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CRASC is made possible through the municipal cooperation of our members

Financial Statements

CRASC maintains a strong financial position, with Net Assets at the end of 2020 totaling $170,856, all dedicated to the Fee Stabilization and Operating Reserve.

Download the 2020 CRASC Financial Statements (579 KB PDF)

Business Plan

CRASC annually updates its 3 year business plan incorporating short and long term strategies, a risk assessment and a communication plan. This plan also includes a multi-year rolling budget/projection which aids our members with planning and service delivery predictability. The latest board approved business plan can be downloaded below.

Download the 2022-2024 CRASC Business Plan (3 MB pdf)

Assesment Form