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Financial Statements of the Government of New Zealand for the Year Ended 30 June 2005

Additional Statements on Core Crown

Core Crown Cash Flow Reconciliation to Government Stock Issues (for the year ended 30 June 2005)

Reconciliation of Net Core Crown Cash Flow from Operations with Net Cash Proceeds from Domestic Bonds

This statement outlines the core Crown bonds reconciliation. Government stock balances and flows between NZDMO, the NZS Fund and the GSF are not eliminated. This presents the complete activity of the NZDMO bond programme.

Forecast Actual
Original Budget $m Estimated Actual $m 30 June 2005 $m 30 June 2004 $m
Original Budget $m Estimated Actual $m 30 June 2005 $m 30 June 2004 $m
Forecast Actual
Core Crown Cash Flows from Operations
44,720 47,512 Total tax receipts 47,571 42,777
488 478 Total other sovereign receipts 478 428
848 1,549 Interest, profits and dividends 1,446 1,129
668 1,220 Sales of goods and services and other receipts 1,272 534
(14,701) (14,311) Subsidies and transfer payments (14,409) (14,250)
(24,729) (25,765) Personnel and operating costs (25,815) (23,198)
(1,892) (1,983) Finance costs (1,983) (1,977)
(441) - Forecasts for future new spending - -
4,961 8,700 Net Cash Flows from Operations 8,560 5,443
Investing Flows
Net advances
(769) (659) Student loans (659) (701)
(50) (42) Housing New Zealand Corporation (42) (503)
(101) 41 District health boards and RHMU 41 (614)
- (15) Tranz Rail New Zealand Limited (15) 44
63 47 Other 47 49
(857) (628) Total Net Advances (628) (1,725)
(1,277) (1,373) Net Purchase of Physical Assets (1,372) (1,299)
Net investments
(232) (193) District health boards (193) (28)
(244) (76) Housing New Zealand Corporation (76) 78
(150) (150) Air New Zealand Limited (150) -
(174) (251) Other (164) (70)
(2,107) (2,107) Contributions to the NZS Fund (2,107) (1,879)
(500) (766) Purchase of Reserve Bank reserves (766) -
(228) - Forecast new capital spending - -
(3,635) (3,543) Net (Purchase)/Sale of Investments (3,456) (1,899)
(808) 3,156 Available for Debt Repayment/(Required to be Financed) 3,104 520
Financing Activity
2,450 (3,228) Other net sale/(purchase) of marketable securities and deposits (3,119) 541
(1,349) (1,455) Net issue/(repayment) of other New Zealand-dollar borrowing (1,455) 2
(3) 1,914 Net (repayment)/issue of foreign currency borrowing 1,905 (216)
211 (132) Net (inflows)/outflows of cash (93) (250)
- 275 Issues of circulating currency 188 114
501 530 Net Cash Inflows/(Outflows) to be Offset by Domestic Bonds 530 711
Gross Cash Proceeds from Domestic Bonds
2,311 2,146 Domestic bonds (market) 2,146 2,212
248 459 Domestic bonds (non-market) 459 478
2,559 2,605 Total Gross Cash Proceeds from Domestic Bonds 2,605 2,690
(2,797) (2,797) Repayment of domestic bonds (market) (2,797) (3,044)
(263) (338) Repayment of domestic bonds (non-market) (338) (357)
(501) (530) Net (Repayments of)/Cash Proceeds from Domestic Bonds (530) (711)
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