Annual Report 2003–2004
Annual Report 2003â2004
Annual Report 2003â2004
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Historical evidence – old Plan of SubdivisionSurveyors Board of Victoria statement of cash flows for the year ended 30 June 2004Notes 2004 2003$ $Cash flows from operating activitiesCash receipts in the course of operations 41,755 88,750Cash payments in the course of operations inclusive of GST (34,500) (35,726)Interest received 4,803 3,328Net cash inflows (outflows) from operating activities (7) 12,058 56,352Net increase (decrease) in cash held 12,058 56,352Cash at the beginning of the financial year 153,656 97,304Cash at the end of the financial year (6) 165,714 153,656The accompanying notes form part of these financial statements22