Presentation of 2022 Financial Statements of Murray River Council

No longer on display. Expired on 09 January 2023, 04:00 PM

In accordance with Section 418 (3) of the Local Government Act 1993 (NSW), Murray River Council advises that the ordinary Council meeting to be held at the Council Chambers located at 52 Perricoota Road, Moama at 10am on 19 December 2022 will include the presentation of the audited Financial Statements and the Auditor’s Reports for the year ending 30 June 2022. The ordinary meeting of Council will also be streamed online here.

In accordance with Section 420 of the Local Government Act 2093 (NSW), any person may make a submission in writing to Council with respect to the Council’s Audited Financial Statements or the Auditor’s Reports. Public submissions can be sent in writing to PO Box 906 Moama NSW 2731 or by email admin@murrayriver.nsw.gov.au

Public submissions close 9 January 2023.

The following is a summary of Council's financial results for the reporting period 1 July 2021 to 30 June 2022.

 

MURRAY RIVER COUNCIL

Summary of Financial Statements

Period ended 30th June 2022

Section 418 Local Government Act, 1993 amended

 


 

2022

2021

$'000

$'000

Income Statement

 

 

Total income from continuing operations

$64,910

$66,084

Total expenses from continuing operations

$68,337

$57,936

Operating result from continuing operations

($3,427)

$8,148

Net operating result for the year

($3,427)

$8,148

Net operating result for before grants and contributions provided for capital purposes

 

($21,867)

 

($11,133)

 
Balance Sheet

 

 

Total current assets

$63,565

$62,134

Total current liabilities

($16,651)

($15,045)

Total non-current assets

$933,529

$836,113

Total non-current liabilities

($9,848)

($7,100)

Total Equity

$970,595

$876,304

 

Other Financial Information

 

 

Operating Performance Ratio (%)

(31.18%)

(11.51%)

Unrestricted current Ratio (times)

2.87x

3.53x

Debt Service Cover Ratio (times)

8.58x

16.39x

Rates and annual charges Outstanding Ratio (%)

11.72%

10.19%

Infrastructure Renewals Ratio (%)

40.10%

70.16%

Own source operating revenue ratio (%)

42.90%

43.70%

Cash expense cover ratio (months)

13.44

16.27

Copies of Council's audited financial statements, together with the auditor's reports are available for inspection by members of the public online here, or at the following Council customer service centres:

  • 15 Murray Street Barham
  • 52 Perricoota Road Moama
  • Mathoura Visitor and Business Centre Cobb Highway Mathoura
  • Moulamein Business Centre Morago Street Moulamein