COMMUNITY FUTURES DEVELOPMENT CORPORATION OF BOUNDARY AREA. Financial Statements. March 31, Contents. Non-Consolidated Statement of Cash Flows 6

Size: px
Start display at page:

Download "COMMUNITY FUTURES DEVELOPMENT CORPORATION OF BOUNDARY AREA. Financial Statements. March 31, Contents. Non-Consolidated Statement of Cash Flows 6"

Transcription

1 Financial Statements March 31, 2015 Contents Independant Auditors Report 1-2 Non-Consolidated Statement of Financial Position 3 Non-Consolidated Statement of Changes in Fund Balances 4 Non-Consolidated Statement of Operations 5 Non-Consolidated Statement of Cash Flows 6 Page Notes to Non-Consolidated Financial Statements 7-15 Schedule 1 - Non-Consolidated Statement of Financial Position by Fund - Operating 16 Schedule 2 - Non-Consolidated Statement of Operations by Fund - Operating 17 Schedule 3 - Non-Consolidated Statement of Financial Position by Fund - Portfolio 18 Schedule 4 - Non-Consolidated Statement of Operations by Fund - Portfolio 19 Schedule 5 - Non-Consolidated Statement of Financial Position by Fund - ELMS 20 Schedule 6 - Non-Consolidated Statement of Operations by Fund - ELMS 21 White Kennedy Your partl~ers in prosperity TM

2 Your Partners in Prosperity TM White Kennedy Chartered Accountants and Business Advisors lan S. Kennedy, BA, CPA, CA Michael P. Doherty, BSc, CPA, CA H. Jon Milligan, BCom, CPA, CA Chris D. Browne, BCorn, CPA, CA Jeff Duguid, BSc, BCorn, CPA, CA Don E. Jones, CPA, CA Marielle J. Br61~, CPA, CA Peter Macintosh, BA, CPA, CA Darrell Swetlishoff, BBA, CPA, CA INDEPENDENT AUDITORS REPORT To the Directors of Community Futures Development Corporation of Boundary Area We have audited the accompanying non-consolidated financial statements of Community Futures Development Corporation of Boundary Area, which comprises the non-consolidated statement of financial position as at March 31,2015, and the non-consolidated statements of operations, changes in fund balances and cash flows for the year then ended, and a summary of significant accounting policies and other explanatory information. Management s Responsibility Management is responsible for the preparation and fair presentation of these financial statements in accordance with Canadian accounting standards for not-for-profit organizations, and for such internal control as management determines is necessary to enable the preparation of financial statements that are free from material misstatement, whether due to fraud or error. Auditor s Responsibility Our responsibility is to express an opinion on these financial statements based on our audit. We conducted our audit in accordance with Canadian generally accepted auditing standards. Those standards require that we comply with ethical requirements and plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement. An audit involves performing procedures to obtain audit evidence about the amounts and disclosures in the financial statements. The procedures selected depend on the auditor s judgment, including the assessment of the risks of material misstatement of the financial statements, whether due to fraud or error. In making those risk assessments, the auditor considers internal control relevant to the entity s preparation and fair presentation of the financial statements in order to design audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the entity s internal control. An audit also includes evaluating the appropriateness of accounting policies used and the reasonableness of accounting estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our audit opinion. (continues) PO Box 260,#204,8309 Main Street Osoyoos, BC V0H 1V0 Phone Fax osoyoos@whitekenned~com Operating as Incorporated Professionals through White Kennedy LLP #201,99 Padmore Avenue East Penticton, BC V2A 7H7 Phone Fax penticton@whitekennedy.com #I, 2429 Dobbin Road West Kelowna, BC V4T 2L4 Phone Fax westkelowna@whitekennedy.com

3 INDEPENDANT AUDITORS REPORT (continued) Opinion In our opinion, these non-consolidated financial statements present fairly, in all material respects, the financial position of the Community Futures Development Corporation of Boundary Area as at March 31, 2015, and the results of its operations, changes in fund balances and cash flows for the year then ended in accordance with Canadian accounting standards for not-for-profit organizations. CHARTERED PROFESSIONAL A~CCOUNTANTS Penticton, British Columbia June 23, 2015 (2)

4 Non-Consolidated Statement of Financial Position March 31, 2015 ASSETS Operating Fund Portfolio Fund CURRENT Cash (Note 3) 512,519 1,027,579 Short-term investments (Note 4) 254,216 Accounts receivable (Note 5) 204,329 27,596 Prepaid expenses 1 ~ ,489 1,055,175 LOANS RECEIVABLE (Note 6) 2,087,190 INVESTMENT IN SUBSIDIARY (Note 7) 10 PROPERTY AND EQUIPMENT (Note 8) 177,300 1, ,142,365 LIABILITIES AND FUND BALANCES CURRENT Employment Labour Market IELMS) 36~660 36,660 March ,540, , ,925 1~425 2,027,664 2,087, ~960 4~328t824 Accounts payable & accrued liabilities (Note 10) 18, ,697 58,437 Deferred revenue 600 9,725 Interfund balances (1,025,812) Current portion of loans payable (Note 11) INVESTMENT LOANS PAYABLE (Note 11) FUND BALANCES Investment in Capital Assets Externally Restricted Funds (Note 12) Unrestricted COMMITMENTS (Note 13) ECONOMIC DEPENDENCE On behalf of the Board: (Note 14) 9,125-1,029,669 (3,857) - 145,424 1,056, , ,216 (985,515) 145~ , ,216 Mamh ,686, ,000 69,381 2,886 1,858,437 1,987, ,848 3,973,333 68,822 13,721 82, , ,300-36, , ,848-2,430,853-2,430,853 2,320,995 (84,306) 985, ~ ,947 92,994 2,430,853 1,022,175 3~546~022 3~ 140,790 1,149,799 3,142,365 36,660 4~,328~824 3,973,333 Director Director See accompanying notes to non-consolidated financial statements (3)

5 Non-Consolidated Statement of Changes in Fund Balances March 31, 2015 FUND BALANCES, beginning of year Operating Fund Portfolio Employment Fund Labour Market IELMSI 123,587 2,320, , ,140, ,619,530 EXCESS (DEFICIENCY) OF REVENUE OVER EXPENDITURES FUND BALANCES, end of year (30~593) 109, ~ ,260 92,994 2,430,853 1,022,175 3~,546t ,790 Included in Fund Balances: INVESTMENT IN CAPITAL ASSETS, beginning of year Amortization of property and equipment Purchase of property and equipment INVESTMENT IN CAPITAL ASSETS, end of year 92,909 34, ,848 52,700 (16,934) (14,769) (31,703) (18,602) 101,325 16, r815 93, ,300 36, ,848 See accompanying notes to non-consolidated financia~ statements (4)

6 Non-Consolidated Statement of Operations Operating Fund Portfolio Employment Fund Labour Market IELMS) REVENUE Project funding 178,196-1,407,999 Operating contributions 286,796 - Interest from investments - 166,777 Interest transfers 25,000 - Fee for service - - Interest from banks 7,585 10,974 Rental income 10,661 - Loan administration fees 3,720 - Loan losses and collections - 3, , ,737 EXPENDITURES Wages and benefits 244,456 - Project expenses 50,668 - Loan losses and collections fees (recovered) 31,934 Rent 31,035 Repairs and maintenance 42,565 - Office and sundry 24,848 Advertising and promotion 39,955 - Amortization 16,934 Consulting 27,339 Interest transfer 25,000 Directors expenses 23,567 Travel 18,150 Training 6,088 Loan admin, insurance and registration 14,945 Telephone 4,518 Professional fees 2,832 Licences, dues and fees 6,042 Insurance 996 Bank charges and interest 2, , EXCESS (DEFICIENCY) OF REVENUE OVER EXPENDITURES /30, t858 21,750 1,429, , ,390 53,333 40,863 31,488 3,704 14, ,758 8,998 8,495 2,305 2, , r ,586, , ,777 25,000 21,750 18,559 10,661 3,720 3~986 2~123~ , ,058 31,934 84,368 83,428 56,336 43,659 31,703 27,339 25,000 23,875 18,380 16,846 14,945 13,516 11,327 8,347 3,047 2~607 1~718~ t ,428, , ,383 25,000 20,849 13,511 5,325 3,447 9,645 1,930, , ,996 (88,919) ,114 19,175 19,618 14,018 23,624 3,412 2, ,408, ,260 See accompanying notes to non-consolidated financial statements (5)

7 Non-Consolidated Statement of Cash Flows CASH FLOWS FROM OPERATING ACTIVITIES Operations: Excess of revenue (deficiency) over expenditures Amortization Net Change in Non-cash Working Capital Items (Note 16) CASH FLOWS FROM FINANCING ACTIVITIES Repayment of investment loans payable CASH FLOWS FROM INVESTING ACTIVITIES Property and equipment acquired Short term investments acquired and distributions Net decrease (increase) in loans receivable NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS CASH AND CASH EQUIVALENTS, beginning of year Interfund transfers CASH AND CASH EQUIVALENTS, end of year Operating Fund Portfolio Employment Fund Labour Market telms/ (30,593) 109, , , ,260 16~ , ~703 18,602 (13,659) 109, , , ,862 (157~3671 /17,3591 (737) (175,463~ 40,759 ( 171,026) 92 ~ , , ~621 (35,360) - (35,360) (11,501 ) (101,325) - (16,491) (117,8t6) (93,752) (154,216) - - (154,216) (100,000) - (100,153) - (100,153) (228,098) (255,541) (100,153) (16,491) (372,185) (421,850) (426,567) (43,014) 323,508 (146,073) 147, ,487 1,070,683-1,686,170 1,538, ,599 (91) (323,508) ,519, 11027,578, -,,,,,1,,~540t097,,,,,,, 1,686,170 See accompanying notes to non-consolidated financial statements

8 Notes to Non-Consolidated Financial Statements 1. NATURE OF OPERATIONS The Community Futures Development Corporation of Boundary Area (the company) is incorporated under Part 2 of the Canada Corporations Act without share capital. The company has entered into agreements with Western Economic Diversification (WED) whereby investment funds and contributions are provided to support the community s plans for the generation of additional private sector employment through the provision of advisory counselling, technical services and investment services to small businesses and to individuals in accordance with the Community Futures Committee s overall economic development plan and strategy for employment growth and recovery. The company may administer investment funds in the form of loans, loan guarantees and equity participation to create small businesses and to expand, stabilize and protect existing businesses resulting in the generation and maintenance of permanent employment. The Employment Labour Market Program (ELMS) is designed to assist individuals in becoming employed. The ELMS program targets employment insurance and social benefits recipients and provides job search services, training and workshops, consulting services, and financial support for self-employment and individuals. 2. SIGNIFICANT ACCOUNTING POLICIES Basis of Presentation The financial statements were prepared in accordance with Canadian accounting standards for notfor-profit organizations (ASNPO). Financial instruments policy Financial instruments are recorded at fair value when acquired or issued. In subsequent periods, financial assets with actively traded markets are reported at fair value, with any unrealized gains and losses reported in income. All other financial instruments are reported at amortized cost, and tested for impairment at each reporting date. Transaction costs on the acquisition, sale, or issue of financial instruments are expensed when incurred. Short term investments Short term investments are investments in mutual funds, GIC s, and highly liquid investments. Loans receivable Interest income is recorded on an accrual basis. The company ceases to accrue interest on doubtful loans. An allowance for doubtful loans is determined in the following manner: Loans in Default - If there is a significant doubt as to the ultimate collection of principal, a specific provision is established at a level sufficient to provide for the estimated impairment of the loan principal. Loans not in Default - A general provision of 5% has been established. The establishment of the allowance for doubtful loans relies on the judgment of management, on historical precedent and expectations as to the future collections. It is reasonably possible that changes in future conditions could require a material change in the recognized amount of the White Kennedy allowance for doubtful loans. (7)

9 Notes to Non-Consolidated Financial Statements 2. SIGNIFICANT ACCOUNTING POLICIES (continued) Investment in subsidiary The investment in subsidiary is recorded using the cost method. Property and equipment Property and equipment are recorded at cost. Amortization is provided over the estimated useful life of the capital property using the straight-line method at the following annual rates: Leasehold improvements Computer equipment Equipment Furniture and fixtures Computer software Revenue recognition 20% straight line 33.33% straight line 20% straight line 10% straight line 33.33% straight line Community Futures Development Corporation of Boundary Area follows the restricted method of accounting for contributions. Restricted contributions related to general operations are recognized as revenue of the Operating Fund in the year in which the related expenses are incurred. All other restricted contributions are recognized as revenue of the appropriate restricted fund. Unrestricted contributions are recognized as revenue of the Operating Fund in the year received or receivable if the amount to be received can be reasonably estimated and collection is reasonably assured. Revenue earned on term loans is accrued on a daily basis. Revenue earned on equity loans is deferred until the date of maturity of the loan. Fund accountin.q The Operating Fund accounts for the organization s operating costs and general revenues. This fund reports unrestricted resources and restricted operating grants. The Operating Fund includes the ELMS program that is being presented separately. The Portfolio Fund reports restricted resources that are to be used for assistance to small businesses and entrepreneurs in the form of loans, loan guarantees or equity participation. Loans from the Loan Fund for the Disabled are limited to businesses owned and operated by disabled entrepreneurs. The organization is restricted in the types of loans that can be made according to its agreement with the federal government. Measurement uncertainty Certain amounts in the financial statements are subject to measurement uncertainty and are based on the organzation s best information and judgement. Actual results could differ from these estimates. Examples of significant estimates include: providing for amortization of property and equipment; the estimated useful lives of assets; the allowance for doubtful accounts While Kennedy V

10 Notes to Non-Consolidated Financial Statements 3. CASH Cash and chequing - Operating Fund Portfolio Fund Portfolio A, Microloans and Growthstart Portfolio B and Youth Disabled Entrepreneur Community Business Loans Program 4. SHORT-TERM INVESTMENTS Canaccord Genuity Investment Funds , , , , , , A76 257, ~470 85,031 lt540~098 1,686t r ,000 The market value of the investments at March 31, 2015 is 255,071 ( ,096). 5. ACCOUNTS RECEIVABLE Trade receivable 211,145 58,616 GST receivable 20~,780 10, ;,925 69, LOANS RECEIVABLE Portfolio A and Microloans Portfolio B and Youth Disabled Entrepreneur Community Business Loans Program Less allowance for doubtful loans Specific provision General provision ,984 1,101,396 1,006, , , ~ ,807 2,507,458 2,375,373 (303,469) (276,806) (116,799) (111,529) (420,268) (388,335) 2~087r190 1,987,038 The loans receivable are due in monthly payments including interest at rates varying from 5% to 10% and are secured by one, or a combination of debentures, personal guarantees, promissory notes, mortgages and other charges on property. A significant portion of the loans are to individuals or corporations involved in or starting a small business and as such, the company is exposed to all of the risks associated with that segment of the industry. The allowance as a percentage of total loans is 16.76% ( %). (9) ~ While Kennedy

11 Notes to Non-Consolidated Financial Statements 7. INVESTMENT IN SUBSIDIARY Grand Forks & Boundary Enterprise Holdings Centre Ltd., a wholly owned subsidiary, is incorporated under the British Columbia Business Corporations Act and is a non-profit organization not subject to income tax under Section 149(1) of the Income Tax Act. Grand Forks and Boundary Enterprise Centre Holdings Ltd. Percent owned Shares Advances S 100% PROPERTY AND EQUIPMENT OPERATING FUND Leasehold improvements Computer equipment Furniture and fixtures Equipment Computer software EMPLOYMENT LABOUR MARKET (ELMS) Leasehold improvements Computer equipment Furniture and fixtures Accumulated Net Book Value Cost Amortization S 267,146 94, ,939 92,247 7,022 6, ,684 40,551 2,133-2, , ~ ~ r,~50 177~300 92,909 24,474 4,358 20,116 22,563 41,766 25,552 16,214 11, , r , t , BANK INDEBTEDNESS Heritage Credit Union overdraft facility with an authorized revolving line of credit of 80,000 bearing interest at the Credit Union s basic lending rate and secured by all of the Company s present and after-acquired property. This facility is currently not being used. 11o) V White Kennedy

12 Notes to Non-Consolidated Financial Statements 10.ACCOUNTS PAYABLE AND ACCRUED LIABILITIES Accounts payable and accruals Employee deductions payable ,064 35,284 26r373 33,538 58t437 68t INVESTMENT LOANS PAYABLE Community Futures British Columbia, Pooled Asset Loans (PAL) received as three loans of 250,000 each secured by a General Secudty Agreement due in Loans converted to BC Futures Fund loans January Community Futures British Columbia, BC Futures Fund loans received as three loans of 250,000 each secured by a General Security Agreement due December The interest rate is variable at the RBC 5 year GIC rate plus.25% repayable in monthly blended payments of 13,064. Amounts payable within one year , , , ,000 (145,424) - 569, ,000 Principal repayment terms are approximately: , , , , ~ ~640 (11) White I~ennedy

13 Notes to Non-Consolidated Financial Statements 12.EXTERNALLY RESTRICTED FUNDS Non-repayable: Portfolio A, Microloans and Growthstart Conditionally repayable: Portfolio B and Youth Investment Disabled Entrepreneur Community Business Loans Program Syndicate Loans Externally restricted funds are repayable if the following conditions occur: Original Balance Balance Contribution outstanding outstanding , , ,301 1,000,000 1,381,880 1,328, , , , ,000 53,989 42, ,238 1,950,000 2r430r853 2,320,995 i) The Conditionally Repayable Fund ("Fund") is not administered according to the terms and conditions specified in the Agreement; or ii) Based on reviews and evaluations of the operations and the Fund of the Corporation, the Fund is not providing a satisfactory level of benefits in terms of employment creation, the development of Community-owned or controlled business, and strengthening of the Western Canadian economy; or iii) In the opinion of the Minister, the Fund is no longer necessary or relevant to the development of the Western Canadian economy; or iv) The Agreement is terminated; or v) An event of default occurs, as described in the Agreement; or vi) The Minister does not approve terms and conditions to extend the Project beyond the Completion Date. Portfolio A, Microloans and Growthstart This amount is restricted for the purpose of assisting small businesses and entrepreneurs in the form of loans, loan guarantees or equity participation. Portfolio B The Corporation received 800,000 from Western Economic Diversification, Government of Canada for the purpose of creating an investment fund to assist eligible local businesses in the form of loans, loan guarantees and equity participation. Related investment loans written off as bad debts are recorded as a reduction to the restricted fund. At the termination of the agreement, the Corporation is required to repay any amount uncommitted, thereafter the loan principal and interest collected until the odginal principal is repaid and then 50% of the remaining interest collected. Youth Investment The Corporation received 200,000 from Western Economic Diversification, Government of Canada for the purpose of creating an investment fund to assist youths (persons under the age of 30) to own and operate a business in the form of loans, loan guarantees and equity participation. Related investment loans written off as bad debts are recorded as a reduction to the restricted fund. At the termination of the agreement, the Corporation is required to repay any amount uncommitted, thereafter the loan principal and interest collected until the original principal is repaid and then 50% of the remaining interest collected. (12) V White Kennedy

14 Notes to Non-Consolidated Financial Statements 12.EXTERNALLY RESTRICTED FUNDS (continued) Disabled Entrepreneur.The Corporation received 200,000 from Western Economic Diversification, Government of Canada for the purpose of creating an investment fund to assist disabled individuals to own and operate a business in the form of loans, loan guarantees and equity participation. Related investment loans written off as bad debts are recorded as a reduction to the restricted fund. At the termination of the agreement, the Corporation is required to repay any amount uncommitted, thereafter the loan principal and interest collected until the original principal is repaid and then 50% of the remaining interest collected. Community Business Loans Pro,qram (Formerly Forest Renewal BC) The Corporation received 250,000 from Community Business Loans Program which the Corporation matched creating an investment fund of 500,000. The purpose of the fund is to loan funds to forest sector enterprises. One half of the related investment loans written off as bad debts are recorded as a reduction to the restricted fund. At the termination of the agreement, the Corporation is required to repay one half of any amount uncommitted, thereafter one half of the principal and interest collected until the original principal is repaid. 13. LEASE COMMITMENTS The Corporation has entered into two long term lease agreements with respect to its premises. The leases contain renewal options and provide for payment of utilities, property taxes and maintenance costs. Future minimum lease payments as at March 31, 2015 are as follows: , r ECONOMIC DEPENDENCE The company receives a substantial portion of its funding from Western Economic Diversification. The Employment Services Program is entirely dependant on the Provincial Ministry of Social Development. White Kennedy

15 Notes to Non-Consolidated Financial Statements 15. RELATED PARTY TRANSACTIONS Related Party Grand Forks and Boundary Enterprise Centre Holdings Ltd. Striker Industries Ltd. Type of Received (Paid) Relationship Transaction Subsidiary Rent (52,800) (52,800) Director Building Owned Improvements (3,267) (71,750) WD Sheet Metal Ltd. Director Repairs and Owned Maintenance (878) (1,065) The above transactions are in the normal course of business and are measured at the exchange amount, which is the amount of consideration established and agreed to by the related parties. 16. NET CHANGE IN NON-CASH WORKING CAPITAL ITEMS Decrease (increase)in: Accounts receivable Prepaid expenses Increase (decrease)in: Accounts payable and accrued liabilities Deferred revenue Employment Operating Portfolio Labour Market Fund Fund (ELMS) S (145,234) (17,310) - (162,544) 32,472 1,461-1,461 (1,461) (8,998) (49) (1,337) (10,384) 32,840 (4,596) (3,996) (23,092) 17. INCOME TAX The company is exempt from income tax under Section 149(1) of the Income Tax Act. White Kennedy (14)

16 Notes to Non-Consolidated Financial Statements 18. FINANCIAL INSTRUMENTS The company is exposed to various risks through its financial instruments and has a comprehensive risk management framework to monitor, evaluate and manage these risks. The following analysis provides information about the company s risk exposure and concentration as of March 31,2015. Credit risk Credit risk arises from the potential that a counter party will fail to perform its obligations. The company is exposed to credit risk from customers. In order to reduce its credit risk, the company reviews a new customer s credit history before extending credit and conducts regular reviews of its existing customers credit performance. An allowance for doubtful accounts is established based upon factors surrounding the credit risk of specific accounts, historical trends and other information. The company has a significant number of customers which minimizes concentration of credit risk. Liquidity risk Liquidity risk is the risk that an entity will encounter difficulty in meeting obligations associated with financial liabilities. The company is exposed to this risk mainly in respect of its loans receivable and related sources and long-term debt. Interest rate risk Interest rate risk is the risk that fluctuations in interest rates will result in changes in fair value or cash flow on a financial instrument. In seeking to minimize the risks from interest rate fluctuations, the company manages exposure through its normal operating and financing activities. The company is exposed to interest rate risk primarily through any marketable securities held during the year. 19. COMPARATIVE FIGURES Some of the comparative presentation. figures have been reclassified to conform to the current year s White Kennedy

17 SCHEDULE 1 o Non-Consolidated Statement of Financial Position by Fund - Operating March 31, 2015 Operating Other ASSETS Fund Programs CURRENT Cash 512, , ,487 Short-term investments 254, , ,000 Accounts receivable 204, ,329 59,095 Prepaid expenses 1,425-1 ~425 2, , , ,468 INVESTMENT IN SUBSIDIARY PROPERTY AND EQUIPMENT LIABILITIES AND FUND BALANCES CURRENT Accounts payable and accrued liabilities Deferred revenue Interfund balances FUND BALANCES Investment in Capital Assets Unrestricted , ~300 92,909 lr149,799-1r149t ,387 17, ,011 27,008 9,125 9,125 13,721 1~342,665 (312,996) 1~029~ ,071 1,360~016 /303,211) 1~056~ , , ,300 92,909 (387,517) 303,211 (84~306) 30,678 (210~217) 303~211 92~ ,587 1,149,799 1r149t ,387 (16) V White Kennedy

18 SCHEDULE 2 - Non-Consolidated Statement of Operations by Fund - Operating Operating Other Fund Programs REVENUE Operating contributions 286, , ,796 Project funding - 178, , ,827 Interest transfers 25,000 25,000 25,000 Other income - 10,661 10,661 5,325 Interest from banks 7,585-7,585 1,651 Loan administration fees 3,720-3~720 3, , ~ EXPENDITURES Wages and benefits 165,049 79, , ,480 Project expenses 7,356 43,312 50,668 72,879 Repairs and maintenance 27,299 15,266 42,565 21,915 Advertising and promotion 22,705 17,250 39,955 52,893 Rent 19,974 11,061 31,035 31,191 Consulting 27,339 27, ,570 Office and sundry 20,964 3,884 24,848 20,219 Directors expenses 23,567 23,567 11,685 Travel 12,361 5,789 18,150 16,865 Amortization 16,934 16,934 7,434 Training 3,694 2,394 6,088 7,336 Licences, dues and fees 5, ,042 2,597 Telephone 3, ,518 6,483 Professional fees 2,832 2,832 6,417 Bank charges and interest 2,558 2, Insurance , , ~ ,477 EXCESS (DEFICIENCY) OF REVENUE OVER EXPENDITURES 112,,5,0,9), 118, t593~ 12,4311 (17) WhiteKennedy

19 SCHEDULE 3 - Non-Consolidated Statement of Financial Position by Fund - Portfolio March 31, 2015 Portfolio A, Portfolio B Disabled Community Microloans & & Youth Entrepreneur Business ASSETS Growthstart Loans CURRENT Cash 374, , , ,470 Accounts receivable,, 4~231 8t t , , , ,993 Syndicate Loans ,027,579 27t596 1,055, ,070,683 10,286 1,080,969 LOANS RECEIVABLE LIABILITIES AND FUND BALANCES CURRENT Accounts payable and accrued liabilities Interfund balances Current portion of loans payable 888, ~ ~984!29,226 1,266,779 1,312, , , (256,150) (70,048) 77, , ~424 - (110,475) (69,676) 77, ,230 2~087~191 3r ~987,038 3,068, (3,238) (3,857) 145~424 (3,767) - (3,238) 142,296 (2,988) INVESTMENTS LOANS PAYABLE FUND BALANCES Externally Restricted Funds 569, ~038 1~381, ,708 53~989 1,266,779 1,312, , , , ,000 3,238 2~430r853 2,320,995-3t ,068,007

20 SCHEDULE 4 - Non-Consolidated Statement of Operations by Fund - Portfolio REVENUE Interest from investments Interest from banks Loan losses and collections EXPENDITURES Loan losses and collection fees (recovered) Interest transfer Loan admin, insurance and registration EXCESS (DEFICIENCY) OF REVENUE OVER EXPENDITURES Portfolio A, Portfolio B Disabled Community Microloans & & Youth Entrepreneur Business Growthstart Loans 58,641 63,622 8,207 36,307 3,983 3,941 1,547 1,503 2, , ,123 (1,190) 11,551 5,999 15,574 15,000-10,000 11,007 2, ,817 14~212 6,425 26, ,767,11,698 Syndicate Loans , ,383 10,974 11,860 3~986 9~64~ 181~ ~888 31,934 (88,919) 25,000 25,000 14~945 19,618 71~879 (44,301) 109t ,189 (19)

21 SCHEDULE 5 - Non-Consolidated Statement of Financial Position by Fund - ELMS March 31, 2015 Operating ASSETS Fund Variable Fixed PROPERTY AND EQUIPMENT LIABILITIES AND FUND BALANCES 13r782 22,878 13,782 22,878 36~660 36~660 34,939 34,939 CURRENT Accounts payable and accrued liabilities Interfund balances Deferred revenue 31,784 7,914 - (97,315) (929,048) (65,531) (921,134) 1,150 39,698 (1,025,813) 6OO (985,515~ 41,035 (702,304) (661,269) FUND BALANCES Investment in Capital Assets Unrestricted 13,782 22,878 65, ,134 (1,150) 79~ ,012 (1,150) 13,782 22,878-36, lr022~175 36~660 34, ,208 34,939 (20)

22 SCHEDULE 6 - Non-Consolidated Statement of Operations by Fund - ELMS Operating Fund Variable Fixed REVENUE Project funding 665, , ,317 Fee for service 21, ,317 EXPENDITURES Wages and benefits 430,675 90, Project expenses 91, ,514 Rent 53,333 - Office and sundry 27,577 3, Repairs and maintenance 30,648 10,215 Professional fees 8,495 - Training 10, Amortization 11,097 3,672 Advertising and promotion 3, Telephone 8, Travel Insurance 2,051 - Licences, dues and fees 2,305 - Consulting - Directors expenses Bank charges and interest , , ,317 EXCESS (DEFICIENCY) OF REVENUE OVER EXPENDITURES 6, , ,407,999 21~750 1~429r , ,390 53,333 31,488 40,863 8,495 10,758 14,769 3,704 8, ,051 2, ~103~ ,137,350 20,849 1,158, ,134 7,535 4,249 1, t ,502 (21)

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF BOUNDARY AREA. Financial Statements. March 31, Contents

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF BOUNDARY AREA. Financial Statements. March 31, Contents Financial Statements March 31, 2016 Contents Page Independant Auditors Report Non-Consolidated Statement of Financial Position Non-Consolidated Statement of Operations Non-Consolidated Statement of Changes

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF BOUNDARY AREA Financial Statements Year Ended March 31, 2018

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF BOUNDARY AREA Financial Statements Year Ended March 31, 2018 Financial Statements Financial Statements March 31, 2018 Contents Independent Auditors' Report 1-2 Non-Consolidated Statement of Financial Position 3 Non-Consolidated Statement of Operations 4 Non-Consolidated

More information

White Kennedy. SOUTH OKANAGAN WOMEN IN NEED SOCIETY Index to Financial Statements Year Ended March 31, Page 1-2

White Kennedy. SOUTH OKANAGAN WOMEN IN NEED SOCIETY Index to Financial Statements Year Ended March 31, Page 1-2 Index to Financial Statements INDEPENDENT AUDITOR S REPORT FINANCIAL STATEMENTS Statement of Financial Position 3 Statement of Operations 4 Statement of Changes in Net Assets 5 Statement of Cash Flow 6

More information

(W) (H) (H) (W)

(W) (H) (H) (W) DIRECTORS COMMUNITY FUTURES DEVELOPMENT CORPORATION OF OKANAGAN SIMILKAMEEN Name Address Phone Fax Email CHAIR Jaymie Atkinson (David) VICE CHAIR Barb Sheppard TREASURER Jeff Rowe Secretary Ron Britton

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION, CENTRAL OKANAGAN

COMMUNITY FUTURES DEVELOPMENT CORPORATION, CENTRAL OKANAGAN Financial Statements of COMMUNITY FUTURES DEVELOPMENT CORPORATION, KPMG LLP 200-3200 Richter Street Kelowna BC V1W 5K9 Canada Tel (250) 979-7150 Fax (250) 763-0044 INDEPENDENT AUDITORS' REPORT To the Board

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION, CENTRAL OKANAGAN

COMMUNITY FUTURES DEVELOPMENT CORPORATION, CENTRAL OKANAGAN Financial Statements of COMMUNITY FUTURES DEVELOPMENT CORPORATION, KPMG LLP Telephone (250) 979-7150 200-3200 Richter Street Fax (250) 763-0044 Kelowna BC V1W 5K9 Internet www.kpmg.ca Canada INDEPENDENT

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF REVELSTOKE Non-Consolidated Financial Statements For the year ended March 31, 2017

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF REVELSTOKE Non-Consolidated Financial Statements For the year ended March 31, 2017 COMMUNITY FUTURES DEVELOPMENT CORPORATION OF REVELSTOKE Non-Consolidated Financial Statements For the year ended March 31, 2017 Contents Independent Auditor's Report 2 Non-Consolidated Financial Statements

More information

COMMUNITY FUTURES WINNIPEG RIVER. Financial Statements. Year Ended March 31, 2016

COMMUNITY FUTURES WINNIPEG RIVER. Financial Statements. Year Ended March 31, 2016 COMMUNITY FUTURES WINNIPEG RIVER Financial Statements INDEPENDENT AUDITOR'S REPORT To the Members of Community Futures Winnipeg River Corp. We have audited the accompanying financial statements of Community

More information

COMMUNITY FUTURES HIGHWOOD

COMMUNITY FUTURES HIGHWOOD FINANCIAL STATEMENTS MARCH 31, 2016 TABLE OF CONTENTS MARCH 31, 2016 Page Independent Auditor s Report on Compliance 3 Independent Auditor s Report 4 Financial Statements Statement of Financial Position

More information

Community Futures Development Corporation of Central Island Non-Consolidated Financial Statements March 31, 2017

Community Futures Development Corporation of Central Island Non-Consolidated Financial Statements March 31, 2017 Non-Consolidated Financial Statements March 31, 2017 Contents Page Management's Responsibility Independent Auditors' Report Non-Consolidated Financial Statements Non-Consolidated Statement of Financial

More information

White Kennedy Your partners in prosperity

White Kennedy Your partners in prosperity Consolidated Financial Statements December 31, 2016 Contents Page Independent Auditors' Report Statement of Financial Position Statement of Operations Statement of Net Financial Assets Statement of Cash

More information

Community Futures Development Corporation of Central Island Non-Consolidated Financial Statements March 31, 2016

Community Futures Development Corporation of Central Island Non-Consolidated Financial Statements March 31, 2016 Non-Consolidated Financial Statements March 31, 2016 Contents Page Management's Responsibility Independent Auditors' Report Non-Consolidated Financial Statements Non-Consolidated Statement of Financial

More information

Community Futures East Kootenay Non-Consolidated Financial Statements For the year ended March 31, 2017

Community Futures East Kootenay Non-Consolidated Financial Statements For the year ended March 31, 2017 Non-Consolidated Financial Statements For the year ended March 31, 2017 Contents Independent Auditor's Report 2-3 Non-Consolidated Financial Statements Non-Consolidated Statement of Financial Position

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF STUART NECHAKO FINANCIAL STATEMENTS MARCH 31, Statement 3 - Changes in Investment in Capital Assets

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF STUART NECHAKO FINANCIAL STATEMENTS MARCH 31, Statement 3 - Changes in Investment in Capital Assets COMMUNITY FUTURES DEVELOPMENT CORPORATION OF STUART NECHAKO FINANCIAL STATEMENTS MARCH 31, 2014 Independent Auditor's Reports Statement 1 - Operations Statement 2 - Changes in Net Assets Statement 3 -

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF THOMPSON COUNTRY

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF THOMPSON COUNTRY TENISCI PIVA Cl IARTHRED ACCOUNTANTS RONALD A. TENISCI. BSc. MBA. CA * MARIO PD A. BComm. CA DENNIS PITA. BBA. CA TINA PETERS. BA. CGA DWAYNE DUECK. BBA (Hons). CPA. CA * Denotes Incorporation Non-Consolidated

More information

Passive House Canada Financial Statements Year Ended December 31, 2017

Passive House Canada Financial Statements Year Ended December 31, 2017 Financial Statements To the Directors of Passive House Canada Independent Auditor's Report We have audited the accompanying financial statements of Passive House Canada, which comprise the statement of

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF MOUNT WADDINGTON

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF MOUNT WADDINGTON COMMUNITY FUTURES DEVELOPMENT CORPORATION Financial Statements - March 31, 2007 Auditors' Report Balance Sheet Statement of Changes in Fund Balances Statement of Operations Statement of Cash Flows Notes

More information

COMMUNITY FUTURES HIGHWOOD FINANCIAL STATEMENTS MARCH 31, 2012

COMMUNITY FUTURES HIGHWOOD FINANCIAL STATEMENTS MARCH 31, 2012 FINANCIAL STATEMENTS MARCH 31, 2012 TABLE OF CONTENTS MARCH 3t, 2012 Page Independent Auditors Report on Compliance Independent Auditors Report 3 4 Financial Statements Statement of Financial Position

More information

BEAVER RIVER COMMUNITY FUTURES DEVELOPMENT CORPORATION AUDITOR'S REPORT AND FINANCIAL STATEMENTS. March 31, 2017

BEAVER RIVER COMMUNITY FUTURES DEVELOPMENT CORPORATION AUDITOR'S REPORT AND FINANCIAL STATEMENTS. March 31, 2017 BEAVER RIVER COMMUNITY FUTURES DEVELOPMENT CORPORATION AUDITOR'S REPORT AND FINANCIAL STATEMENTS March 31, 2017 BEAVER RIVER COMMUNITY FUTURES DEVELOPMENT CORPORATION INDEX for the year ended March 31,

More information

Community Futures Treaty Seven Financial Statements March 31, 2018

Community Futures Treaty Seven Financial Statements March 31, 2018 Financial Statements March 31, 2018 Independent Auditors Report To the Shareholders of Community Futures Treaty Seven: We have audited the accompanying financial statements of Community Futures Treaty

More information

FAMILY SERVICES WINDSOR-ESSEX FINANCIAL STATEMENTS

FAMILY SERVICES WINDSOR-ESSEX FINANCIAL STATEMENTS FINANCIAL STATEMENTS FINANCIAL STATEMENTS Table of Contents Page INDEPENDENT AUDITOR'S REPORT 1-2 FINANCIAL STATEMENTS Statement of Financial Position 3 Statement of Operations 4 Statement of Changes in

More information

While Kennedy OKANAGAN-SIMILKAMEEN REGIONAL HOSPITAL DISTRICT. Consolidated Financial Statements. December 31, Contents.

While Kennedy OKANAGAN-SIMILKAMEEN REGIONAL HOSPITAL DISTRICT. Consolidated Financial Statements. December 31, Contents. Consolidated Financial Statements December 31, 2015 Contents Page Independent Auditors Report Statement of Financial Position Statement of Operations Statement of Net Financial Assets Statement of Cash

More information

Community Futures Wood Buffalo Financial Statements March 31, 2014

Community Futures Wood Buffalo Financial Statements March 31, 2014 Financial Statements March 31, 2014 Management's Responsibility To the Directors of Community Futures Wood Buffalo: Management is responsible for the preparation and presentation of the accompanying financial

More information

Community Futures Treaty Seven Financial Statements March 31, 2014

Community Futures Treaty Seven Financial Statements March 31, 2014 Financial Statements March 31, 2014 Independent Auditors Report To the Shareholders of Community Futures Treaty Seven: We have audited the accompanying financial statements of Community Futures Treaty

More information

AUTISM SOCIETY OF NEWFOUNDLAND AND LABRADOR INC. Financial Statements Year Ended March 31, 2015

AUTISM SOCIETY OF NEWFOUNDLAND AND LABRADOR INC. Financial Statements Year Ended March 31, 2015 Financial Statements Index to Financial Statements INDEPENDENT AUDITOR'S REPORT 1 Page FINANCIAL STATEMENTS Statement of Financial Position 2 Statement of Changes in Net Assets 3 Statement of Revenues

More information

Ventures Community Futures Development Corporation FINANCIAL STATEMENTS

Ventures Community Futures Development Corporation FINANCIAL STATEMENTS Ventures Community Futures Development Corporation FINANCIAL STATEMENTS Year Ended March 31, 2014 Yorkton, Saskatchewan March 31, 2014 Table of Contents Page Independent Auditors' Report 1 Statement of

More information

CHATS - Community & Home Assistance to Seniors Financial Statements For the year ended March 31, 2015

CHATS - Community & Home Assistance to Seniors Financial Statements For the year ended March 31, 2015 CHATS - Community & Home Assistance to Seniors Financial Statements For the year ended March 31, 2015 Contents Independent Auditor's Report 2 Financial Statements Statement of Financial Position 3 Statement

More information

MOMENTUM COMMUNITY ECONOMIC DEVELOPMENT SOCIETY Financial Statements December 31, 2017

MOMENTUM COMMUNITY ECONOMIC DEVELOPMENT SOCIETY Financial Statements December 31, 2017 Financial Statements December 31, 2017 Index to Financial Statements INDEPENDENT AUDITOR'S REPORT 1-2 Page FINANCIAL STATEMENTS Statement of Financial Position 3 Statement of Operations 4 Statement of

More information

AUTISM SOCIETY OF NEWFOUNDLAND AND LABRADOR INC. Financial Statements Year Ended March 31, 2017

AUTISM SOCIETY OF NEWFOUNDLAND AND LABRADOR INC. Financial Statements Year Ended March 31, 2017 Financial Statements Index to Financial Statements INDEPENDENT AUDITOR'S REPORT 1 Page FINANCIAL STATEMENTS Statement of Financial Position 2 Statement of Changes in Net Assets 3 Statement of Revenues

More information

John Howard Society of the Central and South Okanagan Financial Statements For the year ended March 31, 2017

John Howard Society of the Central and South Okanagan Financial Statements For the year ended March 31, 2017 Financial Statements For the year ended Contents Independent Auditor's Report 2 Financial Statements Statement of Financial Position 3 Statement of Operations 4 Statement of Changes in Net Assets (Debt)

More information

CANADIAN MENTAL HEALTH ASSOCIATION - COWICHAN VALLEY BRANCH

CANADIAN MENTAL HEALTH ASSOCIATION - COWICHAN VALLEY BRANCH Financial Statements Palmer Leslie Chartered Professional Accountants Index to Financial Statements Page INDEPENDENT AUDITOR'S REPORT 1-2 FINANCIAL STATEMENTS Statement of Financial Position 3-4 Statement

More information

COMMUNITY FUTURES WILD ROSE Financial Statements Year Ended March 31, 2016

COMMUNITY FUTURES WILD ROSE Financial Statements Year Ended March 31, 2016 Financial Statements INDEPENDENT AUDITOR'S REPORT To the Shareholders of Community Futures Wild Rose We have audited the accompanying financial statements of Community Futures Wild Rose, which comprise

More information

Financial Statements. Alzheimer Society of Canada/ Société Alzheimer du Canada. March 31, 2017

Financial Statements. Alzheimer Society of Canada/ Société Alzheimer du Canada. March 31, 2017 Financial Statements Alzheimer Society of Canada/ Contents Page Independent Auditor s Report 1-2 Statement of Operations 3 Statement of Changes in Net Assets 4 Statement of Financial Position 5 Statement

More information

ST. MICHAEL'S CENTRE COMBINED FINANCIAL STATEMENTS 31 MARCH 2018

ST. MICHAEL'S CENTRE COMBINED FINANCIAL STATEMENTS 31 MARCH 2018 COMBINED FINANCIAL STATEMENTS 31 MARCH 2018 Combined Financial Statements Contents Independent Auditors' Report Combined Statement of Financial Position 4 Combined Statement of Changes in Net Assets 5

More information

Motor Dealer Council of British Columbia (Operating as Motor Vehicle Sales Authority of B.C.) Financial Statements Year ended March 31, 2015

Motor Dealer Council of British Columbia (Operating as Motor Vehicle Sales Authority of B.C.) Financial Statements Year ended March 31, 2015 Motor Dealer Council of British Columbia (Operating as Motor Vehicle Sales Authority of B.C.) Financial Statements Year ended March 31, 2015 Contents Page Independent Auditors' Report Financial Statements

More information

Kitchener-Waterloo Counselling Services Incorporated Financial Statements For the year ended December 31, 2013

Kitchener-Waterloo Counselling Services Incorporated Financial Statements For the year ended December 31, 2013 Financial Statements Index to Financial Statements INDEPENDENT AUDITOR'S REPORT 1-2 Page FINANCIAL STATEMENTS Statement of Financial Position 3 Statement of Changes in Net Assets 4 Statement of Operations

More information

Financial Statements. Surrey Place Centre Charitable Foundation. March 31, 2013 and March 31, 2012

Financial Statements. Surrey Place Centre Charitable Foundation. March 31, 2013 and March 31, 2012 Financial Statements Surrey Place Centre Charitable Foundation March 31, 2013 and March 31, 2012 Contents Page Independent Auditor's Report 1-2 Statements of Financial Position 3 Statements of Operations

More information

Kitchener-Waterloo Counselling Services Incorporated Financial Statements For the year ended December 31, 2015

Kitchener-Waterloo Counselling Services Incorporated Financial Statements For the year ended December 31, 2015 Financial Statements Index to Financial Statements INDEPENDENT AUDITOR'S REPORT 1-2 Page FINANCIAL STATEMENTS Statement of Financial Position 3 Statement of Changes in Net Assets 4 Statement of Operations

More information

CHARTERED PROFESSIONALS IN HUMAN RESOURCES OF SASKATCHEWAN CORPORATION

CHARTERED PROFESSIONALS IN HUMAN RESOURCES OF SASKATCHEWAN CORPORATION RESOURCES OF SASKATCHEWAN CORPORATION Financial Statements INDEPENDENT AUDITOR'S REPORT To the Members of Chartered Professionals in Human Resources of Saskatchewan Corporation We have audited the accompanying

More information

COMMUNITY FUTURES CROWSNEST PASS

COMMUNITY FUTURES CROWSNEST PASS eli Financial Statements of COMMUNITY FUTURES CROWSNEST PASS KPMG LIP TeFephone (403) 380-5700 500 Letbbridge Centre Tower Fax (403) 380-5760 400-4th Avenue South nternet www kpmgca LethbrLdge AS T1J 4E1

More information

OMBUDSMAN FOR BANKING SERVICES AND INVESTMENTS FINANCIAL STATEMENTS OCTOBER 31, 2017

OMBUDSMAN FOR BANKING SERVICES AND INVESTMENTS FINANCIAL STATEMENTS OCTOBER 31, 2017 FINANCIAL STATEMENTS FINANCIAL STATEMENTS INDEX Page Independent Auditors' Report 1 Financial Statements Statement of Financial Position 2 Statement of Changes in Net Assets 3 Statement of Operations 4

More information

CANADA WEST FOUNDATION

CANADA WEST FOUNDATION Financial Statements of CANADA WEST FOUNDATION Year ended December 31, 2017 KPMG LLP 205 5th Avenue SW Suite 3100 Calgary AB T2P 4B9 Telephone (403) 691-8000 Fax (403) 691-8008 www.kpmg.ca INDEPENDENT

More information

Lutherwood. Financial Statements March 31, 2017

Lutherwood. Financial Statements March 31, 2017 Financial Statements June 19, 2017 Independent Auditor s Report To the Board of Governors of Lutherwood We have audited the accompanying financial statements of Lutherwood, which comprise the statement

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF Financial Statements As at March 31, 2008

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF Financial Statements As at March 31, 2008 COMMUNITY FUTURES DEVELOPMENT CORPORATION OF 16-37 Financial Statements As at March 31, 2008 STATEMENT OF OPERATIONS AND CHANGES IN FUND BALANCES General Loan Investment Fund Fund Total Total REVENUE

More information

WOMEN IN NEED SOCIETY OF CALGARY

WOMEN IN NEED SOCIETY OF CALGARY WOMEN IN NEED SOCIETY OF CALGARY Financial Statements December 31, 2013 Index to the Financial Statements For the Year Ended December 31, 2013 Page INDEPENDENT AUDITOR'S REPORT 1 FINANCIAL STATEMENTS Statement

More information

Financial statements. Operation Come Home. December 31, 2016

Financial statements. Operation Come Home. December 31, 2016 Financial statements Operation Come Home Independent auditors report To the Members of Operation Come Home We have audited the accompanying financial statements of Operation Come Home, which comprise the

More information

Financial Statements. Brock University Students' Union, Inc. April 30, 2016

Financial Statements. Brock University Students' Union, Inc. April 30, 2016 Financial Statements Brock University Students' Union, Inc. Contents Page Independent Auditor's Report 1-2 Statement of Financial Position 3 Statement of Changes in Fund Balances 4 Statement of Cash Flows

More information

Financial Statements. St. John Council for Ontario December 31, 2013

Financial Statements. St. John Council for Ontario December 31, 2013 Financial Statements St. John Council for Ontario INDEPENDENT AUDITORS' REPORT To the Members of St. John Council for Ontario REPORT ON THE FINANCIAL STATEMENTS We have audited the accompanying financial

More information

John Howard Society of Thunder Bay Financial Statements March 31, 2016

John Howard Society of Thunder Bay Financial Statements March 31, 2016 Financial Statements March 31, 2016 Contents Page Management's Responsibility Independent Auditors' Report Financial Statements Statement of Financial Position... 1 Statement of Operations and Changes

More information

COMMUNITY FUTURES CROWSNEST PASS

COMMUNITY FUTURES CROWSNEST PASS Financial Statements of COMMUNITY FUTURES CROWSNEST PASS I (I KPMG LLP Telephone (403) 380-5700 500 Lethbridge Centre TDW6r Fax (403) 380-5760 400-4th Avenue South Internet wwwkpmg ca Lei ±r dge AS TIJ

More information

Independent Auditors' Report to the Members 1. Statement of Financial Position 2. Statement of Operations 3. Statement of Changes in Net Assets 4

Independent Auditors' Report to the Members 1. Statement of Financial Position 2. Statement of Operations 3. Statement of Changes in Net Assets 4 Financial Statements December 31, 2014 Index Page Independent Auditors' Report to the Members 1 Financial Statements Statement of Financial Position 2 Statement of Operations 3 Statement of Changes in

More information

Financial Statements. December 31, 2015

Financial Statements. December 31, 2015 Financial Statements December 31, 2015 Contents Page Independent Auditor s Report 1-2 Statement of Revenue and Expenses 3 Statement of Changes in Net Assets 4 Statement of Financial Position 5 Statement

More information

Canadian Mental Health Association, Middlesex. Financial Statements March 31, 2017

Canadian Mental Health Association, Middlesex. Financial Statements March 31, 2017 Canadian Mental Health Association, Middlesex Financial Statements March 31, September 29, Independent Auditor s Report To the Board of Trustees of Canadian Mental Health Association, Middlesex We have

More information

JEWISH VOCATIONAL SERVICE OF METROPOLITAN TORONTO

JEWISH VOCATIONAL SERVICE OF METROPOLITAN TORONTO Financial Statements of JEWISH VOCATIONAL SERVICE OF KPMG LLP Vaughan Metropolitan Centre 100 New Park Place, Suite 1400 Vaughan ON L4K 0J3 Canada Tel 905-265-5900 Fax 905-265-6390 INDEPENDENT AUDITORS'

More information

ALBERTA REAL ESTATE FOUNDATION

ALBERTA REAL ESTATE FOUNDATION Financial Statements of ALBERTA REAL ESTATE FOUNDATION ABCD KPMG LLP Chartered Accountants 2700, 205-5th Avenue SW Calgary AB T2P 4B9 Telephone (403) 691-8000 Fax (403) 691-8008 Internet www.kpmg.ca INDEPENDENT

More information

WOMEN IN NEED SOCIETY OF CALGARY Financial Statements December 31, 2015

WOMEN IN NEED SOCIETY OF CALGARY Financial Statements December 31, 2015 Financial Statements December 31, 2015 Index to Financial Statements INDEPENDENT AUDITOR'S REPORT 1 Page FINANCIAL STATEMENTS Statement of Financial Position 2 Statement of Operations 3 Statement of Changes

More information

CANADIAN ASSOCIATION OF UNIVERSITY BUSINESS OFFICERS

CANADIAN ASSOCIATION OF UNIVERSITY BUSINESS OFFICERS Financial Statements of CANADIAN ASSOCIATION OF UNIVERSITY BUSINESS - May 13, 2018, 10:37 PM Version 1.11 last saved May 13, 2018 at 10:37:48 PM INDEPENDENT AUDITORS' REPORT To the Members of the Canadian

More information

Toronto Public Library Foundation. Financial Statements December 31, 2017

Toronto Public Library Foundation. Financial Statements December 31, 2017 Toronto Public Library Foundation Financial Statements December 31, June 27, 2018 Independent Auditor s Report To the Directors of Toronto Public Library Foundation We have audited the accompanying financial

More information

THE ARTHRITIS SOCIETY/ LA SOCIÉTÉ D'ARTHRITE

THE ARTHRITIS SOCIETY/ LA SOCIÉTÉ D'ARTHRITE Financial Statements of THE ARTHRITIS SOCIETY/ KPMG LLP Vaughan Metropolitan Centre 100 New Park Place, Suite 1400 Vaughan ON L4K 0J3 Canada Tel 905-265-5900 Fax 905-265-6390 INDEPENDENT AUDITORS' REPORT

More information

WE CHARITY (FORMERLY FREE THE CHILDREN) NON-CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2016

WE CHARITY (FORMERLY FREE THE CHILDREN) NON-CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2016 NON-CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2016 INDEX TO NON-CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2016 INDEPENDENT AUDITOR'S REPORT 1-2 Page NON-CONSOLIDATED

More information

Financial Statements of MOVEMBER CANADA. Year ended April 30, 2018

Financial Statements of MOVEMBER CANADA. Year ended April 30, 2018 Financial Statements of MOVEMBER CANADA KPMG LLP Vaughan Metropolitan Centre 100 New Park Place, Suite 1400 Vaughan ON L4K 0J3 Canada Tel 905-265-5900 Fax 905-265-6390 INDEPENDENT AUDITORS' REPORT To the

More information

First Peoples Heritage, Language and Culture Council Financial Statements March 31, 2005

First Peoples Heritage, Language and Culture Council Financial Statements March 31, 2005 Financial Statements Contents Page Auditors' Report 1 Statement of Operations and Surplus 2 Statement of Financial Position 3 Statement of Cash Flows 4 Notes to the Financial Statements 5-8 Statement of

More information

"NEW LIFE" GIRLS' HOME (CANADA)

NEW LIFE GIRLS' HOME (CANADA) FINANCIAL STATEMENTS DECEMBER 31, 2015 INDEX Page 1. Independent Auditors' Report 2. Statement of Financial Position 3. Statement of Changes in Net Assets 4. Statement of Operations 5. Statement of Cash

More information

Financial Statements. International Institute of Business Analysis. December 31, 2016

Financial Statements. International Institute of Business Analysis. December 31, 2016 Financial Statements International Institute of Business Analysis Contents Page Independent Auditor's Report 1-2 Statement of Financial Position 3 Statements of Operations and Changes in Net Assets 4 Statement

More information

HABITAT FOR HUMANITY - NATIONAL CAPITAL REGION

HABITAT FOR HUMANITY - NATIONAL CAPITAL REGION Financial Statements of HABITAT FOR HUMANITY - NATIONAL CAPITAL REGION December 31, 2015 April 26, 2016 INDEPENDENT AUDITORS' REPORT To the Members of Habitat for Humanity - National Capital Region: We

More information

CANADIAN FOUNDATION FOR ECONOMIC EDUCATION

CANADIAN FOUNDATION FOR ECONOMIC EDUCATION CANADIAN FOUNDATION FOR ECONOMIC EDUCATION FINANCIAL STATEMENTS March 31, 2018 CONTENTS INDEPENDENT AUDITOR'S REPORT 1 FINANCIAL STATEMENTS Balance Sheet 2 Statement of Changes in Net Assets 3 Statement

More information

Financial Statements. MSC Canada. June 30, 2015

Financial Statements. MSC Canada. June 30, 2015 Financial Statements MSC Canada Contents Page Independent Auditor s Report 1-2 Statement of Financial Position 3 Statement of Revenue and Expenditures 4 Statement of Changes in Fund Balances 5 Statement

More information

Financial statements. Standardbred Canada (Incorporated under the Animal Pedigree Act) October 31, 2018

Financial statements. Standardbred Canada (Incorporated under the Animal Pedigree Act) October 31, 2018 Financial statements (Incorporated under the Animal Pedigree Act) (Incorporated under the Animal Pedigree Act) Contents Page Independent auditor s report 1-2 Statement of operations 3 Statement of changes

More information

Financial Statements. MSC Canada. June 30, 2017

Financial Statements. MSC Canada. June 30, 2017 Financial Statements MSC Canada Contents Page Independent Auditor s Report 1-2 Statement of Financial Position 3 Statement of Revenue and Expenditures 4 Statement of Changes in Fund Balances 5 Statement

More information

British Columbia Institute of Technology Faculty and Staff Association Financial Statements June 30, 2014

British Columbia Institute of Technology Faculty and Staff Association Financial Statements June 30, 2014 Financial Statements June 30, 2014 Contents For the year ended June 30, 2014 Page Independent Auditors' Report...1 Financial Statements Statement of Financial Position...2 Statement of Changes in Net Assets...3

More information

Financial Statements. Easter Seals Ontario (in thousands of dollars) December 31, 2015

Financial Statements. Easter Seals Ontario (in thousands of dollars) December 31, 2015 Financial Statements December 31, 2015 Contents Page Independent Auditor's Report 1-2 Statement of Operations 3 Statement of Changes in Net Assets 4 Statement of Financial Position 5 Statement of Cash

More information

Financial Statements. Canadian Federation of Students - Ontario/ Fédération Canadienne Des Étudiantes et Étudiants - Ontario.

Financial Statements. Canadian Federation of Students - Ontario/ Fédération Canadienne Des Étudiantes et Étudiants - Ontario. Financial Statements Fédération Canadienne Des Étudiantes et Étudiants - Ontario June 30, 2017 Contents Page Independent Auditor's Report 1-2 Statement of Financial Position 3 Statement of Revenue and

More information

DRAFT SAULT STE. MARIE HOUSING CORPORATION

DRAFT SAULT STE. MARIE HOUSING CORPORATION Financial Statements of SAULT STE. MARIE HOUSING CORPORATION - April 30, 2013, 1:39 PM INDEPENDENT AUDITORS' REPORT To the Directors of Sault Ste. Marie Housing Corporation, the District of Sault Ste Marie

More information

FRIENDS OF THE GREENBELT FOUNDATION

FRIENDS OF THE GREENBELT FOUNDATION Financial Statements of FRIENDS OF THE GREENBELT FOUNDATION KPMG LLP Vaughan Metropolitan Centre 100 New Park Place, Suite 1400 Vaughan ON L4K 0J3 Canada Tel 905-265-5900 Fax 905-265-6390 INDEPENDENT AUDITORS'

More information

CANADIAN COUNCIL ON ANIMAL CARE/CONSEIL CANADIEN DE PROTECTION DES ANIMAUX

CANADIAN COUNCIL ON ANIMAL CARE/CONSEIL CANADIEN DE PROTECTION DES ANIMAUX Financial Statements of CANADIAN COUNCIL ON ANIMAL CARE/CONSEIL CANADIEN DE PROTECTION DES ANIMAUX KPMG LLP 150 Elgin Street, Suite 1800 Ottawa ON K2P 2P8 Canada Telephone 613-212-5764 Fax 613-212-2896

More information

REPORT TO THE BOARD OF GOVERNORS

REPORT TO THE BOARD OF GOVERNORS REPORT TO THE BOARD OF GOVERNORS SUBJECT UBC INVESTMENT MANAGEMENT TRUST INC. ( IMANT ) FINANCIAL STATEMENTS MARCH 31, 2018 MEETING DATE NOVEMBER 26, 2018 APPROVED FOR SUBMISSION Forwarded on the Recommendation

More information

Association of Professional Engineers and Geoscientists of Alberta. Financial Statements December 31, 2017 (in thousands of dollars)

Association of Professional Engineers and Geoscientists of Alberta. Financial Statements December 31, 2017 (in thousands of dollars) Association of Professional Engineers and Geoscientists of Alberta Financial Statements March 22, 2018 Independent Auditor s Report To the Members of Association of Professional Engineers and Geoscientists

More information

THE GRADUATE STUDENT SOCIETY OF UBC VANCOUVER

THE GRADUATE STUDENT SOCIETY OF UBC VANCOUVER FINANCIAL STATEMENTS THE GRADUATE STUDENT SOCIETY OF UBC VANCOUVER A partnership of incorporated professionals. INDEPENDENT AUDITOR'S REPORT To the Members of The Graduate Student Society of UBC Vancouver

More information

Holm Raiche Oberg. CANADIAN HUMANITARIAN ORGANIZATION FOR INTERNATIONAL RELIEF Financial Statements March 31, 2015

Holm Raiche Oberg. CANADIAN HUMANITARIAN ORGANIZATION FOR INTERNATIONAL RELIEF Financial Statements March 31, 2015 Financial Statements INDEPENDENT AUDITOR'S REPORT To the Members of Canadian Humanitarian Organization for International Relief Report on the Financial Statements We have audited the accompanying financial

More information

Mergaert, Barford, Williams & Joly Chartered Accountants. EVERGREENS FOUNDATION Non-Consolidated Financial Statements Year Ended December 31, 2013

Mergaert, Barford, Williams & Joly Chartered Accountants. EVERGREENS FOUNDATION Non-Consolidated Financial Statements Year Ended December 31, 2013 Chartered Accountants Non-Consolidated Financial Statements Index to Non-Consolidated Financial Statements INDEPENDENT AUDITOR'S REPORT 1-2 Page NON-CONSOLIDATED FINANCIAL STATEMENTS Non-Consolidated Statement

More information

Palmer Leslie. CANADIAN MENTAL HEALTH ASSOCIATION - COWICHAN VALLEY BRANCH 1992 Financial Statements Year Ended March 31, 2017

Palmer Leslie. CANADIAN MENTAL HEALTH ASSOCIATION - COWICHAN VALLEY BRANCH 1992 Financial Statements Year Ended March 31, 2017 CANADIAN MENTAL HEALTH ASSOCIATION - COWICHAN VALLEY BRANCH 1992 Financial Statements Index to Financial Statements INDEPENDENT AUDITORS' REPORT 1-2 Page FINANCIAL STATEMENTS Statement of Financial Position

More information

Financial Statements of VANCOUVER ECONOMIC COMMISSION

Financial Statements of VANCOUVER ECONOMIC COMMISSION Financial Statements of VANCOUVER ECONOMIC COMMISSION Year Ended December 31, 2017 1 KPMG LLP Metro Tower I 4710 Kingsway, Suite 2400 Burnaby BC V5H 4M2 Canada Telephone (604) 527-3600 Fax (604) 527-3636

More information

The Alma Mater Society of The University of British Columbia Vancouver Financial Statements April 30, 2018

The Alma Mater Society of The University of British Columbia Vancouver Financial Statements April 30, 2018 The University of British Columbia Vancouver Financial Statements Index to the Financial Statements Independent Auditor s Report... 1-2 Page Financial Statements Statement of Financial Position... 3 Statement

More information

RUGBY ONTARIO FINANCIAL STATEMENTS DECEMBER 31, 2017 INDEX. Independent Auditors' Report. 2. Statement of Financial Position

RUGBY ONTARIO FINANCIAL STATEMENTS DECEMBER 31, 2017 INDEX. Independent Auditors' Report. 2. Statement of Financial Position FINANCIAL STATEMENTS INDEX Page 1. Independent Auditors' Report 2. Statement of Financial Position 3. Statement of Changes in Net Assets 4. Statement of Operations 5. Statement of Cash Flows 6-11. Notes

More information

BIG BROTHERS BIG SISTERS OF GUELPH Financial Statements Year Ended December 31, 2017 (with comparative figures for the year ended December 31, 2016)

BIG BROTHERS BIG SISTERS OF GUELPH Financial Statements Year Ended December 31, 2017 (with comparative figures for the year ended December 31, 2016) Financial Statements (with comparative figures for the year ended December 31, 2016) Index to Financial Statements INDEPENDENT AUDITOR'S REPORT 1 Page FINANCIAL STATEMENTS Statement of Financial Position

More information

Audited Financial Statements

Audited Financial Statements May 10, 2017 Audited Financial Statements Independent Auditor s Report To the Members of Infrastructure Health & Safety Association We have audited the accompanying financial statements of Infrastructure

More information

Financial Statements. The Canadian Institute for Advanced Research - L Institut Canadien de Recherches Avancées. June 30, 2016

Financial Statements. The Canadian Institute for Advanced Research - L Institut Canadien de Recherches Avancées. June 30, 2016 Financial Statements The Canadian Institute for Advanced Research - Contents Page Independent Auditor s Report 1-2 Statement of Financial Position 3 Statement of Operations 4 Statement of Changes in Net

More information

Mastercard Foundation (formerly known as The MasterCard Foundation) Financial Statements December 31, 2017 (expressed in thousands of US dollars)

Mastercard Foundation (formerly known as The MasterCard Foundation) Financial Statements December 31, 2017 (expressed in thousands of US dollars) (formerly known as The MasterCard Foundation) Financial Statements July 27, 2018 Independent Auditor s Report To the Directors of We have audited the accompanying financial statements of, which comprise

More information

HABITAT FOR HUMANITY - NATIONAL CAPITAL REGION

HABITAT FOR HUMANITY - NATIONAL CAPITAL REGION Financial Statements of HABITAT FOR HUMANITY - NATIONAL CAPITAL REGION December 31, 2014 June 19, 2015 INDEPENDENT AUDITORS' REPORT To the Members of Habitat for Humanity - National Capital Region: We

More information

Big Brothers Big Sisters of Canada Les Grands Frères Grandes Soeurs du Canada. Financial Statements December 31, 2015

Big Brothers Big Sisters of Canada Les Grands Frères Grandes Soeurs du Canada. Financial Statements December 31, 2015 Big Brothers Big Sisters of Canada Les Grands Frères Grandes Soeurs du Canada Financial Statements December 31, May 12, 2016 Independent Auditor s Report To the Members of Big Brothers Big Sisters of Canada

More information

CANADIAN MENTAL HEALTH ASSOCIATION ELGIN BRANCH. Financial Statements. March 31, 2015

CANADIAN MENTAL HEALTH ASSOCIATION ELGIN BRANCH. Financial Statements. March 31, 2015 CANADIAN MENTAL HEALTH ASSOCIATION ELGIN BRANCH Financial Statements March 31, 2015 CANADIAN MENTAL HEALTH ASSOCIATION ELGIN BRANCH Financial Statements Table of Contents PAGE Independent Auditors' Report

More information

BC ASSOCIATION OF COMMUNITY RESPONSE NETWORKS. FINANCIAL STATEMENTS March 31, 2016

BC ASSOCIATION OF COMMUNITY RESPONSE NETWORKS. FINANCIAL STATEMENTS March 31, 2016 BC ASSOCIATION OF COMMUNITY RESPONSE NETWORKS FINANCIAL STATEMENTS March 31, 2016 BC ASSOCIATION OF COMMUNITY RESPONSE NETWORKS INDEX TO THE FINANCIAL STATEMENTS March 31, 2016 Page Independent Auditor's

More information

Financial statements. Standardbred Canada (Incorporated under the Animal Pedigree Act) October 31, 2017

Financial statements. Standardbred Canada (Incorporated under the Animal Pedigree Act) October 31, 2017 Financial statements (Incorporated under the Animal Pedigree Act) (Incorporated under the Animal Pedigree Act) Contents Page Independent auditor s report 1-2 Statement of operations 3 Statement of changes

More information

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF Financial Statements As at March 31, 2009

COMMUNITY FUTURES DEVELOPMENT CORPORATION OF Financial Statements As at March 31, 2009 COMMUNITY FUTURES DEVELOPMENT CORPORATION OF 16-37 Financial Statements As at March 31, 2009 o -t Futures l\)n7 204-4630 Lazelle Avenue T 250635 5449 250635 2698 E info@1637cfdc.bc.ca Terrace BC V8G 1S6

More information

KITCHENER-WATERLOO COUNSELLING SERVICES INCORPORATED

KITCHENER-WATERLOO COUNSELLING SERVICES INCORPORATED Financial Statements of KITCHENER-WATERLOO COUNSELLING SERVICES INCORPORATED For the year ended December 31, 2012 7 Union Street East Waterloo, Ontario N2J 1B5 Telephone (519) 579-5520 Fax (519) 570-3611

More information

BC ASSOCIATION OF COMMUNITY RESPONSE NETWORKS. FINANCIAL STATEMENTS March 31, 2017

BC ASSOCIATION OF COMMUNITY RESPONSE NETWORKS. FINANCIAL STATEMENTS March 31, 2017 BC ASSOCIATION OF COMMUNITY RESPONSE NETWORKS FINANCIAL STATEMENTS March 31, 2017 INDEX TO THE FINANCIAL STATEMENTS March 31, 2017 Page Independent Auditor's Report 1 Statement of Financial Position 2

More information

Banff Canmore Community Foundation. Financial Statements

Banff Canmore Community Foundation. Financial Statements Banff Canmore Community Foundation Financial Statements March 31, 2016 Independent Auditors Report To: The Members of Banff Canmore Community Foundation We have audited the accompanying financial statements

More information

North York General Hospital Foundation. Financial Statements March 31, 2013

North York General Hospital Foundation. Financial Statements March 31, 2013 North York General Hospital Foundation Financial Statements March 31, June 20, Independent Auditor s Report To the Members of North York General Hospital Foundation We have audited the accompanying financial

More information

PTP - Adult Learning and Employment Programs. Financial Statements

PTP - Adult Learning and Employment Programs. Financial Statements PTP - Adult Learning and Employment Programs Financial Statements For the Year Ended March 31, 2018 INDEPENDENT AUDITORS' REPORT To the Directors of We have audited the accompanying financial statements

More information

Knox Oakville Non-Profit Homes For Seniors Inc. Financial Statements For the year ended November 30, 2016

Knox Oakville Non-Profit Homes For Seniors Inc. Financial Statements For the year ended November 30, 2016 Knox Oakville Non-Profit Homes For Seniors Inc. Financial Statements For the year ended November 30, 2016 Financial Statements For the year ended November 30, 2016 Contents Independent Auditor's Report

More information