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SA Pork Producers Organisation
Financial Statements for the year ended 31 December 2019
Statement of Cash Flows
2019 2018
Note(s) R R
Cash flows from operating activities
Cash (used in) generated from operations 14 (1 833 303) 8 001 394
Interest income 517 798 807 235
Dividends received 21 440 16 767
Net cash from operating activities (1 294 065) 8 825 396
Cash flows from investing activities
Purchase of property, plant and equipment 2 (616 892) (14 232 199)
Sale of property, plant and equipment 2 9 423 879 126
Net movement in financial assets (58 569) (49 286)
Net cash from investing activities (666 038) (13 402 359)
Cash flows from financing activities
Finance lease payments (34 275) 1 147 915
Total cash movement for the year (1 994 378) (3 429 048)
Cash at the beginning of the year 11 549 512 14 978 560
Total cash at end of the year 5 9 555 134 11 549 512
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