Human Rights Commission Statement of Cash Flows
for the year ended 30 June 2014
Notes
Actual 2014 Budget 2014
$000
$000
Actual 2013
$000
Cash flows from operating activities
Cash was provided from:
Receipts from the Crown
9,396
9,396
9,696
Other sources
157
90
241
Interest received
168
109
205
25
-
13
(10,859)
(10,136)
(10,698)
(3)
-
(6)
(1,116)
(541)
(549)
3,750
-
5,600
31
-
-
(3,550)
-
(7,000)
(17)
(418)
(35)
(7)
(208)
(2)
207
(626)
(1,437)
Payments of finance lease
(28)
-
(25)
Net financing cash outflow
(28)
-
(25)
Net decrease in cash
(937)
(1,167)
(2,011)
Cash and cash equivalents at the beginning of the year
2,487
3,750
4,498
1,550
2,583
2,487
Goods and services tax (net)
Cash was disbursed to:
Employees and suppliers
Interest paid
Net operating cash outflow
13
Cash flows from investing activities
Cash was provided from:
Maturity of short-term deposits
Disposal of property, plant and equipment
Cash was disbursed to:
Short-term deposits
Purchase of property, plant and equipment
Purchase of intangible assets
Net investing cash inflow/(outflow)
Cash flows from financing activities
Cash was disbursed to:
Cash and cash equivalents at the end of the year
5
The accompanying notes form an integral part of these financial statements
75