Go to top of page

Statement of Financial Position

as at 30 June 2019

2019

2018

Original Budget 2019

Notes

$'000

$'000

$'000

ASSETS

Financial assets

Cash and cash equivalents

5,200

2,234

3,762

Trade and other receivables

2.1A

71,168

100,339

87,650

Total financial assets

76,368

102,573

91,412

Non-financial assets

Leasehold improvements

2.2A

34,132

33,544

40,012

Plant and equipment

2.2A

18,232

28,549

-

Intangibles

2.2A

106,739

101,507

107,689

Prepayments

14,132

6,653

11,465

Total non-financial assets

173,235

170,253

159,166

Total assets

249,603

272,826

250,578

LIABILITIES

Payables

Suppliers

2.3A

22,683

29,869

21,103

Other payables

2.3B

44,144

51,096

54,831

Total payables

66,827

80,965

75,934

Provisions

Employee leave

99,954

90,770

91,842

Other

534

509

351

Total provisions

100,488

91,279

92,193

Total liabilities

167,315

172,244

168,127

Net assets

82,288

100,582

82,451

EQUITY

Contributed equity

349,392

321,441

354,763

Reserves

29,531

30,565

23,980

Accumulated deficit

(296,635)

(251,424)

(296,292)

Total equity

82,288

100,582

82,451

Accounting Policy

Cash and cash equivalents

Cash is recognised at its nominal amount. Cash and cash equivalents include:

a) cash on hand; and

b) deposits on demand in bank accounts with an original maturity of three months or less that are readily convertible to known amounts of cash and subject to insignificant risk of changes in value.

Employee leave

Refer to Accounting Policy Note 1.1A Employee Benefits for detail.

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

Refer to Overview for explanations of major variances between budgeted and actual amounts.