Territory Stories

Northern Territory budget papers 2003 - 2004

Details:

Title

Northern Territory budget papers 2003 - 2004

Other title

2003/04 Budget paper

Creator

Northern Territory. Department of Treasury

Collection

Northern Territory budget papers; E-Journals; PublicationNT

Date

2003-05-29

Notes

Made available via the Publications (Legal Deposit) Act 2004 (NT).; Please Note: This can't be read online. Please download to read the documents

Table of contents

Northern Territory Budget paper No. 01 2003-04 Speech and Appropriation Bill -- Northern Territory Budget paper No. 02 2003-04 Fiscal and Economic Outlook -- Northern Territory Budget paper No. 03 2003-04 The Budget -- Northern Territory Budget paper No. 04 2002-03 Capital Works Program -- Northern Territory Budget paper No. 05 2002-03 Budget Overview -- Budget paper No. 06 2002-03 NT Economy -- Northern Territory Budget paper No. 07 2002-03 Regional Highlights -- Northern Territory Budget paper No. 08 2002-03 Building Territory Business

Language

English

Subject

Appropriations and expenditures; Periodicals; Budget; Finance, Public

Publisher name

Northern Territory Government

Place of publication

Darwin

Volume

2003/04

File type

application/pdf

Use

Attribution International 4.0 (CC BY 4.0)

Copyright owner

Northern Territory Government

License

https://creativecommons.org/licenses/by/4.0/

Related links

https://hdl.handle.net/10070/591859 [LANT: E-Journals: Northern Territory Budget paper No. 01 2003-04 The Speech and Appropriation Bill]; https://hdl.handle.net/10070/591861 [LANT: E-Journals: Northern Territory Budget paper No. 02 2003-04 Fiscal and Economic Outlook]; https://hdl.handle.net/10070/591863 [LANT: E-Journals: Northern Territory Budget paper No. 03 2003-04 The Budget]; https://hdl.handle.net/10070/591865 [LANT: E-Journals: Northern Territory Budget paper No. 04 2003-04 Capital Works Program]; https://hdl.handle.net/10070/591867 [LANT: E-Journals: Northern Territory Budget paper No. 05 2003-04 Budget Overview]; https://hdl.handle.net/10070/591869 [LANT: E-Journals: Northern Territory Budget paper No. 06 2003-04 NT Economy]; https://hdl.handle.net/10070/591871 [LANT: E-Journals: Northern Territory Budget paper No. 07 2003-04 Regional Highlights]; https://hdl.handle.net/10070/591873 [LANT: E-Journals: Northern Territory Budget paper No. 08 2003-04 Building Territory Business]

Parent handle

https://hdl.handle.net/10070/244898

Citation address

https://hdl.handle.net/10070/591861

Related items

https://hdl.handle.net/10070/591865; https://hdl.handle.net/10070/591867; https://hdl.handle.net/10070/591869; https://hdl.handle.net/10070/591871; https://hdl.handle.net/10070/591873; https://hdl.handle.net/10070/591859; https://hdl.handle.net/10070/591863

Page content

Uniform Presentation Framework _______________________________________________________________________________________________ 153 TABLE 10.12 PUBLIC FINANCIAL CORPORATION SECTOR CASH FLOW STATEMENT 2002-03 Estimate $000 Cash receipts from operating activities Receipts from sales of goods and services 123 144 Grants/subsidies received Other receipts 216 522 Total operating receipts 339 666 Cash payments for operating activities Payment for goods and services - 93 221 Interest paid - 174 382 Other payments Total operating payments - 267 603 NET CASH FLOWS FROM OPERATING ACTIVITIES 72 063 Net cash flows from investments in non financial assets Sales of non financial assets - 55 Purchases of non financial assets - 3 106 Net cash flows from investments in - 3 161 non financial assets Net cash flows from investments in financial - 53 975 assets for policy purposes (a) Net cash flows from investments in financial - 44 547 assets for liquidity purposes NET CASH FLOWS FROM INVESTING ACTIVITIES - 101 683 Net cash flows from financing activities Advances received (net) 10 000 Borrowing (net) - 24 687 Deposits received (net) 89 897 Distributions paid - 17 452 Other financing (net) 75 NET CASH FLOWS FROM FINANCING ACTIVITIES 57 833 NET INCREASE/ DECREASE IN CASH HELD 28 213 Net cash from operating activities and 51 450 investments in non financial assets Finance leases and similar arrangements SURPLUS (+) / DEFICIT (-) (b) 51 450 (a) Includes equity acquisitions, disposals and privatisations (net). (b) Equates to net cash flows from operating activities plus net cash flows from investments in non financial assets, less finance leases.