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Meeting papers
Attachment 3 - Statement of Cash Flows
Noosa Council
Statement of Cash Flows
For the Year Ended 30 June 2024
As at 31 October 2023
Current Actual Actual
Budget YTD Full Year
2024 2024 2023
($'000) ($'000) ($'000)
Cash flows from operating activities
Cash Flows from Operating Activities
Receipts from Customers 114,889 53,413 116,551
Payments to Suppliers and Employees (110,529) (39,172) (110,634)
4,360 14,242 5,917
Receipts:
Investment and Interest Revenue Received 4,670 2,948 7,032
Rental Income 1,723 502 1,747
Non Capital Grants and Contributions 6,189 1,843 6,941
Income Tax Equivalent Received 2,000 632 1,450
Income from Equity Investments 2,100 1,027 1,900
Payments:
Borrowing Costs - - -
Interest Expense (661) (136) (162)
Net Cash Inflow/(Outflow) from Operating Activities 20,381 21,058 24,824
Cash Flows from Investing Activities
Receipts:
Proceeds of Sale of Property, Plant and Equipment - 140 153
Grants, Subsidies, Contributions and Donations 10,094 6,543 40,133
Payments:
Payments of Property, Plant and Equipment (40,253) (17,024) (45,316)
Payments for Intangible Assets - (113) (261)
Net Movement in Loans and Advances - 125 125
Net Cash Inflow/(Outflow) from Investing Activities (30,159) (10,330) (5,167)
Cash Flows from Financing Activities
Receipts:
Proceeds from Borrowings 8,905 - -
Payments:
Repayment of Borrowings (1,048) (855) (1,653)
Net Cash Inflow/(Outflow) from Financing Activities 7,857 (855) (1,653)
Net Increase/(Decrease) in Cash and Cash Equivalents held (1,922) 9,873 18,005
Cash and Cash Equivalents at the beginning of the reporting period 87,599 116,506 98,501
Cash and Cash Equivalents at the end of the reporting period 85,677 126,379 116,506
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