b'CHP financial statements 2020/2021Consolidated statement of cash flows2020/2021 2019/2020 Note 000 000Net cash generated from operating activities 29 31,470 25,282Cash flow from investing activities 29 31,470 25,282Purchase of property, plant and equipment (39,008) (56,325)Purchase of other property, plant and equipment (548) (344)Proceeds from sale of property, plant and equipment 8,673 3,594Grants received 250 5,301Interest received 12 136(30,621) (47,638)Taxation - -Cash flow from financing activitiesInterest paid (19,311) (19,468)Net movement in loans 35,227 28,863Other finance costs (30) (15)15,886 9,380Net change in cash and cash equivalents 16,735 (12,976)Cash and cash equivalents at beginning of year 25,505 38,481Cash and cash equivalents at end of year 42,239 25,505The accompanying notes form part of these financial statements.46 47'