The accompanying notes are an integral part of these financial statements L'Association Des Francophones De Nanaimo Statement of Cash Flows For the year ended March 31, 2008 2008 2007 Cash provided by (used for) the following activities Operating activities Cash received from grants and operations 332,276 370,936 Cash paid to suppliers (202,202) (219,103) Cash paid to employees (121,726) (128,810) Interest received 3,648 3,371 Interest paid (627) (897) | 11,369 25,497 Financing activities . ; Advances of bank indebtedness 290 - Repayments of bank indebtedness - (15,715) Investing activities Purchase of capital assets (5,334) (11,287) Increase (decrease) in cash resources 6,325 (1,505) Cash resources, beginning of year | 690 2,195 Cash resources, end of year 7,015 690 :