- Income statement for the year ended 30 June 2008
- Balance sheet as at 30 June 2008
- Statement of Changes in Equity for the year ended 30 June 2008
- Cash Flow Statement for the year ended 30 June 2008
- 1 Australian equivalents to International Financial Reporting Standards
- 2 Summary of significant accounting policies
- 3 Judgement made by management in applying accounting policies
- 4 Key sources of estimation uncertainty
- 5 Disclosure of changes in accounting policy and estimates
- 6 Employee benefit expense
- 7 Supplies and services
- 8 Depreciation and amortisation expense
- 9 Finance costs
- 10 Grants and subsidies expense
- 11 Capital user charge
- 12 Other expenses
- 13 User charges and fees
- 14 Land rationalisation lease revenue
- 15 Operating lease revenue
- 16 Commonwealth grants and contributions
- 17 Interest revenue
- 18 Other revenue
- 19 Net loss on disposal of non-current assets
- 20 Income from State Government
- 21 Restricted cash and cash equivalents
- 22 Inventories
- 23 Receivables
- 24 Amounts receivable for services
- 25 Act of Grace Payments
- 26 Infrastructure, property, plant, equipment and vehicles
- 27 Intangible assets
- 28 Impairment of assets
- 29 Payables
- 30 Borrowings
- 31 Provisions
- 32 Other current liabilities
- 33 Derivatives
- 34 Deferred income - operating leases
- 35 Equity
- 36 Notes to the Cash Flow Statement
- 37 Commitments
- 38 Contingent liabilities and contingent assets
- 39 Remuneration of members of the Accountable Authority and senior officers
- 40 Financial instruments
- 41 Supplementary financial information
- 42 Events occurring after the balance sheet date
- 43 Explanatory Statement
- 44 Schedule of income and expenses by service
- 45 Remuneration of auditor