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Annual report and accounts 2006

Consolidated cash flowstatement

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  Notes 2006
£m
Restated*
2005
£m
Reconciliation of operating cash flows      
Profit before taxation   1,391 477
Share of profit of joint ventures 11 (47) (46)
(Profit)/loss on sale or termination of businesses 32 (1) 2
(Profit)/loss on sale of property, plant and equipment   (9) 1
Net interest payable 5 18 39
Net post-retirement scheme financing (income)/costs 5 (3) 9
Net other financing (income)/costs 5 (713) 352
Taxation paid   (25) (60)
Amortisation of intangible assets 9 60 59
Depreciation of property, plant and equipment 10 161 195
Decrease in provisions   (36) (31)
Increase in inventories   (136) (221)
Increase in trade and other receivables   (397) (252)
Increase in trade and other payables   789 720
Decrease in other financial assets and liabilities   250 283
Post-retirement benefits adjustment   (21) (69)
Share-based payments charge 27 36 26
Transfers of hedge reserves to income statement 25 (289) (459)
Dividends received from joint ventures 11 44 35
Net cash inflow from operating activities   1,072 1,060
Cash flows from investing activities      
Disposals of unlisted investments   — 5
Additions to intangible assets   (219) (132)
Disposals of intangible assets   7 —
Purchases of property, plant and equipment   (298) (219)
Disposals of property, plant and equipment   55 69
Acquisition of businesses 32 (5) —
Disposals of businesses 32 1 1
Investments in joint ventures   (11) (13)
Disposals of joint ventures   1 —
Net cash outflow from investing activities   (469) (289)
Cash flows from financing activities      
Borrowings due within one year – repayment of loans   (53) (202)
Borrowings due after one year – repayment of loans   — (5)
Capital element of finance lease payments   (8) (11)
Net cash outflow from decrease in borrowings   (61) (218)
Interest received   84 41
Interest paid   (96) (88)
Interest element of finance lease payments   (2) (2)
Decrease/(increase) in government securities and corporate bonds   3 (1)
Issue of ordinary shares   9 26
Purchase of own shares   (44) —
Settlement of financial liabilities to purchase own shares   — (149)
Other transactions in own shares   78 —
Redemption of B Shares   (93) (52)
Net cash outflow from financing activities   (122) (443)
Increase in cash and cash equivalents   481 328
Cash and cash equivalents at January 1   1,745 1,439
Foreign exchange   (60) 45
Net cash of businesses acquired/disposed   5 1
Adjustment on implementation of IAS 32 and IAS 39   — (68)
Cash and cash equivalents at December 31   2,171 1,745
  2006
£m
2005
£m
Reconciliation of increase in cash and cash equivalents to movements in net funds    
Increase in cash and cash equivalents 481 328
Cash (inflow)/outflow from (decrease)/increase in government securities and corporate bonds (3) 1
Net cash outflow from decrease in borrowings 61 218
Change in net funds resulting from cash flows 539 547
Borrowings of businesses disposed — 1
Net funds of businesses acquired 1 —
Finance lease additions — (1)
Exchange adjustments (49) 5
Fair value adjustments 77 47
Movement in net funds 568 599
Net funds/(debt) at January 1 261 (149)
Adjustment on implementation of IAS 32 and IAS 39 — (189)
  829 261
Fair value of swaps hedging fixed rate borrowings (3) 74
Net funds at December 31 826 335
Analysis of net funds At
January 1,
2006
£m
Cash flow
£m
Net funds of
businesses
acquired
£m
Exchange
adjustments
£m
Fair value
adjustments
£m
Other
non-cash
changes
£m
At
December 31,
2006
£m
Cash at bank and in hand 338 439 5 (25) — — 757
Overdrafts (12) (3) — 1 — — (14)
Short-term deposits 1,419 45 — (36) — — 1,428
Cash and cash equivalents 1,745 481 5 (60) — — 2,171
Investments 37 (3) — — — — 34
Other borrowings due within one year (55) 53 (1) 5 17 (398) (379)
Borrowings due after one year (1,444) — (3) 6 60 398 (983)
Finance leases (22) 8 — — — — (14)
  261 539 1 (49) 77 — 829
Fair value of swaps hedging fixed rate borrowings 74       (77)   (3)
  335 539 1 (49) — — 826

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