Bureau of Financial Analysis
Bureau of Financial Analysis
The Bureau of Financial Analysis (BFA) monitors the daily cash balances in the City's central treasury to ensure that the City maintains adequate levels of cash-on-hand throughout the fiscal year. BFA forecasts the daily cash balances for the current fiscal year to determine the need and timing for seasonal borrowing. The Comptroller issues a Cash Letter showing these projections with regular updates throughout the year. BFA also prepares the Quarterly Cash Report, providing an overview of the City's cash position and highlighting major changes during the quarter. In addition, the Office of Management and Budget and BFA issue monthly Financial Plan Statements for the City detailing variances between the City's revenue, expenditure, and capital financial plans and year-to-date results, as well as providing a monthly cash forecast and quarterly information on certain Covered Organizations.
You can contact the Bureau at (212) 669-4993.

