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Annual Report 2021-22
Noosa Council
Notes to the Financial Statements
for the year ended 30 June 2022
Note 15. Property, Plant and Equipment (continued)
§Note/Subtotal§
Other
Capital Work in Plant and Road and Bridge Infrastructure
$ '000 Progress Land Buildings Equipment Network Storm Water Assets Total
2021
Measurement basis Cost Fair Value Fair Value Cost Fair Value Fair Value Fair Value –
Opening Gross Balance 36,707 151,706 90,212 14,153 607,191 187,834 91,592 1,179,395
Correction to Opening Balances – – – – – – 1,375 1,375
Additions 20,839 – – – – – – 20,839
Contributed Assets – 353 – – 1,221 117 39 1,730
Disposals – – (1,008) (451) (5,576) (537) (1,136) (8,708)
Write-offs (977) – – – – – – (977)
Revaluation Adjustments to Equity (ARS) – 23,059 – – – – (5,213) 17,846
Work in Progress Transfers (30,461) 944 4,454 472 18,249 2,956 3,386 –
Transfers from/(to) Intangible Assets 350 – – – – – – 350
Transfers to / from Other Asset Classes – – (3,382) 43 8,012 570 (5,243) –
Total Gross Value 26,458 176,062 90,276 14,217 629,097 190,940 84,800 1,211,850
Opening Accumulated Depreciation – – 26,738 5,354 130,052 44,896 43,265 250,305
Correction to Opening Balances – – – – – – 446 446
Depreciation Expense – – 1,902 1,182 8,805 2,145 2,944 16,978
Write-offs – – (540) (236) (2,894) (86) (600) (4,356)
Revaluation Adjustments to Equity (ARS) – – – – – – (4,103) (4,103)
Transfers to / from Other Asset Classes – – (67) 18 4,235 214 (4,400) –
Total Accumulated Depreciation – – 28,033 6,318 140,198 47,169 37,552 259,270
Consolidated Book Value as at 30 June 26,458 176,062 62,243 7,899 488,899 143,771 47,248 952,580
Other Information
Range of Estimated Useful Life (years) 0 - 100 1-50 0-120 10-100 2-120 –
*Asset Additions comprise
Asset Renewals – – 1,071 364 11,117 550 439 13,541
Other Additions – 944 1,830 71 1,724 21 2,708 7,298
Total Asset Additions – 944 2,901 435 12,841 571 3,147 20,839
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