Quarterly Financial Report - For the quarter ended September 30, 2022

Statement outlining results, risks and significant changes in operations, personnel and programs

Introduction

This quarterly report should be read in conjunction with the Main 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 Treasury Board. This quarterly report has not been subject to an external audit or review.

The role of the Courts Administration Service (CAS) is to provide administrative services to four superior courts of law: the Federal Court of Appeal, the Federal Court, the Court Martial Appeal Court of Canada and the Tax Court of Canada. Further details on CAS’ programs can be found in the2022-23 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 CAS’ spending authorities granted by Parliament and those used by the organization consistent with the 2022-23 Main Estimates. This quarterly report has been prepared using a prescribed financial reporting framework designed to meet financial information needs with respect to the use of spending authorities.

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

CAS uses the full accrual method of accounting to prepare and present its annual departmental financial statements that are part of the departmental results reporting process. However, the spending authorities voted by Parliament remain on an expenditure basis.

Highlights of fiscal quarter and fiscal year to date (YTD) results

Significant Changes to Authorities available for use for the fiscal year

As illustrated in the Statement of Authorities and the Departmental Budgetary Expenditures by Standard Object tables at the end of this report, yearly authorities available for use as at September 30, 2022 increased by $6,773 thousand (7%) compared to the same quarter in 2021 22, from $96,537 thousand to $103,310 thousand.

The increase in authorities is mainly related to $2,180 thousand of funding received to enhance the capacity of Superior Courts and includes support staff for judges. The increase also includes $1,800 thousand in funding for leasehold improvements in Toronto, and $1,599 thousand in funding to support the delivery of justice for facilities related projects. Other increases include $1,322 thousand in the operating budget carry-forward, $308 thousand in contributions to employee benefit plans (EBP), $228 thousand for compensation for collective bargaining and $84 thousand for other various smaller initiatives.

The above increases are partly offset by the decrease in funding for Canada’s Borders and Asylum System of $394 thousand and for a Courts and Registry Management System for the Courts of $354 thousand.

Significant Changes to Expenditures

Figure 1 presents current and prior fiscal year expenditures compared to annual authorities at the end of the second quarter. These results are discussed in the section below.

Figure 1 – Second-quarter Expenditures Compared to Annual Authorities.
Second-quarter Expenditures
Description of the image

At the end of the second quarter of 2022-23, authorities totalled $103,310 thousand compared to $96,537 thousand at the end of the same quarter of 2021-22.

At the end of the second quarter of 2022-23, expenditures totalled $45,146 thousand compared to $42,926 thousand at the end of the same quarter of 2021-22.

Second-quarter Expenditures

As illustrated in Figure 1, second-quarter expenditures increased by $1,366 thousand (6%) compared to the same period of the previous fiscal year, from $22,396 thousand to $23,762 thousand. As a result, 23% of the yearly authorities available for use were expended during the second quarter of 2022 23, which is consistent to the same quarter of 2021-22.

Significant variances1 in expenditures are explained as follows:

Personnel

The year-to-date expenditures related to personnel increased by $581 thousand (2%) compared to the same period of the previous fiscal year, from $34,188 thousand to $34,769 thousand. This increase, considered immaterial in percentage, was largely driven by increases in full time equivalents.

Transportation and communications

The year-to-date expenditures related to transportation and communications increased by $485 thousand (63%) compared to the same period of the previous fiscal year, from $772 thousand to $1,257 thousand. This increase was mainly due to the increase in travel in line with the COVID-19 pandemic travel restrictions being lifted. The travel represents a return to regular travel required for registry and judicial activities.

Rentals

The year-to-date expenditures related to rentals increased by $1,284 thousand (110%) compared to the same period of the previous fiscal year, from $1,166 thousand to $2,450 thousand. This increase was partly due to an increase in renewal fees of annual software license and maintenance fees and to timing of office buildings rental invoices between quarters in the prior year.

Utilities, materials and supplies

The year-to-date expenditures related to utilities, materials and supplies decreased by $468 thousand (-27%) compared to the same period of the previous fiscal year, from $1,728 thousand to $1,260 thousand. The COVID-19 pandemic required the implementation of measures for the safe return to in-person court operations, such as personal protection equipment and acrylic shields. The amounts spent on these measures in 2022-23 decreased compared to 2021-22.

Acquisition of land, building and works

The year-to-date expenditures related to acquisition of land building and works decreased by $109 thousand (-59%) compared to the same period of the previous fiscal year, from $186 thousand to $77 thousand. This decrease, considered immaterial in value, is due to the timing of leasehold improvements for reconfiguration of office buildings for which costs will be incurred later in the fiscal year.

Acquisition of machinery and equipment

The year-to-date expenditures related to acquisition of machinery and equipment increased by $170 thousand (40%) compared to the same period of the previous fiscal year, from $426 thousand to $596 thousand. This increase is due to the acquisition of office furniture in line with the return to workplace in 2022-23.

Remaining expenditures (information, professional and special services, repair and maintenance, and other subsidies and payments)

Immaterial variances compared to the same period of the previous fiscal year are the results of the COVID-19 pandemic and the timing of the delivery of goods and services.

1 Significant variances are defined as variances by standard object that are greater than $250 thousand or 25%.

Risks and Uncertainties

supporting the judicial process, court hearings, court security and e-courts. These costs include translation services, protection services, informatics services, court reporters, transcripts, deputy judges, court ushers and court facility rentals. These costs are mostly driven by the volume, type and duration of hearings conducted in any given year, which are non-discretionary and can limit the organization's financial flexibility.

Following consultations with the industry and refinement of the Courts and Registry Management System (CRMS) project, new risks were identified regarding the feasibility to continue as planned with the initial scope and approach of the CRMS project. In order to attenuate these risks, CAS has closed the existing project to focus on strengthening the foundations. CAS will start by increasing internal capacity within the digital transformation team and confirm the approach and scope of the revised initiative. Network infrastructure enhancements were also undertaken to modernize digital services and prepare for the new initiative.

The outbreak of the COVID-19 pandemic has resulted in governments worldwide enacting emergency measures to combat the spread of the virus. During the quarter, CAS supported the Courts in providing critical services and addressing backlogs as applicable. Given that measures to combat the spread of the virus, including hybrid/virtual proceedings and other investments to better support the Courts (e-filing, digital documents, online services), are expected to continue for the foreseeable future, CAS has identified the need for ongoing funding beyond 2022-23 to support the new ways to conduct proceedings and support the Courts. In addition, the pandemic resulted in other operational challenges such as staff shortages, longer delays within the supply chain and significant increases in costs due to inflation and or unavailability of specific equipment. The operational and financial impacts of these operational challenges are monitored closely to mitigate the risks.

CAS continues to address the risks to its program integrity, including baselining budgets, establishment of multi-year budgets, reorganizing and realigning services, reallocating resources, and regular reassessment of priorities, exploring alternate funding models while seeking efficiencies wherever possible. CAS has developed an efficient Enterprise Risk Management (ERM) process, which includes management participation at the organization’s highest levels. The ERM process allows management to identify, evaluate and mitigate key risks to achieving its mandate and organizational priorities, and drives resource allocation accordingly.

Significant changes in relation to operations, personnel and programs

The COVID-19 pandemic has created additional pressures on CAS’ capacity to ensure efficient and effective modernized and e-enabled services for the Courts, while protecting health and safety.

There has been a significant change to the executive management team since July 1, 2022:

  • Anthony Sheehan was appointed to the position of Chief Information Officer effective July 11, 2022.

Approval by Senior Officials

Approved by:

    Original signed by    
Darlene H. Carreau, LL.B
Chief Administrator
Deputy Head

    Original signed by    
Jean-Francois Talbot,
Executive Director, Corporate Services
Chief Financial Officer

(Ottawa, Canada)
(November 25, 2022)



STATEMENT OF AUTHORITIES (unaudited)
(in thousands of dollars)
  Fiscal year 2022-23 Fiscal year 2021-22
Total available for use for the year ending March 31, 20231 Used during the quarter ended September 30, 2022 Year-to-date used at quarter-end Total available for use for the year ending March 31, 20221 Used during the quarter ended September 30, 2021 Year-to-date used at quarter-end
Vote 1 – Operating expenditures $94,767 $21,626 $40,874 $88,302 $20,337 $38,808
Statutory authorities:
Contributions to employee benefit plans 8,543 2,136 4,272 8,235 2,059 4,118
Spending of proceeds from the disposal of surplus Crown assets - - - - - -
Refunds of amounts credited to revenues in previous years - - - - - -
Total budgetary authorities $103,310 $23,762 $45,146 $96,537 $22,396 $42,926

1 - Includes only authorities available for use and granted by Parliament at quarter-end.

DEPARTMENTAL BUDGETARY EXPENDITURES BY STANDARD OBJECT (unaudited)
(in thousands of dollars)
Expenditures: Fiscal year 2022-23 Fiscal year 2021-22
Planned expenditures for the year ending March 31, 2023 Expended during the quarter ended September 30, 2022 Year-to-date used at quarter-end Planned expenditures for the year ending March 31, 2022 Expended during the quarter ended September 30, 2021 Year-to-date used at quarter-end
Personnel $68,839 $18,041 $34,769 $64,608 $17,228 $34,188
Transportation and communications 2,981 864 1257  2,970  531  772
Information 588 124 321 482 84 295
Professional and special services 15,951 2,688 4,199 15,788 2,692 3,969
Rentals 4,096 749 2,450 3,028 163 1,166
Repair and maintenance 882 119 217 842 71 193
Utilities, materials and supplies 2,905 592 1,260 2,814 1,158 1,728
Acquisition of land, building and works 3,889 58 77 2,202 179 186
Acquisition of machinery and equipment 3,179 527 596 3,796 287 426
Other subsidies and payments - - - 7 3 3
Total budgetary expenditures $103,310 $23,762 $45,146 $96,537 $22,396 $42,926

Groupings can change between quarters due to materiality of initiatives.

Amounts may not balance with other public documents due to rounding..

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