NET CASH (USED IN) FINANCING ACTIVITIES
( 4,588)
( 4,499)
NET INCREASE IN CASH AND CASH EQUIVALENTS
32,947
6,065
CASH & CASH EQUIVALENTS AT THE BEGINNING OF THE YEAR
214,316
203,655
Effect of exchange rate fluctuations on cash held
5,438
4,597
CASH & CASH EQUIVALENTS AT THE END OF THE YEAR
4.2
252,701
214,316
The notes on pages 6 to 55 are an integral part of these consolidated financial statements
290
Annual Report
2022
INTERNATIONAL FEDERATION OF RED CROSS AND RED CRESCENT SOCIETIES, GENEVA
CONSOLIDATED STATEMENT OF CASH FLOWS
FOR THE YEAR ENDED 31 DECEMBER
Page 5
Public
2022
2021
Notes
CHF 000s
CHF 000s
CASH FLOWS FROM OPERATING ACTIVITIES
Net surplus for the year
178,843
3,125
Adjustment for non-cash items:
Depreciation, amortisation and impairment
3.4
12,008
10,401
In-kind assets
3.4
-
( 3,262)
Increase in provisions
3.6
17,671
1,598
Other non-cash items
7,448
6,970
Finance costs
4.1
14,525
( 10,681)
51,651
5,026
Changes in working capital
Receipt in advance ESSN
3.2b
( 27,582)
12,867
Receivables, net
2.2
( 101,932)
( 12,730)
Prepayments and contract assets
3.3
( 17,886)
12,607
Accounts payables and accrued expenses
3.5
20,722
1,085
Deferred income and contract liabilities
2.3
30,050
( 17,638)
Other
( 2,712)
3,809
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