Owner Relations

We keep you in the loop.

By the last business day of each month, you’ll receive an email with property updates, the previous month’s financial results, and the current month’s forecast. It may also include refurbishment updates, Co-Owner Committee communications, and community news.

Your report outlines unit income and expenses, owner usage, and any applicable distributions, including the expected deposit date. Distributions are calculated monthly and, if applicable, deposited to your Canadian bank account by the last business day of the following month (e.g., February distributions are paid by the end of March).