TOTAL EXPENDITURE 4,266,768,112 4,134,501,788 SURPLUS 7,442,239 1,876,078 Excess of Grant Over Expenditure - - Excess of Releases Over Expenditure 7,442,239 1,876,078 7,442,239 1,876,078
ANNUAL REPORT & STATEMENT OF ACCOUNTS 70 Guyana Revenue Authority Cash Flow Statement For the year ended December 31, 2014 2014 2013 Cash Flows from operating activities Cash Releases from Government of Guyana 20 4,274,210,351 4,136,377,866 Cash paid to suppliers and employees (4,266,768,112) (4,134,501,788) Net Cash flow from operating activities 7,442,239 1,876,078 Cash Flows from investing activities Cash Releases from Government of Guyana 18 375,000,000 329,117,284 Purchase of property, plant and equipment (335,693,273) (329,069,043) Capital Work in Progress - - Net Cash flow from investing activities 39,306,727 48,241 Net increase in cash 46,748,966 1,924,319 Cash at beginning of period 14,690,098 66,503,790 Cash in Imprest Accounts/increase or decrease in imprest Cash in Foreign Currency floats/increase or decrease in Currency floats 5,745 (7,716) Cash at POS accounts/increase or decrease in cash at POS - - Cash Paid to Liability - - Cash expended on ODS Training Cash repaid to Government of Guyana - (51,805,976) Cash repaid for the accounting period (1,924,319) Unreconciled Difference - - Share with your friends: |