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Statement of changes in equity for the year ended 30 June 2013

 

Actual

  2012
$000

Note

Actual
2013
$000

Main Estimates 2013
$000

Supp Estimates 2013
$000

 

Taxpayers’ funds

 

 

 

 

1,447

Balance at 1 July

 

1,447

1,447

1,447

1,520

Surplus/(deficit)

 

2,876

Other comprehensive income

 

Capital contribution

 

(1,520)

Repayment of surplus to the Crown

10

(2,876)

1,447

Balance at 30 June

 

1,447

1,447

1,447

 

Explanations of major variances against budget are provided in note 17.

The accompanying notes form part of these financial statements.


Updated on 23rd July 2015