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Reconciliation of Net Surplus to Net Cash Flows from Operating Activities

For the year ended 30 June 2007

  2004/05
Actual
$000
2005/06
Budget
$000
2005/06
Estimated
Actual
$000
2006/07
Budget
$000
Net surplus/(deficit) from operations (4,085) (1,045) 129 (1,746)
Add/(deduct) non-cash expenses/(revenues) from operating statement        
Depreciation and amortisation 784 1,179 1,179 2,192
         
Add/(deduct) movements in working capital        
(Increase)/decrease in receivables and advances (3,844) (4,924) (4,924) 0
(Increase)/decrease in Debtor Crown (20) 77 77 0
Increase/(decrease) in payables and provisions 4,420 6,307 6,307 (1,340)
Increase/(decrease) in deferred income 0 0 0 900
         
Items classified as investing activities        
Net (gain)/loss on sale of physical assets 15 0 0 0
Net cash flows from operating activities (2,730) 1,594 2,768 6

Statement of Forecast Movements in Taxpayers' Funds (Equity)

As at 30 June 2007

  2004/05
Actual
$000
2005/06
Budget
$000
2005/06
Estimated
Actual
$000
2006/07
Budget
$000
Taxpayers' funds at the start of the period 3,301 4,152 4,152 10,555
Add        
Net surplus/(deficit) (4,085) (1,045) 129 (1,746)
         
(Deduct)        
Provision for payment of surplus to the Crown (188) (2,867) (2,967) (1,520)
         
Add        
Capital injections from the Crown 5,124 9,241 9,241 7,132
Net asset transfer from Ministry of Economic Development 0 0 0 583
Taxpayers' funds at the end of the period 4,152 9,481 10,555 15,004

Details of Forecast Fixed Assets by Category

As at 30 June 2007

  30 June 2005
Actual Net Book
Value
$000
30 June 2006
Estimated Actual and
Budgeted Net Book Value
$000
30 June 2007
Projected Position
Cost
$000
30 June 2007
Projected Position
Accumulated
Depreciation
$000
30 June 2007
Projected Position
Net Book Value
$000
Office equipment 119 394 737 110 627
Office renovations 340 3,795 4,233 975 3,258
Furniture and fittings 121 992 1,176 346 830
Computer hardware 737 2,100 7,712 2,978 4,734
Computer software 984 2,015 4,116 1,856 2,260
Motor vehicles 66 133 542 341 201
Transfer of fixed assets from          

Ministry of Economic Development

0 0 764 543 221
Work in progress 666 0 0 0 0
Total 3,033 9,429 19,280 7,149 12,131

Estimated Capital Expenditure by Category

As at 30 June 2007 

  Forecast
2006/07
$000
Estimated
Actual
2005/06
$000
Budget
2005/06
$000
Actual
2004/05
$000
Actual
2003/04
$000
Actual
2002/03
$000
Actual
2001/02
$000
Office equipment 0 318 318 169 7 22 3
Office renovations 286 3,479 3,479 666 74 269 151
Furniture and fittings 50 927 927 266 0 2 0
Computer hardware 3,435 1,306 1,306 184 555 261 322
Computer software 802 1,445 1,445 124 288 940 34
Motor vehicles 100 100 100 56 0 0 29
Total 4,673 7,575 7,575 1,465 924 1,494 539

The Department is authorised to incur capital expenditure by using the proceeds of the sale or disposal of any of its assets, together with any working capital held (section 24 of the Public Finance Act 1989).

The effective constraint on capital expenditure by the Department is the total of its net assets (section 22 of the Public Finance Act 1989). The net assets of the Department will increase by $7.715 million in 2006/07 through a transfer from the Ministry of Economic Development for the electrical workers registration system ($583,000) and capital injections from the Crown to fund a projected deficit in the occupational licensing memorandum account ($3.254 million), for the development of a licensing system for building practitioners ($905,000) and to fund essential infrastructure resources for the recently formed Department ($2.973 million).