ERIC Number: ED254120
Record Type: RIE
Publication Date: 1984-Nov
Reference Count: 0
Financial Report of Ontario Universities, 1983-84. Volume II, Affiliated and Federated Colleges and Universities.
Council of Ontario Universities, Toronto. Research Div.
Fiscal year 1983 data on the total revenue and expenses and changes in fund balances of the 22 affiliated or federated colleges, universities, and seminaries of Ontario are presented. The information is presented using consistent categories and definitions for all universities and colleges in Ontario. In addition to financial data for each institution, summary information for all schools on a consolidated basis are included. Statistical tables cover the following: combined revenue and expense and changes in fund balances, revenue by source and type of fund, percentage of operating revenue by source, expenses (all funds) by object and type of fund, actual operating expenses by object and functional area, general funds in appropriated fund balances, percentage analysis of total expenses by object of expense by institution, percentage of operating expenses by functional area by institution, and general fund changes in appropriated fund balances. For institutional fund balances, details are provided on the amounts of expendable funds available within both the general and restricted fund categories. Details concerning the appropriated reserves of the universities' ancillary enterprises are also included. (SW)
Descriptors: Budgeting, Church Related Colleges, Educational Finance, Expenditures, Financial Support, Foreign Countries, Higher Education, Income, Operating Expenses, Private Colleges, Resource Allocation, School Funds, Universities
Council of Ontario Universities, 130 St. George Street, Suite 8039, Toronto, Ontario M5S 2T4, Canada.
Publication Type: Numerical/Quantitative Data
Education Level: N/A
Authoring Institution: Council of Ontario Universities, Toronto. Research Div.
Identifiers: Canada; Ontario; Public Colleges
Note: For related documents, see HE 017 943-945.