β¨ Financial Statements
Counties Power Limited β Lines Business
STATEMENT OF CASH FLOWS
For the Year Ended 31 March 2004
| 31 March 2004 $'000 | 31 March 2003 $'000 |
|---|
CASHFLOW FROM OPERATING ACTIVITIES
Cash was provided from:
Receipts from customers | 26,270 | 26,084 |
Interest from cash management | 24 | - |
| 26,294 | 26,084 |
Cash was applied to:
Payments to suppliers and employees | (9,779) | (10,091) |
Discounts credited | (7,493) | (7,438) |
Income tax paid | (408) | (356) |
Interest Paid | (112) | (331) |
Net GST paid | (708) | (749) |
| (18,500) | (18,965) |
Net Cashflows from operating activities | 7,794 | 7,119 |
CASHFLOW FROM INVESTING ACTIVITIES
Cash was provided from:
Proceeds from sale of plant & property | - | 33 |
| - | 33 |
Cash was applied to:
Purchase and construction of fixed assets | (6,910) | (6,664) |
| (6,910) | (6,664) |
Net cash (used)/generated by investing activities | (6,910) | (6,631) |
CASH FLOWS FROM FINANCING ACTIVITIES
Cash was applied to:
Term Loan repayments | (369) | (319) |
Dividend Paid | (300) | (225) |
| (669) | (544) |
Net cash (used)/generated by financing activities | (669) | (544) |
Net increase/(decrease) in cash held | 215 | (56) |
Add opening cash/(borrowings) brought forward | (56) | - |
Ending cash/(overdraft) carried forward | 159 | (56) |
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Online Sources for this page:
VUW Te Waharoa —
NZ Gazette 2005, No 24
Gazette.govt.nz —
NZ Gazette 2005, No 24
β¨ LLM interpretation of page content
π°
Audit Report for Counties Power Limited - Lines Business
(continued from previous page)
π° Finance & RevenueAudit, Financial Statements, Commerce Act 1986, Public Audit Act 2001, Electricity Information Disclosure