草莓社区

草莓社区 Strategic Report and Financial Statements 2022 - Consolidated statement of cash flow

草莓社区 Strategic Report and Financial Statements 2022 - Consolidated statement of cash flow

Cash flows from operating activities

Note

2021/22

拢000

2020/21

拢000

(Deficit) for the year

听 (406) (1,851)

Adjustments for non-cash items

11,12 4,812 5,071

Depreciation, amortisation

听 4,812 5,071

Deferred capital grants released

听 (649) (649)

Pension costs less contributions payable

听 3,073 2,825

(Increase) /decrease in operating debtors

听 33 767

Increase / (decrease) in operating creditors

听 (471) 2,496

Increase / (decrease) in pension provision

听 592 (242)

Adjustments for investing or financing activities

听 听 听

Investment income and interest receivable听

听 (72) (15)

Interest payable

听 1,000 1,090

Net cash inflow / (outflow) from operating activities

听 7,912 9,492

Cash flows from investing activities

听 听 听

Investment income

听 72 15

Payments made to acquire fixed assets

听 (819) (90)

听

听 (747) (75)

Cash flows from financing activities

听 听 听

Interest paid

听 (1,000) (1,090)

Repayments of amounts borrowed

听 (6,528) (4,326)

New unsecured loans in year

听 - 2,834

听

听 (7,528) (2,834)

(Decrease)/increase in cash and cash equivalents in the year

听 (363) 6,835

Cash and cash equivalents at beginning of the year

听 15,607 8,772

Cash and cash equivalents at end of the year

听 15,224 15,607

听

听 (363) 6,835

听