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Annual Report for the year ended 30 June 2001

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Departmental operations (continued)

Statement of financial performance
for the year ended 30 June 2001

  Note 30/6/2000 Actual

$000
30/6/2001 Actual

$000
30/6/2001 Main
estimates
$000
30/6/2001 Supp.
estimates
$000
Revenue          
Crown 2 8,069 8,305 8,069 8,304
Other 3 28 11 30 -
Interest 5 51 61 30 58
Total revenue   8,148 8,377 8,129 8,362
Expenditure          
Personnel costs 6 4,152 3,843 4,371 4,221
Operating costs 7 5,239 3,474 3,091 3,546
Depreciation   467 359 481 381
Capital charge 8 156 156 156 156
Total expenses   10,014 7,832 8,099 8,304
Net operating surplus/(deficit)   (1,866) 545 30 58

Statement of movements in taxpayers' funds
for the year ended 30 June 2001

  30/6/2000 Actual

$000
30/6/2001 Actual

$000
30/6/2001 Main
estimates
$000
30/6/2001 Supp.
estimates
$000
Taxpayers' funds brought forward as at 1 July 1,555 1,555 1,555 1,555
Net operating surplus/(deficit) (1,866) 545 30 58
Total recognised revenues and expenses for the year (1,866) 545 30 58
Department/Crown asset/liability transfer 2,371 - - -
Provision for repayment of surplus to the Crown (505) (545) (30) (58)
Taxpayers' funds as at 30 June 1,555 1,555 1,555 1,555

Statement of financial position
As at 30 June 2001

  Note 30/6/2000 Actual

$000
30/6/2001 Actual

$000
30/6/2001 Main
estimates
$000
30/6/2001 Supp.
estimates
$000
Taxpayer's funds          
Taxpayer's funds   1,555 1,555 1,555 1,555
Total taxpayer's funds   1,555 1,555 1,555 1,555
Represented by: Current assets          
Cash   532 275 184 104
Short-term deposits 9 1,300 2,000 1,200 1,200
Composition of cash   1,832 2,275 1,384 1,304
Prepayments   108 38 84 14
Debtors and receivable 10 25 54 2 2
Total current assets   1,965 2,367 1,470 1,320
Non current assets          
Fixed assets 11 869 660 925 951
Total non-current assets   869 660 925 951
Total assets   2,834 3,027 2,395 2,271
Current liabilities          
Creditors and payables 12 413 582 335 335
Provision for repayment of surplus to the Crown   505 545 30 58
Provision for employee entitlements 13 207 209 220 200
Total current liabilities   1,125 1,336 585 593
Non-current liabilities          
Provision for employee entitlements 13 154 136 255 123
Total liabilities   1,279 1,472 840 716
Net assets   1,555 1,555 1,555 1,555

Statement of cash flows
for the year ended 30 June 2001

  30/6/2000 Actual

$000
30/6/2001 Actual

$000
30/6/2001 Main
estimates
$000
30/6/2001 Supp.
estimates
$000
Cash flows - operating activities
Cash provided from:
Supply outputs to
       
Crown 8,069 8,305 8,069 8,304
Customers 19 1 30 -
Interest 51 61 30 58
  8,139 8,367 8,129 8,362
Cash disbursed to:
Produce outputs
       
Personnel (4,230) (3,814) (4,371) (4,221)
Operating (2,834) (3,102) (3,091) (3,536)
Net GST paid (24) (75) - -
Capital charge (156) (156) (156) (156)
  (7,244) (7,147) (7,618) (7,913)
Operating activities net cash flows 895 1,220 511 449
Cash flows - investing activities
Cash provided from:
       
Sale of fixed assets 88 55 28 28
Cash disbursed for:
       
Purchase of fixed assets (265) (327) (500) (500)
Investing activities net cash flows (177) (272) (472) (472)
Cash flows - financing activities
Cash disbursed for:
       
Repayment of surplus (205) (505) (180) (505)
Financing activities net cash flows (205) (505) (180) (505)
Net increase/(decrease) in cash held
513 443 (141) (528)
Add opening cash and deposits
1,319 1,832 1,525 1,832
Closing cash and deposits 1,832 2,275 1,384 1,304

Reconciliation of net operating surplus to net cash flow from operating activities
for the year ended 30 June 2001

  30/6/2000 Actual

$000
30/6/2001 Actual

$000
30/6/2001 Main
estimates
$000
30/6/2001 Supp.
estimates
$000
Net operating surplus/(deficit) (1,866) 545 30 58
Department/Crown assit/liability transfer Add/(Less) non-cash items
2,371 - - -
Depreciation 467 359 481 381
Inc/(Dec) in non-current employee entitlements (101) - - -
Reclassification of fixed assets - 121 - -
Total non-cash items 2,737 480 481 381
Working capital movements
       
(Inc)/Dec in debtors and receivables 26 (20) - 32
(Inc)/Dec in prepayments 13 70 - 94
Inc/(Dec) in creditors and payables 10 169 - (78)
Inc/(Dec) in current employee entitlements (16) (16) - (38)
Working capital movements - net
33 203 - 10
Add/(Less) investing activity items        
(Gain)/Loss on sale of fixed assets (9) (8) - -
Total investing activity items (9) (8) - -
Net cash flow from operating activities 895 1,220 511 449

Statement of commitments
As at 30 June 2001

There are no commitments for future payments and expenditure to be incurred on contracts that have been entered into at balance date. (There were no commitments at 30 June 2000.)

Statement of contingent liabilities
As at 30 June 2001

No guarantees and indemnities have been given outside the normal course of business.

There are no claims against the Ministry at balance date.

  30/6/2000
Actual
$000

30/6/2001
Actual
$000

Personal grievances
15 -
Total contingent liabilities 15 -

Statement of unappropriated expenditure
for the year ended 30 June 2001

No expenditure has been made or costs incurred in excess of or without appropriation by Parliament.

There was unappropriated expenditure at 30 June 2000 of $2.280 million due to a change in accounting treatment for the capitalisation of military equipment expenditure.

Statement of departmental expenditure and appropriations
for the year ended 30 June 2001

(Figures are GST incluseve where applicable)

 

30/6/2001
Expenditure
actual
$000

30/6/2001
Appropriation
voted
$000
Vote: Defence
Appropriations for classes of outputs
   
D1-Policy advice 3,336 3,510
D2-Audit and assessment of performance
1,901 2,084
D3-Management of equipment procurement
3,634 3,749
Total
8,871 9,343

The accompanying accounting policies and notes form part of these financial statements.

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