Amana Takaful Life PlcCSELK: ATLL.N0000

Quarterly Financial Statement as at 31.12.2024

· Issued by Amana Takaful Life Plc

Amana Takaful Life PLC

Interim Report

31 December 2024

STATEMENT OF FINANCIAL POSITION

Unaudited as at

Audited as at

AS AT

Notes

31.12.2024

31.12.2023

Rs.

Rs.

ASSETS

Intangible Assets

17,833,820

19,049,192

Property, Plant and Equipment

45,465,232

19,374,245

Right of use Lease Assets

3.1

36,120,856

12,390,512

Investment Property

152,500,000

151,000,000

Financial Assets

4

881,515,479

921,642,663

Financial Assets - Unit Linked

5

3,588,741,879

3,035,000,650

Retakaful (Reinsurance) Receivables

50,833,117

32,720,572

Contribution (Premium) Receivable

34,542,039

34,320,741

Other Assets

118,110,419

61,600,004

Cash and Bank Balances

6

48,167,911

38,933,558

Cash and Bank Balances - Unit Linked

6

11,681,978

13,609,555

Total Assets

4,985,512,734

4,339,641,691

LIABILITIES

Insurance Contract Liabilities - Family Takaful Fund

269,499,913

304,351,488

Insurance Contract Liabilities - Unit Linked

3,570,670,980

2,970,343,620

Employee Benefits

15,210,560

12,696,932

Subordinated Debt

98,044,450

108,532,396

Finance Lease Liability

3.2

37,972,962

13,687,013

Other Liabilities - Unit Linked

216,343,252

186,253,738

Other Liabilities

140,582,154

133,269,205

Total Liabilities

4,348,324,271

3,729,134,392

SHAREHOLDERS' EQUITY

Stated Capital

500,000,000

500,000,000

Revaluation Reserve

21,320,747

11,998,572

Revenue Reserves

115,867,717

98,508,726

Total Equity

637,188,464

610,507,299

Total Liabilities and Equity

4,985,512,734

4,339,641,691

The notes form an integral part of the Financial Statements.

We certify that the preparation and presentation of these Financial Statements comply with the requirements under Companies Act, No. 07 of 2007.

Signed

Signed

M. Rinaz Niyas

Gehan Rajapakse

Head of Finance

Executive Director/ CEO

Signed for and on behalf of the Board

Signed

Signed

Osman Kassim

Hassan Kassim

Chairman

Director

Colombo

28th February 2025

Amana Takaful Life PLC

Interim Report 31st December 2024

1

STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME

FOR THE YEAR ENDED 31ST DECEMBER 2024

Unaudited

Audited

FOR THE YEAR ENDED 31ST DECEMBER 2024

2024

2023

Change

Notes

Rs.

Rs.

%

Gross Written Contribution (Premium)

7

1,295,045,915

1,150,656,357

13%

Retakaful Contribution (Reinsurance Premium)

(57,649,951)

(56,457,232)

-2%

Net Written Contribution (Premium)

1,237,395,964

1,094,199,124

13%

Net Change in Reserve for Un-Earned Contribution (Premium)

(557,651)

(511,864)

9%

Net Earned Contribution (Premium)

1,236,838,313

1,093,687,260

13%

Other Revenue

Income from investments

579,741,252

622,215,429

-7%

Other income

55,709,372

48,543,064

15%

Total Revenue

8

1,872,288,937

1,764,445,753

6%

Benefits, Losses and Expenses

Takaful (Insurance) claims and benefits

(518,754,493)

(566,593,346)

8%

Acquisition Cost (net of reinsurance commission)

(178,142,951)

(152,309,797)

-17%

Change in Family Takaful Contract Liability

(566,513,464)

(445,854,249)

-27%

Other Operating and Administration Expenses

(594,681,025)

(538,827,148)

-10%

Amortization

(1,498,704)

(1,541,358)

3%

Total Claims, Benefits and Expenses

(1,859,590,638)

(1,705,125,898)

-9%

Profit from Operations

12,698,299

59,319,855

-79%

Finance cost

(8,646,402)

(9,000,380)

4%

Profit Before Taxation

9

4,051,897

50,319,475

-92%

Income Tax Expenses

10

-

-

-

Profit for the Year

4,051,897

50,319,475

-92%

Rs

Rs

Basic / Diluted Earnings Per Share To Equity Holders

0.08

1.01

-92%

Dividend per share

Interim dividend paid per share

-

-

-

Final proposed dividend per share

-

-

-

Other Comprehensive Income

Net Profit for the Year

4,051,897

50,319,475

-92%

Net Change in Fair Value of Available for Sale Financial

Assets transfer (to)/ from Life Policyholder's Reserve

14,193,167

15,553,895

-9%

Defined Benefit Plan Actuarial Gain/(Losses)

(886,074)

818,616

-208%

Revaluation of Property, Plant & Equipment

9,322,175

-

100%

Total Comprehensive Income for the Year

26,681,165

66,691,986

-60%

Amana Takaful Life PLC

Interim Report 31st December 2024

2

STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME

Unaudited

Unaudited

FOR THE QUARTER ENDED 31ST DECEMBER

2024

2023

Change

Rs.

Rs.

%

Gross Written Contribution (Premium)

357,063,118

324,319,851

10%

Retakaful Contribution (Reinsurance Premium)

(16,032,206)

(8,834,569)

-81%

Net Written Contribution (Premium)

341,030,912

315,485,282

8%

Net Change in Reserve for Un-Earned Contribution (Premium)

4,171,082

2,258,228

-85%

Net Earned Contribution (Premium)

345,201,994

317,743,510

9%

Other Revenue

Income from investments

141,822,566

154,126,732

-8%

Other income

17,763,384

8,388,657

112%

Total Revenue

504,787,943

480,258,899

5%

Benefits, Losses and Expenses

Takaful (Insurance) claims and benefits

(124,481,077)

(153,240,939)

19%

Acquisition Cost (net of reinsurance commission)

(49,419,130)

(45,143,934)

-9%

Change in Family Takaful Contract Liability

(163,490,629)

(127,155,279)

-29%

Other Operating and Administration Expenses

(170,545,571)

(139,415,596)

-22%

Amortization

(700,000)

(373,235)

-88%

Total Claims, Benefits and Expenses

(508,636,407)

(465,328,983)

-9%

Profit/Loss from Operations

(3,848,464)

14,929,916

-126%

Finance cost

(2,036,464)

(1,969,607)

-3%

Profit/Loss Before Taxation

(5,884,928)

12,960,309

-145%

Income Tax Expenses

-

-

-

Profit/Loss for the Period

(5,884,928)

12,960,309

-145%

Rs

Rs

Basic / Diluted Earnings Per Share To Equity Holders

(0.12)

0.26

-145%

Dividend per share

Interim dividend paid per share

-

-

-

Final proposed dividend per share

-

-

-

Other Comprehensive Income

Profit/Loss for the period

(5,884,928)

12,960,309

-145%

Net Change in Fair Value of Available for Sale Financial

Assets transfer (to)/ from Life Policyholder's Reserve

4,812,484

2,729,506

76%

Defined Benefit Plan Actuarial Losses

(886,074)

818,616

-208%

Revaluation of Property, Plant & Equipment

9,322,175

-

100%

Total Comprehensive Income for the period

7,363,657

16,508,431

-55%

Amana Takaful Life PLC

Interim Report 31st December 2024

3

STATEMENT OF CHANGES IN EQUITY

FOR THE YEAR ENDED 31ST DECEMBER 2024

Revenue Reserves

Stated

Revaluation

Accumulated

Policy

Holders'

Total Equity

Capital

Reserve

Profit/(Loss)

Reserve

(Rs)

(Rs)

(Rs)

(Rs)

(Rs)

Balance as at 01st January 2023

500,000,000

11,998,572

12,326,091

19,490,650

543,815,313

Net Profit for the year

-

-

50,319,476

-

50,319,476

Other Comprehensive Income

Net Change in Fair Value of Available for Sale Financial -

- Assets transfer (to)/ from Life Policyholder's Reserve

-

-

-

15,553,895

15,553,895

Defined Benefit Plan Acturial Losses, Net of deferred Tax

-

-

818,616

-

818,616

Total Comprehensive Income

-

-

51,138,092

15,553,895

66,691,988

Balance as at 31st December 2023

500,000,000

11,998,572

63,464,181

35,044,545

610,507,299

Net Profit for the Year

-

-

4,051,897

-

4,051,897

Other Comprehensive Income

Net Change in Fair Value of Available for Sale Financial Assets

- (to)/ from Life Policyholder's Reserve

-

-

-

14,193,167

14,193,167

Defined Benefit Plan Acturial Losses, Net of deferred Tax

(886,074)

-

(886,074)

Revaluation of Property, Plant & Equipment

9,322,175

9,322,175

Total Comprehensive Income

-

9,322,175

3,165,823

14,193,167

26,681,165

Balance as at 31st December 2024

500,000,000

21,320,747

66,630,004

49,237,712

637,188,464

Amana Takaful Life PLC

4

Interim Report 31st December 2024

STATEMENT OF CASH FLOW

Unaudited

Audited

FOR THE YEAR ENDED 31ST DECEMBER 2024

Notes

2024

2023

Rs

Rs

Cash Flows from Operating Activities

Contribution (Premium) received from customers

1,294,824,616

1,154,311,233

Retakaful (Reinsurance) Premium paid

(33,294,972)

(18,825,103)

Claims and Benefits paid

(509,125,869)

(564,176,559)

Cash paid to and behalf of Employees

(284,645,187)

(239,677,432)

Profits received from Investments and Other Income

249,023,691

209,543,076

Finance Cost paid

(8,646,402)

(9,000,380)

Other operating cash payments

(346,282,572)

(276,380,441)

Net Cash Flow from Operating Activities (Note A)

361,853,305

255,794,395

Cash Flows from Investing Activities

Purchase of Financial Assets

(2,530,086,672)

(2,028,648,838)

Sale of Financial Assets

2,260,854,160

2,014,623,095

Dividend Received

4,400,746

3,140,748

Purchase of Property, Plant & Equipment

(25,189,562)

(6,689,559)

Net Cash flow from Investing Activities

(290,021,328)

(17,574,554)

Cash Flows used in Financing Activities

Repayment of Finance Lease Liability

(10,735,100)

(9,567,600)

Net cash flows used in Financing Activities

(10,735,100)

(9,567,600)

61,096,877

228,652,241

NOTE A

Reconciliation of Operating Profit with Cash Flows from Operations

Unaudited

Audited

FOR THE YEAR ENDED 31ST DECEMBER 2024

Notes

2024

2023

Rs

Rs

Profit from Operations

12,698,299

59,319,855

Depreciation

8,290,802

8,311,479

Amortisations

1,498,704

1,480,464

Depreciation Right of Use Asset

8,483,844

7,541,547

Provision for Gratuity

3,000,000

3,588,666

Unrealised (Income)/Losses

(55,492,451)

(12,104,189)

(Increase)/Decrease in Debtors and Other Assets

(212,202,805)

(265,562,925)

Increase in Family Takaful (Long Term Insurance) Fund/ (Decrease)

566,513,464

445,854,249

Increase/(Decrease) in Unearned Contribution (Premium)

557,651

511,864

Increase/(Decrease) in Other Creditors

37,402,462

19,344,112

Finance Cost Paid

(8,646,402)

(9,000,380)

Gratuity Paid

(486,372)

(894,053)

Exchange Gain/Loss

236,109

(2,657,190)

Cash Flows from Operating Activities

361,853,305

255,794,395

Note B

Increase/ (Decrease) in Cash and Cash Equivalents

Cash and Cash Equivalents at the end of the Period

6

404,304,359

343,207,481

Cash and Cash Equivalents at the beginning of the Period

343,207,481

114,555,240

Increase/ (Decrease) in Cash and Cash Equivalents

61,096,877

228,652,241

Amana Takaful Life PLC

Interim Report 31st December 2024

5

STATEMENT OF FINANCIAL POSITION - SEGMENTAL ANALYSIS

FOR THE YEAR ENDED 31ST DECEMBER 2024

Unaudited

Shareholders'

AS AT 31.12.2024

Family Takaful Fund

Fund

Adujstments

Total

Rs.

Rs.

Rs.

Rs.

ASSETS

Intangible Assets

-

17,833,820

-

17,833,820

Property, Plant and Equipment

-

45,465,232

-

45,465,232

Right of use Lease Assets

-

36,120,856

-

36,120,856

Investment Property

-

152,500,000

-

152,500,000

Financial Assets

419,472,349

462,043,130

-

881,515,479

Retakaful Receivable

50,833,117

-

-

50,833,117

Contribution (Premium) Receivable

34,542,039

-

-

34,542,039

Other Assets

45,076,313

73,034,106

-

118,110,419

Other Assets - Unit Linked

-

-

-

-

Financial Assets - Unit Linked

3,588,741,879

-

-

3,588,741,879

Interfund Receivable

-

4,095,859

(4,095,859)

-

Cash and Bank Balances

46,971,269

1,196,642

-

48,167,911

Cash and Bank Balances - Unit Linked

11,681,978

-

-

11,681,978

Total Assets

4,197,318,945

792,289,644

(4,095,859)

4,985,512,734

LIABILITIES

Insurance Contract Liability - Family Takaful Fund

269,499,913

-

-

269,499,913

Insurance Contract Liability - Family Takaful Linked Unit Linked

3,570,670,980

-

-

3,570,670,980

Employee Benefits

-

15,210,560

-

15,210,560

-

Subordinated Debt

-

98,044,450

-

98,044,450

Finance Lease Liability

-

37,972,962

-

37,972,962

Inter Fund Payable

4,095,859

-

(4,095,859)

-

Other Liabilities

88,607,321

51,974,833

-

140,582,154

Other Liabilities - Unit Linked

216,343,252

-

-

216,343,252

Total Liability

4,149,217,325

203,202,806

(4,095,859)

4,348,324,271

SHAREHOLDERS' EQUITY

Stated Capital

-

500,000,000

-

500,000,000

Revaluation Reserve

-

21,320,747

-

21,320,747

Revenue Reserves

48,101,616

67,766,101

-

115,867,717

Total Equity

48,101,616

589,086,848

-

637,188,464

Total Equity and Liability

4,197,318,945

792,289,644

(4,095,859)

4,985,512,734

#REF!

The above Long Term Insurance ( Family Takaful ) Statement of Financial Position is to be read in conjunction with the Company Statement of Financial Position.

Amana Takaful Life PLC

6

Interim Report 31st December 2024

STATEMENT OF FINANCIAL POSITION - SEGMENTAL ANALYSIS

Audited

Family Takaful

Shareholders

AS AT 31.12.2023

Fund

Fund

Adujstments

Total

Rs.

Rs.

Rs.

Rs.

ASSETS

Intangible Assets

19,049,191

19,049,191

Property, Plant and Equipment

19,374,245

19,374,245

Right Of Use Asset

12,390,512

12,390,512

Investment Property

151,000,000

151,000,000

Financial Investments

436,151,046

485,491,616

921,642,663

Retakaful Receivable

32,720,572

32,720,572

Contribution (Premium) Receivable

34,320,741

34,320,741

Other Assets

18,698,431

42,901,573

61,600,005

Financial Assets - Unit Linked

3,035,000,650

3,035,000,650

Interfund Receivable

15,667,398

(15,667,398)

0

Cash and Bank Balances

32,200,224

6,733,334

38,933,558

Cash and Bank Balances - Unit Linked

13,609,555

13,609,555

Total Assets

3,602,701,220

752,607,869

(15,667,398)

4,339,641,691

LIABILITIES

Insurance Contract Liability - Family Takaful Fund

304,351,488

304,351,488

Insurance Contract Liability - Family Takaful Unit Linked

2,970,343,620

2,970,343,620

Employee Benefits

12,696,932

12,696,932

Subordinated Debt

108,532,396

108,532,396

-

Finance Lease Liability

13,687,013

13,687,013

Inter Fund Payable

15,667,398

(15,667,398)

-

Other Liabilities

91,584,557

41,684,649

133,269,207

Other Liabilities - Unit Linked

186,253,739

186,253,739

Total Liability

3,568,200,803

176,600,990

(15,667,398)

3,729,134,395

SHAREHOLDERS' EQUITY

Stated Capital

500,000,000

500,000,000

Revaluation Reserve

11,998,572

11,998,572

Revenue Reserves

34,500,417

64,008,309

98,508,726

Total Equity

34,500,417

576,006,882

-

610,507,299

Total Equity and Liability

3,602,701,220

752,607,869

(15,667,398)

4,339,641,691

#REF!

The above Long Term Insurance ( Family Takaful ) Statement of Financial Position is to be read in conjunction with the Company Statement of Financial Position.

Amana Takaful Life PLC

7

Interim Report 31st December 2024

NOTES TO THE FINANCIAL STATEMENTS

FOR THE YEAR ENDED 31ST DECEMBER 2024

2. These Interim Financial Statements of the Company have been prepared in accordance with Sri Lanka Accounting Standards (SLAS) prefixed both SLFRS (corresponding to IFRS) and LKAS (LKAS 34 - Interim Financial Reporting), promulgated by the Institute of Chartered Accountants of Sri Lanka (ICASL) and comply with the requirements of the Companies Act, No. 7 of 2007 and the Regulation of Insurance Industry Act, No. 43 of 2000.

The same accounting policies and methods of computation as stated in the Audited Financial Statements 2023 have been followed in preparation of these Interim Financial Statements. Comparative information has been re-valued/re-classified where necessary, to confirm to the current period recognition, measurement and presentation.

2.1 Motor Vehicles were revalued in 2024 as per company policy to revalue them once in every three years.

3. Right of Use Lease Asset

The company recognises a right-of-use asset and a lease liability at the lease commencement date. The right of use assets of the company consist of a vehicle taken on lease which were previously recognised as finance leases under LKAS 17.

3.1 Right of use Lease Asset

Unaudited as at 31.12.2024

Audited

Property

Total

31.12.2023

Rs.

Opening right of use lease asset as at 01st January

12,390,512

12,390,512

11,954,352

Addition

32,214,188

32,214,188

7,977,707

Net Depreciation for the period

(8,483,844)

(8,483,844)

(7,541,547)

Closing Right of use lease asset as at 31st December 2024

36,120,856

36,120,856

12,390,512

3.2 Lease Liability (Lease Creditor)

The lease liability is initially measured at the present value of the lease payments that are not paid at the commencement date, discounted using the Ijarah rate implicit in the lease or, if that rate can not be readily determined, the Group's incremental borrowing rate. The movement of Lease creditor for the period is as follows,

Unaudited as at 31.12.2024

Audited

Property

Total

31.12.2023

Rs.

Opening lease Creditor as at 01st January

13,687,013

13,687,013

13,039,310

Addition

32,214,188

32,214,188

7,977,707

Ijarah Expense recognised in Profit or Loss

2,806,861

2,806,861

2,237,596

Settlement through lease payment

(10,735,100)

(10,735,100)

(9,567,600)

Closing Lease Liability as at 31st December 2024

37,972,962

37,972,962

13,687,013

Amana Takaful Life PLC

8

Interim Report 31st December 2024

NOTES TO THE FINANCIAL STATEMENTS

4. Financial Assets

Unaudited as at

Audited as at

AS AT

31.12.2024

31.12.2023

Rs.

Rs.

Financial Assets at Fair Value Through Profit or Loss (4.1)

56,203,581

125,126,250

Available For Sale Financial Assets (4.2)

90,555,525

79,685,457

Loans & Receivables (4.3)

734,756,372

716,830,956

881,515,479

921,642,663

Unaudited as at

Audited as at

AS AT

31.12.2024

31.12.2023

Rs.

Rs.

4.1 Financial Assets at Fair Value Through Profit & Loss

Investment in Bullion

56,203,581

125,126,250

56,203,581

125,126,250

4.2 Available For Sale Financial Assets

Unit Trust

90,555,525

79,685,457

90,555,525

79,685,457

4.3 Loans and Receivable

Repurchase Agreements

240,627,147

195,672,507

Fixed Term Investments

494,129,226

521,158,449

734,756,372

716,830,956

Amana Takaful Life PLC

9

Interim Report 31st December 2024

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