MANAGEMENT OVERVIEW
November 30, 2024
Balance Sheets
Cash and cash equivalents had a month-end balance of approximately $130.0 million. The balance decreased by $9.4 million for the month primarily due to cash disbursements for operating expenses and capital expenditures. The cash position is considered sufficient to cover current and future budgetary obligations of the Fund through April 2025, at which time the Fund will collect the 2025 operating fees from its credit union members.
Amount due from National Credit Union Share Insurance Fund of $14.5 thousand represents the receivable for expenses paid by the Operating Fund.
Other accounts receivable, net had a month-end balance of $321.5 thousand. Its balance increased by $148.1 thousand from prior month.
Accounts payable are trade, relocation and inter-agency payables. The balance increased by $547.6 thousand for the month primarily due to vendor/trade and overhead transfer payables.
Accrued wages and benefits are earned by NCUA staff, but remain unpaid at month-end.
Accrued annual leave is leave earned by NCUA staff, but not yet used.
Statements of Revenues, Expenses, and Changes in Fund Balance
Revenues in excess of expenses totaled $52.7 thousand for the month. Operating fee revenue reflects one-twelfth of the 2024 Operating Fees. Expenses, net are after the overhead transfer rate adjustment that allocates a portion of expenses to the Share Insurance Fund.
Statements of Cash Flows
The cash position decreased $9.4 million from prior month. In the current month, $9.2 million was used in operating activities, $205.4 thousand was used in investing activities, and there were no financing activities.
BALANCE SHEETS
As of November 30, 2024 and 2023 (Dollars in thousands)
ASSETS | November 2024 | November 2023 |
---|---|---|
ASSETS Cash and cash equivalents |
November 2024 $129,960 |
November 2023 $123,258 |
ASSETS Due from National Credit Union Share Insurance Fund |
November 2024 14 |
November 2023 27 |
ASSETS Employee advances |
November 2024 13 |
November 2023 - |
ASSETS Other accounts receivable, net |
November 2024 322 |
November 2023 293 |
ASSETS Prepaid expenses and other assets |
November 2024 9,170 |
November 2023 7,478 |
ASSETS Operating lease right-of-use assets |
November 2024 7,223 |
November 2023 2,021 |
ASSETS Fixed assets1 |
November 2024 30,683 |
November 2023 34,540 |
ASSETS Intangible assets2 |
November 2024 19,395 |
November 2023 22,537 |
ASSETS TOTAL ASSETS |
November 2024 $196,780 |
November 2023 $190,154 |
LIABILITIES AND FUND BALANCE
LIABILITIES | November 2024 | November 2023 |
---|---|---|
LIABILITIES Accounts payable and accrued other liabilities |
November 2024 $25,411 |
November 2023 $22,489 |
LIABILITIES Finance lease liabilities |
November 2024 164 |
November 2023 159 |
LIABILITIES Operating lease liabilities |
November 2024 7,548 |
November 2023 2,021 |
LIABILITIES Accrued wages and benefits |
November 2024 10,510 |
November 2023 9,006 |
LIABILITIES Accrued FECA and unemployment benefits |
November 2024 294 |
November 2023 436 |
LIABILITIES Accrued actuarial FECA benefits |
November 2024 3,244 |
November 2023 3,664 |
LIABILITIES Deferred revenue3 |
November 2024 11,529 |
November 2023 9,561 |
LIABILITIES Accrued annual leave |
November 2024 25,490 |
November 2023 24,965 |
LIABILITIES TOTAL LIABILITIES |
November 2024 84,190 |
November 2023 72,301 |
LIABILITIES FUND BALANCE |
November 2024 112,590 |
November 2023 117,853 |
LIABILITIES TOTAL LIABILITIES AND FUND BALANCE |
November 2024 $196,780 |
November 2023 $190,154 |
STATEMENTS OF REVENUES, EXPENSES, AND CHANGES IN FUND BALANCE
For the periods ended November 30, 2024 and 2023 (Dollars in thousands)
REVENUES | November 2024 | Year-to-Date November 2024 |
Year-to-Date November 2023 |
---|---|---|---|
REVENUES Operating fees |
November 2024 $11,529 |
Year-to-Date
November 2024 $126,820 |
Year-to-Date
November 2023 $105,167 |
REVENUES Interest |
November 2024 491 |
Year-to-Date
November 2024 6,638 |
Year-to-Date
November 2023 6,366 |
REVENUES Other |
November 2024 37 |
Year-to-Date
November 2024 479 |
Year-to-Date
November 2023 379 |
REVENUES Total Revenues |
November 2024 12,057 |
Year-to-Date
November 2024 133,937 |
Year-to-Date
November 2023 111,912 |
EXPENSES, NET4 | November 2024 | Year-to-Date November 2024 |
Year-to-Date November 2023 |
---|---|---|---|
EXPENSES, NET4 Employee wages and benefits |
November 2024 $8,524 |
Year-to-Date
November 2024 $99,883 |
Year-to-Date
November 2023 $93,685 |
EXPENSES, NET4 Travel |
November 2024 697 |
Year-to-Date
November 2024 6,285 |
Year-to-Date
November 2023 5,653 |
EXPENSES, NET4 Rent, communications, and utilities |
November 2024 287 |
Year-to-Date
November 2024 2,012 |
Year-to-Date
November 2023 1,919 |
EXPENSES, NET4 Contracted services |
November 2024 2,033 |
Year-to-Date
November 2024 23,040 |
Year-to-Date
November 2023 20,850 |
EXPENSES, NET4 Depreciation and amortization |
November 2024 320 |
Year-to-Date
November 2024 3,462 |
Year-to-Date
November 2023 3,377 |
EXPENSES, NET4 Administrative |
November 2024 143 |
Year-to-Date
November 2024 1,553 |
Year-to-Date
November 2023 1,714 |
EXPENSES, NET4 Total Expenses, Net |
November 2024 $12,004 |
Year-to-Date
November 2024 $136,235 |
Year-to-Date
November 2023 $127,198 |
EXPENSES, NET4 EXCESS OF REVENUES OVER / (UNDER) EXPENSES |
November 2024 53 |
Year-to-Date
November 2024 (2,298) |
Year-to-Date
November 2023 (15,286) |
EXPENSES, NET4 FUND BALANCE—Beginning of period |
November 2024 112,537 |
Year-to-Date
November 2024 114,888 |
Year-to-Date
November 2023 133,139 |
EXPENSES, NET4 FUND BALANCE—End of period |
November 2024 $112,590 |
Year-to-Date
November 2024 $112,590 |
Year-to-Date
November 2023 $117,853 |
STATEMENTS OF CASH FLOWS
For the periods ended November 30, 2024 and 2023 (Dollars in thousands)
CASH FLOWS FROM OPERATING ACTIVITIES | November 2024 | Year-to-Date November 2024 | Year-to-Date November 2023 |
---|---|---|---|
CASH FLOWS FROM OPERATING ACTIVITIES Excess of revenues over (under) expenses |
November 2024 $53 |
Year-to-Date November 2024 $(2,298) |
Year-to-Date November 2023 $(15,286) |
CASH FLOWS FROM OPERATING ACTIVITIES Adjustments to reconcile excess of revenues over (under) expenses to net cash provided by operating activities before allocation to the NCUSIF: |
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CASH FLOWS FROM OPERATING ACTIVITIES Depreciation and amortization |
November 2024 845 |
Year-to-Date November 2024 9,179 |
Year-to-Date November 2023 8,923 |
CASH FLOWS FROM OPERATING ACTIVITIES Noncash operating lease expense |
November 2024 - |
Year-to-Date November 2024 267 |
Year-to-Date November 2023 308 |
CASH FLOWS FROM OPERATING ACTIVITIES (Increase) decrease in assets: |
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CASH FLOWS FROM OPERATING ACTIVITIES Due from National Credit Union Share Insurance Fund |
November 2024 75 |
Year-to-Date November 2024 1,633 |
Year-to-Date November 2023 (8) |
CASH FLOWS FROM OPERATING ACTIVITIES Employee advances |
November 2024 - |
Year-to-Date November 2024 (13) |
Year-to-Date November 2023 - |
CASH FLOWS FROM OPERATING ACTIVITIES Other accounts receivable, net |
November 2024 (148) |
Year-to-Date November 2024 284 |
Year-to-Date November 2023 60 |
CASH FLOWS FROM OPERATING ACTIVITIES Prepaid expenses and other assets |
November 2024 (99) |
Year-to-Date November 2024 (3,476) |
Year-to-Date November 2023 (2,808) |
CASH FLOWS FROM OPERATING ACTIVITIES (Decrease) increase in liabilities: |
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CASH FLOWS FROM OPERATING ACTIVITIES Accounts payable |
November 2024 548 |
Year-to-Date November 2024 3,768 |
Year-to-Date November 2023 1,888 |
CASH FLOWS FROM OPERATING ACTIVITIES Operating lease liabilities |
November 2024 - |
Year-to-Date November 2024 (42) |
Year-to-Date November 2023 (325) |
CASH FLOWS FROM OPERATING ACTIVITIES Accrued wages and benefits |
November 2024 1,020 |
Year-to-Date November 2024 (5,076) |
Year-to-Date November 2023 (2,640) |
CASH FLOWS FROM OPERATING ACTIVITIES Accrued FECA and unemployment benefits |
November 2024 - |
Year-to-Date November 2024 126 |
Year-to-Date November 2023 253 |
CASH FLOWS FROM OPERATING ACTIVITIES Accrued actuarial FECA benefits |
November 2024 - |
Year-to-Date November 2024 (420) |
Year-to-Date November 2023 381 |
CASH FLOWS FROM OPERATING ACTIVITIES Deferred revenue |
November 2024 (11,529) |
Year-to-Date November 2024 11,529 |
Year-to-Date November 2023 9,561 |
CASH FLOWS FROM OPERATING ACTIVITIES Accrued annual leave |
November 2024 - |
Year-to-Date November 2024 1,280 |
Year-to-Date November 2023 1,853 |
CASH FLOWS FROM OPERATING ACTIVITIES Accrued employee travel |
November 2024 - |
Year-to-Date November 2024 (276) |
Year-to-Date November 2023 (250) |
CASH FLOWS FROM OPERATING ACTIVITIES Net Cash Provided by/(Used in) Operating Activities |
November 2024 (9,235) |
Year-to-Date November 2024 16,465 |
Year-to-Date November 2023 1,910 |
CASH FLOWS FROM OPERATING ACTIVITIES CASH FLOWS FROM INVESTING ACTIVITIES: |
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CASH FLOWS FROM OPERATING ACTIVITIES Purchases of fixed and intangible assets |
November 2024 (205) |
Year-to-Date November 2024 (2,656) |
Year-to-Date November 2023 (5,631) |
CASH FLOWS FROM OPERATING ACTIVITIES Net Cash Provided by/(Used in) Investing Activities |
November 2024 (205) |
Year-to-Date November 2024 (2,656) |
Year-to-Date November 2023 (5,631) |
CASH FLOWS FROM OPERATING ACTIVITIES CASH FLOWS FROM FINANCING ACTIVITIES: |
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CASH FLOWS FROM OPERATING ACTIVITIES Principal payments under finance lease liabilities |
November 2024 - |
Year-to-Date November 2024 (36) |
Year-to-Date November 2023 (32) |
CASH FLOWS FROM OPERATING ACTIVITIES Net Cash Provided by/(Used in) Financing Activities |
November 2024 - |
Year-to-Date November 2024 (36) |
Year-to-Date November 2023 (32) |
CASH FLOWS FROM OPERATING ACTIVITIES NET INCREASE /(DECREASE) IN CASH AND CASH EQUIVALENTS |
November 2024 (9,440) |
Year-to-Date November 2024 13,773 |
Year-to-Date November 2023 (3,753) |
CASH FLOWS FROM OPERATING ACTIVITIES CASH AND CASH EQUIVALENTS—Beginning of period |
November 2024 139,400 |
Year-to-Date November 2024 116,187 |
Year-to-Date November 2023 127,011 |
CASH FLOWS FROM OPERATING ACTIVITIES CASH AND CASH EQUIVALENTS—End of period |
November 2024 $129,960 |
Year-to-Date November 2024 $129,960 |
Year-to-Date November 2023 $123,258 |
CASH FLOWS FROM OPERATING ACTIVITIES SUPPLEMENTAL DISCLOSURE OF NONCASH ACTIVITIES |
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CASH FLOWS FROM OPERATING ACTIVITIES Recognition of operating lease right-of-use assets |
November 2024 $- |
Year-to-Date November 2024 $5,558 |
Year-to-Date November 2023 $2,021 |
CASH FLOWS FROM OPERATING ACTIVITIES Retirement of fully depreciated assets |
November 2024 $- |
Year-to-Date November 2024 $1,192 |
Year-to-Date November 2023 $327 |
CASH FLOWS FROM OPERATING ACTIVITIES Acquisition of equipment under finance lease |
November 2024 $(33) |
Year-to-Date November 2024 $(54) |
Year-to-Date November 2023 $(31) |
The balances in the statement above are preliminary and unaudited.
1 Net of accumulated depreciation of $47,684 and $44,221 as of November 30, 2024 and 2023, respectively.
2 Net of accumulated amortization of $39,756 and $35,220 as of November 30, 2024 and 2023, respectively.
3 The Operating Fund recognizes operating fee revenue ratably over the calendar year. The deferred revenue is the remaining amount to be recognized over the remainder of the calendar year.
4 Operating Fund expenses are the total NCUA operating expenses reduced by the Share Insurance Fund allocation as determined by the overhead transfer rate.