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Entire Document - Chris Hani District Municipality

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CHRIS HANI DISTRICT MUNICIPALITYCASH FLOW STATEMENT FOR THE YEAR ENDED 30 JUNE 2012BudgetActual2011 2012 Note 2012 2011R R R RCASH FLOWS FROMOPERATING ACTIVITIESCHRIS HANI DISTRICT MUNICIPALITY ANNUAL REPORT 2011 / 2012740 563 385 816 652 000 Cash receipts from795 215 976Ratepayers, Government 1 052 293 789and Other(338 203 541) (453 163 911)Cash paid to Suppliersand Employees (892 294 418) (547 591 513)402 359 844 363 488 089 Cash generated from /(utilised in) Operations40 159 999 371 247 624 46314 512 000 25 465 500 Interest received 25 19 601 048 28 009 215(1 034 259) (356 374) Interest paid 31 (384 647) (4 070 095)415 837 585 388 597 215 NET CASH FLOWSFROM / (USED IN)OPERATING ACTIVITIESCASH FLOWS FROMINVESTING ACTIVITIES(376 547 996) (673 689 451)Purchase of Property,Plant and Equipment- - Proceeds on Disposalof Property, Plant andEquipment(9 000 000) - Decrease / (Increase) inNon-current Investments(385 547 996) (673 689 451)NET CASH FLOWSFROM / (USED IN)INVESTING ACTIVITIES9179 215 772 271 563 583(264 618 089) (229 433 980)1 240 329 -- -(263 377 761) (229 433 980)CASH FLOWS FROMFINANCING ACTIVITIES(1 034 259) (1 037 332) Loans repaid 17 (1 074 681) (1 023 692)(1 034 259) (1 037 332) NET CASH FLOWSFROM / (USED IN)FINANCING ACTIVITIES(1 074 681) (1 023 692)106

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