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Directors' Report and Financial Statements Structures and Statistics ...

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86 ITB <strong>Financial</strong> <strong>Statements</strong> 2000–2001<br />

ITB <strong>Financial</strong> <strong>Statements</strong> 2000–2001<br />

87<br />

Cash Flow Statement for year ended 31 August 2001<br />

Period<br />

Period<br />

ending<br />

ending<br />

31-Aug<br />

31-Aug<br />

2001 2000 2001 2000<br />

€’000 €’000 NOTE IR£’000s IR£’000s<br />

CASH RECEIVED FROM<br />

4245 2123 State Grants for Recurrent Expenditure 3343 1672<br />

147 66 Superannuation Contributions 115 52<br />

853 150 Tuition Fees 672 118<br />

54 41 Research <strong>and</strong> Consultancy Contracts 43 32<br />

Interest Income<br />

139 56<br />

______________________<br />

Other Income 109 44<br />

____________________________<br />

5438 2436 4282 1918<br />

CASH PAYMENTS<br />

3424 1430 Cash Payments to <strong>and</strong> on behalf of Employees 2697 1126<br />

1656 1081 Cash Payments to Suppliers 1304 851<br />

90 4<br />

______________________<br />

Other cash Payments 71 3<br />

____________________________<br />

268 (79)<br />

______________________<br />

NET CASH INFLOW FROM OPERATIONS 210 (62)<br />

____________________________<br />

CAPITAL EXPENDITURE<br />

10649 2515 Grants Received - State Capital Grants 8387 1980<br />

521 Allocation from State Recurrent Grant 411<br />

Proceeds from sale of Capital items<br />

11127 2505<br />

______________________<br />

Payments to Acquire Tangible Fixed Assets 8763 1973<br />

____________________________<br />

43 10<br />

______________________<br />

Net Cash Inflow/(Outflow) from Capital Expenditure 35 7<br />

____________________________<br />

311 (69) Net Cash Inflow/(Outflow) before student grants 245 (55)<br />

(4) (16) Net Cash Outflow from Student Grants 17(c) (3) (12)<br />

307 (85) Increase/(Decrease) in Cash <strong>and</strong> Cash Equivalents 17(a) 242 (67)<br />

______________________<br />

____________________________<br />

Signed on behalf of the Governing Body:<br />

Director<br />

____________________________________<br />

Notes to the <strong>Financial</strong> <strong>Statements</strong><br />

Year ended Period ended Allocated Allocated Year ended<br />

31 August 31 August for Capital for Recurrent 31 August 2001<br />

2001 Total 2000 Total Expenditure Expenditure Total<br />

€’000 €’000 1 STATE GRANT IR£’000s IR£’000s IR£<br />

4622 2209 State Grant for Recurrent Expenditure 411 3229 3640<br />

10531 2521 State Grant for Capital Expenditure 8236 58 8294<br />

______________________<br />

_______________________________________<br />

15154 4730 8647 3287 11934<br />

______________________<br />

_______________________________________<br />

Year ended Period ended Year ended Period ended<br />

31 August 01 31 August 00 31 August 2001 31 August 00<br />

€’000 €’000 2 TUITION FEES IR£’000s IR£’000s<br />

415 90 Full-time students 463 students (239 students) 327 71<br />

314 44 Part-time students 318 students (135 students) 247 35<br />

______________________<br />

____________________________<br />

729 134 574 106<br />

______________________<br />

____________________________<br />

The Department of Education <strong>and</strong> Science paid tuition fees in the period of £324,550 for certain certificate courses, the total<br />

costs of which are part funded by the ESF.<br />

3 RESEARCH, CONSULTANCY <strong>and</strong> DEVELOPMENT<br />

INCOME<br />

54 62 Research Grants <strong>and</strong> Contracts 43 49<br />

______________________<br />

____________________________<br />

54 62 43 49<br />

______________________<br />

____________________________<br />

EXPENDITURE<br />

54 62 Staff costs 43 49<br />

Consumables<br />

Other Expenses<br />

______________________<br />

____________________________<br />

NIL NIL NET OUTCOME NIL NIL<br />

______________________<br />

____________________________<br />

Chairman<br />

____________________________________

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