January 28, 2021

Pressurized container fee reductions for the January 31, 2021 invoices will proceed as per the schedule shared with stewards in October 2020. Details of the updated fee reduction schedules for both refillable and non-refillable pressurized containers are provided below.

Fee reductions notices will be processed and shown on steward invoices in the same format as those for invoices issues issued in October. If you have questions about your invoice and the related fee reductions, please contact: accounting@stewardshipontario.ca.
Please note fee reduction schedule amounts provided above represent Stewardship Ontario’s current estimate of surplus funds available for disbursement as fee reductions. As indicated in the MHSW Wind Up Plan, these amounts may be adjusted through out the wind up process dependent upon actual costs incurred. Forecasts of quarterly costs are also subject to change as invoiced SSA costs for each MHSW material are based on actual Stewardship Ontario costs incurred for the material in that particular quarter.

Pressurized Container stewards may also be eligible for a residual fund disbursement following termination of the MHSW Program if surplus funds exist in the related material reserve categories following the completion of all Stewardship Ontario financial and program obligations.

Further information on the MHSW Wind Up Plan can be found on the Stewardship Ontario website.

Kind regards, 
Stewardship Ontario