Australian Human Rights Commission
Annual Report November 2022
Cash Flow Statement
for the year ended 30 June 2022
2022
$’000
2021
$’000
Original
Budget
$’000
21,646
6,181
325
28,152
16,515
11,915
7
276
28,713
19,026
4,726
20
150
23,922
(22,056)
(5,884)
(12)
(950)
(28,902)
(750)
(21,020)
(3,749)
(15)
(24,784)
3,929
(17,301)
(3,554)
(19)
(20,874)
3,048
14
14
-
-
(63)
(251)
(314)
(300)
(6)
(91)
(97)
(97)
(326)
(326)
(326)
FINANCING ACTIVITIES
Cash received
Contributed equity
Total cash received
16,050
16,050
-
-
Cash used
Principal payments of lease liabilities
Total cash used
Net cash from/(used by) financing activities
(2,398)
(2,398)
13,652
(3,051)
(3,051)
(3,051)
(2,391)
(2,391)
(2,391)
12,602
781
331
3,356
2,575
3,227
Notes
OPERATING ACTIVITIES
Cash received
Receipts from Government
Sale of goods and rendering of services
Interest
GST received
Total cash received
Cash used
Employees
Suppliers
Interest payments on lease liabilities
GST paid
Total cash used
Net cash from/(used by) operating activities
INVESTING ACTIVITIES
Cash received
Proceeds from sales of property, plant and equipment
Total cash received
Cash used
Purchase of property, plant and equipment
Purchase of intangibles
Total cash used
Net cash used by investing activities
Net increase in cash held
Cash and cash equivalents at the beginning of the reporting
period
81