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Consolidated Statement of Cash Flow

For the year ended 31 July 2023

Note

2022/23

拢000

(Restated)

2021/22

拢000

Cash flows from operating activities
Surplus / (Deficit) for the year 162 (406)
Adjustments for non-cash items
Depreciation, amortisation 11,听 12 5,405 4,812
Deferred capital grants released (649) (649)
Pension costs less contributions payable 667 3,073
(Increase) / decrease in operating debtors (981) 33
Increase / (decrease) in operating creditors 262 (471)
Increase / (decrease) in pension provision (130) 592
Adjustments for investing or financing activities
Investment income and interest receivable (998) (72)
Interest payable 746 1,000
Net cash inflow / (outflow) from operating activities 4,484 7,912
Cash flows from investing activities
Investment income 586 72
Payments made to acquire fixed assets (610) (819)
(24) (747)
Cash flows from financing activities
Interest paid (746) (1,000)
Repayments of amounts borrowed (1,505) (6,528)
(2,251) (7,528)
(Decrease) / Increase in cash and cash equivalents in the year 2,206 (363)
Cash and cash equivalents at beginning of the year 15,244 15,607
Cash and cash equivalents at end of the year 17,450 15,244
2,206 (363)