- for the Year Ended 30 June 2009
30 June 08 Actual ($000) |
|
30 June 09 Actual ($000) |
| 19,928 |
Net Operating Surplus |
11,711 |
| |
Add / (less) Non – Cash Items |
|
| 279,755 |
Depreciation and amortisation expense |
306,200 |
| 14,506 |
Inc / (Dec) in the provision for stock obsolescence |
(4,719) |
| 333 |
Inc / (Dec) in provision for doubtful debts |
(10) |
| 1,082 |
Inc / (Dec) in non-current employee entitlements |
(1,447) |
| 1,940 |
Write down of property, plant and equipment |
2,819 |
| (1,150) |
Realised foreign exchange gain/(loss) |
(5,462) |
| 296,466 |
Total Non-Cash Items |
297,381 |
| |
Add / (less) Items Classified as Investing Activities |
|
| 2,375 |
(Gains) / losses on disposal of property, plant and equipment |
(8,684) |
| 2,375 |
Total Investing Activity Items |
(8,684) |
| |
Add / (less) Movements in Working Capital Items |
|
| (67,871) |
(Inc) / Dec in debtors and receivables |
43,891 |
| (21,948) |
(Inc) / Dec in inventories |
(17,847) |
| (3,226) |
(Inc) / Dec in prepayments |
(4,844) |
| 6,892 |
Inc / (Dec) in creditors and other payables |
9,431 |
| 2,367 |
Inc / (Dec) in GST payable |
(3,056) |
| (167) |
Inc / (Dec) in provisions |
(1,555) |
| 6,025 |
Inc / (Dec) in current employee entitlements |
3,438 |
| (77,928) |
Net Movements in Working Capital Items |
29,458 |
| 240,841 |
Net Cash from Operating Activities |
329,866 |
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