Page 16 - Management Accounts Jan 2017
P. 16

Cash Flow

















                                              MONTH                       YEAR-TO-DATE            PRIOR-YEAR-MONTH
            Description £(000)
                                       Act      Bud       A v B      Act       Bud      A v B       Lyr       A v L

            Opening Balance           7,390     7,390      0        7,390     7,390       0        7,420       (30)


               Net Profit             127       166       (39)       127       166       (39)       144        (17)

          Add back Depreciation        31        34       (3)         31       34        (3)         33        (2)
          Add back Amortisation         0        0         0          0         0         0          0          0

       (increase)/decrease in stocks   95        0         95         95        0        95         (108)      203
       (increase)/decrease in debtors  (58)     (21)      (37)       (58)      (21)      (37)       (191)      133
      increase/(decrease) in creditors  61       0         61         61        0        61         (49)       110

              Capital spend           (47)      (405)     358        (47)     (405)      358        (10)       (37)
       Corporate taxes (paid)/ refund  (60)     (70)       10        (60)      (70)      10         110       (170)
             Dividends paid             0        0         0          0         0         0          0          0
                 Timing                 0        0         0          0         0         0          0          0
               Net Impact             150       (295)     445        150      (295)      445        (71)       221

             Closing Balance          7,539     7,095     445       7,539     7,095      445       7,349       190
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