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Published byMegan Tyler Modified over 9 years ago
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Draft Annual Report Year ended 30 June 2015
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Operating result Operational result on budget $700,000 better than forecast We have spent what we said we would.
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Capital Expenditure Capital expenditure reduced to match funding Cash flow $5.9m better off than budget Repaid debt instead of borrowing
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Year end result - funding Note: Does not include non-cash asset write downs and revaluations
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Journey of understanding our finances Late 2013 introduced new financial framework 2014 provided clarity of: – Self funding reserves – Airport debt – Under funding of services 2015 – continue to clarify Council finances focusing on accounting treatment of fixed assets
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Non-cash adjustments to fixed assets Asset management practices are being reviewed post the merger of asset management systems High emphasis from Audit following change in accounting standards – Expenditure waiting to be capitalised – Economic assessment of existing assets Adjustments have a non cash impact on our annual report result.
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Example of some non cash items
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Financial Statements – restated
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