Monthly dues are due by the 1st of each month. Late fees will be assessed for dues received after the 10th of the month. Current dues are $300 per month ($190 expenses, $110 reserve fund). The annual budget is presented at the annual meeting in June of each year. Monthly expense reports are published in the Protected Resources. Login here.
You can send a check, either paper or through your bank’s bill paying process, to the Management Company or arrange for recurring ACH payments, as shown below. We do not accept credit cards at this time.
For more details about payment of dues, see this special email dated January 20, 2022 from the Treasurer.
If you prefer recurring ACH payments, please print, fill out and sign this ACH form and return the form by mail or email to the Management Company. Payments are withdrawn on the fifth of each month.
To cancel the automatic deduction, contact the Management Company