Daily Cash Balance

The Department of Public Services and Procurement Canada, in its role as Receiver General for Canada, is responsible for the management and safeguarding of all federal government money. All funds paid to the Government of Canada are held in a central account at the Bank of Canada, known as the Consolidated Revenue Fund (CRF). The Receiver General uses a centralized banking system (Government Banking System or GBS) to record the inflow of funds to the CRF. Using this system, cash balances at the Bank of Canada are reviewed and approved each day by the Receiver General. This dataset entitled “Daily Cash Balances” provides details, extracted from the GBS, of the balance and amounts held at the Bank of Canada. Updates will be posted quarterly.

Données et ressources

Info additionnelle

Champ Valeur
Dernière modification avril 17, 2026, 18:39 (TU)
Créé le avril 17, 2026, 18:39 (TU)
contact_person {}
criticality_level []
data_dictionary []
geographic_scope []
open_canada_collection primary
open_canada_date_modified 2026-03-04 00:00:00
open_canada_date_published 2017-10-16 00:00:00
open_canada_keywords {"fr": ["receveur général", "paiements", "sorties de fonds", "Trésor", "Banque du Canada", "dette", "transferts", "trésorerie", "solde", "valeurs"], "en": ["Receiver General", "Payments", "Outflows", "Consolidated Revenue Fund", "Bank of Canada", "Balance", "Debt", "Transfers", "Cash", "Values"]}
open_canada_subject ["government_and_politics"]
sensitivity_level unrestricted
title_fr Sorties quotidien de trésorerie
update_frequency P1M