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 |