Go to top of page

Note 3 Financial Performance

Note 3A: Employee Benefits

2021

2020

$

$

Wages and salaries

8,310,434

8,396,456

Superannuation - defined contribution plans

802,275

813,113

Leave and other entitlements

569,300

851,069

Separation and redundancies

131,667

31,791

Total employee benefits

9,813,676

10,092,429

Accounting Policy

Superannuation

The staff of the Army and Air Force Canteen Service are members of self-selected superannuation funds. The Army and Air Force Canteen Service makes employer contributions to the employees’ superannuation schemes at rates determined by legislation. The Army and Air Force Canteen Service accounts for the contributions as if they were contributions to defined contribution plans.

The liability for superannuation recognised as at 30 June represents outstanding contributions for the final month of the year. Refer to Note 7B.

Note 3B: Suppliers

2021

2020

$

$

Goods and services supplied or rendered

Cost of goods sold

17,499,084

16,944,942

Total goods and services supplied or rendered

17,499,084

16,944,942

Other suppliers

Workers compensation expenses

152,549

114,685

Total other suppliers

202,411

169,502

Total suppliers

17,701,496

17,114,444

Note 3C: Licenced Facilities on Base

2021

2020

$

$

Licenced facilities on base

499,552

515,569

Total licenced facilities on base

499,552

515,569

Licensed facilities on base was the cost of the rent and utilities that were used by licenced traders on base. The AAFCANS headquarters on base was estimated on the cost of renting a similar space in the area. These facilities were provided free of charge by the Department of Defence. The revenue in relation to the provision of these facilities is disclosed in Note 4B.

Note 3D: Other Expenses

2021

2020

$

$

Computer support and expenses

568,801

536,271

Bank fees

322,772

339,009

Selling, stationery, postage and courier

202,341

169,893

Vehicle running costs

164,089

198,855

Sundry expense

175,685

148,752

Travel

123,427

224,410

Recruitment fees and agency staff

110,478

54,319

Support office facilities

123,508

105,709

Insurance

73,597

78,348

Professional services

4,050

84,914

External audit fees

40,000

23,701

Telephone and internet communications

29,807

30,139

Legal fees

67,899

12,788

Fringe benefits tax

-

(8,396)

Interest leased assets

4,214

3,343

Total other expenses

2,010,668

2,002,056