|
Consolidated cash flow statement |
|
Year ended
30 June
2011
Reviewed
R'000 |
Year ended
30 June
2010
Audited
R'000
|
Cash generated from operations |
3 521 328 |
1 329 209 |
Cash utilised in investing activities |
(2 193 128) |
(1 797 440) |
Cash utilised by financing activities |
(901 375) |
(672 927) |
Increase/(decrease) in cash for the year |
426 825 |
(1 141 158) |
Cash resources at beginning of year |
1 907 909 |
3 049 067 |
Cash resources per statement of financial position |
2 334 734 |
1 907 909 |