Year ended 30 June 2007
Consolidated Parent
2007 2006 2007 2006
Notes $000 $000 $000 $000
CASH FLOWS FROM OPERATING ACTIVITIES
Levies collected 99,229 80,081 99,229 80,081
Research and development matching grants 38,077 40,898 38,077 40,898
Receipts from subsidiary -7,086 6,648
Receipts from processors and live exporters 12,248 13,938 12,248 13,938
Other receipts 12,457 19,027 5,395 12,379
Payments to suppliers and employees (145,572) (159,389) (145,572) (159,389)
NET CASH FLOWS FROM/(USED IN)
OPERATING ACTIvITIES 24(b) 16,439 (5,445) 16,463 (5,445)
CASH FLOWS FROM INVESTING ACTIVITIES
Proceeds from disposal of property, plant and equipment 44 54 44 54
Purchase of property, plant and equipment (1,849) (3,205) (1,849) (3,205)
Interest received 2,079 2,171 2,059 2,150
NET CASH FLOWS FROM/(USED IN) INvESTING ACTIvITIES 274 (980) 254 (1,001)
NET INCREASE/(DECREASE) IN CASH HELD 16,713 (6,425) 16,717 (6,446)
Add opening cash brought forward 32,464 38,828 32,443 38,828
Exchange rate adjustments on cash balances -61 -61
CLOSING CASH CARRIED FORWARD 24(a) 49,177 32,464 49,160 32,443
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