Archived decisions

Cash Flow Statement

 

 

 

 

 

2004/05

2005/06

£'000

£'000

Revenue Activities

Cash outflows

Cash paid to and on behalf of employees

47,085

40,379

Other operating costs

12,781

21,596

59,866

61,975

Cash inflows

Cash received for goods and services

-1,030

-869

Specific Government Grant

-806

-735

Levies

0

0

Precepts

-30,880

-31,624

Revenue Settlement Grant

-11,461

-9,240

National Business Rates

-16,027

-19,147

Rents

-76

-67

Other income

-3,243

-3,770

-63,523

-65,452

Net cash inflow/outflow from revenue activities (note 1)

-3,657

-3,477

Returns on Investments and Servicing of Finance

Cash outflow

Interest paid

212

250

Cash inflow

Interest received

-317

-207

Net cash outflow/inflow (-) from Servicing of Finance

-105

43

Capital Activities

Cash outflows

Purchase of fixed assets

1,434

2,688

Deferred charges

140

126

1,574

2,814

Cash inflows

Sale of fixed assets

-42

-78

Capital Grant

-140

-152

Capital Contribution

-10

0

-192

-230

Net cash outflow from capital activities

1,382

2,584

Net cash outflow/inflow before financing

-2,380

-850

Management of Liquid Resources

Net increase/decrease in short term deposits

4166

822

Financing

Cash outflows

Repayments of amounts borrowed

0

0

Cash inflows

New long term loans

-1,850

0

New short term loans

0

0

Decrease / increase in cash (note 2)

-64

-28