Statement of cash flows

At December 31

 

Notes

2023

2022

Cash from operating activities

   

Inflows

   

Interest received on loans

 

800

563

Interest received on cash and deposits

 

693

-

Repayments on loans

(3)

1,385

1,501

Dividends and fees received

 

5

5

Other received amounts

 

-

1

Outflows

   

Interest banks

 

-

-63

Disbursements on loans

(3)

-14,951

-8,752

Direct Personnel costs

 

-1,403

-1,415

Other direct project costs

 

-350

-411

Overhead / indirect costs

 

-7

-7

Other paid amounts

 

-72

-76

Net cash from operating activities

 

-13,900

-8,654

    

Cash flow financing activities

   

Inflows

   

Contribution DGIS current year

 

25,000

53,000

Outflows

   

Contibution to Partners

 

-13,252

-39,356

Net cash from financing activities

 

11,748

13,644

    

Net change in cash & cash equivalent

 

-2,152

4,990

Position of cash at January 1

 

29,086

23,988

Foreign exchange translation

 

-479

108

Position of cash at end of period

 

26,455

29,086