Statement of forecast financial position

at 30 June

Statement of forecast financial position as at 30 June.


2006

2006

2007


Supplementary Estimates

Estimated Actual

Plan

Taxpayers' funds:




General funds

12,052

12,052

12,052

Revaluation reserve

737

737

737

Total taxpayers' funds

12,789

12,789

12,789

Represented by:




Current assets




Cash

2,813

2,813

2,713

Prepayments

300

300

300

Inventory

46

46

46

Debtors and receivables

15,745

15,745

15,745

Total current assets

18,904

18,904

18,804

Non-current assets




Property, plant and equipment

13,963

13,963

14,363

Total assets

32,867

32,867

33,167

Current liabilities




Creditors and payables

15,478

15,378

15,478

Provision for employee entitlements

2,000

2,000

2,000

Total current liabilities

17,478

17,378

17,478

Term liabilities




Provision for employee entitlements

2,600

2,700

2,900

Total liabilities

20,078

20,078

20,378

Net assets

12,789

12,789

12,789

(The Statement of Accounting Policies should be read in conjunction with these financial statements)

Updated : 16 November 2007