Hagar Australia Inc. Concise Annual Financial Report For the year ended 30 June 2014
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1 Hagar Australia Inc. Concise Annual Financial Report For the year ended 30 June 2014 Hagar Australia Inc 237 Cecil Street South Melbourne VIC
2 Annual Report 30 June 2014 Contents Page Auditors Independence Declaration 3 Independent Audit Report to the Members 4 Statement by Committee Members 5 Consolidated Statement of Comprehensive Income 6 Consolidated Statement of Financial Position 7 Statement of Changes in Equity 8 Statement of Cash Flows 9 Table of Cash Movements for Designated Purposes 10 This financial report covers both Hagar Australia Inc as a consolidated entity consisting of Hagar Australia Inc and its subsidiaries. The financial report is presented in the Australian currency. This concise financial report is an extract from the financial report. All financial statements and specific disclosures included have been derived from the financial report. The concise financial report cannot be expected to provide as full an understanding of the financial performance, financial position and financing and investing activities of the entity as the financial report. Further financial information can be obtained from the financial report which is available, free of charge, on request. 2 P a g e
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6 Consolidated Statement of Comprehensive Income For the year ended 30 June 2014 Note $ $ Discontinued Operations Donations and gifts 169, ,852 Fundraising 11,620 11,192 Investment Income Other Income 256 (1,181) Revenue and Other Income 181, ,911 International Programs 119, ,792 Fundraising 44, ,261 Accountability and Administration 15,246 80,934 Community Education 8,548 15,398 Non Monetary Expenditure - 74,000 Distributions Paid 84,369 - Disposal of Subsidiary 101,554 - Expenditure 373, ,385 Net surplus/(deficit) for the year (191,752) 74,526 Net Surplus attributable to: Controlling Interests (191,752) 74,526 Non-Controlling Interests - - The above income statements should be read in conjunction with the accompanying notes. 6 P a g e
7 Consolidated Statement of Financial Position As at 30 June 2014 Current Assets Note $ $ Cash and cash equivalents - 137,818 Loans & Receivables - 69,952 Other Assets - 1,581 Total Current Assets - 209,351 Non Current Assets Office Equipment - 7,297 Total Non Current Assets 7,297 Total Assets 216,648 Current Liabilities Payables - 11,080 Provisions - 13,717 Total Current Liabilities - 24,797 Total Liabilities - 24,797 Net Assets - 191,852 Funds General Funds - 191,852 Total Funds - 191,852 The above balance sheets should be read in conjunction with the accompanying notes. 7 P a g e
8 Consolidated Statement of Changes in Equity For the year ended 30 June 2014 Note Retained Earnings Settlement Sum Attributable to Controlling Interests Attributable to Non Controlling Interests $ $ $ Balance at 1 July , ,326 - Net Surplus/(Deficit) for the year 74,526-74,526 - Total Comprehensive Income for the Year 74,526-74,526 - Balance at 30 June , ,852 - Net Surplus/(Deficit) for the year 191, ,752 - Disposal of subsidiary - (100) (100) Total Comprehensive Income for the Year 191, ,852 - Balance at 30 June The above statement of changes in equity should be read in conjunction with the accompanying notes. 8 P a g e
9 Consolidated Statement of Cash Flows For the year ended 30 June $ $ Cash Flows from Operating Activities Donations received 250, ,092 Payments to suppliers (112,140) (279,390) Transfers to overseas partners (86,950) (524,592) Note Net Cash Inflow from Operating Activities 51,362 22,110 Cash Flows from Investing Activities Interest received Loans from (to) related parties 3,003 (1,000) Distribution to Hagar Australia Ltd (90,531) - Discontinued Operations (101,661) - Net Cash (Outflow) from Investing Activities (189,179) (952) Cash Flows from Financing Activities Net Cash (Outflow) from Financing Activities - - Net Increase/(Decrease) in cash and cash equivalents (137,818) 21,158 Cash and cash equivalents at the beginning of the financial year 137, ,660 Cash and cash equivalents at the end of the Financial Year - 137,818 The above cash flow statements should be read in conjunction with the accompanying notes. 9 P a g e
10 Table of Cash Movements for designated Purposes 30 June 2014 Table of Cash Movements for designated Purposes for the year ended 30 June 2014 Cash Available at beginning of financial year Cash Raised during financial year Cash disbursed during financial year Cash allocated to Administration Cash available at end of financial year Hagar Australia Overseas Aid Fund 83, ,427 (111,291) (74,000) - Total for other non-designated 54,292 50,038 (87,799) 74,000 - Purposes Total 137, ,465 (199,090) P a g e
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