17.07.2015 Views

GDF Annual Report - Gauteng Provincial Treasury

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SECTION 4: ANNUAL FINANCIAL STATEMENTS16. Net cash flow available from operating activities2010/11 2009/10R’000 R’000Net surplus/(deficit) as per Statement of Financial Performance 73,189 71,893Add back non cash/cash movements not deemed operating activities 58,805 (92,441)Decrease in receivables – current 52,515 16,125(Increase)/decrease in prepayments and advances 197 (352)Decrease in other current assets 29,218 -Increase in payables – current 27,066 876Proceeds from sale of capital assets (62) -Expenditure on capital assets 956 61,028Surrenders to Revenue Fund (51,085) (170,118)Net cash flow generated by operating activities 131,994 (20,548)17. Reconciliation of cash and cash equivalents for cash flow purposes2010/11 2009/10R’000 R’000Consolidated Paymaster General account 15,769 (115,720)Cash on hand 63 452Total 15,832 (115,268)<strong>Gauteng</strong> Department of Finance191

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