Canada Gazette, Part I, Volume 147, Number 46: GOVERNMENT NOTICES

November 16, 2013

DEPARTMENT OF THE ENVIRONMENT

CANADIAN ENVIRONMENTAL PROTECTION ACT, 1999

Notice of intent to amend the Domestic Substances List under subsection 87(3) of the Canadian Environmental Protection Act, 1999 to indicate that subsection 81(3) of that Act applies to quinoline

Whereas quinoline (Chemical Abstracts Service [CAS] Registry No. 91-22-5) is specified on the Domestic Substances List;

Whereas the Minister of the Environment and the Minister of Health have conducted a screening assessment of quinoline under section 74 of the Canadian Environmental Protection Act, 1999 and on November 19, 2011, released, for a 60-day public comment period, the proposed risk management approach in which one of the risk management objectives is to prevent increases in exposure to this substance;

Whereas the Ministers are satisfied that quinoline is, in any one calendar year, being manufactured in or imported into Canada by any person in a quantity of more than 100 kg for a limited number of uses;

And whereas the Ministers suspect that the information concerning a significant new activity in relation to this substance may contribute to determining the circumstances in which the substance is toxic or capable of becoming toxic within the meaning of section 64 of the Canadian Environmental Protection Act, 1999,

Therefore, notice is hereby given that the Minister of the Environment intends to amend the Domestic Substances List pursuant to subsection 87(3) of the Canadian Environmental Protection Act, 1999 to indicate that subsection 81(3) of that Act applies to any significant new activities relating to the substance in accordance with the Annex.

Public comment period

Any person may, within 60 days of publication of this Notice, file with the Minister of the Environment comments with respect to this proposal. All comments must cite the Canada Gazette, Part Ⅰ, and the date of publication of this Notice and be sent by mail to the Executive Director, Program Development and Engagement Division, Department of the Environment, Gatineau, Quebec K1A 0H3, 819-953-7155 (fax), substances@ec.gc.ca (email).

The screening assessment report and the proposed risk management approach document for this substance may be obtained from the Government of Canada’s Chemical Substances Web site at www.chemicalsubstanceschimiques.gc.ca.

In accordance with section 313 of the Canadian Environmental Protection Act, 1999, any person who provides information in response to this Notice may submit with the information a request that it be treated as confidential.

DAVID MORIN
Director General
Science and Risk Assessment Directorate
On behalf of the Minister of the Environment

VIRGINIA POTER
Director General
Chemicals Sectors Directorate
On behalf of the Minister of the Environment

ANNEX

1. Part 1 of the Domestic Substances List is proposed to be amended by deleting the following:

91-22-5

2. Part 2 of the List is proposed to be amended by adding the following in numerical order:

Column 1

Substance

Column 2

Significant New Activity for which substance is subject to subsection 81(3) of the Act

91-22-5 S′
  1. Any activity involving, in any one calendar year, more than 100 kg of the substance quinoline in its isolated form.
  2. For each proposed significant new activity, the following information must be provided to the Minister at least 180 days before the day on which the quantity of the substance exceeds 100 kg in any one calendar year:
    • (a) a description of the proposed significant new activity in relation to the substance;
    • (b) the anticipated annual quantity of the substance to be used;
    • (c) if known, the three sites in Canada where the greatest quantity of the substance is anticipated to be used or processed and the estimated quantity by site;
    • (d) the information specified in items 3 to 7 of Schedule 4 to the New Substances Notification Regulations (Chemicals and Polymers);
    • (e) the products and, if known, end-use products that are anticipated to contain the substance, the intended use of those products and the function of the substance in those products;
    • (f) the information specified in paragraphs 2(d) to (f) and 8(a) to (g) of Schedule 5 to those Regulations;
    • (g) the information specified in paragraph 11(b) of Schedule 6 to those Regulations;
    • (h) a summary of all other information or test data in respect of the substance that are in the possession of the person proposing the significant new activity, or to which they have access, and that are relevant to identifying hazards of the substance to the environment and human health and the degree of environmental and public exposure to the substance;
    • (i) the identification of every government department or agency, either outside or within Canada, to which the person proposing the significant new activity has provided information regarding the substance and, if known, the department or agency’s file number and, if any, the outcome of the assessment by the department or agency and the risk management actions in relation to the substance imposed by the department or agency;
    • (j) the name, civic and postal addresses, telephone number and, if any, the fax number and email address of the person proposing the significant new activity and, if any, the person authorized to act on behalf of that person; and
    • (k) a certification stating that the information is accurate and complete, dated and signed by the person proposing the significant new activity, if they are resident in Canada or, if not, by the person authorized to act on their behalf.
  3. The above information will be assessed within 180 days after the day on which it is received by the Minister.

COMING INTO FORCE

3. The Order would come into force on the day on which it is registered.

EXPLANATORY NOTE

(This explanatory note is not part of the Significant New Activity Notice.)

This Notice is a legal instrument issued by the Minister of the Environment pursuant to subsection 87(3) of the Canadian Environmental Protection Act, 1999. The Significant New Activity Notice sets out the appropriate information that must be provided to the Minister for assessment prior to the commencement of a significant new activity as described in the Notice.

Significant New Activity provisions do not apply to a substance that is manufactured or imported for a use that is regulated under any Act of Parliament listed in Schedule 2 of the Canadian Environmental Protection Act, 1999, including the Pest Control Products Act, the Fertilizers Act and the Feeds Act. These provisions do not apply in some circumstances to transient reaction intermediates, impurities, or substances produced when a substance undergoes a chemical reaction. See subsection 81(6) of the Canadian Environmental Protection Act, 1999 for more details. Finally, as described in section 3 of the Canadian Environmental Protection Act, 1999, Significant New Activity provisions do not apply in some circumstances to wastes, mixtures or manufactured items.

This Notice does not constitute an endorsement from Environment Canada or the Government of Canada of the substance to which it relates, nor does it constitute an exemption from any other laws or regulations that are in force in Canada and that may apply to this substance or activities involving the substance.

[46-1-o]

DEPARTMENT OF FISHERIES AND OCEANS

FISHERIES ACT

Notice of intent with respect to amending the Pacific Aquaculture Regulations to include aquaculture licence fees

Fisheries and Oceans Canada (DFO) intends to charge licence fees for all federally licensed aquaculture operations in British Columbia, with the exception of salmon enhancement facilities. The licence fees would be implemented through an amendment to the Pacific Aquaculture Regulations. This process is also subject to the provisions of the User Fees Act, which requires that the fee proposal be tabled in Parliament before it is finalized.

A discussion paper summarizing the proposed fees, service standards and the anticipated impacts of the proposal will be posted on the Department’s Web site. All affected and interested parties are invited to review the discussion paper, and participate fully during the comment period of the consultation process which will begin on November 19, 2013, and conclude on December 19, 2013.

The information collected during this process will be used in informing the development of potential regulatory amendments as part of the implementation of these changes.

For further information, please consult the Department’s Web site at www.dfo-mpo.gc.ca/aquaculture/programs-programmes/discussion-eng.htm.

This notice replaces the consultation announced on December 15, 2012, in the Canada Gazette, Part Ⅰ, which was subsequently suspended (as announced on the Department of Fisheries and Oceans’ Web site).

November 16, 2013

AQUACULTURE MANAGEMENT DIRECTORATE

[46-1-o]

DEPARTMENT OF INDUSTRY

DEPARTMENT OF INDUSTRY ACT

RADIOCOMMUNICATION ACT

Notice No. SMSE-006-13 — Decisions on the Licensing Framework for Fixed-Satellite Service (FSS) and Broadcasting-Satellite Service (BSS), Implications for Other Satellite Services in Canada, and Revised Fee Proposal

The purpose of this notice is twofold: (1) to announce Industry Canada’s decisions regarding revisions to the licensing framework for satellite services, following a consultation process initiated in March 2012 through the notice SMSE-003-12, Consultation on the Licensing Framework for Fixed-Satellite Service (FSS) and Broadcasting-Satellite Service (BSS) in Canada, published in the Canada Gazette; and (2) to seek comments on a revised fee proposal, as it is outlined in the decision paper.

Industry Canada has taken into consideration the comments and reply comments on the initial fee proposal, and has included a revised fee proposal in the above-noted decision paper.

A revised RP-008, Policy Framework for Fixed-Satellite Service (FSS) and Broadcasting-Satellite Service (BSS), which has been broadened to include BSS, and a revised CPC-2-6-02, Licensing of Space Stations, will be published in the coming weeks. A notice will be published announcing their release and the date that the moratorium on FSS and BSS licensing will be lifted. For further details regarding the current moratorium, see notice SMSE-015-12, Moratorium on new licence applications for fixed-satellite service and broadcasting-satellite service in Canada, published in the Canada Gazette.

It should be noted by all satellite operators that the revised CPC-2-6-02 will apply to all satellite licensing, including mobile-satellite service, amateur satellite service and space science satellite service. In some cases, the revised CPC will introduce changes to existing processes.

After the revised policy and procedures documents have been published, Industry Canada will hold a session with interested parties to answer questions. Within the week following that session, each interested party will be permitted to submit a single mock application and Industry Canada will provide feedback on whether it meets the new assessment criteria, as well as feedback on how to address any deficiencies in the application. Industry Canada will not lift the moratorium until this feedback has been provided to all parties.

Submitting comments

Interested parties should submit their comments on the revised fee proposal no later than December 6, 2013. Soon after the close of the comment period, all comments will be posted on Industry Canada’s Spectrum Management and Telecommunications Web site at www.ic.gc.ca/spectrum. There will be no opportunity for reply comments. All comments will be reviewed and considered by Industry Canada in order for it to arrive at a final fee proposal.

Respondents are requested to provide their comments in electronic format (Microsoft Word or Adobe PDF), along with a note specifying the software, the version number and the operating system used, to the following email address: satelliteconsultation@ic.gc.ca. Written submissions should be addressed to the Director General, Engineering, Planning and Standards Branch, Industry Canada (JETN), 235 Queen Street, Ottawa, Ontario K1A 0H5.

All submissions should cite the Canada Gazette, Part Ⅰ, the publication date, the title, and the notice reference number (SMSE-006-13).

Obtaining copies

Copies of this notice and of documents referred to herein are available electronically on Industry Canada’s Spectrum Management and Telecommunications Web site at www.ic.gc.ca/spectrum.

Official versions of Canada Gazette notices can be viewed at www.gazette.gc.ca/rp-pr/p1/index-eng.html. Printed copies of the Canada Gazette can be ordered by telephoning the sales counter of Publishing and Depository Services at 613-941-5995 or 1-800-635-7943.

November 4, 2013

MARC DUPUIS
Director General
Engineering, Planning and Standards Branch

[46-1-o]

NOTICE OF VACANCY

THE FEDERAL BRIDGE CORPORATION LIMITED

Chairperson (part-time position)

The Federal Bridge Corporation Limited (FBCL) and its subsidiary organizations (The Seaway International Bridge Corporation Limited and The St. Mary’s River Bridge Company) have a mandate to engage in a range of activities to ensure that the bridges, roadways and other structures under their control are safe, secure, efficient, environmentally sound and well-maintained. In doing so, the FBCL demonstrates the commitment of the Government of Canada to the transportation needs of the country.

The Chairperson reports to Parliament through the Minister of Transport and is responsible for the oversight of the Corporation’s activities, providing strategic policy direction for the Corporation, presiding over the activities of the Board of Directors and providing leadership to the Board for all aspects of the Board’s work.

The ideal candidate would have a degree from a recognized university in a relevant field of study, or an acceptable combination of education, job-related training and/or experience. He or she would have significant experience serving on boards of directors of major public and/or private corporations, preferably as chairperson, as well as experience in implementing modern corporate governance principles and best practices. The ideal candidate would also have experience dealing with different levels of government, preferably with senior officials. Experience in a multiple stakeholder environment, preferably dealing with surface transportation (highways and bridges), and experience in dealing with Canada–United States cross border issues would be considered assets.

The ideal candidate would have knowledge of the Corporation’s mandate, legislative framework and activities, as well as be knowledgeable about the roles and responsibilities of a chairperson, including the fundamental accountabilities to the Government as the shareholder. The ideal candidate would also have knowledge of strategic corporate planning, monitoring and evaluation of corporate performance. Further, knowledge of the public policy environment, processes and best practices and knowledge of human resources, financial and risk management are desired. He or she would also have knowledge of current international bridge safety and security issues. Appreciation for, and sensitivity to, aboriginal customs, methods of business, mandates and objectives in land claims and archaeology issues and knowledge of the communities in which the Corporation operates (Cornwall, Sault Ste. Marie and the Thousand Islands) would be considered assets.

The Chairperson should be an individual of integrity and sound judgment, should exhibit tact, diplomacy and initiative, and should possess superior leadership and interpersonal skills. He or she would have the ability to develop effective working relationships with different levels of government as well as FBCL’s partners and stakeholders. The ideal candidate would have the ability to anticipate emerging issues and develop strategies to enable the Board to seize opportunities, resolve problems and lead organizational change. He or she would also have the ability to foster debate and discussions among Board members, facilitate consensus and manage conflicts and exhibit strong leadership and managerial skills, to ensure the Board conducts its work effectively. The ideal candidate would adhere to high ethical standards and would possess superior communications skills, both written and oral, and possess the ability to act as a spokesperson in dealing with the media, public institutions, governments and other organizations.

Proficiency in both official languages would be preferred.

The successful candidate must be available for Board meetings approximately 20–30 days per year and should be prepared to view, as required, the structures managed by the Corporation.

The Government is committed to ensuring that its appointments are representative of Canada’s regions and official languages, as well as of women, Aboriginal peoples, disabled persons and visible minorities.

The selected candidate must comply with the Ethical and Political Activity Guidelines for Public Office Holders. The Guidelines are available on the Governor in Council Appointments Web site, under “Reference Material,” at www.appointments-nominations.gc.ca/index.asp?lang=eng.

The selected candidate will be subject to the Conflict of Interest Act. For more information, please visit the Office of the Conflict of Interest and Ethics Commissioner’s Web site at http://ciec-ccie.gc.ca/Default.aspx?pid=1&lang=en.

This notice has been placed in the Canada Gazette to assist the Governor in Council in identifying qualified candidates for this position. It is not, however, intended to be the sole means of recruitment.

Further details about the organization and its activities can be found on its Web site at www.federalbridge.ca.

Interested candidates should forward their curriculum vitae by December 2, 2013, to the Assistant Secretary to the Cabinet (Senior Personnel), Privy Council Office, 59 Sparks Street, 1st Floor, Ottawa, Ontario K1A 0A3, 613-957-5006 (fax), GICA-NGEC@pco-bcp.gc.ca (email).

English and French notices of vacancies will be produced in an alternative format upon request. For further information, please contact Publishing and Depository Services, Public Works and Government Services Canada, Ottawa, Ontario K1A 0S5, 613-941-5995 or 1-800-635-7943.

[46-1-o]

NOTICE OF VACANCY

WINDSOR-DETROIT BRIDGE AUTHORITY

Chairperson (part-time position)

The Windsor-Detroit Bridge Authority (WDBA), a parent Crown corporation, was established in October 2012. Its mandate is to enable construction and operation of a new international crossing between Windsor, Ontario, and Detroit, Michigan. The project includes four components: a six-lane high-level bridge, a Canadian port of entry (POE) with border inspection and toll facilities, a U.S. POE with border inspection, and an interchange with Interstate 75. Project procurement and operations are governed by the Canada-Michigan Crossing Agreement concluded in June 2012, which can be found at www.partnershipborderstudy.com/crossing-agreement.asp.

The Chairperson is responsible for overseeing the Authority’s activities, providing strategic policy direction for the WDBA and presiding over the activities of the Board of Directors. The Chairperson reports to Parliament through the Minister of Transport.

The ideal candidate should possess a degree from a recognized university in a relevant field of study, or an acceptable combination of education, job-related training and/or experience.

The ideal candidate would have significant experience serving on boards of directors of major public and/or private corporations, preferably as a Chairperson. Experience in managing human and financial resources at the senior executive level, as well as implementing modern corporate governance best practices, is desired. He or she would have significant experience dealing with different levels of government, preferably with senior officials. Experience in the delivery and/or oversight of major infrastructure projects would be considered an asset.

The ideal candidate would have knowledge of the newly created WDBA’s mandate, legislative framework and activities. He or she would be knowledgeable about the practices and principles of good corporate governance and the roles and responsibilities of a chairperson, a board of directors and a chief executive officer. Knowledge of strategic corporate planning, monitoring and evaluation of corporate performance, as well as political and public policy environments, processes and best practices, is sought. This candidate should also possess knowledge of sound human resources and financial management practices and principles. Knowledge of current international bridge safety and security issues is sought. Knowledge of the management and approval of capital projects at the federal and/or provincial level as well as multi-modal transportation networks, including bridges and international crossings, would be considered an asset.

The Chairperson should have strong leadership and managerial skills to ensure the Board conducts its work effectively. The individual would possess sound judgment, tact, adaptability, superior interpersonal skills and high ethical standards and integrity. The ideal candidate would also have the ability to develop effective working relationships with different levels of government as well as the WDBA’s partners and U.S. stakeholders, particularly as it relates to this international bridge project, to border inspections services and to the communities where the project will be located. The ability to anticipate emerging issues and develop strategies to enable the Board to seize opportunities and resolve problems is desired. He or she would have the ability to foster debate and discussions among Board members, facilitate consensus and manage conflict. Superior communications skills, both written and oral, and the ability to act as a spokesperson in dealing with the media, public institutions, governments and other organizations are sought.

Proficiency in both official languages would be preferred.

The successful candidate must be available for Board meetings approximately 10 to 12 days per year.

The Government is committed to ensuring that its appointments are representative of Canada’s regions and official languages, as well as of women, Aboriginal peoples, disabled persons and visible minorities.

The selected candidate must comply with the Ethical and Political Activity Guidelines for Public Office Holders. The Guidelines are available on the Governor in Council Appointments Web site, under “Reference Material,” at www.appointments-nominations.gc.ca/index.asp?lang=eng.

The selected candidate will be subject to the Conflict of Interest Act. For more information please visit the Office of the Conflict of Interest and Ethics Commissioner’s Web site at http://ciec-ccie.gc.ca/Default.aspx?pid=1&lang=en.

This notice has been placed in the Canada Gazette to assist the Governor in Council in identifying qualified candidates for this position. It is not, however, intended to be the sole means of recruitment.

Further details about the letters patent for the WDBA can be found at http://gazette.gc.ca/rp-pr/p1/2013/2013-01-26/html/order-decret-eng.html.

Interested candidates should forward their curriculum vitae by November 29, 2013, to the Assistant Secretary to the Cabinet (Senior Personnel), Privy Council Office, 59 Sparks Street, 1st Floor, Ottawa, Ontario K1A 0A3, 613-957-5006 (fax), GICA-NGEC@pco-bcp.gc.ca (email).

English and French notices of vacancies will be produced in an alternative format upon request. For further information, please contact Publishing and Depository Services, Public Works and Government Services Canada, Ottawa, Ontario K1A 0S5, 613-941-5995 or 1-800-635-7943.

[46-1-o]

NOTICE OF VACANCIES

CANADIAN TRANSPORTATION AGENCY

Members (full-time positions)

Salary range: From $171,100 to $201,200
Location: National Capital Region

The Canadian Transportation Agency (the Agency) is an independent, adjudicative tribunal and economic regulator. It administers legislation and regulations applicable to federal air, rail and marine transportation (as well as some aspects of intercity bus service). Among other responsibilities, the Agency licenses air carriers; participates in international bilateral air transport negotiations and administers bilateral air transport agreements as an aeronautical authority; resolves disputes between travellers and airlines concerning air tariff matters; regulates air services price advertising; removes undue obstacles to persons with disabilities travelling via passenger air, rail, interprovincial ferry and interprovincial bus; approves proposed construction of railway lines; resolves complaints between shippers and railway companies concerning rail rates, services and other matters; administers the railway revenue cap regime concerning western grain transportation; and protects the interests of Canadian marine vessel operators when authorizing foreign vessels to operate in Canadian waters.

As independent decision-makers, the Members of the Agency are responsible for decisions and orders related to dispute and regulatory applications and determinations. Panels of Members are assigned by the Chairperson to make decisions. Most formal dispute adjudications and regulatory determinations are processed through written hearings, though oral hearings may be held.

The ideal candidates should possess a degree from a recognized university in a relevant field of study, or an acceptable combination of equivalent education, training and/or job-related experience.

The preferred candidates would have experience in dealing with complex and sensitive issues and decision-making in a private or public sector organization. Experience in developing, maintaining and managing successful working relationships and in the interpretation and application of rules, guidelines and procedures is desired. Experience working in a regulated industry, the transportation sector (i.e. air, rail and marine transportation), the field of administrative law or in an arbitration or adjudicative setting would be considered an asset.

The ideal candidates would be knowledgeable of the legislative framework and mandate of the Agency as well as its role and adjudicative, dispute resolution and regulatory functions. Knowledge of the current trends, issues and developments related to the transportation sector, including industry structures, performance characteristics, economic impacts and contributions, competitiveness and development issues, is sought. The candidates would also have knowledge of economic, financial and management concepts and how they pertain to regulated industries and companies and to the analysis of transportation issues. In addition, knowledge and understanding of the procedures and practices involved in conducting adjudicative hearings is desired.

The ideal candidates would have the ability to interpret and apply legislation, regulations and policies in a decision-making environment, in addition to the capacity to manage multiple and conflicting priorities. They would have the ability to analyze differing opinions and complex situations in order to make decisions that are informed, fair and well-reasoned. The ability to develop effective working relationships as well as foster debate and discussions and build consensus is sought. Moreover, the candidates should possess superior communication skills, both written and oral, with the ability to write clear and concise reports, analyses and decisions. The ability to work effectively with staff and manage conflicts, should they arise, is desired.

Members of the Agency should be fair and impartial as well as be diplomatic, tactful and discreet. Superior interpersonal skills, sound judgement, high ethical standards and integrity are also desired.

Proficiency in both official languages would be preferred.

Full-time Members must reside in or relocate to the National Capital Region or to a location within a reasonable commuting distance. They must also be prepared to travel to hearings if required.

Members shall not, directly or indirectly, as owner, shareholder, director, officer, partner or otherwise, be engaged in a transportation undertaking or business. Furthermore, members shall not have an interest in a transportation undertaking or business or an interest in the manufacture or distribution of transportation plant or equipment, unless the distribution is merely incidental to the general merchandising of goods.

Members must be Canadian citizens or permanent residents within the meaning of the Immigration and Refugee Protection Act.

The Government is committed to ensuring that its appointments are representative of Canada’s regions and official languages, as well as of women, Aboriginal peoples, disabled persons and visible minorities.

The selected candidates must comply with the Ethical and Political Activity Guidelines for Public Office Holders. The Guidelines are available on the Governor in Council Appointments Web site, under “Reference Material,” at www.appointments-nominations.gc.ca/index.asp?lang=eng.

The selected candidates will be subject to the Conflict of Interest Act. Public office holders appointed on a full-time basis must submit to the Office of the Conflict of Interest and Ethics Commissioner, within 60 days of appointment, a confidential report in which they disclose all of their assets, liabilities and outside activities. For more information, please visit the Office of the Conflict of Interest and Ethics Commissioner’s Web site at http://ciec-ccie.gc.ca/Default.aspx?pid=1&lang=en.

This notice has been placed in the Canada Gazette to assist the Governor in Council in identifying qualified candidates for these positions. It is not, however, intended to be the sole means of recruitment.

Further details about the organization and its activities can be found on its Web site at www.otc-cta.gc.ca/eng/home.

Interested candidates should forward their curriculum vitae by December 2, 2013, to the Assistant Secretary to the Cabinet (Senior Personnel), Privy Council Office, 59 Sparks Street, 1st Floor, Ottawa, Ontario K1A 0A3, 613-957-5006 (fax), GICA-NGEC@pco-bcp.gc.ca (email).

English and French notices of vacancies will be produced in an alternative format upon request. For further information, please contact Publishing and Depository Services, Public Works and Government Services Canada, Ottawa, Ontario K1A 0S5, 613-941-5995 or 1-800-635-7943.

[46-1-o]

BANK OF CANADA

Statement of financial position as at September 30, 2013

Unaudited

(Millions of dollars)
ASSETS
Cash and foreign deposits   5.4
Loans and receivables
Securities purchased under resale agreements  
Advances to members of the Canadian Payments Association
 
Advances to governments  
Other receivables 7.3  
    7.3
Investments
Treasury bills of Canada 22,446.2  
Government of Canada bonds 64,481.4  
Other investments 329.8  
    87,257.4
Property and equipment   218.0
Intangible assets   55.2
Other assets   202.4
  87,745.7
LIABILITIES AND EQUITY
Bank notes in circulation   63,335.1
Deposits
Government of Canada 22,055.2  
Members of the Canadian Payments Association
167.3
 
Other deposits 1,188.2  
    23,410.7
Liabilities in foreign currencies
Government of Canada  
Other  
   
Other liabilities
Securities sold under    
repurchase agreements  
Other liabilities 573.9  
    573.9
    87,319.7
Equity
Share capital 5.0  
Statutory and special reserves 125.0  
Available-for-sale reserve 296.0  
Actuarial gains reserve  
Retained earnings  
    426.0
87,745.7

I declare that the foregoing return is correct according to the books of the Bank.

Ottawa, November 5, 2013

S. VOKEY
Chief Accountant and Chief Financial Officer

I declare that the foregoing return is to the best of my knowledge and belief correct, and shows truly and clearly the financial position of the Bank, as required by section 29 of the Bank of Canada Act.

Ottawa, November 5, 2013

STEPHEN S. POLOZ
Governor

[46-1-o]