Thanks, Mr. Chair. I wouldn't characterize it as being rolled back in, but it's expenditures that aren't undertaken, so there would be that much cash left over in terms of the draw on our overall revenue. It would affect our overall cash position at the end of the year. It would just be that money would be left and we wouldn't have as large of negative cash position if we had that left over at the end of the year. Thanks, Mr. Chair.
Mr. Stewart on Committee Motion 76-18(3): Tabled Document 255-18(3): SUPPLEMENTARY ESTIMATES (INFRASTRUCTURE EXPENDITURES), NO. 3, 2018-2019, Carried
In the Legislative Assembly on October 24th, 2018. See this statement in context.
Committee Motion 76-18(3): Tabled Document 255-18(3): SUPPLEMENTARY ESTIMATES (INFRASTRUCTURE EXPENDITURES), NO. 3, 2018-2019, Carried
Consideration In Committee Of The Whole Of Bills And Other Matters
October 24th, 2018
Page 4428
Stewart
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