Annual Report v1 | Page 26

Statement of Changes in Equity As at 31 March 2014 Eight Months Ended Twelve Months Ended 31 March 2014 31 July 2013 $ $ Member Funds Balance at Beginning of Financial Year 8,744,071 8,345,739 Surplus from Ordinary Activities 392,176 398,332 Other Comprehensive Income - Balance at end of Financial Year 9,136,247 8,744,071 This statement should be read in conjunction with the notes to the accounts Statement of Cash Flows For the Eight Months Ended 31 March 2014 NOTE Eight Months Ended Twelve Months Ended 31 March 2014 31 July 2013 $ $ Cash Flows from Operating Activities Receipts from Members and Customers 4,232,373 5,370,208 Payments to Suppliers and Employees (2,772,512) (4,519,306) Net Interest Paid (61,036) (143,587) Net Cash pr