The statement should be read in conjunction with the accompanying notes.

Cash flow statement for the period ended 30 June 2015
  Notes 2015
$’000
2014
$’000
Operating Activities  
Cash received
Sales of goods and rendering of services   1,014 998
Appropriations   31,361 24,400
Net GST received   1,290 868
Total cash received   33,665 26,266
Cash used      
Employees   15,729 13,708
Suppliers   16,538 11,211
Section 74 receipts transferred to the Official Public Account   1,467 1,355
Total cash used   33,734 26,274
Net Cash Used By Operating Activities 11 (69) (8)
Investing Activities  
Cash received
Proceeds from sales of property, plant and equipment   14
Total cash received   14
Cash used      
Purchase of non-financial assets   707
Total cash used   707
Net Cash Used by Investing Activities   (693)
Financing Activities  
Cash received
Contributed equity   707
Total cash received   707
Net Cash From Financing Activities   707
Net Increase/(Decrease) in Cash Held   (55) (8)
Cash at the beginning of the reporting period   257 265
Cash and Cash Equivalents at the End of the Reporting Period 7A 202 257