S tatement of Cash Flows For the year ended 31 December 2018 2018 2017 C A SH FL O WS FROM OPERA TING A CTIVITIES Notes R eceipts from operating activities 1913458 1805349 R eceipts from bank interest and other income 106583 109 758 P ayments to suppliers and employees 1828522 1831 171 Net cash fow generated fromused in operating activities 11 a 191518 83936 C A SH FL O WS FROM INVES TING A CTIVITIES Property plant and equipment 16286 1440 Net cash used in investing activities 16286 1440 Net increasedecrease in cash and cash equivalents 175232 82496 Cash and cash equivalents at 1 January 3512465 3429 969 Cash and cash equivalents at 31 December 3687 697 3512465 36 S tatement of changes in Equity For the year ended 31 December 2018 Notes R etained Earnings T otal As at 1 January 2017 2650 715 2650 715 Net proft for the period 88409 88409 As at 31 December 2017 10 2 739 124 2 739 124 As at 1 January 2018 2 739 124 2 739 124 Net proft for the period 88616 88616 As at 31 December 2018 10 10 2827 740 2827 740