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Annual Report for the year ended 30 June 2006

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Part 3: Departmental financial statements (continued)

Statement of financial performance
For the year ended 30 June 2006

  Note 30/6/2005 Actual

$000
30/6/2006 Actual

$000
30/6/2006 Main
estimates
$000
30/6/2006 Supp.
estimates
$000
Revenue          
Crown 2 8,231 8,673 9,075 9,075
Other 3 842 368 80 469
Total revenue   9,073 9,041 9,155 9,544
Expenditure          
Personnel costs 4 4,756 5,005 5,272 5,316
Operating costs 5 3,325 2,975 3,405 3,792
Depreciation 6 324 346 354 312
Capital charge 7 124 124 124 124
Total expenses   8,529 8,450 9,155 9,544
Net operating surplus   544 591 - -

The accompanying accounting policies and notes form part of these financial statements.

Statement of movements in taxpayers' funds
For the year ended 30 June 2006

  30/6/2005 Actual

$000
30/6/2006 Actual

$000
30/6/2006 Main
estimates
$000
30/6/2006 Supp.
estimates
$000
Taxpayers' funds brought forward as at 1 July 1,555 1,555 1,555 1,555
Net operating surplus/(deficit) 544 591 - -
Total recognised revenues and expenses for the year 544 591 - -
Provision for repayment of surplus to the Crown (544) (591) - -
Taxpayers' funds as at 30 June 1,555 1,555 1,555 1,555

The accompanying accounting policies and notes form part of these financial statements.

Statement of financial position
As at 30 June 2006

  Note 30/6/2005 Actual

$000
30/6/2006 Actual

$000
30/6/2006 Main
estimates
$000
30/6/2006 Supp.
estimates
$000
Taxpayer's funds          
Taxpayer's funds   1,555 1,555 1,555 1,555
Total taxpayer's funds   1,555 1,555 1,555 1,555
Represented by: Current assets          
Cash   1,906 1,873 1,458 1,400
Prepayments   82 - 14 14
Debtors and receivables 8 94 164 2 2
Total current assets   2,082 2,037 1,474 1,416
Non current assets          
Property, plant and equipment 9 746 1,239 739 1,019
Total non-current assets   746 1,239 739 1,019
Total assets   2,828 3,276 2,213 2,435
Current liabilities          
Creditors and payables 10 199 526 335 335
Provision for repayment of surplus to the Crown   544 591 - -
Provision for employee entitlements 11 287 433 200 310
Total current liabilities   1,030 1,550 535 645
Non-current liabilities          
Provision for employee entitlements 11 243 171 123 235
Total liabilities   1,273 1,721 658 880
Net assets   1,555 1,555 1,555 1,555

The accompanying accounting policies and notes form part of these financial statements.

Statement of cash flows
For the year ended 30 June 2006

  30/6/2005 Actual

$000
30/6/2006 Actual

$000
30/6/2006 Main
estimates
$000
30/6/2006 Supp.
estimates
$000
Cash flows - operating activities
Cash provided from:
       
Crown 8,231 8,673 9,075 9,075
Customers 842 368 80 469
  9,073 9,041 9,155 9,544
Cash disbursed to
Produce outputs
:
       
Personnel (4,631) (4,840) (5,272) (5,316)
Operating (3,430) (2,764) (3,405) (3,481)
Net GST paid (41) 104 - -
Capital charge (124) (124) (124) (124)
  (8,226) (7,624) (8,801) (8,921)
Operating activities net cash flows 847 1,417 354 623
Cash flows - investing activities
Cash provided from:
       
Sale of fixed assets - - - -
Cash disbursed for:
       
Purchase of fixed assets (326) (906) (250) (585)
Investing activities net cash flows (326) (906) (250) (585)
Cash flows - financing activities
Cash disbursed for:
       
Repayment of surplus (184) (544) - (544)
Financing activities net cash flows (184) (544) - (544)
Net increase/(decrease) in cash held
337 (33) 104 (506)
Add opening cash and deposits
1,569 1,906 1,354 1,906
Closing cash and deposits 1,906 1,873 1,458 1,400

The accompanying accounting policies and notes form part of these financial statements.

Reconciliation of net operating surplus to net cash flow from operating activities
For the year ended 30 June 2006

  30/6/2005 Actual

$000
30/6/2006 Actual

$000
30/6/2006 Main
estimates
$000
30/6/2006 Supp.
estimates
$000
Net operating surplus/(deficit) 544 591 - -
Add/(Less) non-cash items
       
Depreciation 324 346 354 312
Inc/(Dec) in non-current employee entitlements 83 (72) - (5)
Total non-cash items 407 274 354 307
Working capital movements
       
(Inc)/Dec in debtors and receivables 115 (71) - 92
(Inc)/Dec in prepayments (51) 82 - 68
Inc/(Dec) in creditors and payables (194) 331 - 141
Inc/(Dec) in current employee entitlements 26 210 - 15
Working capital movements - net
(104) 552 - 316
Net cash flow from operating activities 847 1,417 354 623

The accompanying accounting policies and notes form part of these financial statements.

Statement of commitments
As at 30 June 2006

The Ministry is relocating to a new Defence building, currently under construction on the corner of Aitken and Mulgrave Streets, Wellington. The New Zealand Defence Force, as head tenant, is managing the project. The Ministry has been given financial approval for $2.861 million of capital expenditure for this relocation.

At balance date no proposal had been received from New Zealand Defence Force on sub-tenant contractual obligations between New Zealand Defence Force and the Ministry of Defence in relation to the new Defence building. The Ministry has not entered into any operating commitments on the new Defence building at 30 June 2006.

The Ministry has no commitments for future payments and expenditure to be incurred on operating contracts that have been entered into at balance date. (30 June 2005 = Nil.)

Statement of contingent assets and liabilities
As at 30 June 2006

The Ministry does not have any contingent assets or liabilities as at 30 June 2006. (30 June 2005 = Nil.)

No guarantees and indemnities have been given outside the normal course of business. (30 June 2005 = Nil.)

There are no claims against the Ministry at balance date. (30 June 2005 = Nil.)

Statement of unappropriated expenditure
For the year ended 30 June 2006

No expenditure has been made or costs incurred in excess of or without appropriation by Parliament. (There was no unappropriated expenditure at 30 June 2005.)

Statement of departmental expenditure and appropriations
For the year ended 30 June 2006

  30/6/2006
Expenditure
actual
$000
30/6/2006
Appropriation
voted
$000
Vote: Defence
Appropriations for classes of outputs
   
Policy advice 3,324 3,823
Audit and assessment of performance
1,714 1,791
Management of equipment procurement
3,412 3,930
Total
8,450 9,544

(Figures are GST exclusive)

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