Estimated
|
Budget
|
Forward
|
Forward
|
Forward
|
actual
|
estimate
|
estimate
|
estimate
|
estimate
|
2003-04
|
2004-05
|
2005-06
|
2006-07
|
2007-08
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
ASSETS
|
|
|
|
|
Financial Assets
|
|
|
|
|
Receivables
|
395,007
|
491,837
|
529,552
|
537,302
|
544,012
|
Investments
|
127,936
|
127,936
|
127,936
|
127,936
|
127,936
|
Accrued revenues
|
55,311
|
59,537
|
56,134
|
55,559
|
64,391
|
Other financial assets
|
|
|
|
|
|
Total Financial Assets
|
578,254
|
679,310
|
713,621
|
720,797
|
736,339
|
Non-Financial Assets
|
|
|
|
|
|
Intangibles
|
22,167
|
20,167
|
18,167
|
16,167
|
14,167
|
Other non-financial assets
|
10,000
|
8,000
|
6,000
|
-
|
-
|
Total Non-Financial Assets
|
32,167
|
28,167
|
24,167
|
16,167
|
14,167
|
Total Assets Administered
|
|
|
|
|
|
on Behalf of Government
|
610,421
|
707,477
|
737,788
|
736,964
|
750,506
|
LIABILITIES
|
|
|
|
|
|
Payables
|
|
|
|
|
|
Grants and subsidies
|
344,126
|
319,437
|
185,265
|
166,049
|
168,911
|
Other Payables
|
5,021
|
5,021
|
5,021
|
5,021
|
5,021
|
Total Payables
|
349,147
|
324,458
|
190,286
|
171,070
|
173,932
|
Total Liabilities Administered
|
|
|
|
|
|
on Behalf of Government
|
349,147
|
324,458
|
190,286
|
171,070
|
173,932
|
Table 3.8: Schedule of Budgeted Administered Cash Flows
|
for the period ended 30 June
|
Estimated
|
Budget
|
Forward
|
Forward
|
Forward
|
actual
|
estimate
|
estimate
|
estimate
|
estimate
|
2003-04
|
2004-05
|
2005-06
|
2006-07
|
2007-08
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
OPERATING ACTIVITIES
|
|
|
Cash Received
|
|
|
Other taxes, fees and fines
|
3,870
|
3,880
|
3,900
|
3,900
|
3,900
|
Royalties
|
588,561
|
609,829
|
565,650
|
556,071
|
547,283
|
Interest
|
2,750
|
2,202
|
2,204
|
2,204
|
2,204
|
Dividends
|
17,550
|
7,728
|
12,248
|
37,699
|
14,150
|
Cash from Official Public Account
|
847,419
|
1,084,725
|
945,049
|
829,925
|
808,128
|
GST Input Credit Receipts
|
28,160
|
30,184
|
26,924
|
8,566
|
5,108
|
Other
|
22,216
|
2,210
|
2,210
|
2,200
|
2,200
|
Total Cash Received
|
1,510,526
|
1,740,758
|
1,558,186
|
1,440,565
|
1,382,973
|
Cash Used
|
|
|
GST Payment to Suppliers
|
28,160
|
30,184
|
26,924
|
8,566
|
5,108
|
Grant payments
|
457,061
|
659,363
|
511,972
|
311,909
|
298,781
|
Subsidies paid
|
37,373
|
56,849
|
92,000
|
180,500
|
164,500
|
Cash to Official Public Account from
|
|
|
Other
|
634,947
|
625,849
|
586,212
|
602,074
|
569,737
|
Other
|
352,985
|
368,513
|
341,077
|
337,516
|
344,847
|
Total Cash Used
|
1,510,526
|
1,740,758
|
1,558,186
|
1,440,565
|
1,382,973
|
Net Cash From / (Used By)
|
|
|
Operating Activities
|
-
|
-
|
-
|
-
|
-
|
for the period ended 30 June
|
|
|
|
|
|
|
Estimated
|
Budget
|
Forward
|
Forward
|
Forward
|
|
actual
|
estimate
|
estimate
|
estimate
|
estimate
|
|
2003-04
|
2004-05
|
2005-06
|
2006-07
|
2007-08
|
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
INVESTING ACTIVITIES
|
|
|
|
|
|
Cash Received
|
|
|
|
|
|
Repayments of advances
|
4,780
|
4,850
|
4,950
|
4,950
|
4,950
|
Total Cash Received
|
4,780
|
4,850
|
4,950
|
4,950
|
4,950
|
Cash Used
|
|
|
|
|
|
Advances and loans made
|
126,560
|
102,280
|
133,265
|
13,300
|
12,260
|
Cash to Official Public Account
|
4,780
|
4,850
|
4,950
|
4,950
|
4,950
|
Total Cash Used
|
131,340
|
107,130
|
138,215
|
18,250
|
17,210
|
Net Cash From / (Used By)
|
|
|
|
|
|
Investing Activities
|
(126,560)
|
(102,280)
|
(133,265)
|
(13,300)
|
(12,260)
|
FINANCING ACTIVITIES
|
|
|
|
|
|
Cash Received
|
|
|
|
|
|
Proceeds from borrowing
|
126,560
|
102,280
|
133,265
|
13,300
|
12,260
|
Cash from Official Public Account
|
28,160
|
30,184
|
26,924
|
8,566
|
5,108
|
Total Cash Received
|
154,720
|
132,464
|
160,189
|
21,866
|
17,368
|
Cash Used
|
|
|
|
|
|
Cash to Official Public Account
|
28,160
|
30,184
|
26,924
|
8,566
|
5,108
|
Total Cash Used
|
28,160
|
30,184
|
26,924
|
8,566
|
5,108
|
Net Cash From / (Used By)
|
|
|
|
|
|
Financing Activities
|
126,560
|
102,280
|
133,265
|
13,300
|
12,260
|
Net Increase or (Decrease) In
|
|
|
|
|
|
Cash Held
|
-
|
-
|
-
|
-
|
-
|
Cash at beginning of reporting period
|
-
|
-
|
-
|
-
|
-
|
Cash At End Of Reporting Period
|
-
|
-
|
-
|
-
|
-
|
Table 3.9: Schedule of Administered Capital Budget
|
Estimated
|
Budget
|
Forward
|
Forward
|
Forward
|
actual
|
estimate
|
estimate
|
estimate
|
estimate
|
2003-04
|
2004-05
|
2005-06
|
2006-07
|
2007-08
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
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