Territory Stories

Annual Report 2020-2021, Northern Territory Legal Aid Commission

Details:

Title

Annual Report 2020-2021, Northern Territory Legal Aid Commission

Other title

Tabled Paper 433

Collection

Tabled Papers for 14th Assembly 2020 -; Tabled Papers; ParliamentNT

Date

2021-11-30

Notes

Made available by the Legislative Assembly of the Northern Territory under Standing Order 240. Where copyright subsists with a third party it remains with the original owner and permission may be required to reuse the material.

Language

English

Subject

Tabled papers

Publisher name

Legislative Assembly of the Northern Territory

Place of publication

Darwin

File type

application/pdf

Use

Copyright

Copyright owner

See publication

License

https://www.legislation.gov.au/Details/C2019C00042

Parent handle

https://hdl.handle.net/10070/851059

Citation address

https://hdl.handle.net/10070/851060

Page content

0 7 7 n o rth e rn te rrito ry le g a l a id c o m m issio n a n n u a l re p o rt 2 0 2 0 /2 1 Financials 13. Trust Accounts The Commission operates a solicitors trust account and the funds are not used in the achievement of its objectives. Therefore, these monies are not brought to account in the financial reports but are disclosed by way of note. The trust account is maintained for verdict and settlement monies held on behalf of legally aided persons. The Commission may recover some costs upon finalisation of these matters. As at 30 June 2021 the trust account had a $Nil balance (2020-$Nil). 15. Cash Flow Information Reconciliation of net income to net cash provided by operating activities: $$ $ Surplus for the year 881,458881,458 296,455 Cash flows excluded from profit attributable to operating activities Non cash flows in profit: - depreciation and amortisation 1,143,3671,143,367 1,110,454 - loss on disposal of assets/assets donated 22 81,404 Changes in assets and liabilities: - increase)/decrease in trade and other receivables 39,82739,827 (28,759) - (increase)/decrease in other assets (70,887)(70,887) (37,055) - increase/(decrease) in trade and other payables 176,882176,882 504,519 - increase/(decrease) in provisions (68,573)(68,573) 291,838 Cash flows from operationsCash flows from operations 2,102,0762,102,076 2,137,455 14. Expenditure Commitments 20212021 2020 $$ $ Grants in aid 1,353,5861,353,586 828,199 Total expenditure commitmentsTotal expenditure commitments 1,353,5861,353,586 828,199