Annual Reports & Budgets

Each year, the RethinkWaste Board of Directors approves a budget which includes revenues, expenditures and budget reserves. Sources of revenue include investment income, tipping fees charges at the Shoreway Environmental Center and the sale of recyclable commodities. These revenue sources fund program expenditures related to administration, franchise contract compliance and support, recycling programs, Shoreway operations (includes our contractor’s operating budget) and capital improvements.