Page 323 - Department of Social Development Annual Report 2021
P. 323
PART E: FINANCIAL INFORMATION
DISASTER RELIEF FUND
Statement of Changes in Net assets as at
31 March 2021
Accumulated funds
R’000
Balance as at 31 March 2019 95 064
Surplus for the year
5 046
Balance as at 31 March 2020 100 110
Surplus (Deficit)for the year
(70 886)
Balance as at 31 March 2021 29 224
Cash Flow Statement
31 March 2021
Notes 2020/21 2019/20
R’000 R’000
CASH FLOWS FROM OPERATING ACTIVITIES
Payments to suppliers and other (69 701) (1 675)
Cash generated from operations 12 (69 701) (1 675)
Interest income 2 1 182 6 603
Net cash inflow from operating activities (68 519) 4 928
CASH FLOWS FROM INVESTING ACTIVITIES
- -
Net cash inflows from investing activities - -
CASH FLOWS FROM FINANCING ACTIVITIES
- -
Net cash inflows from financing activities - -
Net increase in cash and cash equivalents (68 519) 4 982
Cash and cash equivalent at beginning of the year 99 992 95 064
Cash and cash equivalent at end of the year 10 31 473 99 992
DEPARTMENT OF SOCIAL DEVELOPMENT ANNUAL REPORT 2020/21 323