Print full document Table of contents Content Our financial statements include projections for the 4 years ending 30 June 2029. They are prepared in line with the Local Government Act 2020 and the Local Government (Planning and Reporting) Regulations 2020. We explain each statement below. You can find the full financial statements in Section 4 of the Budget 2025–26 document. Comprehensive Income StatementFind information about the income and expenses for the 4 years ending 30 June 2028.Balance SheetFind information about:current assetsnon-current assetscurrent liabilitiesnon-current liabilities.Statement of Changes in EquityFind information about the:balance at beginning of the financial yearsurplus (or deficit) for the yearnet asset revaluation increase (or decrease) of Council’s assets, such as property, infrastructure, plant and equipmenttransfer to or from our other reserves, including our Open Space Reserve, Defined Benefits Superannuation call up fund, Strategic Acquisition Fund and the Drainage Reservebalance at end of the financial year. Statement of Cash FlowsFind information about the cash flows from:operating activitiesinvesting activitiesfinancing activities.Statement of Capital WorksFind information about the:budget for property projectsbudget for plant and equipment projects budget for infrastructure projectsfunding sources, including grants, contributions, asset sales, Council cash and borrowings. Statement of Human ResourcesFind information about our staff expenses and our staff numbers. Pagination links Summary of our financial position Council Budget 2025–26 How we measure our performance