Archived decisions

Cash Flow Statement

2005/06

2006/07

Revenue Activities

£'000

£'000

Cash outflows

Cash paid to and on behalf of employees

816,565

850,434

Other operating costs

582,098

599,367

1,398,663

1,449,801

Cash inflows

Rents

-4,027

-4,512

Precepts

-420,454

-444,717

National business rates

-380,761

-100,871

Revenue Support Grant

-304,349

-19,472

Collection fund surpluses

-1,846

-3,300

Charges for goods and services

-93,131

-83,229

Specific Government grants

-171,424

-770,563

Other income

-108,506

-109,503

-1,484,498

-1,536,167

Net cash inflow from revenue activities (see note 25)

-85,835

-86,366

Returns on investments and servicing of finance

Cash outflows - Interest paid

19,347

23,257

Cash inflows - Interest received

-6,018

-11,598

Net cash outflow from servicing of finance activities

13,329

11,659

Capital Activities

Cash outflows

Fixed assets

168,570

159,252

Deferred charges

19,686

13,935

188,256

173,187

Cash inflows

Sale of fixed assets

-11,101

-24,172

Capital grants (see note 26)

-46,520

-50,358

Other income

-21,427

-10,244

-79,048

-84,774

Net cash outflow from capital activities

109,208

88,413

Net cash outflow before financing (see notes 27 and 28)

36,702

13,706

Financing

Borrowing repayable over periods of one year or more:

Repayments

4,000

8,000

New loans

-52,000

-18,000

Borrowing repayable within one year:

Repayments

479,083

717,129

New loans

-457,871

-702,132

Net cash inflow/outflow

9,914

18,703