Table 3.1: Budgeted Departmental Statement of Financial Performance
Estimated actual
|
Budget estimate
|
Forward estimate
|
Forward estimate
|
Forward estimate
|
2000-01
|
2001-02
|
2002-03
|
2003-04
|
2004-05
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
Revenues from ordinary activities Revenue from government Sales of goods and services Interest
|
22,571 4,799 660
|
(K1) 24,537 5,659 360
|
25,805 5,873 460
|
26,518 6,172 560
|
26,662 6,327 560
|
Dividends
|
|
|
|
|
Net gains from sales of assets Other
|
5
|
53
|
5
|
52
|
17
|
Total revenues from
|
|
|
|
|
ordinary activities
|
28,035
|
30,609
|
32,143
|
33,302
|
33,566
|
Expenses from ordinary activities (excluding borrowing costs expense) Employees Suppliers Grants
|
11,262 9,668
|
11,900 10,931
|
12,409 10,870
|
12,904 11,041
|
13,258 11,092
|
Depreciation and amortisation Write down of assets
|
2,139
|
2,775
|
3,492
|
3,558
|
3,208
|
Net losses from sales of assets
|
323
|
|
|
|
|
Other
|
|
|
|
|
Total expenses from ordinary activities (excluding borrowing costs expense)
|
23,392
|
25,606
|
26,771
|
27,503
|
27,558
|
Borrowing cost expense
|
|
|
|
|
Net surplus or deficit from ordinary activities Gain or loss on extraordinary items
|
4,643
|
5,003
|
5,372
|
5,799
|
6,008
|
Net surplus or deficit Capital use charge
|
4,643 4,635
|
5,003 4,965
|
5,372 5,308
|
5,799 5,722
|
6,008 5,981
|
Net surplus or deficit after capital use charge
|
8
|
38
|
64
|
77
|
27
|
Estimated
|
Budget
|
Forward
|
Forward
|
Forward
|
actual
|
estimate
|
estimate
|
estimate
|
estimate
|
2000-01
|
2001-02
|
2002-03
|
2003-04
|
2004-05
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
ASSETS
|
|
|
|
|
Financial assets
|
|
|
|
|
Cash
|
262
|
206
|
247
|
202
|
253
|
Receivables
|
400
|
410
|
420
|
431
|
442
|
Investments
|
9,127
|
5,230
|
6,109
|
8,164
|
7,998
|
Accrued revenues
|
375
|
384
|
394
|
404
|
414
|
Other
|
|
|
|
|
|
Total financial assets
|
10,164
|
6,230
|
7,170
|
9,201
|
9,107
|
Non-financial assets
|
|
|
|
|
|
Land and buildings
|
25,373
|
29,794
|
29,961
|
28,823
|
27,686
|
Infrastucture,plant and equipment
|
12,944
|
15,558
|
18,173
|
19,656
|
21,093
|
Inventories
|
280
|
285
|
290
|
295
|
295
|
Intangibles
|
|
|
|
|
|
Other
|
182
|
181
|
179
|
181
|
180
|
Total non-financial assets
|
38,779
|
45,818
|
48,603
|
48,955
|
49,254
|
Total assets
|
48,943
|
52,048
|
55,773
|
58,156
|
58,361
|
LIABILITIES Debt
Loans Leases Deposits Overdrafts Other
Total debt
Provisions and payables
|
Employees
|
4,748
|
4,938
|
5,135
|
5,340
|
5,554
|
Suppliers
|
1,196
|
1,218
|
1,240
|
1,153
|
1,072
|
Grants
|
|
|
|
|
|
Other
|
1,654
|
1,695
|
1,737
|
1,781
|
1,826
|
Total provisions and payables
|
7,598
|
7,851
|
8,112
|
8,274
|
8,452
|
Total liabilities
|
7,598
|
7,851
|
8,112
|
8,274
|
8,452
|
EQUITY
|
|
|
|
|
|
Capital
|
25,376
|
28,190
|
31,590
|
33,734
|
33,734
|
Reserves
|
14,384
|
14,384
|
14,384
|
14,384
|
14,384
|
Accumulated surpluses or deficits
|
1,585
|
1,623
|
1,687
|
1,764
|
1,791
|
Total equity
|
41,345
|
44,197
|
47,661
|
49,882
|
49,909
|
Current liabilities
|
4,227
|
4,345
|
4,466
|
4,483
|
4,509
|
Non-current liabilities
|
3,371
|
3,506
|
3,646
|
3,791
|
3,943
|
Current assets
|
10,626
|
6,696
|
7,639
|
9,677
|
9,582
|
Non-current assets
|
38,317
|
45,352
|
48,134
|
48,479
|
48,779
|
Estimated
|
Budget
|
Forward
|
Forward
|
Forward
|
actual
|
estimate
|
estimate
|
estimate
|
estimate
|
2000-01
|
2001-02
|
2002-03
|
2003-04
|
2004-05
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
OPERATING ACTIVITIES
|
|
|
|
|
Cash received
|
|
|
|
|
Appropriations for outputs
|
|
22,571
|
24,537
|
25,805
|
26,518
|
26,662
|
Sales of goods and services
|
|
5,921
|
5,681
|
5,895
|
6,194
|
6,351
|
Interest
|
|
680
|
360
|
460
|
560
|
560
|
Other
|
|
|
|
|
|
|
Total cash received
|
|
29,172
|
30,578
|
32,160
|
33,272
|
33,573
|
Cash used
|
|
|
|
|
|
|
Employees
|
|
11,080
|
11,710
|
12,211
|
12,698
|
13,044
|
Suppliers
|
|
9,660
|
10,912
|
10,853
|
11,132
|
11,174
|
Grants
|
|
|
|
|
|
|
Interest
|
|
|
|
|
|
|
Other
|
|
|
|
|
|
|
Total cash used
|
|
20,740
|
22,622
|
23,064
|
23,830
|
24,218
|
Net cash from operating
|
|
|
|
|
|
|
activities
|
|
8,432
|
7,956
|
9,096
|
9,442
|
9,355
|
INVESTING ACTIVITIES
|
|
|
|
|
|
|
Cash received
|
|
|
|
|
|
|
Proceeds from sales of property,
|
|
|
|
|
|
|
plant and equipment
|
|
279
|
112
|
272
|
272
|
100
|
Total cash received
|
|
279
|
112
|
272
|
272
|
100
|
Cash used
|
|
|
|
|
|
|
Purchase of property, plant
|
|
|
|
|
|
|
and equipment
|
|
7,538
|
9,968
|
6,542
|
4,123
|
3,590
|
Total cash used
|
|
7,538
|
9,968
|
6,542
|
4,123
|
3,590
|
Net cash from investing
|
|
|
|
|
|
|
activities
|
-
|
7,259
|
-
|
9,856
|
-
|
6,270
|
-
|
3,851
|
-
|
3,490
|
FINANCIAL ACTIVITIES
|
|
|
|
|
|
|
Cash received
|
|
|
|
|
|
|
Capital Injection
|
|
3,486
|
2,811
|
3,400
|
2,144
|
0
|
Total cash received
|
|
3,486
|
2,811
|
3,400
|
2,144
|
0
|
Table 3.3: Budgeted Departmental Statement of Cash Flows (continued)
Estimated
|
Budget
|
Forward
|
Forward
|
Forward
|
actual
|
estimate
|
estimate
|
estimate
|
estimate
|
2000-01
|
2001-02
|
2002-03
|
2003-04
|
2003-04
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
Cash used
|
|
|
|
|
Repayments of debt
|
|
|
|
|
Capital use and dividends paid
|
|
8,632
|
4,965
|
5,308
|
5,722
|
5,981
|
Other
|
|
|
|
|
|
|
Total cash used
|
|
8,632
|
4,965
|
5,308
|
5,722
|
5,981
|
Net cash from financing
|
|
|
|
|
|
|
activities
|
-
|
5,146
|
-
|
2,154
|
-
|
1,908
|
-
|
3,578
|
-
|
5,981
|
Net increase in cash held
|
-
|
3,973
|
-
|
4,054
|
918
|
2,013
|
-
|
116
|
Cash at the beginning of
|
|
|
|
|
|
|
the reporting period
|
|
13,360
|
9,387
|
5,333
|
6,251
|
8,264
|
Cash at the end of the
|
|
|
|
|
|
|
reporting period
|
|
9,387
|
5,333
|
6,251
|
8,264
|
8,148
|
Table 3.4: Departmental Capital Budget Statement
Estimated
|
Budget
|
Forward
|
Forward
|
Forward
|
actual
|
estimate
|
estimate
|
estimate
|
estimate
|
2000-01
|
2001-02
|
2002-03
|
2003-04
|
2004-05
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
CAPITAL APPROPRIATIONS
|
|
|
|
|
Total equity injections
|
3,486
|
(K2) 2,811
|
3,400
|
2,144
|
|
Total loans
|
|
|
|
|
Represented by:
|
|
|
|
|
Purchase of non-current assets
|
3,486
|
2,811
|
3,400
|
2,144
|
|
Other
|
|
|
|
|
Total
|
3,486
|
2,811
|
3,400
|
2,144
|
-
|
PURCHASE OF NON-CURRENT ASSETS
|
|
|
|
|
Funded by capital appropriations
|
3,486
|
2,811
|
3,400
|
2,144
|
|
Funded internally by
|
|
|
|
|
|
Departmental resources
|
4,052
|
7,157
|
3,142
|
1,979
|
3,590
|
1
|
This line links to (K2) in Table 1.1.
|
|
|
|
|
|
Land
|
Buildings
|
Total Land
|
Specialist
|
Other
|
Total
|
Intangibles
|
Total
|
|
|
and Buildings
|
Military
|
Infrastructure
|
Infrastructure
|
|
|
|
|
|
Equipment
|
Plant and
|
Plant and
|
|
|
|
|
|
|
Equipment
|
Equipment
|
|
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
$'000
|
GROSS VALUE
|
|
|
|
|
|
|
|
As at 1 July 2001 (opening)
|
|
26,893
|
26,893
|
|
15,600
|
15,600
|
|
42,493
|
Additions
|
|
5,286
|
5,286
|
|
4,682
|
4,682
|
|
9,968
|
Disposals
|
|
|
-
|
|
377
|
377
|
|
377
|
Other movements
|
|
|
-
|
|
|
-
|
|
-
|
As at 30 June 2002 (closing)
|
|
32,179
|
32,179
|
-
|
19,905
|
19,905
|
-
|
52,084
|
ACCUMULATED DEPRECIATION
|
|
|
|
|
|
|
|
|
As at 1 July 2001 (opening)
|
|
1,520
|
1,520
|
|
2,656
|
2,656
|
|
4,176
|
Disposals
|
|
|
-
|
|
219
|
219
|
|
219
|
Charge for the reporting period
|
|
865
|
865
|
|
1,910
|
1,910
|
|
2,775
|
Other movements
|
|
|
-
|
|
|
-
|
|
-
|
As at 30 June 2002 (closing)
|
|
2,385
|
2,385
|
-
|
4,347
|
4,347
|
-
|
6,732
|
Net book value
|
|
|
-
|
|
|
-
|
|
-
|
As at 30 June 2002
|
|
|
-
|
|
|
-
|
|
-
|
(closing book value)
|
|
29,794
|
29,794
|
-
|
15,558
|
15,558
|
-
|
45,352
|
Net book value
|
|
|
-
|
|
|
-
|
|
-
|
as at 1 July 2001
|
|
|
-
|
|
|
-
|
|
-
|
opening book value)
|
|
25,373
|
25,373
|
|
12,944
|
12,944
|
|
38,317
|
TOTAL ADDITIONS
Self funded
|
4,566
|
4,566
|
2,604
|
2,604
|
7,170
|
Appropriations
|
1,720
|
1,720
|
1,078
|
1,078
|
2,798
|
Total
|
6,286
|
6,286
|
3,682
|
3,682
|
9,968
|
Note: There are no Tables 3.6 to 3.10
|
|
|
|
|
|
|
|
166
|
|
|
|
Appendix 1
Non-Appropriation Departmental Revenue
External revenue
|
Estimated Revenue 2000-01$’000 5,464
|
Estimated Revenue 2001-02 $’000 6,072
|
Total estimated revenue
|
5,464
|
6,072
|
This Appendix is cross-referenced to Table 1.1, note 4, and Table 2.1.
Australian Nuclear Science and Technology Organisation
Australian Nuclear Science And Technology Organisation...........................171 Section 1: Overview, appropriations and budget measures summary.......................171
Overview.................................................................................................................................171 Appropriations.......................................................................................................................172 Budget measures — Summary.............................................................................................174 Administered capital and departmental equity injections and loans.............................174
Section 2: Outcomes and outputs information................................................................175
Outcomes and outputs..........................................................................................................175 Changes to outcomes and outputs......................................................................................177 Trends in resourcing across outcomes................................................................................177 Outcome 1 — Description ....................................................................................................178 Measures affecting outcome 1..............................................................................................178 Outcome 1 — Resourcing.....................................................................................................179 Outcome 1 — Contribution of outputs...............................................................................180 Outcome 2 — Description ....................................................................................................181 Measures affecting outcome 2..............................................................................................181 Outcome 2 — Resourcing.....................................................................................................182 Outcome 2 — Contribution of outputs...............................................................................183 Outcome 3 — Description ....................................................................................................184 Measures affecting outcome 3..............................................................................................185 Outcome 3 — Resourcing.....................................................................................................185 Outcome 3 — Contribution of outputs...............................................................................187 Evaluations .............................................................................................................................190 Competitive tendering and contracting..............................................................................190
Section 3: Budgeted Financial Statements......................................................................191
AUSTRALIAN NUCLEAR SCIENCE AND TECHNOLOGY ORGANISATION
Section 1: Overview, appropriations and budget measures summary
OVERVIEW
The Australian Nuclear Science and Technology Organisation (ANSTO) is Australia’s national nuclear organisation and the centre of Australian nuclear expertise. The role of ANSTO is:
to provide the government with expert scientific and technical advice across the nuclear fuel cycle, including reactor operations, reactor safety and the safeguarding of nuclear material, and to make significant contributions to international research and development in selected nuclear fields in support of Australia’s national and international strategic and nuclear policy objectives;
to operate national nuclear facilities and associated infrastructure in Australia and overseas for the benefit of the Australian research and development community and industry, and to enhance and improve the efficiency and effectiveness of those facilities in order to yield high quality research, products and services;
to apply nuclear-based techniques in research projects that are integral to national and international programs on understanding natural processes and the impact of human activities on the environment;
to refine, develop and implement new approaches to safely immobilise and dispose of radioactive waste and to minimise the environmental impact from the nuclear and mining industries, and to advise government on radioactive waste management, including the environmental impact of uranium mining;
to contribute to the development of critical technologies aimed at enhancing the global competitiveness and sustainability of those Australian industry sectors which can benefit through the application of nuclear science and technology and ANSTO’s unique mix of technical capabilities; and
to supply internationally competitive radiopharmaceuticals and other radioisotopes for medical, industrial and environmental use in Australia and the Asia/Pacific region.
ANSTO acts in partnership with major stakeholder groupings to service the needs of government, industry and the general public, and encourages joint efforts with the research community in applications where nuclear science and technology solutions can be of benefit.
APPROPRIATIONS
The total appropriation for ANSTO in the 2001-02 Budget is $130.624m.
Table 1.1, on the following page, shows the total appropriation for ANSTO for 2001-02 for its three outcomes by price of outputs. There are no administered appropriations for ANSTO.
Table 1.2 on page 174 lists the budget measures from the 2001-02 Budget, including forward years, which have resource implications for ANSTO.
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