ҹɫֱ²¥ Strategic Report and Financial Statements 2022 - Consolidated statement of cash flow
ҹɫֱ²¥ Strategic Report and Financial Statements 2022 - Consolidated statement of cash flow
| 
 Cash flows from operating activities  | 
Note | 
 2021/22 £000  | 
 2020/21 £000  | 
|---|---|---|---|
| 
 (Deficit) for the year  | 
Ìý | (406) | (1,851) | 
| 
 Adjustments for non-cash items  | 
11,12 | 4,812 | 5,071 | 
| 
 Depreciation, amortisation  | 
Ìý | 4,812 | 5,071 | 
| 
 Deferred capital grants released  | 
Ìý | (649) | (649) | 
| 
 Pension costs less contributions payable  | 
Ìý | 3,073 | 2,825 | 
| 
 (Increase) /decrease in operating debtors  | 
Ìý | 33 | 767 | 
| 
 Increase / (decrease) in operating creditors  | 
Ìý | (471) | 2,496 | 
| 
 Increase / (decrease) in pension provision  | 
Ìý | 592 | (242) | 
| 
 Adjustments for investing or financing activities  | 
Ìý | Ìý | Ìý | 
| 
 Investment income and interest receivableÌý  | 
Ìý | (72) | (15) | 
| 
 Interest payable  | 
Ìý | 1,000 | 1,090 | 
| 
 Net cash inflow / (outflow) from operating activities  | 
Ìý | 7,912 | 9,492 | 
| 
 Cash flows from investing activities  | 
Ìý | Ìý | Ìý | 
| 
 Investment income  | 
Ìý | 72 | 15 | 
| 
 Payments made to acquire fixed assets  | 
Ìý | (819) | (90) | 
| 
 Ìý  | 
Ìý | (747) | (75) | 
| 
 Cash flows from financing activities  | 
Ìý | Ìý | Ìý | 
| 
 Interest paid  | 
Ìý | (1,000) | (1,090) | 
| 
 Repayments of amounts borrowed  | 
Ìý | (6,528) | (4,326) | 
| 
 New unsecured loans in year  | 
Ìý | - | 2,834 | 
| 
 Ìý  | 
Ìý | (7,528) | (2,834) | 
| 
 (Decrease)/increase in cash and cash equivalents in the year  | 
Ìý | (363) | 6,835 | 
| 
 Cash and cash equivalents at beginning of the year  | 
Ìý | 15,607 | 8,772 | 
| 
 Cash and cash equivalents at end of the year  | 
Ìý | 15,224 | 15,607 | 
| 
 Ìý  | 
Ìý | (363) | 6,835 | 
Ìý