b'NOTE 20: CASH FLOW INFORMATION (cont) 20222021 $000$000 (c)Reconciliation of cash and non-cash movements in borrowings from financing activitiesFinance leases Opening Balance11,54012,721 Cash flows(12,422)(13,252) Business Combinations-82 Additions11,78111,989 Closing Balance10,89911,540Accommodation bonds / refundable accommodation deposits Opening Balance199,542134,310 Net Cash flows13,71134,430 Business Combinations-32,635 Interest, DAPs and other deductions(1,064)(1,833) Closing Balance212,189199,542Ingoing contributions Opening Balance61,5336,063 Net Cash flows10,1708,560 Asset Acquisition/Business Combinations13,06549,843 Deferred management fees(2,808)(2,933) Closing Balance81,96061,533Market rate loan facility Opening Balance Cash inflow31,100- Closing Balance31,100-NOTE 21: REMUNERATION OF AUDITORS During the financial year the following fees were paid or payable for services provided by BDO Audit Pty Limited, the auditor of the company, and its network firms: 20222021 $$ Audit services:- Audit and review of financial statements213,400188,860Other services:- Assessment of I.T security and strategy-24,500- Tax and other advisory services17,4902,400- Other -600 Total remuneration17,49027,500230,890216,360 Page | 45'