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Annual Report for the year ended 30 June 2008

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Part 4: Departmental financial statements

Statement of financial performance
For the year ended 30 June 2008

  Note Actual
2007

$000
Actual
2008

$000
Main
estimates
2008
$000
Supp
estimates
2008
$000
Income          
Revenue Crown   9,502 9,398 9,398 9,398
Revenue other 2 419 233 144 291
Total income   9,921 9,631 9,542 9,689
Expenditure          
Personnel expenses 3 5,599 6,204 6,182 6,283
Operating expenses 5 3,164 2,754 2,804 2,814
Depreciation and amortisation expense 7,8 267 262 300 336
Capital charge 4 151 256 256 256
Total expenditure   9,181 9,476 9,542 9,689
Net operating surplus /(deficit)   740 155 - -

The accompanying notes form part of these financial statements.

Statement of financial position
As at 30 June 2008

  Note Actual 2007

$000
Actual 2008

$000
Main
estimates
2008
$000
Supp
estimates
2008
$000
Assets
Current assets
         
Cash and cash equivalents   2,444 1,917 1,203 1,553
Debtors and other receivables 6 206 195 14 250
Prepayments   13 14 1 13
Total current assets   2,663 2,126 1,218 1,816
Non-current assets          
Property, plant and equipment 7 2,633 2,510 2,785 2,607
Intangible assets 8 138 148 182 111
Total non-current assets   2,771 2,658 2,967 2,718
Total assets   5,434 4,784 4,185 4,534
Liabilities
Current liabilities
         
Creditors and other payables 9 720 628 224 510
Repayment of surplus 10 740 155 - -
Employee entitlements 11 370 375 310 400
Total current liabilities   1,830 1,158 534 910
Non-current liabilities          
Employee entitlements 11 188 210 235 208
Total non-current liabilities   188 210 235 208
Total liabilities   2,018 1,368 769 1,118
Net assets   3,416 3,416 3,416 3,416
Taxpayer's funds          
General funds 12 3,416 3,416 3,416 3,416
Total taxpayers' funds   3,416 3,416 3,416 3,416

The accompanying notes form part of these financial statements.

Statement of changes in taxpayers' funds
For the year ended 30 June 2008

  Note Actual
2007

$000
Actual
2008

$000
Main
estimates
2008
$000
Supp
estimates
2008
$000
Balance at 1 July   1,555 3,416 3,416 3,416
Surplus/(deficit) for the year   740 155 - -
Total recognised income and expense   740 155 - -
Repayment of surplus to the Crown 10 (740) (155) - -
Capital contribution   1,861 - - -
Balance at 30 June 12 3,416 3,416 3,416 3,416

The accompanying notes form part of these financial statements.

Statement of cash flows
For the year ended 30 June 2008

  Note Actual
2007

$000
Actual
2008

$000
Main
estimates
2008
$000
Supp
estimates
2008
$000
Cash flows from operating activities
         
Receipts from Crown   9,502 9,398 9,398 9,398
Receipts from revenue other   419 250 144 291
Payments to employees   (5,590) (6,095) (5,393) (5,972)
Payments to suppliers   (3,296) (2,734) (3,703) (3,242)
Payments for capital charge   (151) (256) (256) (256)
Goods and services tax (net)   16 (1) - (120)

Net cash from operating activities

13 900 562 190 99
Cash flows from investing activities
         
Receipts from sale of property, plant and equipment   6 - - -
Purchase of property, plant and equipment   (1,605) (323) (250) (250)
Purchase of intangible assets   - (26) - -
Net cash from investing activities   (1,599) (349) (250) (250)
Cash flows from financing activities
         
Capital contribution
  1,861 - - -
Repayment of surplus   (591) (740) - (740)
Net cash from financing activities   1,270 (740) - (740)
Net increase/(decrease) in cash
  571 (527) (60) (891)
Cash at the beginning of the year   1,873 2,444 1,263 2,444
Cash at the end of the year   2,444 1,917 1,203 1,553

The GST (net) component of operating activities reflects the net GST paid and received with the Inland Revenue Department. The GST (net) component has been presented on a net basis, as the gross amounts do not provide meaningful information for financial statement purposes.

 

The accompanying notes form part of these financial statements.

Statement of commitments
As at 30 June 2008

Capital commitments

Capital commitments are the aggregate amount of capital expenditure contracted for the acquisition of property, plant and equipment and intangible assets that have not been paid for or not recognised as a liability at the balance sheet date.

Non-cancellable operating lease commitments

The Ministry leases property, plant and equipment in the normal course of its business. The lease of premises in Defence House has a non-cancellable leasing period of 18 years.

  Actual
2007
$000
Actual
2008
$000
Non-cancellable operating lease commitments    
Not later than one year 457 457
Later than one year and not later than two years 457 457
Later than two years and not later than five years
1,370 1,370
Later than five years
5,785 5,328
Total non-cancellable operating lease commitments 8,069 7,612
Total commitments
8,069 7,612

The accompanying notes form part of these financial statements.

Statement of contingent liabilities and contingent assets
As at 30 June 2008

Contingent liabilities

The Ministry has no contingent liabilities (2007 = Nil).

Contingent assets

The Ministry has no contingent assets (2007 = Nil).

Guarantees and indemnities

No guarantees and indemnities have been given outside the normal course of business (2007 = Nil).

Statement of departmental output expenses against appropriations
For the year ended 30 June 2008

  Actual
2007

$000
Actual
2008

$000
Main
estimates
2008
$000
Supp
estimates
2008
$000
Vote: Defence
Appropriations for output expenses
       
Policy advice 3,712 4,003 3,939 4,009
Audit and assessment of performance 1,763 1,797 1,890 1,909
Management of equipment procurement 3,706 3,676 3,713 3,771
Total appropriations for output expenses 9,181 9,476 9,542 9,689

The accompanying notes form part of these financial statements.

Statement of departmental unappropriated expenditure and capital expenditure
For the year ended 30 June 2008

The Ministry has no instances of departmental unappropriated expenditure and no breaches of projected departmental net asset schedules. (2007 = Nil)

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