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Statement of cash flows

For the year ended 30 June 2021

Notes

30 June 2021
$000

30 June 2020
$000

Cash flows from operating activities

Interest received

386

929

Payments to suppliers and employees

(279,266)

(268,909)

Net GST received

41,614

30,973

Net cash outflow from operating activities

E.1

(237,266)

(237,007)

Cash flows from investing activities

Proceeds from government contribution

7,781

Proceeds from sale of property, plant and equipment

18

Payments for work in progress

(215,155)

(136,956)

Payments for property, plant and equipment

B.4

(207)

(307)

Net cash outflow from investing activities

(215,344)

(129,482)

Cash flows from financing activities

Equity injection for ordinary shares by the Commonwealth of Australia

C.1

545,400

405,528

Payments for leases

(547)

(514)

Net cash inflow from financing activities

544,853

405,014

Net increase in cash and cash equivalents

92,243

38,525

Cash and cash equivalents at the beginning of the financial year

88,656

50,131

Cash and cash equivalents at the end of the financial year

180,899

88,656

The above Statement of cash flows should be read in conjunction with the accompanying notes.