I would have to sit down and have a conversation with the Member and try to explain how this works. You know, the cash that's generated from our operations in 2014-15 was about $175 million, as was reported in the public documents. We were able to generate this level of cash from our operations because of the $95 million surplus achieved in 2014-15, which included about $80 million for non-cash items like amortization expense and all the GNWT needs to account for. Again, as I said before, it is a very difficult document to read without properly understanding it, and I would be glad to sit down with the Member and we can go over the document together.
Robert C. McLeod on Question 298-18(2): Reporting On The GNWT’s Fiscal Performance
In the Legislative Assembly on June 29th, 2016. See this statement in context.
Question 298-18(2): Reporting On The GNWT’s Fiscal Performance
Oral Questions
June 28th, 2016
See context to find out what was said next.