Note 16: Reconciliation of net surplus to net cash flow from operating activities

This reconciliation discloses the non-cash adjustments applied to the surplus reported in the Statement of comprehensive revenue and expense on page 47 to arrive at the net cash flow from operating activities disclosed in the Statement of cash flows on page 50.

  Actual
2017/18
$000
Actual
2016/17
$000
Net Surplus/(deficit) 1,482 (2,064)
Add/(Less) non-cash items    
Depreciation and amortisation 1,107 1,126
Total non-cash Items 1,107 1,126
Add/(Less) movements in statement of financial position items    
(Increase)/decrease in prepayments (28) (203)
(Increase)/decrease in receivables (1,224) (164)
(Increase)/decrease in work in progress 1,309 (38)
(Decrease)/increase in payables 158 (593)
(Decrease)/increase in employee entitlements 977 445
Total movements in working capital items 1,192 (553)
Add/(Less) items classified as investing activities    
Loss/(Gains) on sale of plant and equipment 5 (47)
Total items classified as investing activities 5 (47)
Net cash flow from operating activities 3,786 (1,538)