Statement of Cash Flows

for the year ended 30 June

Notes2008
Main
Estimates
$000
2008
Supplementary
Estimates
$000
2008
Actual

$000
2007
Actual

$000
Cash flows from operating activities

Receipts from revenue Crown

91,03593,07384,60988,502

Receipts from revenue department

1,1901,0241,8881,854
Receipts from revenue other1,5121,194 3051,376
Payments to suppliers(55,337)(55,719)(51,018)(54,283)
Payments to employees (33,916) (34,151) (33,692) (30,218)
Payments for capital charge (959) (959) (954) (959)
Goods and services tax (net) 0 (119) (399) (119)
Net cash from operating activities173,525 4,343 739 6,153
Cash flows from investing activities
Receipts from sale of property, plant and equipment00198209
Purchase of property, plant and equipment(2,900)(1,608)(1,110)(2,699)
Purchase of intangible assets0(1,292)(708)(1,482)
Net cash from investing activities(2,900)(2,900)(1,620)

(3,972)

Cash flows from financing activities

Repayment of surplus to the Crown

0(189)(189)(1,349)

Net cash from financing activities

0(189)(189)

(1,349)

Net increase/(decrease) in cash6251,254(1,070)832
Cash at the beginning of the year2,0772,2442,2441,412
Cash at the end of the year2,7023,4981,1742,244

These financial statements should be read in conjunction with the statement of accounting policies on pages 52 to 57 and the notes to the financial statements on pages 64 to 77.

Updated : 9 October 2008