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Notes to the Consolidated Financial Statements
30 June 2013
34 BRADKEN LIMITED ANNUAL REPORT 2013
Notes to the consolidated financial statements
30 June 2013
Contents to the notes to the consolidated financial statements
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Remuneration of auditors
Contingencies
Commitments
Related party transactions
Share based payments
Deed of cross guarantee
Events occurring after balance sheet date
Non cash investing and financing activities
Earnings per share
Reconciliation of profit after income tax to net cash inflow from operating activities
Parent entity financial information
Investments in associates
Key management personnel disclosures
Income tax expense
Cash and cash equivalents
Receivables
Profit from ordinary activities
Provisions
Available for sale financial assets
Contributed equity
Reserves and retained profits
Borrowings
Deferred tax liabilities
Retirement benefit obligations
Other receivables
Summary of significant accounting policies
Financial risk management
Critical accounting estimates and judgements
Segment information
Dividends
Property, plant and equipment
Deferred tax assets
Inventories
Derivative financial instruments
Intangible assets
Payables
Investments accounted for using the equity method
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Bradken Limited