Statement of Operations and Accumulated Deficit

Statement of Operations and Accumulated Deficit ($'000)

For the Year Ended March 31, 2023Note(s)

2023 Budget

2023 Actual

2022 Actual

Revenue 

 

 

 

Fees, Licences and Registrations

 

$          38,366

$          48,957

$          29,172

Recoveries - Gaming Sector

 

79,095

32,600

19,735

Recoveries - iGaming Ontario

14

9,474

7,264

Other Revenue 

151

90

82

 

9

117,612

91,121

56,253

Expenditures 

 

 

 

Salaries and Wages

 

76,017

74,805

66,229

Services 

22,062

13,058

17,987

Employee Benefits

5

15,468

16,366

14,972

Amortization of Tangible Capital Assets8

3,534

1,942

1,771

Transportation and Communications 

3,348

1,386

965

Supplies and Equipment 

2,070

750

812

Bad Debts 

7

  

122,499

108,307

102,743

Annual Deficit from Operations 

 

(17,186)

(46,490)

Contribution by the Province

13

 

17,186

46,490

Annual Deficit 

 

Accumulated Deficit, Beginning of Year 

 

Accumulated Deficit, End of Year 

 

$                 —

$                 —

See accompanying notes to the financial statements.