CANADIAN FOOD INSPECTION AGENCY
Statement of Cash Flow
Year ended March 31

(In thousands of dollars)
2010 2009
Operating activities    
Cash received from: Fees, permits and certificates $(55,847) $(57,001)
     
Cash paid for:    
Salaries and employee benefits 563,467 516,620
Operating and maintenance 155,089 152,284
Transfer payments 12,689 22,531
Cash used by operating activities 675,398 634,434
Capital investment activities    
Acquisition of tangible capital assets 35,058 23,425
Proceeds from disposal of assets (563) (57)
Cash used by capital investment activities 34,495 23,368
Financing activity    
Net cash provided by Government of Canada (709,893) (657,802)
Net cash used $ - $ -

The accompanying notes are an integral part of these financial statements.