balance approved but not financed as at
Dec. 31, 1995 71 0 0
Applications submitted but not approved
as at Dec. 31, 1995 72 0
12. Forecast of total revenue fund expenditures 1996 1997 1998 1999 2000
1 2 3 4 5
$ $ $ $ $
73
SCHEDULE 15 VILLAGE OF PORT BURWELL
ONTARIO FINANCING OF CAPITAL
LOAN REPAYMENTS
For the year ending Dec 31, 1995
principal interest
1 2
$ $
General government 1
Protection to persons and property
Fire 2
Police 3
Conservation authority 4
Protective inspection and control 5
6
Subtotal 7 0 0
Transportation services
Roadways 8
Winter control 9
Transit 10
Parking 11
Street lighting 12
Air transportation 13
Harbour 14
Subtotal 15 0 0
Environmental services
Sanitary sewer system 16
Storm sewer system 17
Waterworks system 18
Garbage collection 19
Garbage disposal 20
Pollution control 21
22
Subtotal 23 0 0
Health services
Public health services 24
Public health inspection and control 25
Hospitals 26
Ambulance services 27
Cemeteries 28
29
Subtotal 30 0 0
Social and family services
General assistance 31
Assistance to aged persons 32
Assistance to children 33
Day nurseries 34
35
Subtotal 36 0 0
Recreation and cultural services
Parks and recreation 37
Libraries 38
Other cultural 39
Subtotal 40 0 0
Planning and development
Planning and zoning 41
Commercial and industrial 42
Residential development 43
Agricultural and reforestation 44
Tile drainage/shoreline assistance 45
46
Subtotal 47 0 0
Electricity 48
Gas 49
Telephone 50
Total 51 0 0
Revenue Revenu T10e4(E)
Canada CanadaCRev.9
YPartmental use --
Non-Profit Organization (NPO) Information Return
This return is for:
• non-profit organizations described in paragraph 149(1)(1)of the Income Tax Act;and
. organizations described in paragraph 149(1)(e)of the Income Tax Act(namely,agricultural organizations,boards of
trade,and chambers of commerce).
These organizations may have to file this return if their gross investment revenue or assets are greater than a certain
amount,or if the organization had to file the NPO return for a preceding fiscal period.
Please see the related guide to determine if your organization has to complete this return.
A - Identification
Fiscal period
Corpration
From 101 r 101 11910%, 5 I to 131 I 112- 1191 %51 (T2)number,if any 1 C1I I s 1 H 171 L+I CO
Day Month Year Day Month Year
Name of organization c/o name or position Business Number 11 I I I I 1 I I I
_ _
o (BN), if any
--c �� R L � v Pg. \ ITI
v s > r\, G L. c c � c (� -- a tv Trust
Postal address (T3)number,if any
O \.I 1 L A- G u' v 7 o g- T GST account number, I I I I I I I I 1
U t. L 7 . O - o \ if any
City Is this the final return to be filed
10 I ITI I II n�I��I i- (-1 I 1 1 1 1 I 1 I I I Ipeization? so,
ase oatttach an explanation. Yes [ 1 I I No 2 1V1
Province Postal code
Type of orgnizon
10 I N)17 I Ad 9-1 k I I 1\-)1 I I I I I I I I 0 Is 1 j O (please see there related guide) Q I G1
B - Amounts received during the fiscal period
Amounts received
Memberships,dues,and fees received 100 c11 ()p G
Federal,provincial, or municipal grants and payments received 101 5e,,6'3
Interest,dividends, rentals,and royalties received 102 Cal
103
Proceeds of disposition of capital property
Gross sales and revenues from organizational activities 104
Gifts 105
Other receipts L A N° °•-sl `2,0
(please specify): 106
Total receipts(add lines 100 to 106 inclusive) 1071 t 5 kt9 c IS-1 ,°03c1.
C - Statement of assets and liabilities at the end of the fiscal period
Assets
Method used to record assets: C.
Cash and short-term investments 108 5o '71
Amounts receivable from members 109
Amounts receivable from all others(not included on line 109) 110 1 5`:\
Prepaid expenses 111
Inventory 112
Long-term investments 113
Fixed assets 114 ] 137, 2_213
Other assets
(please specify): 115
Total assets(add lines 108 to 115 inclusive) 1161 , \v Lti 5-79 I IN t,e$5 79
Liabilities
Amounts owing to members 117
Amounts owing to all
others(please specify): 118 r)-‘°,49°
179 t 7,,1 �`�O I I
Total liabilities(add lines 117 and 118) 1 0 69o[ ]
I Revenue Revenu c py
® EXEMPT FROM TAX T2(E)
Canada Canada Rev. 95
T2 CORPORATION INCOME TAX RETURN For departmental use
(1995 and later taxation years)
This form serves as a federal and provincial or territorial corporation income tax return,unless the corporation is
located in Quebec,Ontario, or Alberta. If the corporation is located in one of these provinces,you have to file a
separate provincial corporate return.
Parts,sections, subsections, and paragraphs mentioned on this return refer to the Income Tax Act . This return
contains changes that had not yet become law at the time of printing. If you need more information about items on the
return, including proposed legislation, see the corresponding items in the 1995 72 Corporation Income Tax Guide.
Send or hand-deliver one copy of this completed return, including financial statements and schedules,to your tax
service office,or mail it to the tax centre that serves the corporation. You have to file the return within six months of
the end of the corporation's taxation year. See items 1 to 5 in the guide for more information on how to file T2
returns. _
Identification
Name of corporation (item 12)
Has the corporation changed its name since the last return filed? Yes n No El If yes,please attach a photocopy of the article of amendment.
PORT BURWELL NON PROFIT HOUSING CORPORATION
Account number (item 12) or Business Number(BN) To which taxation year does this return apply? (item 18)
98547409 RC- From 0'1-01I-95 to 31-12-95
Address of head office (item 13) Day Month Year Day Month Year
P.O. BOX 10
Does the taxation year begin and end on Yes I I No n
City and province or territory Postal code the same dates as last year?
PORT BURWELL ONTARIO NOJ-1TO Ifno,why has the taxation
year changed.
Mailing Address (if different from head office address)(item 13) If the reason is an acquisition of
1 ❑ control, when was control acquired?
c/o Day Month Year
Type of corporation at the end of the taxation year (item 19)
Canadian-controlled Corporation controlled by a
City and province or territory Postal Code 1 I I private corporation 5 n public corporation
2 ^ Other private 4 1:::1 Other corporation
I I corporation (please specify)
Location of books and records
Address 3
El
Public corporation NO SHARE CAPITAL
21 P ITT STREET
Did the type of corporation change during the taxation year?
City and province or territory Postal Code 2 Yes 0 1 No ❑X
PORT BURWELL, ONTARIO NOJ-1T0 If yes, indicate the former type.
Name of person to contact
SUZANNA MANTEL Is the corporation a professional corporation that Yes n No n
is a member of a partnership?
Area code
Telephone
number 519-874-4343 Is the corporation exempt from tax under Yes ❑X No n
paragraph 149(1)(e)or(I)? (item 20)
Is the corporation a resident of Canada? (item 14)
2 Yes n 1 No What is the corporation's major business activity? (item 21)
If no,give the country of residence. I 1 (If the corporation is inactive, say so.)
NON—PROF IT ''HOUSING
Is this the first year of filing? (item 15) Yes 0 No n Has the major business activity changed
since the last return was filed? 2 Yes n 1 No Ej
If yes,give the date of incorporation or amalgamation, as it applies. If the major activity involves the resale of
Date of amalgamation goods, indicate whether it is wholesale or
Date of incorporation
g retail. wholesale n retail n
Day Month Year Day Month Year Specify the principal product(s)mined,manufactured,sold,constructed,or
services provided,giving the approximate percentage of the total revenue
that each product or service represents.
Is this the final taxation year before 1. AS ABOVE 100 %
amalgamation? (item 16) Yes ❑ Non
2. 0 %
3. 0 %,.
Is this the final return up to
dissolution? (item 17) Yes ❑ No n Language of correspondence Langue de correspondance
Please indicate the language Indiquer la langue de correspondance
of your choice. de votre choix.
1 English/Anglais n 2 Francais/French
PAGE 1 OF 8 Ce formulaire existe aussi en frangais
Account/Business No.: 9 8 5 4 7 4 O 9 Fiscal Year End: 31-12-9 5 Name: PORT BURWELL NON-PROFIT HOUSING CORPORATION
Attachments
Financial Statements -These include a balance sheet,an income statement,any notes to the financial statements,and an auditor's report if it applies.
Schedules - Answer the following questions. For each yes response,attach to the T2 return the schedule that applies.
Guide Information schedules Yes Schedule
item
22 Is the corporation associated with any other corporations? _ T2013
24 Is the corporation related to any other corporations? T2S(9)
—
25 Has the corporation had any transactions,including section 85 transfers,with its shareholders,officers,or employees, — ❑
other than transactions in the ordinary course of business? Exclude non-arm's-length transactions with non-residents. T2S(11)
26 If you answered yes to the above question,and the transaction was between corporations not dealing at arm's —
length,were all or substantially all of the assets of the transferor disposed of to the transferee? _ T2S(11)(A)
27 Has the corporation paid any royalties,management fees,or other similar payments to residents of Canada? — — — _ T2S(14)
28 Is the corporation claiming a deduction for payments to a type of employee benefit plan? _ T2S(15)
29 Is this the first return of(a)a new corporation,or(b)an amalgamated corporation or a parent corporation after —
winding up a subsidiary?
T2S(24)
30 Is the corporation claiming a loss or deduction from a tax shelter acquired after August 31, 1989? _ T5004
31 Is the corporation a member of a partnership for which a partnership identification number has been assigned? _ _ _ _ T5013
33 Does the corporation have any non-resident shareholders? _ T2S(19)
34 Did the corporation,a foreign affiliate controlled by the corporation,or any other corporation or trust that did not deal —
at arm's length with the corporation have a beneficial interest in a non-resident discretionary trust? _ T2S(22)
35 Did the corporation have any foreign affiliates during the year? _ T2S(25)
36 Has the corporation made certain payments to non-residents of Canada for which the appropriate NR4B,T4-T4A,or
T4A-NR return has not been filed? ❑ T2S(29)
37 Is the corporation deducting an expense for advertising in a non-Canadian newspaper or periodical,or for advertising —
on a foreign broadcasting station? _ T2S(30)
38 Has the corporation had any non-arm's length transactions with a non-resident? _ T106
Calculation schedules —
39 Is the net income shown on the financial statements different from the net income for income tax purposes? _ — — — —
T2S(1)
40 Has the corporation realized any capital gains or incurred any capital losses during the taxation year? _ T2S(6)
41 Does the corporation have any property that is eligible for capital cost allowance? _ T2S(8)
42 Does the corporation have any property that is eligible capital property? — T2S(8)(A)
43 Does the corporation have an earned depletion base? — T2S(12)
44 Is the corporation claiming reserves of any kind? _ T2S(13)
45 Is the corporation claiming a patronage dividend deduction? _ T2S(16)
46 Is the corporation a credit union claiming a deduction for allocations in proportion to borrowing? _ T2S(17)
47 Is the corporation claiming any scientific research and experimental development expenditures? _ T661
55,56 Has the corporation made any charitable donations,gifts to Canada or a province,or gifts of cultural property? _ —_ _ T2S(2)
57 Has the corporation received any dividends or paid any taxable dividends for purposes of the dividend refund? _ _ _ _ T2S(3)
59 Is the corporation claiming any non-capital,net capital,farm,limited partnership,or restricted farm losses? _ _ _ _ _ T2S(4)
66 Is the corporation adding an amount to taxable income for foreign deductions under section 110.5? _ T2S(28)
68 If it is a Canadian-controlled private corporation,does the corporation have both investment income and income from
an active business carried on in Canada,including active business income from a partnership(s)? _ T2S(7)
69 Does the corporation have any Canadian manufacturing and processing profits? T2S(27)
74 Is the corporation claiming any federal foreign tax credits? - T2S(21)
74 Is the corporation claiming a federal logging tax credit? - T2S(21)
—
76 Is the corporation claiming an investment tax credit? T2038(CORP)
—
77 Is the corporation claiming a Part VI tax credit or a Part I tax credit? _ T921
78 Is the corporation claiming a Part I.3 tax credit or a surtax credit? _ T962
85 Is the corporation subject to Part I.3 tax(before deduction of any surtax credit)? T2147/8/9
—
85 Is the corporation a member of a related group with one or more members subject to — T2150
Part I.3 tax(before deduction of any surtax credit)?
87 Is the corporation paying Part IV.1 tax on preferred share dividends received? T761
88 Is the corporation subject to Part VI tax on capital of financial institutions(before deduction of any Part I tax or surtax credit)? T2044
—
89 ,Is the corporation paying Part VI.1 tax on dividends paid on taxable preferred shares? — T761
90 Was the corporation carrying on business in Canada while not a Canadian corporation? _ T2S(20)
92 Does the corporation have a permanent establishment in more than one jurisdiction? _ T2S-TC
107 Is the corporation an investment corporation or a mutual fund corporation? _ T2S(18)
108 Is the corporation a non-resident-owned investment corporation claiming an allowable refund? T2S(26)
PAGE 2 OF 8
Account/Business No.: 98547409 Fiscal Year End: 31-12-95 Name: PORT BURWELL NON-PROFIT HOUSING CORPORATION
Additional information
(1) For a Canadian-controlled private corporation,provide the following information on the shareholders that hold the most voting shares.
Name of shareholder(s) Social insurance or account/business number %of voting shares held
(2) What was the total remuneration,including salaries,wages,bonuses,and commissions,that was paid to employees during the
taxation year? Do not include management salaries included on line 3 below,or employee benefits
included on line 4 below 0 (2)
(3) What was the total management salaries,including bonuses and directors'fees,that was paid during the taxation
year to corporate owners acting as officers,directors,etc.? 0 (3)
(4) What was the total amount of employee benefits paid during the taxation year? 0 (4)
(5) How many employees did the corporation have at the end of the taxation year? 0 (5)
(6) What is the employer's remittance account number? If the corporation has
more than one number,provide any one of those numbers.
Taxable income and base amount of Part I tax
Net income or loss for income tax purposes from financial statements or T2S(1)(items 39 and 54) 111 0
Deduct:
Charitable donations 113 0 Maximum 20% of net income 115
(item 55) 0
Crown,cultural,and ecological gifts(item 56) 117 0
Taxable dividends deductible under section 112 or 113,or both(item 57) _ _ _119 0
Part VI.1 tax 0 X 9/4(item 58) 120 0
Restricted farm losses of prior taxation years from T2S(4)(item 60) 121 0
Non-capital and limited partnership losses of prior taxation years fromT2S(4)
(items 61 and 62) 123 0
Net capital losses of prior taxation years from T2S(4)(item 63) 125 0
Farm losses of prior taxation years from T2S(4)(item 64) 126- 0
Other Adjustments(Specify) 0 0
Taxable Income (item 65) 127 0
Addition to taxable income for foreign tax deductions fromT2S(28)(item 66):
Line 127 0 + Addition 0 =Adjusted taxable income 0 (A)
Base amount of Part I tax: (item 67)
38.00 %of line 127(or amount A above,if it applies) (Enter this amount on line A on page 6.) _ _ _ _ 202 0
Small business deduction (item 68)
Canadian-controlled private corporations throughout the taxation year
Income from active business carried on in Canada from T2S(7) 223 0 (A)
Taxable Income from line 127 above minus 10/3 of line 211 and 10/4 of line 213 on page 6,and minus any amount 225 0 (B)
that,because of federal law,is exempt from Part I tax
Business Limit(for associated corporations,enter business limit from Form T2013) 227 0 (C)
Reduction to business limit:
Large corporation tax for preceding year* 229 (D)
(for associated corporations,enter total of column 6 from Form T2013)
Amount( X Amount D** X Number of days in the taxation year after June 30,1994 _ 0 (E)
10, 000 *** Number of days in the taxation year
Reduced business limit(amount C minus amount E)(If negative,enter nil) 0 (F)
Small business deduction - 0.00 % of the least of amounts A,B,and C(or F,if it applies) 231 0 (G)
* Total gross Part I.3 Tax for the corporation for its preceding taxation year,before deducting the surtax credits,increased to reflect a full-year tax
liability if the prior year is less than 51 weeks. For corporations that are members of associated groups,please see special rules on Form T2013.
**For taxation years starting before July 1994,the lesser of$10,000 and amount D.
***Replace 10,000 with 11,250 where a corporation's preceding taxation year began after February 27, 1995. For associated corporations the amount of
11,250 will also apply where a particular corporation is associated with one or more other corporations in a particular taxation year that ends in a calendar
year and the last taxation year of the particular corporation and each of the other corporations that ended in the preceding calendar year began after
February 27, 1995. Where the preceding taxation year of a particular corporation or any associated corporation began before February 28, 1995,
calculate amount D without reference to the rate increase under the proposed amendment to subsection 181.1(1). This change had not yet become law
at the time of printing.
PAGE 3 OF 8
Account/Business No.: 98547409 Fiscal Year End: 31-12-95 Name: PORT BURWELL NON-PROFIT HOUSING CORPORATION
Manufacturing and processing profits deduction
for taxation years ending before July 1, 1995 (item 69)
All eligible corporations that have such profits
Canadian manufacturing and processing profits from T2S(27) 233 0
Deduct the least of amounts in lines 223,225 and 227(or line F if it applies)from page 3 — 0
0 0 (A)
Taxable Income from line 127 on page 3 0
Deduct the total of:
1. The least of amounts on lines 223,225 and 227(or line F if it applies)from page 3 — 0
2. Canadian-controlled private corporations only,enter:
Canadian investment income or loss from line 247 below 0
Foreign investment income or loss from line 249 below 0
Subtotal 0
Deduct net capital losses claimed from line 125 on page 3 0 0
3. Foreign business income tax credit from line 213 on page 6 0 X 10/4 = 0 0
235 0 (B)
Lesser of A
and B above - 0
X number of days in the taxation year after Dec.1992 and before Jan 1994 X 6% — 0 (C)
number of days in the taxation year °
365
Lesser of A
and B above 0 X number of days in the taxation year after Dec.1993 3 65x :(D)
X 7.00 % _
number of days in the taxation year
365
Manufacturing and processing profits deduction -Total of C and D 243 0 (E)
(Enter Amount E on line 9 on page 6.)
Refundable portion of Part I tax
for taxation years ending before July 1, 1995 (item 70)
Canadian-controlled private corporations throughout the taxation year
Net Canadian investment income or loss from line H on Schedule T2S(7) — — —247 0
Add or deduct net foreign investment income or loss from line I on Schedule T2S(7) —249 0 0
Deduct net capital losses claimed from line 125 on page 3 0
(if negative,enter nil) 0 (A)
Net Canadian investment income from line 247 above(if negative,enter nil) Q
Add foreign investment income from line 249 above
.............................
(if negative, enter nil) 0 X30% 0
Deduct foreign non-business income tax credit from line 211 on page 6 0
— — — — Q x4 , ' 0
Subtotal 0
Deduct net capital losses claimed from line 125 on page 3
0
(if negative,enter nip (j (B)
Taxable income 0
Deduct: Least of amounts on lines 223,225 and 227
(or line F if it applies)on page 3 — — — — 0
Foreign non-bus. income tax
credit from line 211 from p. 6 0' X 10/3 0
Foreign bus. income tax
credit from line 213 from p.6 0 X 10/4 0 0 0 (C)
2 0 . 0 0 % of least of amounts A,B and C 257 0 (D)
Part I tax payable minus I.T.C. refund(line H on page 6 minus line 146 on page 8) — — 0
Deduct corporate surtax from line 209 on page 6 0 Q (E)
Refundable portion of Part I tax -the lesser of amounts D and E 261 0
PAGE 4 OF 8
Account/Business No.: 98 5 4 74 0 9 Fiscal Year End: 31-12-9 5 Name: PORT BURWELL NON-PROFIT HOUS I NG CORPORATION
Manufacturing and processing profits deduction
for taxation years ending after June 30, 1995 (item 69)
All eligible corporations that have such profits
Canadian manufacturing and processing profits from T2S(27) 233 0
Deduct the least of amounts on lines 223,225 and 227(or line F if it applies)on page 3 0
0 0 (A)
Taxable Income from line 127 on page 3 0
Deduct the total of:
1. The least of amounts on lines 223,225 and 227(or line F if it applies)on page 3 _ 0
2. Canadian-controlled private corporations only,enter the
aggregate investment income from line 247 below 0
3. Foreign business income tax credit from line 213 on p.6 0 X 10/4 = 0 0
235 0 (B)
Manufacturing and processing profits deduction -7,00 % of the lesser of amounts A and B above _ _ _ 243 0 (C)
(Enter Amount C on line 9 on page 6.)
Refundable portion of Part I tax
for taxation years ending after June 30, 1995 (item 70)
Canadian-controlled private corporations throughout the taxation year
Aggregate investment income
from line S on Schedule T2S(7) 247 0:i X 26 2/3 % 0 (A)
Foreign non-business income tax credit from line 211 on page 6 0
Deduct
Foreign investment income
from line Ron Schedule T2S(7) 249 0 X 9 1/3 % = 0
(if negative,enter nil) 0 0 (B)
Amount A minus amount B(if negative,enter nil) 0 (C)
Taxable income from line 127 on page 3 0
Deduct: Least of amounts on lines 223,225 and 227
(or line F if it applies)on page 3 _ _ _ _ 0
Foreign non-bus.income tax
credit from line 211 on p 6 0 x 25/9 0
Foreign bus.income tax
credit from line 213 on p 6 0 X 10/4 0
0 0
0 x26 2/3% = 0 .(D)
For taxation years that straddle June 30,1995 :(calculate amounts E and F)
Lesser of amounts C and D 0 (E)
number of days in the taxation year
Deduct: Amount E 0 X before July 1, 1995 181
X25% = 0
number of days in the taxation year 365
Net amount 0 (F)
Part I tax payable minus investment tax credit refund
(line H on page 6 minus line 146 on page 8) 0
Deduct corporate surtax from line 209 on page 6 0
... .......... ..............
Net amount 0 0 (G)
Refundable portion of Part I tax -the least of amounts C,D and G(or F, if it applies) 261 0
PAGE 5 OF 8
Account/Business No.: 9 8 5 4 7 4 0 9 Fiscal Year End: 31-12-9 5 Name: PORT BURWELL NON-PROFIT HOUSING CORPORATION
Part I tax
Base amount of Part I tax from line 202 on page 3 0 (A)
Corporate surtax calculation (item 71)
Base amount from line A above 0 (1)
. ............ .
Deduct:
10%of taxable income from line 127 on page 3 0 (2)
Investment corporation deduction from line 203 below 0 (3)
Federal logging tax credit from line 215 below 0 (4)
For a mutual fund corporation or an investment corporation throughout
the taxation year,enter the least of a,b,and c below on line 5:
2 8 . 0 0 %of taxable income 0 (a)
2 8 . 0 0 %of taxed capital gains _ _ _ _ 0 (b) 0 (5)
Part I tax otherwise payable(line A minus line G) _ 0 (c)
Total of lines 2 to 5 0 (6)
Net amount(line 1 minus line 6) 0 (7)
Line 7 number of days in the taxation year
Q X before Feb.28 1995 58
X 3 % = 0 (B)
number of days in the taxation year 365
Line 7 number of days in the taxation year
0 X after Feb.27, 1995 307
X4.00 % = 0 (C)
number of days in the taxation year 365
Corporate surtax - Line B plus line C 209 0 (D)
Refundable tax on CCPC's investment income calculation(Item 71)
Aggregate investment income from line 247 on page 5 0 (0
Taxable income from line 127 on page 3 _ _ _ 0
Deduct the least of amounts on lines 223,225,and 227
(or line F,if it applies)on page 3 0
Net amount 0 0; (ii)
Lesser of amounts number of days in the taxation year
(i)and(ii)above 0 X after lune 30,1995 0
number of days in the taxation year 0 0 (111)
...............................
Refundable tax on CCPC's investment income -6 2/3 % of line iii 212 0 (E)
Subtotal(line A plus line D plus line E) 0 (F)
Deduct:
Small business deduction from line 231 on page 3 0 (8)
Investment corporation deduction(item 72) 203 0
.............................................
.............................................
(Taxed capital gains 205 0 )
Additional deduction-Credit unions(item 73) 206 0
Federal tax abatement(item 74) 207 0
Manufacturing and processing profits deduction from line 243 on page 5(or page 4,if it applies) 0 (9)
Federal foreign non-business income tax credit from T2S(21)(item 75) _ _ _ _211 0
Federal foreign business income tax credit from T2S(21)(item 75) 213 0
Federal logging tax credit from T2S(21)(item 75) 215 0
Federal political contribution tax credit(item 76) 217 0
Federal political contributions(attach receipts) 219 0
Investment tax credit from T2038(CORP)(item 77) 221 0
Part VI tax credit from T921 (item 78) 224 0
Part I.3 tax credit from T962(item 79) 226 0
Subtotal 0 etil> 0 (G)
Part I tax payable -Line F minus line G(item 80) 0 (H)
(Enter on line 129 on page 8.)
PAGE 6 OF 8
Account/Business No.: 9 8 5 4 74 0 9 Fiscal Year End: 31-12-9 5 Name: PORT BURWELL NON-PROFIT HOUSING CORPORATION
Part IV tax on taxable dividends received(item 81)
Private and subject corporations at the time taxable dividends were received in the taxation year
Taxable dividends received in the taxation year after June 30, 1995 from column 6 of T2S(3) 404 0
Deduct total non-capital and/or farm losses claimed for purposes of Part IV from T2S(4) 406 0
Taxable amount(if negative, enter nil) 0 (A)
Part IV tax payable Amount A above 0 X1/3 0
Deduct Part IV.1 tax payable,if any,on dividends included in line 404(Form T761) 419 0
Part IV tax payable at the 33.33%rate 0 (B)
Taxable dividends received in the taxation year before July 1, 1995 from column 5 of T2S(3) 405 0
Deduct non-capital and/or farm losses claimed for purposes of Part IV from T2S(4)-
Line 406 minus 404(if negative,enter nil) 0
Taxable amount(if negative, enter nil)
0 (C)
Part IV tax payable Amount C above 0 X1/4 0
Deduct Part N.1 tax payable,if any,on dividends included in line 405(Form T761) 418 0
Part IV tax payable at the 25%rate 0> (D)
Total Part IV tax payable -Line B plus Line D(Enter on line 131 on page 8) 0
Refundable dividend tax on hand (item 82)
Refundable dividend tax on hand at the end of the preceding taxation year _ _ _409 0
Deduct dividend refund for the previous taxation year 410 0
0 0 (A)
Add the total of:
Refundable portion of Part I tax from line 261 on page 5(or page 4, if it applies) _ 0
Total part IV tax payable 0
Net refundable dividend tax on hand transferred from a predecessor corporation
on amalgamation,or from a wound-up subsidiary corporation 465 0
0 0 (B)
Refundable dividend tax on hand at the end of the taxation year- Line A plus Line B 411 0
Dividend refund (item 83)
Private and subject corporations at the time taxable dividends were paid in the taxation year
Taxable dividends paid in the taxation year after June 30, 1995
from page 2 of Form T2S(3) 424 0
X1/3 0 (A)
Taxable dividends paid in the taxation year before July 1, 1995
from page 2 of Form T2S(3) 414 0 X1/4 0 (B)
Subtotal-Line A plus line B 0 (C)
Refundable dividend tax on hand at the end of the taxation year from line 411 above 0 (D)
Total dividend refund -Lesser of amounts C and D 0
(Enter on line 147 on page 8)
PAGE 7 OF 8
Account/Business No.: 98547409 Fiscal Year End: 31-12-95 Name: PORT BURWELL NON-PROFIT HOUSING CORPORATION
Summary of tax and credits
Federal tax
Part I tax payable from page 6(item 84) 129 0
Part I.3 tax payable from Forms T2147,T2148 or T2149(item 85) 130 0
Part IV tax payable from page 7(item 86) 131 0
Part IV.1 tax payable from box 3 of Form T761 (item 87) 132 0
Part VI tax payable from Form T2044(item 88) 134 0
Part VI.1 tax payable from box 2 of Form T761 (item 89) 133 0
Part XIV tax payable from Schedule T2S(20) (item 90) 135 0
Total federal tax 0
Provincial and territorial tax
Provincial or territorial jurisdiction(item 91) 137 Ontario
(if more than one jurisdiction,enter"multiple"and complete Schedule T2S-TC)
....................... ..
Provincial and territorial tax payable(except Quebec,Ontario and Alberta) (items 92 to 103) .......139 0
Deduct provincial and territorial tax credits and rebates from T2S-TC(items 93 to 103) _141 0 0
Other credits
Deduct: Total tax payable 143 0 (A)
. .
. .......................
Tax instalments paid(item 104) 145 0
Investment tax credit refund(items 77 and 105) 146 0
Dividend refund from page 7(items 83 and 106) 147 0
Federal capital gains refund from Schedule T2S(18)(item 107) 149 0
Provincial and territorial capital gains refund from Schedule T2S(18)(item 107) _ _ _151 0
Nova Scotia film industry tax credit refund(item 108) 152 0
Allowable refund for non-resident-owned investment corporations from Schedule
T2S(26)(item 109) 153 0
Nova Scotia research and development tax credit refund from Form T85(item 110) _ 154 0
Federal mining reclamation tax credit refund(item 111) 155 0
Canadian film or video production tax credit refund from Form T1131 (Item 112) _ _156 0
Tax withheld at source-attach slips(item 113) 157 0
British Columbia refundable tax credits(item 114) 158 0
Total credits 0 0 (B)
Balance(line A minus line B) 0
If the result is negative,you have an overpayment .
If the result is positive,you have a balance unpaid .
Enter the amount on whichever line applies
We do not charge or refund a difference of less than$2.
Overpayment 165 0 Refund code 161
(item 116) (item 117)
Direct Deposit Request (item 118)
Balance
unpaid 163 0
If the corporation already uses direct deposit,the service will continue. (item 116)
Refund -to have the corporation's refund deposited directly into the corporation's bank account,or
to change banking information you already gave us,attach a"void"corporation cheque here and
check one of the following boxes. Enclosed
_...................
payment 159 0
El Start direct deposit. Change direct deposit information. (item 115)
Certification
I, SUZANNA MANTEL , of ELGIN COUNTY
(Name in block letters)
(Address)
am an authorized signing officer of the corporation.
I certify that I have examined this return,including accompanying schedules and statements,and that it is a correct and complete return. I
further certify that the method of calculating income for this taxation year is consistent with that of the previous year except as specifically
disclosed in a statement attached to this return.
29-06-95 TREASURER
Date Signature of an authorized signing officer of the corporation Position,office or rank
PAGE 8 OF 8 95-10E
PORT BURWELL NON-PROFIT HOUSING CORPORATION T2-KS
Account/Business No. : 98547409 Year Ended : 31-12-95 Rev. 95
Code Amount Code Amount Code Amount Code Amount
[111] [155] [243] [452]
[113] [156] [247] [454]
[115] [157] [249] [456]
[117] [158] [257] [458]
[119] [159] [261] [460]
[120] [161] [350] [463]
[121] [163] [351] [465]
[123] [165] [353] [473]
[125] [202] [355] [475]
[126] [203] [363] [498] 95-10E
[127] [205] [364] [501]
[129] [206] [367] [503]
[130] [207] [373] [505]
[131] [209] [375] [506]
[132] [211] [377] [507]
[133] [212] [404] [508]
[134] [213] [405] [509]
[135] [215] [406] [511]
[137] Ontario [217] [409] [513]
[139] [219] [410] [515]
[141] [221] [411] [517]
[143] [223] [414] [519]
[145] [224] [418] [521]
[146] [225] [419] [523]
[147] [226] [424] [525]
[149] [227] [440] [527]
[151] [229] [442] [529]
[152] [231] [444] [533]
[153] [233] [446] [535]
[154] [235] [450] [536]
PORT BURWELL NON-PROFIT HOUSING CORPORATION T2-KS
Account/Business No. : 98547409 Year Ended : 31-12-95 Rev. 95
Code Amount Code Amount Code Amount Code Amount
[537] [610] [634] [674]
[538] [611] [636] [676]
[539] [612] [637] [678]
[541] [613] [638] [681]
[543] [614] [639] [682]
[545] [615] [641] [750]
[547] [616] [642] [753]
[549] [617] [643] [755]
[551] [619] [644] [758]
[553] [620] [645] [760]
[555] [621] [647] [763]
[557] [622] [648] [765]
[559] [623] [649] [768]
[601] [624] [651] [770]
[602] [625] [661] [773]
[603] [626] [663] [777]
[604] [627] [665] [779]
[605] [628] [667] [900]
[606] [629] [668] [901]
[607] [630] [669] [902]
[608] [631] [670] [903]
[609] [632] [671] [904]
PORT BURWELL NON-PROFIT HOUSING CORPORATION RC59
Account/Business No. : 98547409 Year Ended : 31-12-95
BUSINESS CONSENT FORM
This form authorizes Revenue Canada to release confidential client information
to a designated third-party representative in matters pertaining to applicable
legislation.
Note: This authorization is valid until the client or authorized signing
person cancels it in writing. Please complete a separate forms for each
representative.
The purpose of this form is : to authorize [X ] a third party representative
or to cancel [ ] a third party representative
1 . Client identification
Name and address :
PORT BURWELL NON-PROFIT HOUSING CORPORATION
P.O. BOX 10
PORT BURWELL
ONTARIO
N0J-1TO
Indicate one of the following:
Business Number (BN) for:
All accounts
or Specific program account type
or Specific account
Other Clients:
or Employer remittance account number
or Corporation account number 98547409
2 . Authorized third party identification
Name of authorized individual AND/OR the firm.
DOANE RAYMOND
BOX 247, 22 HARVEY STREET
TILLSONBURG, ONTARIO N4G 4H5
Telephone : 519-842-3604
3 . Details of authorization
Indicate the period for which authorization or cancellation applies :
All taxation years [ ]
or
Specific year (s) [ ] [ ]
[ ] [ ]
or
All years prior to [
4 . Authorized signature (client or authorized signing officer)
TREASURER
Signature of client or authorized Title
signing officer
Telephone number Date signed 1995-06-29
We will not accept this form unless it is signed.