2014 2013
  $’000 $’000
Reconciliation of cash and cash equivalents as per administered schedule of assets and liabilities to administered cash flow statement    
     
Cash and equivalents as per    
Schedule of administered cash flows - -
Schedule of administered assets and liabilities - -
Discrepancy - -
     
Reconciliation of net cost of services to net cash from operating activities    
Net contribution by services 578 604
     
Movements in assets and liabilities    
Liabilities    
Increase / (decrease) in other payable (8) (3)
Net cash from operating activities 570 601