2026-2027 1st Quarter - Quarterly Financial Report

Quarterly Financial Reports

ISSN: 2818-1115

Veterans Review and Appeal Board Quarterly Financial Report

For the quarter ended 30 June 2026

Table of contents

Statement outlining results, risks and significant changes in operations, personnel and program for the quarter ended 30 June 2026

Introduction

This quarterly report has been prepared by management as required by section 65.1 of the Financial Administration Act and in the form and manner prescribed by the Treasury Board. This quarterly report should be read in conjunction with the Main Estimates.

The Veterans Review and Appeal Board (VRAB) is the arm’s-length administrative tribunal that provides an independent avenue of redress for disability benefits decision made by Veterans Affairs Canada. The Board supports Veterans, Canadian Armed Forces and RCMP members, and their families in obtaining the benefits they are entitled to for service-related disabilities. The Board gives Veterans their only opportunity to appear before decision-makers to tell their story. The Board’s program is not only essential to fairness in the disability benefits adjudication system, it is important to the well-being of Veterans and their families. Board Members and staff keep this front of mind as we work together to deliver the appeal program and look for ways to better serve Veterans and their families.

The Board offers two levels of redress for disability benefits decisions: a Review hearing; and, if the Veteran remains dissatisfied, a subsequent Appeal hearing. It also provides the final level of appeal for War Veterans Allowance decisions. The Board is a micro-organization with a small, dedicated staff. The Board currently has up to 25 full-time Members who hear cases brought forward for redress at the Board, and decide whether the evidence meets the requirements of the legislation to award new or increased levels of disability benefits. In deciding cases, they conduct a thoughtful analysis of all available information (i.e. oral testimony, medical reports, opinion evidence from experts, written statements, etc.) and discuss the merits of the case, bearing in mind the requirement to resolve any doubt in the weighing of evidence in favor of the Veteran.

A summary description of the Veterans Review and Appeal Board program activities can be found in Part II of the Main Estimates.

Basis of Presentation

This quarterly report has been prepared by management using an expenditure basis of accounting. The accompanying Statement of Authorities includes the Board’s spending authorities granted by Parliament and those used by the Board, consistent with the Main Estimates for the 2026-27 fiscal year. This quarterly report has been prepared using a special purpose financial reporting framework designed to meet financial information needs with respect to the use of spending authorities.

The authority of Parliament is required before monies can be spent by the Government. Approvals are given in the form of annually approved limits through appropriation acts or through legislation in the form of statutory spending authority for specific purposes.

When Parliament is dissolved for the purposes of a general election, section 30 of the Financial Administration Act authorizes, under certain conditions, the preparation of a special warrants to be signed by the Governor General authorizing payments to be made out of the Consolidated Revenue Fund. Special warrants are deemed to be an appropriation for the fiscal year in which they are issued.

The Board uses the full accrual method of accounting to prepare and present its annual financial statements that are part of the departmental results reporting process. However, the spending authorities voted by Parliament remain on an expenditure basis. The quarterly report has not been subject to an external audit or review.

Highlights of Fiscal Quarter and Fiscal Year-to-Date (YTD) Results

Statement of Authorities

As of 30 June 2026, the Board’s total authorities available for use (i.e. budget) at quarter end are $6K more (.03% increase) when compared to amounts available at the same quarter-end the previous year, from $23.07M in 2025-26 to $23.08M in 2026-27.

Actual year to date expenditures at the end of the first quarter showed a decrease of $540K (10.1% decrease), when compared to the same timeframe in 2025-26. The variance is primarily due to lower personnel expenditures in the first quarter of 2026–27 following the departure of several Board Members, resulting in reduced salary costs.

Figure 1 – First Quarter Expenditures Compared to Annual Authorities

 

Statement of Departmental Budgetary Expenditures by Standard Object

In general, VRAB's expenditures are distributed equally throughout the year. Expenditures at the end of the first quarter (equivalent to 21% of authorities available for use) are consistent with this trend.

Risks and Uncertainties

The Veterans Review and Appeal Board is funded through annual appropriations. As a result, its operations are impacted by any changes in funding approved through Parliament.

Context: The Board provides a national appeal program. It holds hearings and issues decisions for Veterans and their families. As a service-oriented agency, the majority of VRAB’s operating expenditures are salary based and demand-driven. Managing the demand for hearings is driven by a variety of factors over which VRAB has limited control.

The Board holds regular meetings to take into account operational priorities, human and financial resources, and performance measures. VRAB recruits new employees, as required, to replace departing staff to ensure adequate operational support to the redress process. Authorities and expenditures are monitored regularly with senior management.

Significant changes in relation to operations, personnel and programs

The Board continues to experience growing demand for our services. Through funding committed in Budget 2022 and Budget 2023, the Board has and continues to reduce wait times for Veterans and their families through increased capacity, integration and innovation.

Approved by:

________________________________
Richard Thibault
Chairperson
Veterans Review and Appeal Board
Charlottetown, PE

________________________________
Pierre Tessier
Chief Financial Officer
Veterans Affairs Canada
Charlottetown, PE

Financial Statements

Veterans Review and Appeal Board

Statement of Authorities (unaudited)

Quarterly Financial Report for the Quarter Ended June 30, 2025

Fiscal year 2025-26 (in thousands of dollars)
 Planned expenditures for the year ending March 31, 2026 Footnote 1Expended during the quarter ended June 30, 2025Year to date used at quarter-end
Vote 10 - Veterans Review and Appeal Board Operating expenditures20,2404,6384,638
Statutory authorities - Contributions to Employee Benefit Plans - Program2,833708708
Total Budgetary authorities23,0735,3465,346
Non-budgetary authorities000
Total Authorities23,0735,3465,346

Quarterly Financial Report for the Quarter Ended June 30, 2026

Fiscal year 2026-27 (in thousands of dollars)
 Planned expenditures for the year ending March 31, 2027 Footnote 2Expended during the quarter ended June 30, 2026Year to date used at quarter-end
Vote 10 - Veterans Review and Appeal Board Operating expenditures20,0674,0534,053
Statutory authorities - Contributions to Employee Benefit Plans - Program3,012753753
Total Budgetary authorities23,0794,8064,806
Non-budgetary authorities000
Total Authorities23,0794,8064,806

 

Departmental budgetary expenditures by Standard Object (unaudited)

Quarterly Financial Report for the Quarter Ended June 30, 2025

Fiscal Year 2025-26 (in thousands of dollars)
ExpendituresTotal available for use for the year ended March 31, 2026 Footnote 3Used during the quarter ended June 30, 2025Year to date used at quarter-end
01 Personnel21,3475,0215,021
02 Transportation and communications478106106
03 Information766
04 Professional and special services6799999
05 Rentals2581515
06 Repair and maintenance033
07 Utilities, materials and supplies1146565
08 Acquisition of land, buildings and works000
09 Acquisition of machinery and equipment19099
10 Transfer payments000
11 Public debt charges000
12 Other subsidies and payments02222
Total gross budgetary expenditures23,0735,3465,346
Less Revenues netted against expenditures 
Total Revenues netted against expenditures:000
Total net budgetary expenditures23,0735,3465,346

Quarterly Financial Report for the quarter ended June 30, 2026

Fiscal Year 2026-27 (in thousands of dollars)
ExpendituresTotal available for use for the year ended March 31, 2027 Footnote 4Used during the quarter ended June 30, 2026Year to date used at quarter-end
01 Personnel21,3804,4894,489
02 Transportation and communications627103103
03 Information2588
04 Professional and special services587155155
05 Rentals11011
06 Repair and maintenance000
07 Utilities, materials and supplies934646
08 Acquisition of land, buildings and works000
09 Acquisition of machinery and equipment23233
10 Transfer payments000
11 Public debt charges000
12 Other subsidies and payments2511
Total gross budgetary expenditures23,0794,8064,806
Less Revenues netted against expenditures
Total Revenues netted against expenditures:000
Total net budgetary expenditures23,0794,8064,806