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Consolidated statement of cash flows

CONSOLIDATED STATEMENT OF CASH FLOWS

For the Year Ended 31 July 2021

听

Cash flows from operating activities Note

2020/21

拢000

2019/20

拢000

(Deficit) / surplus for the year

听

听

(1,851)

(475)

Adjustments for non-cash items

听

听

听

Depreciation

听

11

5,071

5,314

Deferred capital grants released

听

(649)

(649)

Pension costs less contributions payable

听

2,825

1,220

(Increase) /decrease in operating debtors

听

767

(812)

Increase / (decrease) in operating creditors

听

2,496

(940)

Increase / (decrease) in pension provision

听

(242)

(502)

Adjustments for investing or financing activities

听

听

听

Investment income and interest receivable

听

(15)

(56)

Interest payable

听

1,090

1,187

(Gain)/loss on the sale of tangible assets

听

-

(4)

Net cash inflow / (outflow) from operating activities

听

9,492

4,283

Cash flows from investing activities

听

听

听

Investment income

听

15

56

Payments made to acquire fixed assets

听

(90)

(940)

听

听

(75)

(884)

Cash flows from financing activities

听

听

听

Interest paid

听

(1,090)

(1,187)

Repayments of amounts borrowed

听

(4,326)

(1,522)

New unsecured loans in year

听

2,834

-

听 听 听 听

Increase / (decrease) in cash and cash equivalents in the year

听

6,835

690

Cash and cash equivalents at beginning of the year

听

8,772

8,082

Cash and cash equivalents at end of the year

听

15,607

8,772

听 听

6,835

690

听