Statement of Cash Flows

for the year ended 30 June

Notes 2007
Main
Estimates
$000
2007
Supplementary
Estimates
$000
2007
Actual

$000
2006
Actual

$000
Cash flows from operating activities

Cash provided from:

Supply of outputs:

- Crown 86,614 90,756 88,502 87,668
- Department 1,809 1,816 1,854 1,309
- Other parties 1,018 933 1,376 619
89,441 93,505 91,732 89,596
Cash expended on:
Cost of producing outputs:
- Output expenses (85,878 ) (87,696 ) (84,620 ) (81,752 )
- Capital charge (763 ) (895 ) (959 ) (701 )
(86,641 ) (88,591 ) (85,579 )

(82,453 )

Net cash inflow/(outflow) from operating activities 15 2,800 4,914 6,153

7,143

Cash flows from investing activities

Cash provided from:

- Sale of property, plant and equipment 0 0 209 386

Cash expended on:

- Purchase of physical assets (2,900 ) (2,900 ) (4,181 )

(6,141 )

Net cash inflow/(outflow) from investing activities

(2,900 ) (2,900 ) (3,972 )

(5,755 )

Cash flows from financing activities
Cash provided from:
- Capital contribution from the Crown 0 0 0 4,025
Cash disbursed for:
- Payment of surplus to the Crown 0 (1,349 ) (1,349 )

(6,638 )

Net cash inflow/(outflow) from financing activities 0 (1,349 ) (1,349 ) (2,613 )
Net increase/(decrease) in cash balance (100 ) 665 832

(1,225 )

Add opening cash balance 2,813 1,412 1,412

2,637

Closing cash balance 2,713 2,077 2,244

1,412

These financial statements should be read in conjunction with the statement of accounting policies on pages 51 to 53 and the notes to the financial statements on pages 62 to 71.

Updated : 16 November 2007