Condominium corporation · tarjan.ca
Everything our residents need, in one place.
Corporation documents, board announcements, and plain-language financial summaries. Directors sign in for the detailed financial dashboard.
Latest news
Announcements & notices
Transparency
Financial snapshot
Published figures for Q3 2025 (sample). Detailed statements are available to directors.
Revenue
$142,500.00
Operating expenses
$118,200.00
Net operating
$24,300.00
Reserve fund
$485,000.00
The building
Shared spaces
Amenity photos will be added here as they become available.
Lobby & concierge
Main entrance, mail room, and visitor reception.
Rooftop terrace
Seasonal outdoor seating and barbecue area for residents.
Fitness room
Open daily with cardio equipment and free weights.
For directors
Detailed financial dashboard
Budget versus actual by account, reserve fund movements, and period-over-period comparisons drawn directly from the corporation database.