RCC Impact Report 2021

Redland Community Centre Inc ABN 20 407 790 052 Statement of Financial Position As At 30 June 2021

2021 $

2020 $

Note

ASSETS CURRENT ASSETS Cash and cash equivalents Trade and other receivables TOTAL CURRENT ASSETS NON-CURRENT ASSETS Property, plant and equipment TOTAL NON-CURRENT ASSETS

600,272

909,198

6

-

1,581

600,272

910,779

134,522 134,522 734,794

97,265 97,265

7

TOTAL ASSETS

1,008,044

LIABILITIES CURRENT LIABILITIES Trade and other payables

23,981 49,169 29,282 102,432

36,441 89,952 276,989 403,382

8 9

Employee benefits

Other financial liabilities

10

TOTAL CURRENT LIABILITIES NON-CURRENT LIABILITIES TOTAL LIABILITIES

102,432 632,362

403,382 604,662

NET ASSETS

EQUITY Retained earnings

632,362 632,362 632,362

604,662 604,662 604,662

TOTAL EQUITY

23

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