I can elaborate a little bit on that for you.
OSFI's funding is obtained through the financial institutions that we regulate. We bill them on an annual basis in the July-August time frame, following the financial results for the fiscal year.
This provision allows us to have access to the CRF before we have done that invoicing in order to fund our operations in the early part of the year. Once we receive the funding from the financial institutions, that money is then reimbursed into the CRF.