Industry, tourism and resources portfolio



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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













Cash

4,000

4,000

4,000

4,000

4,000

Receivables

31,098

33,450

36,545

36,328

36,575

Accrued revenues

2,550

3,450

3,464

3,031

3,250

Other financial assets

-

-

-

-

-

Total Financial Assets

37,648

40,900

44,009

43,359

43,825

Non-Financial Assets
















Land and buildings

1,874

5,700

5,639

5,578

5,517

Infrastructure, plant and equipment

23,538

31,952

31,425

35,052

33,446

Inventories

2,445

2,425

2,470

2,333

2,475

Intangibles

20,146

21,814

19,908

14,460

14,920

Other non-financial assets

1,750

2,750

2,950

2,850

2,975

Total Non-Financial Assets

49,753

64,641

62,392

60,273

59,333




Total Assets

87,401

105,541

106,401

103,632

103,158

LIABILITIES
















Interest Bearing Liabilities
















Loans

1,450

1,450

1,450

1,450

1,450

Total Interest Bearing Liabilities

1,450

1,450

1,450

1,450

1,450

Provisions and Payables
















Employees

43,122

46,110

53,149

50,380

50,138

Suppliers

12,500

13,520

9,170

9,250

9,085

Other Provisions and Payables

7,510

7,099

5,270

5,190

5,123

Total Payables

63,132

66,729

67,589

64,820

64,346


Total Liabilities 64,582 68,179 69,039 66,270 65,796

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

EQUITY













Capital

18,780

34,924

34,924

34,924

34,924

Reserves

3,751

3,751

3,751

3,751

3,751

Accumulated surplus/deficits

288

(1,313)

(1,313)

(1,313)

(1,313)

Total Equity

22,819

37,362

37,362

37,362

37,362

Total Assets And Liabilities By Maturity:













Current Assets

41,843

46,075

49,429

48,542

49,275

Non-Current Assets

45,558

59,466

56,972

55,090

53,883

Current Liabilities

42,865

45,057

42,609

41,141

40,781

Non-Current Liabilities

21,717

23,122

26,430

25,129

25,015




Table 3.3: Budgeted Departmental Statement of 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







Goods and services

24,922

31,024

28,653

31,872

30,223

Appropriations

223,322

267,305

265,763

250,002

250,031

Other

17,069

17,770

14,860

14,128

14,238

Total Cash Received

265,313

316,099

309,276

296,002

294,492

Cash Used







Employees

118,183

145,235

147,173

148,949

145,720

Suppliers

117,301

139,159

132,834

118,596

120,226

Other

17,924

16,705

14,209

13,457

13,546

Total Cash Used

253,408

301,099

294,216

281,002

279,492

Net Cash From or (Used By)







Operating Activities

11,905

15,000

15,060

15,000

15,000

INVESTING ACTIVITIES







Cash Received







Proceeds from sales of property,

-

-

-

-

-

plant and equipment







Proceeds from sales of Investments

-

-

-

-

-

Total Cash Received

-

-

-

-

-

Cash Used







Purchase of property, plant

17,000

15,000

15,060

15,000

15,000

and equipment







Other







Total Cash Used

17,000

15,000

15,060

15,000

15,000

Net Cash From or (Used By) Investing

(17,000)

(15,000)

(15,060)

(15,000)

(15,000)

Activities








Table 3.3 (continued): Budgeted Departmental Statement of 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

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