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Annual Report 2018-19

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                                                                                          Financial Statements 2019



Noosa Shire Council

Notes to the Financial Statements
for the year ended 30 June 2019

Note 3. Revenue Analysis (continued)
                                                                                                2019              2018
                                                                                 Notes          $'000             $'000


(c). Interest and Investment Revenue
Interest received from term deposits is accrued over the term of the investment. Dividends are recognised once
they are formally declared by the directors of the associated entities.

Investments                                                                                     1,781             1,659
Interest from Overdue Rates and Utility Charges                                                   511               493
Loan to Unitywater                                                                              2,471             2,549

TOTAL INTEREST AND INVESTMENT REVENUE                                                          4,763            4,701


(d). Sales Revenue
The amount recognised as revenue for contract revenue during the financial year is the amount receivable in
respect of invoices issued during the period.

Sale of services
Contract and Recoverable Works                                                                     26                34
Waste Management Charges                                                                        2,492             2,296
Venue Hire                                                                                        403               384
Holiday Parks Fees and Charges                                                                  3,093             3,241
Learn to Swim                                                                                     655               704
Admission Fees                                                                                  1,260             1,139
Total Sale of Services                                                                          7,929             7,798
Sale of goods
Sale of Recyclables                                                                             1,129               755
Retail Shop Sales                                                                                 668               648
Total Sale of Goods                                                                             1,797             1,403

TOTAL SALES REVENUE                                                                            9,726            9,201

There are no contracts in progress at the year end. The contract work carried out is not subject to retentions.


(e). Other Income

Unitywater Income Tax Equivalent Received                                                       1,754             3,067
Other                                                                                             944               997

TOTAL OTHER INCOME                                                                             2,698            4,064




                                                                                                           page 63

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