Note 10: Intangible assets

Annual Report for the year ended 30 June 2009.

Acquired software Internally generated
software
Total
$000 $000 $000
Cost
Balance at 1 July 2007 2,695 - 2,695
Additions 31 120 151
Disposals (232) - (232)
Balance at 30 June 2008 2,494 120 2,614
Additions 927 0 927
Disposals (290) - (290)
Balance at 30 June 2009 3,131 120 3,251
Accumulated amortisation and impairment losses
Balance at 1 July 2007 2,340 - 2,340
Amortisation expense 161 - 161
Disposals (201) - (201)
Balance at 30 June 2008 2,300 - 2,300
Amortisation expense 85 16 101
Disposals (290) - (290)
Balance at 30 June 2009 2,095 16 2,111
Carrying amounts
At 1 July 2007 355 - 355
At 30 June 2008 194 12 314
At 30 June 2009 1,036 104 1,140
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