Section 8: Revenues
Public Accounts of Canada 2025 Volume II—Top of the page Navigation
- Previous page: Section 8: Details of respendable amounts
- Section 8: Table of contents: Section 8: Employment and Workforce Development
| Description | Current year | Previous year |
|---|---|---|
| Department of Employment and Social Development | ||
| Other revenues | ||
| Return on investments Links to footnote 1 in Table 1 | ||
| Cash and accounts receivable | ||
| Interest on bank deposits | 712,410 | 741,938 |
| Other accounts | ||
| Interest on Canada student loans | 14,056,516 | 14,631,804 |
| Interest on Canada apprentice loans | 6,139 | 2,092 |
| Payments received for discounted portion of loans | 913,300 | 1,174,630 |
| Subtotal | 15,688,365 | 16,550,464 |
| Refunds and adjustments | ||
| Refunds of previous years' expenditures | 105,919,413 | 42,555,575 |
| Recovery of salary overpayment | – | 119,025 |
| Adjustments to prior year's payables | 129,890,229 | 15,849,090 |
| Refund of payments related to public health events of national concern and income support | 559,981,421 | 518,631,598 |
| Subtotal | 795,791,063 | 577,155,288 |
| Sales of goods and services | ||
| Services of a regulatory nature | ||
| Temporary foreign workers | 146,470,000 | 165,757,100 |
| Sundries | 240,318 | 265,844 |
| Subtotal | 146,710,318 | 166,022,944 |
| Services of a non-regulatory nature | ||
| Passport | 311,250,270 | 316,019,740 |
| Canadian Digital Service | 3,435,344 | – |
| Services provided to Other Government Departments under the Department of Employment and Social Development Act | 187,053,947 | 136,807,649 |
| Canada Education Savings Program | 449,509 | 1,300,163 |
| Federal Workers Compensation | 3,385,873 | 3,242,100 |
| Sundries | 634,846 | 535,414 |
| Subtotal | 506,209,789 | 457,905,066 |
| Other fees and charges | ||
| Sundries | 10,979 | 7,735 |
| Subtotal | 652,931,086 | 623,935,745 |
| Proceeds from the disposal of surplus Crown assets | ||
| Proceeds from the disposal of capital assets | 161,126 | 39,392 |
| Gain on disposal of non-capital assets | 31,095 | 43,206 |
| Subtotal | 192,221 | 82,598 |
| Miscellaneous revenues | ||
| Interest on accounts receivable | 2,866,043 | 588,091 |
| Gain on foreign currency | 14,422 | 26,747 |
| Crown-owned housing rentals | 185,604 | 95,298 |
| Other revenue from services of a non-regulatory nature | ||
| Canada Education Savings program | 89,820 | 10,804 |
| Recovery of administration costs | ||
| Employment insurance | 2,441,011,161 | 2,475,064,756 |
| Canada Pension Plan | 621,509,186 | 609,822,888 |
| Recovery of costs from other departments for general administration services | ||
| Passport | 64,344,947 | 68,950,991 |
| Services provided to Other Government Department under the Department of Employment and Social Development Act | 34,468,979 | 23,859,240 |
| Employment Insurance Act fines | 341,005 | 352,630 |
| Temporary Foreign Worker Program penalties | 4,902,250 | 2,072,750 |
| Canada Labour Code penalties | 277,000 | 388,750 |
| Annuities account—Actuarial surplus | 1,087,351 | 2,479,642 |
| Civil service insurance fund—Actuarial surplus | 29,357 | 98,338 |
| Legal cost | 343,754 | 278,518 |
| Accounts receivable for small and non-refundable credit balances | 6,913 | 9,886 |
| Sundries | 848,010 | 646,944 |
| Subtotal | 3,172,325,802 | 3,184,746,273 |
| Total Department | 4,636,928,537 | 4,402,470,368 |
| Canadian Accessibility Standard Development Organization | ||
| Other revenues | ||
| Refunds and adjustments | ||
| Refunds of previous years' expenditures | 151,898 | 54,694 |
| Adjustments to prior year's payables | 155,015 | 21,417 |
| Recovery of salary overpayment | 6,391 | 356 |
| Total Agency | 313,304 | 76,467 |
| Canadian Centre for Occupational Health and Safety | ||
| Other revenues | ||
| Refunds and adjustments | ||
| Adjustments to prior year's payables | 18 | 15,738 |
| Sales of goods and services | ||
| Sales of goods and information products | ||
| Sales of goods and information products | 7,746,881 | 7,166,918 |
| Deferred revenues | 2,805,906 | – |
| Subtotal | 10,552,787 | 7,166,918 |
| Other fees and charges | ||
| Deferred revenues | (negative 872,394) | (negative 29,595) |
| Subtotal | 9,680,393 | 7,137,323 |
| Miscellaneous revenues | ||
| Gifts to the Crown | ||
| General purpose donations | 120,986 | – |
| Total Agency | 9,801,397 | 7,153,061 |
| Ministry Summary | ||
| Other revenues | ||
| Return on investments | 15,688,365 | 16,550,464 |
| Refunds and adjustments | 796,104,385 | 577,247,493 |
| Sales of goods and services | 662,611,479 | 631,073,068 |
| Proceeds from the disposal of surplus Crown assets | 192,221 | 82,598 |
| Miscellaneous revenues | 3,172,446,788 | 3,184,746,273 |
| Total Ministry | 4,647,043,238 | 4,409,699,896 |
Table 1 notes
| ||
Public Accounts of Canada 2025 Volume II—Bottom of the page Navigation
- Previous page: Section 8: Details of respendable amounts
- Section 8: Table of contents: Section 8: Employment and Workforce Development
- Date modified: