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17. Reconciliation of cash flows from operating activities to net result

Reconciliation of cash flows from operating activities to the net result as reported in the Statement of Comprehensive Income as follows: 

 

CONSOLIDATED 

AUTHORITY 

June 2021 

$’000 

June 2020 

$’000 

June 2021 

$’000 

June 2020 

$’000 

NET CASH USED ON OPERATING ACTIVITIES 

 40,465  

 5,672  

 40,257  

 5,571  

NET GAIN/ (LOSS) ON SALE OF PROPERTY, PLANT AND EQUIPMENT 

 (5) 

 -  

 (5) 

 -  

ALLOWANCE FOR IMPAIRMENT 

 (64) 

 (98) 

 (64) 

 (98) 

DEPRECIATION AND AMORTISATION 

 (414) 

 (221) 

 (414) 

 (221) 

DECREASE/(INCREASE) IN PROVISIONS 

 (563) 

 (750) 

 (563) 

 (750) 

INCREASE/(DECREASE) IN RECEIVABLES AND OTHER ASSETS 

 164  

 230  

 375  

 293  

DECREASE/(INCREASE) IN PAYABLES 

 684  

 (1,910) 

 681 

 (1,872) 

NET RESULT 

 40,267  

 2,923  

 40,267  

 2,923