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Wool Stocktake : AWI Annual Report 2008-09
Cash flow statements For the year ended 30 June 2009 2008 2008 Notes $'000 $'000 Levy, licence, government grant and other receipts (inclusive of goods and services tax) 77,954 63,599 Payments to suppliers and employees (inclusive of goods and services tax) (92,956) (78,357) (15,002) (14,758) Interest received 5,056 4,971 Other revenue 690 677 Income taxes paid (386) - 35 (9,642) (9,110) Payments for property, plant and equipment (1,855) (1,648) Proceeds from sale of property, plant and equipment 108 - Proceeds from finalisation/(Payments for) purchase of business, net of cash acquired 31 (6,200) (10,000) Payments for held-to-maturity investments (237) - Payments of website development costs - - Funding to related parties - (1,652) (8,184) (13,300) (17,826) (22,410) Cash and cash equivalents at the beginning of the financial year 82,400 82,272 Effects of exchange rate changes on cash and cash equivalents - - 7 64,574 59,862 The above cash flow statements should be read in conjunction with the accompanying notes.
AWI Annual Report 2007-08
AWI Annual Report 2009-10