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Consolidated Note 2015 000 2014 000 Cash flows from operating activities Receipts from customers 668659 714393 Payments to suppliers and employees 507267 519538 Interest received from external parties 1686 2415 Tax paid 44338 38312 Net cash inflows from operating activities 9 118740 158958 Cash flows from investing activities Payments for purchase of property plant and equipment 28232 27309 Payments for purchase of intangibles 242 53 Proceeds from sale of property plant and equipment 9640 134 Net cash flows used in investing activities 18834 27228 Cash flows from financing activities Dividends paid to security holders 15774 63466 Proceeds from DRP underwrite 15774 Net proceeds from receivables financing 22161 Repayment of borrowings from external parties 53000 Interest paid to external parties 40567 51319 Payments for debt refinancing 4140 Payments for finance leases 539 621 Net cash flows used in financing activities 18945 172546 Net increasedecrease in cash and cash equivalents 80961 40816 Cash assets at the beginning of the year 62090 102906 Cash assets at the end of the year 143051 62090 The above Statement of Cash Flows should be read in conjunction with the accompanying notes. STATEMENT OF CASH FLOWS FOR YEAR ENDED 30 JUNE 2015 42 SOUTHERN CROSS AUSTEREO ANNUAL REPORT 2015