Goldfields Money Limited announced audited cash flow results for the year ended June 30, 2016. For the year, the company's net cash provided by operating activities was AUD 215,313 compared with AUD 936,033 a year ago. Payments for property, plant and equipment was AUD 79,563 compared with AUD 25,178 a year ago. Payments for intangible assets were AUD 138,625 compared with AUD 104,028 a year ago.