Quarterly Financial Report for the Quarter ended June 30, 2011: Statement of Authorities (unaudited)

Statement of Authorities (unaudited)

Statement of Authorities (unaudited) (in dollars)
Fiscal year 2011–2012 Fiscal year 2010–2011
Total available for use for the year ending March 31, 2012* Used during the quarter ended June 30, 2011 Year to date used at quarter-end Total available for use for the year ending March 31, 2011 Used during the quarter ended June 30, 2010 Year to date used at quarter-end
Vote 15 - Net operating expenditures 6,059,621 1,171,840 1,171,840 6,053,383 1,124,376 1,124,376
Contributions to employee benefit plans 623,452 155,863 155,863 587,755 146,939 146,939
Total authorities 6,683,073 1,327,703 1,327,703 6,641,138 1,271,315 1,271,315

* Includes only Authorities available for use and granted by Parliament at quarter-end.

Departmental budgetary expenditures by Standard Object (unaudited)

Departmental budgetary expenditures by Standard Object (unaudited) (in dollars)
Fiscal year 2011–2012 Fiscal year 2010–2011
Expenditures Planned expenditures for the year ending March 31, 2012 Expended during the quarter ended June 30, 2011 Year to date used at quarter end Planned expenditures for the year ending March 31, 2011 Expended during the quarter ended June 30, 2010 Year to date used at quarter end
Personnel 4,087,073 994,228 994,228 4,045,138 987,198 987,198
Transportation and communications 200,000 28,041 28,041 220,000 29,768 29,768
Information 50,000 2,964 2,964 50,000 - -
Professional and special services 1,455,000 96,282 96,282 1,461,000 84,196 84,196
Rentals 620,000 147,312 147,312 620,000 152,887 152,887
Repair and maintenance 30,000 1,370 1,370 40,000 3,019 3,019
Utilities, materials and supplies 35,000 7,264 7,264 80,000 4,586 4,586
Acquisition of machinery and equipment 206,000 37,832 37,832 125,000 9,660 9,660
Other subsidies and payments - 12,409 12,409 - - -
Total net budgetary expenditures 6,683,073 1,327,703 1,327,703 6,641,138 1,271,315 1,271,315

Statement Outlining Results, Risks and Significant Changes in Operations, Personnel and Program

1. Introduction

This quarterly financial report should be read in conjunction with the Main Estimates and Supplementary Estimates. It has been prepared by management as required by section 65.1 of the Financial Administration Act and in the form and manner prescribed by the Treasury Board Accounting Standard 1.3. It has not been subject to an external audit or review.

A summary description of the Canadian Forces Grievance Board (the Board) program activities can be found in Part II of the Main Estimates.

Basis of Presentation

This quarterly report has been prepared by management using an expenditure basis of accounting. The accompanying Statement of Authorities includes the Board's spending authorities granted by Parliament and those used by the Board, consistent with the Main Estimates for the 2011–2012 fiscal year. This quarterly report has been prepared using a special purpose financial reporting framework designed to meet financial information needs with respect to the use of spending authorities.

The authority of Parliament is required before moneys can be spent by the Government. Approvals are given in the form of annually approved limits through appropriation acts or through legislation in the form of statutory spending authority for specific purposes.

The Board uses the full accrual method of accounting to prepare and present its annual departmental financial statements that are part of the Departmental Performance Report. However, the spending authorities voted by Parliament remain on an expenditure basis.

2. Highlights of Fiscal Quarter and Fiscal Year to Date (YTD) Results

Statement of Authorities

The total authorities available for use for the Board have not undergone a significant change (+0.63%) from previous year.

Expenditures in the first quarter have maintained the same level as 2010-11. The Statement of Authorities shows that 20% of authorities available for use were expended at the first quarter of 2011-12.

Statement of Departmental Budgetary Expenditures by Standard Object

Compared to 2010-11, the variance of spending at the end of the first quarter of 2011-12 shows an increase of $56K or 4.4% which was primarily due to $28K in the acquisition of machinery and equipment (mainly for the purchase of new printers), $12K in professional and special services (mostly for the costs of information technology consultants), $12K in other subsidies and payments, $7K in personnel, $3K in information and a decrease of ($5.6K) in our rentals.

3. Risks and Uncertainties

This Quarterly Financial Report reflects the results of the current fiscal period in relation to the Main Estimates for which full supply was released on June 27, 2011.

Budget 2010 announced that the operating budgets of departments would be frozen at their 2010-11 levels for the fiscal years 2011-12 and 2012-13. Management believes that this budget freeze will not create a significant financial risk for the Board as long as there is no significant increase in grievance files referred. The Board has no control over the number of grievances referred to it in any given year. Consequently, unanticipated fluctuations in the volume of cases referred may have an impact on both personnel and operating costs. To mitigate this risk the Board continues to improve financial forecasting by the ongoing monitoring of the workload planning assumptions and by obtaining the most up-to-date workload information possible.

4. Significant Changes to Operations, Personnel and Programs

There have been no significant changes in relation to operations, personnel and programs during the current quarter.

Approved by:

[The original version was signed by Bruno Hamel]

Bruno Hamel, Chairperson
Ottawa, Ontario
August 5, 2011

[The original version was signed by Anne Sinclair]

Anne Sinclair, Chief Financial Officer
Ottawa, Ontario
August 5, 2011

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